104TH GENERAL ASSEMBLY
State of Illinois
2025 and 2026
HB5373

 

Introduced 2/10/2026, by Rep. Joyce Mason

 

SYNOPSIS AS INTRODUCED:
 
See Index

    Amends various Acts by replacing the terms "day care", "daycare", and "day-care", in relation to the care of a child, with the term "child care". Amends the Child Care Act of 1969. Makes changes in provisions concerning the definitions of "day care center", "part day child care facility", and "day care agency"; the prohibition of unlicensed practice; criminal background investigations; and advertisements. Repeals provisions concerning an exemption from licensure for day care homes and group day care homes serving children of military personnel and a child from a foreign state or country. Effective July 1, 2026.


LRB104 20029 AAS 33480 b

 

 

A BILL FOR

 

HB5373LRB104 20029 AAS 33480 b

1    AN ACT concerning regulation.
 
2    Be it enacted by the People of the State of Illinois,
3represented in the General Assembly:
 
4    Section 5. The Illinois Public Labor Relations Act is
5amended by changing Sections 3 and 7 as follows:
 
6    (5 ILCS 315/3)  (from Ch. 48, par. 1603)
7    (Text of Section before amendment by P.A. 104-118)
8    Sec. 3. Definitions. As used in this Act, unless the
9context otherwise requires:
10    (a) "Board" means the Illinois Labor Relations Board or,
11with respect to a matter over which the jurisdiction of the
12Board is assigned to the State Panel or the Local Panel under
13Section 5, the panel having jurisdiction over the matter.
14    (b) "Collective bargaining" means bargaining over terms
15and conditions of employment, including hours, wages, and
16other conditions of employment, as detailed in Section 7 and
17which are not excluded by Section 4.
18    (c) "Confidential employee" means an employee who, in the
19regular course of his or her duties, assists and acts in a
20confidential capacity to persons who formulate, determine, and
21effectuate management policies with regard to labor relations
22or who, in the regular course of his or her duties, has
23authorized access to information relating to the effectuation

 

 

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1or review of the employer's collective bargaining policies.
2Determinations of confidential employee status shall be based
3on actual employee job duties and not solely on written job
4descriptions.
5    (d) "Craft employees" means skilled journeymen, crafts
6persons, and their apprentices and helpers.
7    (e) "Essential services employees" means those public
8employees performing functions so essential that the
9interruption or termination of the function will constitute a
10clear and present danger to the health and safety of the
11persons in the affected community.
12    (f) "Exclusive representative", except with respect to
13non-State fire fighters and paramedics employed by fire
14departments and fire protection districts, non-State peace
15officers, and peace officers in the Illinois State Police,
16means the labor organization that has been (i) designated by
17the Board as the representative of a majority of public
18employees in an appropriate bargaining unit in accordance with
19the procedures contained in this Act; (ii) historically
20recognized by the State of Illinois or any political
21subdivision of the State before July 1, 1984 (the effective
22date of this Act) as the exclusive representative of the
23employees in an appropriate bargaining unit; (iii) after July
241, 1984 (the effective date of this Act) recognized by an
25employer upon evidence, acceptable to the Board, that the
26labor organization has been designated as the exclusive

 

 

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1representative by a majority of the employees in an
2appropriate bargaining unit; (iv) recognized as the exclusive
3representative of personal assistants under Executive Order
42003-8 prior to July 16, 2003 (the effective date of Public Act
593-204), and the organization shall be considered to be the
6exclusive representative of the personal assistants as defined
7in this Section; or (v) recognized as the exclusive
8representative of child and day care home providers, including
9licensed and license exempt providers, pursuant to an election
10held under Executive Order 2005-1 prior to January 1, 2006
11(the effective date of Public Act 94-320), and the
12organization shall be considered to be the exclusive
13representative of the child and day care home providers as
14defined in this Section.
15    With respect to non-State fire fighters and paramedics
16employed by fire departments and fire protection districts,
17non-State peace officers, and peace officers in the Illinois
18State Police, "exclusive representative" means the labor
19organization that has been (i) designated by the Board as the
20representative of a majority of peace officers or fire
21fighters in an appropriate bargaining unit in accordance with
22the procedures contained in this Act, (ii) historically
23recognized by the State of Illinois or any political
24subdivision of the State before January 1, 1986 (the effective
25date of this amendatory Act of 1985) as the exclusive
26representative by a majority of the peace officers or fire

 

 

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1fighters in an appropriate bargaining unit, or (iii) after
2January 1, 1986 (the effective date of this amendatory Act of
31985) recognized by an employer upon evidence, acceptable to
4the Board, that the labor organization has been designated as
5the exclusive representative by a majority of the peace
6officers or fire fighters in an appropriate bargaining unit.
7    Where a historical pattern of representation exists for
8the workers of a water system that was owned by a public
9utility, as defined in Section 3-105 of the Public Utilities
10Act, prior to becoming certified employees of a municipality
11or municipalities once the municipality or municipalities have
12acquired the water system as authorized in Section 11-124-5 of
13the Illinois Municipal Code, the Board shall find the labor
14organization that has historically represented the workers to
15be the exclusive representative under this Act, and shall find
16the unit represented by the exclusive representative to be the
17appropriate unit.
18    (g) "Fair share agreement" means an agreement between the
19employer and an employee organization under which all or any
20of the employees in a collective bargaining unit are required
21to pay their proportionate share of the costs of the
22collective bargaining process, contract administration, and
23pursuing matters affecting wages, hours, and other conditions
24of employment, but not to exceed the amount of dues uniformly
25required of members. The amount certified by the exclusive
26representative shall not include any fees for contributions

 

 

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1related to the election or support of any candidate for
2political office. Nothing in this subsection (g) shall
3preclude an employee from making voluntary political
4contributions in conjunction with his or her fair share
5payment.
6    (g-1) "Fire fighter" means, for the purposes of this Act
7only, any person who has been or is hereafter appointed to a
8fire department or fire protection district or employed by a
9state university and sworn or commissioned to perform fire
10fighter duties or paramedic duties, including paramedics
11employed by a unit of local government, except that the
12following persons are not included: part-time fire fighters,
13auxiliary, reserve or voluntary fire fighters, including paid
14on-call fire fighters, clerks and dispatchers or other
15civilian employees of a fire department or fire protection
16district who are not routinely expected to perform fire
17fighter duties, or elected officials.
18    (g-2) "General Assembly of the State of Illinois" means
19the legislative branch of the government of the State of
20Illinois, as provided for under Article IV of the Constitution
21of the State of Illinois, and includes, but is not limited to,
22the House of Representatives, the Senate, the Speaker of the
23House of Representatives, the Minority Leader of the House of
24Representatives, the President of the Senate, the Minority
25Leader of the Senate, the Joint Committee on Legislative
26Support Services, and any legislative support services agency

 

 

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1listed in the Legislative Commission Reorganization Act of
21984.
3    (h) "Governing body" means, in the case of the State, the
4State Panel of the Illinois Labor Relations Board, the
5Director of the Department of Central Management Services, and
6the Director of the Department of Labor; the county board in
7the case of a county; the corporate authorities in the case of
8a municipality; and the appropriate body authorized to provide
9for expenditures of its funds in the case of any other unit of
10government.
11    (i) "Labor organization" means any organization in which
12public employees participate and that exists for the purpose,
13in whole or in part, of dealing with a public employer
14concerning wages, hours, and other terms and conditions of
15employment, including the settlement of grievances.
16    (i-5) "Legislative liaison" means a person who is an
17employee of a State agency, the Attorney General, the
18Secretary of State, the Comptroller, or the Treasurer, as the
19case may be, and whose job duties require the person to
20regularly communicate in the course of his or her employment
21with any official or staff of the General Assembly of the State
22of Illinois for the purpose of influencing any legislative
23action.
24    (j) "Managerial employee" means an individual who is
25engaged predominantly in executive and management functions
26and is charged with the responsibility of directing the

 

 

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1effectuation of management policies and practices.
2Determination of managerial employee status shall be based on
3actual employee job duties and not solely on written job
4descriptions. With respect only to State employees in
5positions under the jurisdiction of the Attorney General,
6Secretary of State, Comptroller, or Treasurer (i) that were
7certified in a bargaining unit on or after December 2, 2008,
8(ii) for which a petition is filed with the Illinois Public
9Labor Relations Board on or after April 5, 2013 (the effective
10date of Public Act 97-1172), or (iii) for which a petition is
11pending before the Illinois Public Labor Relations Board on
12that date, "managerial employee" means an individual who is
13engaged in executive and management functions or who is
14charged with the effectuation of management policies and
15practices or who represents management interests by taking or
16recommending discretionary actions that effectively control or
17implement policy. Nothing in this definition prohibits an
18individual from also meeting the definition of "supervisor"
19under subsection (r) of this Section.
20    (k) "Peace officer" means, for the purposes of this Act
21only, any persons who have been or are hereafter appointed to a
22police force, department, or agency and sworn or commissioned
23to perform police duties, except that the following persons
24are not included: part-time police officers, special police
25officers, auxiliary police as defined by Section 3.1-30-20 of
26the Illinois Municipal Code, night watchmen, "merchant

 

 

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1police", court security officers as defined by Section
23-6012.1 of the Counties Code, temporary employees, traffic
3guards or wardens, civilian parking meter and parking
4facilities personnel or other individuals specially appointed
5to aid or direct traffic at or near schools or public functions
6or to aid in civil defense or disaster, parking enforcement
7employees who are not commissioned as peace officers and who
8are not armed and who are not routinely expected to effect
9arrests, parking lot attendants, clerks and dispatchers or
10other civilian employees of a police department who are not
11routinely expected to effect arrests, or elected officials.
12    (l) "Person" includes one or more individuals, labor
13organizations, public employees, associations, corporations,
14legal representatives, trustees, trustees in bankruptcy,
15receivers, or the State of Illinois or any political
16subdivision of the State or governing body, but does not
17include the General Assembly of the State of Illinois or any
18individual employed by the General Assembly of the State of
19Illinois.
20    (m) "Professional employee" means any employee engaged in
21work predominantly intellectual and varied in character rather
22than routine mental, manual, mechanical or physical work;
23involving the consistent exercise of discretion and adjustment
24in its performance; of such a character that the output
25produced or the result accomplished cannot be standardized in
26relation to a given period of time; and requiring advanced

 

 

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1knowledge in a field of science or learning customarily
2acquired by a prolonged course of specialized intellectual
3instruction and study in an institution of higher learning or
4a hospital, as distinguished from a general academic education
5or from apprenticeship or from training in the performance of
6routine mental, manual, or physical processes; or any employee
7who has completed the courses of specialized intellectual
8instruction and study prescribed in this subsection (m) and is
9performing related work under the supervision of a
10professional person to qualify to become a professional
11employee as defined in this subsection (m).
12    (n) "Public employee" or "employee", for the purposes of
13this Act, means any individual employed by a public employer,
14including (i) interns and residents at public hospitals, (ii)
15as of July 16, 2003 (the effective date of Public Act 93-204),
16but not before, personal assistants working under the Home
17Services Program under Section 3 of the Rehabilitation of
18Persons with Disabilities Act, subject to the limitations set
19forth in this Act and in the Rehabilitation of Persons with
20Disabilities Act, (iii) as of January 1, 2006 (the effective
21date of Public Act 94-320), but not before, child and day care
22home providers participating in the child care assistance
23program under Section 9A-11 of the Illinois Public Aid Code,
24subject to the limitations set forth in this Act and in Section
259A-11 of the Illinois Public Aid Code, (iv) as of January 29,
262013 (the effective date of Public Act 97-1158), but not

 

 

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1before except as otherwise provided in this subsection (n),
2home care and home health workers who function as personal
3assistants and individual maintenance home health workers and
4who also work under the Home Services Program under Section 3
5of the Rehabilitation of Persons with Disabilities Act, no
6matter whether the State provides those services through
7direct fee-for-service arrangements, with the assistance of a
8managed care organization or other intermediary, or otherwise,
9(v) beginning on July 19, 2013 (the effective date of Public
10Act 98-100) and notwithstanding any other provision of this
11Act, any person employed by a public employer and who is
12classified as or who holds the employment title of Chief
13Stationary Engineer, Assistant Chief Stationary Engineer,
14Sewage Plant Operator, Water Plant Operator, Stationary
15Engineer, Plant Operating Engineer, and any other employee who
16holds the position of: Civil Engineer V, Civil Engineer VI,
17Civil Engineer VII, Technical Manager I, Technical Manager II,
18Technical Manager III, Technical Manager IV, Technical Manager
19V, Technical Manager VI, Realty Specialist III, Realty
20Specialist IV, Realty Specialist V, Technical Advisor I,
21Technical Advisor II, Technical Advisor III, Technical Advisor
22IV, or Technical Advisor V employed by the Department of
23Transportation who is in a position which is certified in a
24bargaining unit on or before July 19, 2013 (the effective date
25of Public Act 98-100), and (vi) beginning on July 19, 2013 (the
26effective date of Public Act 98-100) and notwithstanding any

 

 

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1other provision of this Act, any mental health administrator
2in the Department of Corrections who is classified as or who
3holds the position of Public Service Administrator (Option
48K), any employee of the Office of the Inspector General in the
5Department of Human Services who is classified as or who holds
6the position of Public Service Administrator (Option 7), any
7Deputy of Intelligence in the Department of Corrections who is
8classified as or who holds the position of Public Service
9Administrator (Option 7), and any employee of the Illinois
10State Police who handles issues concerning the Illinois State
11Police Sex Offender Registry and who is classified as or holds
12the position of Public Service Administrator (Option 7), but
13excluding all of the following: employees of the General
14Assembly of the State of Illinois; elected officials;
15executive heads of a department; members of boards or
16commissions; the Executive Inspectors General; any special
17Executive Inspectors General; employees of each Office of an
18Executive Inspector General; commissioners and employees of
19the Executive Ethics Commission; the Auditor General's
20Inspector General; employees of the Office of the Auditor
21General's Inspector General; the Legislative Inspector
22General; any special Legislative Inspectors General; employees
23of the Office of the Legislative Inspector General;
24commissioners and employees of the Legislative Ethics
25Commission; employees of any agency, board or commission
26created by this Act; employees appointed to State positions of

 

 

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1a temporary or emergency nature; all employees of school
2districts and higher education institutions except
3firefighters and peace officers employed by a state university
4and except peace officers employed by a school district in its
5own police department in existence on July 23, 2010 (the
6effective date of Public Act 96-1257); managerial employees;
7short-term employees; legislative liaisons; a person who is a
8State employee under the jurisdiction of the Office of the
9Attorney General who is licensed to practice law or whose
10position authorizes, either directly or indirectly, meaningful
11input into government decision-making on issues where there is
12room for principled disagreement on goals or their
13implementation; a person who is a State employee under the
14jurisdiction of the Office of the Comptroller who holds the
15position of Public Service Administrator or whose position is
16otherwise exempt under the Comptroller Merit Employment Code;
17a person who is a State employee under the jurisdiction of the
18Secretary of State who holds the position classification of
19Executive I or higher, whose position authorizes, either
20directly or indirectly, meaningful input into government
21decision-making on issues where there is room for principled
22disagreement on goals or their implementation, or who is
23otherwise exempt under the Secretary of State Merit Employment
24Code; employees in the Office of the Secretary of State who are
25completely exempt from jurisdiction B of the Secretary of
26State Merit Employment Code and who are in Rutan-exempt

 

 

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1positions on or after April 5, 2013 (the effective date of
2Public Act 97-1172); a person who is a State employee under the
3jurisdiction of the Treasurer who holds a position that is
4exempt from the State Treasurer Employment Code; any employee
5of a State agency who (i) holds the title or position of, or
6exercises substantially similar duties as a legislative
7liaison, Agency General Counsel, Agency Chief of Staff, Agency
8Executive Director, Agency Deputy Director, Agency Chief
9Fiscal Officer, Agency Human Resources Director, Public
10Information Officer, or Chief Information Officer and (ii) was
11neither included in a bargaining unit nor subject to an active
12petition for certification in a bargaining unit; any employee
13of a State agency who (i) is in a position that is
14Rutan-exempt, as designated by the employer, and completely
15exempt from jurisdiction B of the Personnel Code and (ii) was
16neither included in a bargaining unit nor subject to an active
17petition for certification in a bargaining unit; any term
18appointed employee of a State agency pursuant to Section 8b.18
19or 8b.19 of the Personnel Code who was neither included in a
20bargaining unit nor subject to an active petition for
21certification in a bargaining unit; any employment position
22properly designated pursuant to Section 6.1 of this Act;
23confidential employees; independent contractors; and
24supervisors except as provided in this Act.
25    Home care and home health workers who function as personal
26assistants and individual maintenance home health workers and

 

 

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1who also work under the Home Services Program under Section 3
2of the Rehabilitation of Persons with Disabilities Act shall
3not be considered public employees for any purposes not
4specifically provided for in Public Act 93-204 or Public Act
597-1158, including, but not limited to, purposes of vicarious
6liability in tort and purposes of statutory retirement or
7health insurance benefits. Home care and home health workers
8who function as personal assistants and individual maintenance
9home health workers and who also work under the Home Services
10Program under Section 3 of the Rehabilitation of Persons with
11Disabilities Act shall not be covered by the State Employees
12Group Insurance Act of 1971.
13    Child and day care home providers shall not be considered
14public employees for any purposes not specifically provided
15for in Public Act 94-320, including, but not limited to,
16purposes of vicarious liability in tort and purposes of
17statutory retirement or health insurance benefits. Child and
18day care home providers shall not be covered by the State
19Employees Group Insurance Act of 1971.
20    Notwithstanding Section 9, subsection (c), or any other
21provisions of this Act, all peace officers above the rank of
22captain in municipalities with more than 1,000,000 inhabitants
23shall be excluded from this Act.
24    (o) Except as otherwise in subsection (o-5), "public
25employer" or "employer" means the State of Illinois; any
26political subdivision of the State, unit of local government

 

 

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1or school district; authorities including departments,
2divisions, bureaus, boards, commissions, or other agencies of
3the foregoing entities; and any person acting within the scope
4of his or her authority, express or implied, on behalf of those
5entities in dealing with its employees. As of July 16, 2003
6(the effective date of Public Act 93-204), but not before, the
7State of Illinois shall be considered the employer of the
8personal assistants working under the Home Services Program
9under Section 3 of the Rehabilitation of Persons with
10Disabilities Act, subject to the limitations set forth in this
11Act and in the Rehabilitation of Persons with Disabilities
12Act. As of January 29, 2013 (the effective date of Public Act
1397-1158), but not before except as otherwise provided in this
14subsection (o), the State shall be considered the employer of
15home care and home health workers who function as personal
16assistants and individual maintenance home health workers and
17who also work under the Home Services Program under Section 3
18of the Rehabilitation of Persons with Disabilities Act, no
19matter whether the State provides those services through
20direct fee-for-service arrangements, with the assistance of a
21managed care organization or other intermediary, or otherwise,
22but subject to the limitations set forth in this Act and the
23Rehabilitation of Persons with Disabilities Act. The State
24shall not be considered to be the employer of home care and
25home health workers who function as personal assistants and
26individual maintenance home health workers and who also work

 

 

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1under the Home Services Program under Section 3 of the
2Rehabilitation of Persons with Disabilities Act, for any
3purposes not specifically provided for in Public Act 93-204 or
4Public Act 97-1158, including but not limited to, purposes of
5vicarious liability in tort and purposes of statutory
6retirement or health insurance benefits. Home care and home
7health workers who function as personal assistants and
8individual maintenance home health workers and who also work
9under the Home Services Program under Section 3 of the
10Rehabilitation of Persons with Disabilities Act shall not be
11covered by the State Employees Group Insurance Act of 1971. As
12of January 1, 2006 (the effective date of Public Act 94-320),
13but not before, the State of Illinois shall be considered the
14employer of the day and child care home providers
15participating in the child care assistance program under
16Section 9A-11 of the Illinois Public Aid Code, subject to the
17limitations set forth in this Act and in Section 9A-11 of the
18Illinois Public Aid Code. The State shall not be considered to
19be the employer of child and day care home providers for any
20purposes not specifically provided for in Public Act 94-320,
21including, but not limited to, purposes of vicarious liability
22in tort and purposes of statutory retirement or health
23insurance benefits. Child and day care home providers shall
24not be covered by the State Employees Group Insurance Act of
251971.
26    "Public employer" or "employer" as used in this Act,

 

 

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1however, does not mean and shall not include the General
2Assembly of the State of Illinois, the Executive Ethics
3Commission, the Offices of the Executive Inspectors General,
4the Legislative Ethics Commission, the Office of the
5Legislative Inspector General, the Office of the Auditor
6General's Inspector General, the Office of the Governor, the
7Governor's Office of Management and Budget, the Illinois
8Finance Authority, the Office of the Lieutenant Governor, the
9State Board of Elections, and educational employers or
10employers as defined in the Illinois Educational Labor
11Relations Act, except with respect to a state university in
12its employment of firefighters and peace officers and except
13with respect to a school district in the employment of peace
14officers in its own police department in existence on July 23,
152010 (the effective date of Public Act 96-1257). County boards
16and county sheriffs shall be designated as joint or
17co-employers of county peace officers appointed under the
18authority of a county sheriff. Nothing in this subsection (o)
19shall be construed to prevent the State Panel or the Local
20Panel from determining that employers are joint or
21co-employers.
22    (o-5) With respect to wages, fringe benefits, hours,
23holidays, vacations, proficiency examinations, sick leave, and
24other conditions of employment, the public employer of public
25employees who are court reporters, as defined in the Court
26Reporters Act, shall be determined as follows:

 

 

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1        (1) For court reporters employed by the Cook County
2    Judicial Circuit, the chief judge of the Cook County
3    Circuit Court is the public employer and employer
4    representative.
5        (2) For court reporters employed by the 12th, 18th,
6    19th, and, on and after December 4, 2006, the 22nd
7    judicial circuits, a group consisting of the chief judges
8    of those circuits, acting jointly by majority vote, is the
9    public employer and employer representative.
10        (3) For court reporters employed by all other judicial
11    circuits, a group consisting of the chief judges of those
12    circuits, acting jointly by majority vote, is the public
13    employer and employer representative.
14    (p) "Security employee" means an employee who is
15responsible for the supervision and control of inmates at
16correctional facilities. The term also includes other
17non-security employees in bargaining units having the majority
18of employees being responsible for the supervision and control
19of inmates at correctional facilities.
20    (q) "Short-term employee" means an employee who is
21employed for less than 2 consecutive calendar quarters during
22a calendar year and who does not have a reasonable assurance
23that he or she will be rehired by the same employer for the
24same service in a subsequent calendar year.
25    (q-5) "State agency" means an agency directly responsible
26to the Governor, as defined in Section 3.1 of the Executive

 

 

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1Reorganization Implementation Act, and the Illinois Commerce
2Commission, the Illinois Workers' Compensation Commission, the
3Civil Service Commission, the Pollution Control Board, the
4Illinois Racing Board, and the Illinois State Police Merit
5Board.
6    (r) "Supervisor" is:
7        (1) An employee whose principal work is substantially
8    different from that of his or her subordinates and who has
9    authority, in the interest of the employer, to hire,
10    transfer, suspend, lay off, recall, promote, discharge,
11    direct, reward, or discipline employees, to adjust their
12    grievances, or to effectively recommend any of those
13    actions, if the exercise of that authority is not of a
14    merely routine or clerical nature, but requires the
15    consistent use of independent judgment. Except with
16    respect to police employment, the term "supervisor"
17    includes only those individuals who devote a preponderance
18    of their employment time to exercising that authority,
19    State supervisors notwithstanding. Determinations of
20    supervisor status shall be based on actual employee job
21    duties and not solely on written job descriptions. Nothing
22    in this definition prohibits an individual from also
23    meeting the definition of "managerial employee" under
24    subsection (j) of this Section. In addition, in
25    determining supervisory status in police employment, rank
26    shall not be determinative. The Board shall consider, as

 

 

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1    evidence of bargaining unit inclusion or exclusion, the
2    common law enforcement policies and relationships between
3    police officer ranks and certification under applicable
4    civil service law, ordinances, personnel codes, or
5    Division 2.1 of Article 10 of the Illinois Municipal Code,
6    but these factors shall not be the sole or predominant
7    factors considered by the Board in determining police
8    supervisory status.
9        Notwithstanding the provisions of the preceding
10    paragraph, in determining supervisory status in fire
11    fighter employment, no fire fighter shall be excluded as a
12    supervisor who has established representation rights under
13    Section 9 of this Act. Further, in fire fighter units,
14    employees shall consist of fire fighters of the highest
15    rank of company officer and below. A company officer may
16    be responsible for multiple companies or apparatus on a
17    shift, multiple stations, or an entire shift. There may be
18    more than one company officer per shift. If a company
19    officer otherwise qualifies as a supervisor under the
20    preceding paragraph, however, he or she shall not be
21    included in the fire fighter unit. If there is no rank
22    between that of chief and the highest company officer, the
23    employer may designate a position on each shift as a Shift
24    Commander, and the persons occupying those positions shall
25    be supervisors. All other ranks above that of the highest
26    company officer shall be supervisors.

 

 

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1        (2) With respect only to State employees in positions
2    under the jurisdiction of the Attorney General, Secretary
3    of State, Comptroller, or Treasurer (i) that were
4    certified in a bargaining unit on or after December 2,
5    2008, (ii) for which a petition is filed with the Illinois
6    Public Labor Relations Board on or after April 5, 2013
7    (the effective date of Public Act 97-1172), or (iii) for
8    which a petition is pending before the Illinois Public
9    Labor Relations Board on that date, an employee who
10    qualifies as a supervisor under (A) Section 152 of the
11    National Labor Relations Act and (B) orders of the
12    National Labor Relations Board interpreting that provision
13    or decisions of courts reviewing decisions of the National
14    Labor Relations Board.
15    (s)(1) "Unit" means a class of jobs or positions that are
16held by employees whose collective interests may suitably be
17represented by a labor organization for collective bargaining.
18Except with respect to non-State fire fighters and paramedics
19employed by fire departments and fire protection districts,
20non-State peace officers, and peace officers in the Illinois
21State Police, a bargaining unit determined by the Board shall
22not include both employees and supervisors, or supervisors
23only, except as provided in paragraph (2) of this subsection
24(s) and except for bargaining units in existence on July 1,
251984 (the effective date of this Act). With respect to
26non-State fire fighters and paramedics employed by fire

 

 

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1departments and fire protection districts, non-State peace
2officers, and peace officers in the Illinois State Police, a
3bargaining unit determined by the Board shall not include both
4supervisors and nonsupervisors, or supervisors only, except as
5provided in paragraph (2) of this subsection (s) and except
6for bargaining units in existence on January 1, 1986 (the
7effective date of this amendatory Act of 1985). A bargaining
8unit determined by the Board to contain peace officers shall
9contain no employees other than peace officers unless
10otherwise agreed to by the employer and the labor organization
11or labor organizations involved. Notwithstanding any other
12provision of this Act, a bargaining unit, including a
13historical bargaining unit, containing sworn peace officers of
14the Department of Natural Resources (formerly designated the
15Department of Conservation) shall contain no employees other
16than such sworn peace officers upon the effective date of this
17amendatory Act of 1990 or upon the expiration date of any
18collective bargaining agreement in effect upon the effective
19date of this amendatory Act of 1990 covering both such sworn
20peace officers and other employees.
21    (2) Notwithstanding the exclusion of supervisors from
22bargaining units as provided in paragraph (1) of this
23subsection (s), a public employer may agree to permit its
24supervisory employees to form bargaining units and may bargain
25with those units. This Act shall apply if the public employer
26chooses to bargain under this subsection.

 

 

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1    (3) Public employees who are court reporters, as defined
2in the Court Reporters Act, shall be divided into 3 units for
3collective bargaining purposes. One unit shall be court
4reporters employed by the Cook County Judicial Circuit; one
5unit shall be court reporters employed by the 12th, 18th,
619th, and, on and after December 4, 2006, the 22nd judicial
7circuits; and one unit shall be court reporters employed by
8all other judicial circuits.
9    (t) "Active petition for certification in a bargaining
10unit" means a petition for certification filed with the Board
11under one of the following case numbers: S-RC-11-110;
12S-RC-11-098; S-UC-11-080; S-RC-11-086; S-RC-11-074;
13S-RC-11-076; S-RC-11-078; S-UC-11-052; S-UC-11-054;
14S-RC-11-062; S-RC-11-060; S-RC-11-042; S-RC-11-014;
15S-RC-11-016; S-RC-11-020; S-RC-11-030; S-RC-11-004;
16S-RC-10-244; S-RC-10-228; S-RC-10-222; S-RC-10-220;
17S-RC-10-214; S-RC-10-196; S-RC-10-194; S-RC-10-178;
18S-RC-10-176; S-RC-10-162; S-RC-10-156; S-RC-10-088;
19S-RC-10-074; S-RC-10-076; S-RC-10-078; S-RC-10-060;
20S-RC-10-070; S-RC-10-044; S-RC-10-038; S-RC-10-040;
21S-RC-10-042; S-RC-10-018; S-RC-10-024; S-RC-10-004;
22S-RC-10-006; S-RC-10-008; S-RC-10-010; S-RC-10-012;
23S-RC-09-202; S-RC-09-182; S-RC-09-180; S-RC-09-156;
24S-UC-09-196; S-UC-09-182; S-RC-08-130; S-RC-07-110; or
25S-RC-07-100.
26(Source: P.A. 102-151, eff. 7-23-21; 102-538, eff. 8-20-21;

 

 

HB5373- 24 -LRB104 20029 AAS 33480 b

1102-686, eff. 6-1-22; 102-813, eff. 5-13-22; 103-154, eff.
26-30-23.)
 
3    (Text of Section after amendment by P.A. 104-118)
4    Sec. 3. Definitions. As used in this Act, unless the
5context otherwise requires:
6    (a) "Board" means the Illinois Labor Relations Board or,
7with respect to a matter over which the jurisdiction of the
8Board is assigned to the State Panel or the Local Panel under
9Section 5, the panel having jurisdiction over the matter.
10    (b) "Collective bargaining" means bargaining over terms
11and conditions of employment, including hours, wages, and
12other conditions of employment, as detailed in Section 7 and
13which are not excluded by Section 4.
14    (c) "Confidential employee" means an employee who, in the
15regular course of his or her duties, assists and acts in a
16confidential capacity to persons who formulate, determine, and
17effectuate management policies with regard to labor relations
18or who, in the regular course of his or her duties, has
19authorized access to information relating to the effectuation
20or review of the employer's collective bargaining policies.
21Determinations of confidential employee status shall be based
22on actual employee job duties and not solely on written job
23descriptions.
24    (d) "Craft employees" means skilled journeymen, crafts
25persons, and their apprentices and helpers.

 

 

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1    (e) "Essential services employees" means those public
2employees performing functions so essential that the
3interruption or termination of the function will constitute a
4clear and present danger to the health and safety of the
5persons in the affected community.
6    (f) "Exclusive representative", except with respect to
7non-State fire fighters and paramedics employed by fire
8departments and fire protection districts, non-State peace
9officers, and peace officers in the Illinois State Police,
10means the labor organization that has been (i) designated by
11the Board as the representative of a majority of public
12employees in an appropriate bargaining unit in accordance with
13the procedures contained in this Act; (ii) historically
14recognized by the State of Illinois or any political
15subdivision of the State before July 1, 1984 (the effective
16date of this Act) as the exclusive representative of the
17employees in an appropriate bargaining unit; (iii) after July
181, 1984 (the effective date of this Act) recognized by an
19employer upon evidence, acceptable to the Board, that the
20labor organization has been designated as the exclusive
21representative by a majority of the employees in an
22appropriate bargaining unit; (iv) recognized as the exclusive
23representative of personal assistants under Executive Order
242003-8 prior to July 16, 2003 (the effective date of Public Act
2593-204), and the organization shall be considered to be the
26exclusive representative of the personal assistants as defined

 

 

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1in this Section; or (v) recognized as the exclusive
2representative of child and day care home providers, including
3licensed and license exempt providers, pursuant to an election
4held under Executive Order 2005-1 prior to January 1, 2006
5(the effective date of Public Act 94-320), and the
6organization shall be considered to be the exclusive
7representative of the child and day care home providers as
8defined in this Section.
9    With respect to non-State fire fighters and paramedics
10employed by fire departments and fire protection districts,
11non-State peace officers, and peace officers in the Illinois
12State Police, "exclusive representative" means the labor
13organization that has been (i) designated by the Board as the
14representative of a majority of peace officers or fire
15fighters in an appropriate bargaining unit in accordance with
16the procedures contained in this Act, (ii) historically
17recognized by the State of Illinois or any political
18subdivision of the State before January 1, 1986 (the effective
19date of this amendatory Act of 1985) as the exclusive
20representative by a majority of the peace officers or fire
21fighters in an appropriate bargaining unit, or (iii) after
22January 1, 1986 (the effective date of this amendatory Act of
231985) recognized by an employer upon evidence, acceptable to
24the Board, that the labor organization has been designated as
25the exclusive representative by a majority of the peace
26officers or fire fighters in an appropriate bargaining unit.

 

 

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1    Where a historical pattern of representation exists for
2the workers of a water system that was owned by a public
3utility, as defined in Section 3-105 of the Public Utilities
4Act, prior to becoming certified employees of a municipality
5or municipalities once the municipality or municipalities have
6acquired the water system as authorized in Section 11-124-5 of
7the Illinois Municipal Code, the Board shall find the labor
8organization that has historically represented the workers to
9be the exclusive representative under this Act, and shall find
10the unit represented by the exclusive representative to be the
11appropriate unit.
12    (g) "Fair share agreement" means an agreement between the
13employer and an employee organization under which all or any
14of the employees in a collective bargaining unit are required
15to pay their proportionate share of the costs of the
16collective bargaining process, contract administration, and
17pursuing matters affecting wages, hours, and other conditions
18of employment, but not to exceed the amount of dues uniformly
19required of members. The amount certified by the exclusive
20representative shall not include any fees for contributions
21related to the election or support of any candidate for
22political office. Nothing in this subsection (g) shall
23preclude an employee from making voluntary political
24contributions in conjunction with his or her fair share
25payment.
26    (g-1) "Fire fighter" means, for the purposes of this Act

 

 

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1only, any person who has been or is hereafter appointed to a
2fire department or fire protection district or employed by a
3state university and sworn or commissioned to perform fire
4fighter duties or paramedic duties, including paramedics
5employed by a unit of local government, except that the
6following persons are not included: part-time fire fighters,
7auxiliary, reserve or voluntary fire fighters, including paid
8on-call fire fighters, clerks and dispatchers or other
9civilian employees of a fire department or fire protection
10district who are not routinely expected to perform fire
11fighter duties, or elected officials.
12    (g-2) "General Assembly of the State of Illinois" means
13the legislative branch of the government of the State of
14Illinois, as provided for under Article IV of the Constitution
15of the State of Illinois, and includes, but is not limited to,
16the House of Representatives, the Senate, the Speaker of the
17House of Representatives, the Minority Leader of the House of
18Representatives, the President of the Senate, the Minority
19Leader of the Senate, the Joint Committee on Legislative
20Support Services, and any legislative support services agency
21listed in the Legislative Commission Reorganization Act of
221984.
23    (h) "Governing body" means, in the case of the State, the
24State Panel of the Illinois Labor Relations Board, the
25Director of the Department of Central Management Services, and
26the Director of the Department of Labor; the county board in

 

 

HB5373- 29 -LRB104 20029 AAS 33480 b

1the case of a county; the corporate authorities in the case of
2a municipality; and the appropriate body authorized to provide
3for expenditures of its funds in the case of any other unit of
4government.
5    (i) "Labor organization" means any organization in which
6public employees participate and that exists for the purpose,
7in whole or in part, of dealing with a public employer
8concerning wages, hours, and other terms and conditions of
9employment, including the settlement of grievances.
10    (i-5) "Legislative liaison" means a person who is an
11employee of a State agency, the Attorney General, the
12Secretary of State, the Comptroller, or the Treasurer, as the
13case may be, and whose job duties require the person to
14regularly communicate in the course of his or her employment
15with any official or staff of the General Assembly of the State
16of Illinois for the purpose of influencing any legislative
17action.
18    (j) "Managerial employee" means an individual who is
19engaged predominantly in executive and management functions
20and is charged with the responsibility of directing the
21effectuation of management policies and practices.
22Determination of managerial employee status shall be based on
23actual employee job duties and not solely on written job
24descriptions. With respect only to State employees in
25positions under the jurisdiction of the Attorney General,
26Secretary of State, Comptroller, or Treasurer (i) that were

 

 

HB5373- 30 -LRB104 20029 AAS 33480 b

1certified in a bargaining unit on or after December 2, 2008,
2(ii) for which a petition is filed with the Illinois Public
3Labor Relations Board on or after April 5, 2013 (the effective
4date of Public Act 97-1172), or (iii) for which a petition is
5pending before the Illinois Public Labor Relations Board on
6that date, "managerial employee" means an individual who is
7engaged in executive and management functions or who is
8charged with the effectuation of management policies and
9practices or who represents management interests by taking or
10recommending discretionary actions that effectively control or
11implement policy. On and after the effective date of this
12amendatory Act of the 104th General Assembly, "managerial
13employee" includes the individual designated or appointed by a
14sheriff as the undersheriff or chief deputy to fill a vacancy
15under Section 3-3010 of the Counties Code and the individual
16serving as the superintendent of the jail under Section 3 of
17the County Jail Act, unless the sheriff and the relevant union
18have mutually agreed otherwise or the individual is already
19otherwise recognized under subsection (c) of Section 9 or any
20other provision of this Act. Nothing in this definition
21prohibits an individual from also meeting the definition of
22"supervisor" under subsection (r) of this Section.
23    (k) "Peace officer" means, for the purposes of this Act
24only, any persons who have been or are hereafter appointed to a
25police force, department, or agency and sworn or commissioned
26to perform police duties, except that the following persons

 

 

HB5373- 31 -LRB104 20029 AAS 33480 b

1are not included: part-time police officers, special police
2officers, auxiliary police as defined by Section 3.1-30-20 of
3the Illinois Municipal Code, night watchmen, "merchant
4police", court security officers as defined by Section
53-6012.1 of the Counties Code, temporary employees, traffic
6guards or wardens, civilian parking meter and parking
7facilities personnel or other individuals specially appointed
8to aid or direct traffic at or near schools or public functions
9or to aid in civil defense or disaster, parking enforcement
10employees who are not commissioned as peace officers and who
11are not armed and who are not routinely expected to effect
12arrests, parking lot attendants, clerks and dispatchers or
13other civilian employees of a police department who are not
14routinely expected to effect arrests, or elected officials.
15    (l) "Person" includes one or more individuals, labor
16organizations, public employees, associations, corporations,
17legal representatives, trustees, trustees in bankruptcy,
18receivers, or the State of Illinois or any political
19subdivision of the State or governing body, but does not
20include the General Assembly of the State of Illinois or any
21individual employed by the General Assembly of the State of
22Illinois.
23    (m) "Professional employee" means any employee engaged in
24work predominantly intellectual and varied in character rather
25than routine mental, manual, mechanical or physical work;
26involving the consistent exercise of discretion and adjustment

 

 

HB5373- 32 -LRB104 20029 AAS 33480 b

1in its performance; of such a character that the output
2produced or the result accomplished cannot be standardized in
3relation to a given period of time; and requiring advanced
4knowledge in a field of science or learning customarily
5acquired by a prolonged course of specialized intellectual
6instruction and study in an institution of higher learning or
7a hospital, as distinguished from a general academic education
8or from apprenticeship or from training in the performance of
9routine mental, manual, or physical processes; or any employee
10who has completed the courses of specialized intellectual
11instruction and study prescribed in this subsection (m) and is
12performing related work under the supervision of a
13professional person to qualify to become a professional
14employee as defined in this subsection (m).
15    (n) "Public employee" or "employee", for the purposes of
16this Act, means any individual employed by a public employer,
17including (i) interns and residents at public hospitals, (ii)
18as of July 16, 2003 (the effective date of Public Act 93-204),
19but not before, personal assistants working under the Home
20Services Program under Section 3 of the Rehabilitation of
21Persons with Disabilities Act, subject to the limitations set
22forth in this Act and in the Rehabilitation of Persons with
23Disabilities Act, (iii) as of January 1, 2006 (the effective
24date of Public Act 94-320), but not before, child and day care
25home providers participating in the child care assistance
26program under Section 9A-11 of the Illinois Public Aid Code,

 

 

HB5373- 33 -LRB104 20029 AAS 33480 b

1subject to the limitations set forth in this Act and in Section
29A-11 of the Illinois Public Aid Code, (iv) as of January 29,
32013 (the effective date of Public Act 97-1158), but not
4before except as otherwise provided in this subsection (n),
5home care and home health workers who function as personal
6assistants and individual maintenance home health workers and
7who also work under the Home Services Program under Section 3
8of the Rehabilitation of Persons with Disabilities Act, no
9matter whether the State provides those services through
10direct fee-for-service arrangements, with the assistance of a
11managed care organization or other intermediary, or otherwise,
12(v) beginning on July 19, 2013 (the effective date of Public
13Act 98-100) and notwithstanding any other provision of this
14Act, any person employed by a public employer and who is
15classified as or who holds the employment title of Chief
16Stationary Engineer, Assistant Chief Stationary Engineer,
17Sewage Plant Operator, Water Plant Operator, Stationary
18Engineer, Plant Operating Engineer, and any other employee who
19holds the position of: Civil Engineer V, Civil Engineer VI,
20Civil Engineer VII, Technical Manager I, Technical Manager II,
21Technical Manager III, Technical Manager IV, Technical Manager
22V, Technical Manager VI, Realty Specialist III, Realty
23Specialist IV, Realty Specialist V, Technical Advisor I,
24Technical Advisor II, Technical Advisor III, Technical Advisor
25IV, or Technical Advisor V employed by the Department of
26Transportation who is in a position which is certified in a

 

 

HB5373- 34 -LRB104 20029 AAS 33480 b

1bargaining unit on or before July 19, 2013 (the effective date
2of Public Act 98-100), and (vi) beginning on July 19, 2013 (the
3effective date of Public Act 98-100) and notwithstanding any
4other provision of this Act, any mental health administrator
5in the Department of Corrections who is classified as or who
6holds the position of Public Service Administrator (Option
78K), any employee of the Office of the Inspector General in the
8Department of Human Services who is classified as or who holds
9the position of Public Service Administrator (Option 7), any
10Deputy of Intelligence in the Department of Corrections who is
11classified as or who holds the position of Public Service
12Administrator (Option 7), and any employee of the Illinois
13State Police who handles issues concerning the Illinois State
14Police Sex Offender Registry and who is classified as or holds
15the position of Public Service Administrator (Option 7), but
16excluding all of the following: employees of the General
17Assembly of the State of Illinois; elected officials;
18executive heads of a department; members of boards or
19commissions; the Executive Inspectors General; any special
20Executive Inspectors General; employees of each Office of an
21Executive Inspector General; commissioners and employees of
22the Executive Ethics Commission; the Auditor General's
23Inspector General; employees of the Office of the Auditor
24General's Inspector General; the Legislative Inspector
25General; any special Legislative Inspectors General; employees
26of the Office of the Legislative Inspector General;

 

 

HB5373- 35 -LRB104 20029 AAS 33480 b

1commissioners and employees of the Legislative Ethics
2Commission; employees of any agency, board or commission
3created by this Act; employees appointed to State positions of
4a temporary or emergency nature; all employees of school
5districts and higher education institutions except
6firefighters and peace officers employed by a state university
7and except peace officers employed by a school district in its
8own police department in existence on July 23, 2010 (the
9effective date of Public Act 96-1257); managerial employees;
10short-term employees; legislative liaisons; a person who is a
11State employee under the jurisdiction of the Office of the
12Attorney General who is licensed to practice law or whose
13position authorizes, either directly or indirectly, meaningful
14input into government decision-making on issues where there is
15room for principled disagreement on goals or their
16implementation; a person who is a State employee under the
17jurisdiction of the Office of the Comptroller who holds the
18position of Public Service Administrator or whose position is
19otherwise exempt under the Comptroller Merit Employment Code;
20a person who is a State employee under the jurisdiction of the
21Secretary of State who holds the position classification of
22Executive I or higher, whose position authorizes, either
23directly or indirectly, meaningful input into government
24decision-making on issues where there is room for principled
25disagreement on goals or their implementation, or who is
26otherwise exempt under the Secretary of State Merit Employment

 

 

HB5373- 36 -LRB104 20029 AAS 33480 b

1Code; employees in the Office of the Secretary of State who are
2completely exempt from jurisdiction B of the Secretary of
3State Merit Employment Code and who are in Rutan-exempt
4positions on or after April 5, 2013 (the effective date of
5Public Act 97-1172); a person who is a State employee under the
6jurisdiction of the Treasurer who holds a position that is
7exempt from the State Treasurer Employment Code; any employee
8of a State agency who (i) holds the title or position of, or
9exercises substantially similar duties as a legislative
10liaison, Agency General Counsel, Agency Chief of Staff, Agency
11Executive Director, Agency Deputy Director, Agency Chief
12Fiscal Officer, Agency Human Resources Director, Public
13Information Officer, or Chief Information Officer and (ii) was
14neither included in a bargaining unit nor subject to an active
15petition for certification in a bargaining unit; any employee
16of a State agency who (i) is in a position that is
17Rutan-exempt, as designated by the employer, and completely
18exempt from jurisdiction B of the Personnel Code and (ii) was
19neither included in a bargaining unit nor subject to an active
20petition for certification in a bargaining unit; any term
21appointed employee of a State agency pursuant to Section 8b.18
22or 8b.19 of the Personnel Code who was neither included in a
23bargaining unit nor subject to an active petition for
24certification in a bargaining unit; any employment position
25properly designated pursuant to Section 6.1 of this Act;
26confidential employees; independent contractors; and

 

 

HB5373- 37 -LRB104 20029 AAS 33480 b

1supervisors except as provided in this Act.
2    Home care and home health workers who function as personal
3assistants and individual maintenance home health workers and
4who also work under the Home Services Program under Section 3
5of the Rehabilitation of Persons with Disabilities Act shall
6not be considered public employees for any purposes not
7specifically provided for in Public Act 93-204 or Public Act
897-1158, including, but not limited to, purposes of vicarious
9liability in tort and purposes of statutory retirement or
10health insurance benefits. Home care and home health workers
11who function as personal assistants and individual maintenance
12home health workers and who also work under the Home Services
13Program under Section 3 of the Rehabilitation of Persons with
14Disabilities Act shall not be covered by the State Employees
15Group Insurance Act of 1971.
16    Child and day care home providers shall not be considered
17public employees for any purposes not specifically provided
18for in Public Act 94-320, including, but not limited to,
19purposes of vicarious liability in tort and purposes of
20statutory retirement or health insurance benefits. Child and
21day care home providers shall not be covered by the State
22Employees Group Insurance Act of 1971.
23    Notwithstanding Section 9, subsection (c), or any other
24provisions of this Act, all peace officers above the rank of
25captain in municipalities with more than 1,000,000 inhabitants
26shall be excluded from this Act.

 

 

HB5373- 38 -LRB104 20029 AAS 33480 b

1    (o) Except as otherwise in subsection (o-5), "public
2employer" or "employer" means the State of Illinois; any
3political subdivision of the State, unit of local government
4or school district; authorities including departments,
5divisions, bureaus, boards, commissions, or other agencies of
6the foregoing entities; and any person acting within the scope
7of his or her authority, express or implied, on behalf of those
8entities in dealing with its employees. As of July 16, 2003
9(the effective date of Public Act 93-204), but not before, the
10State of Illinois shall be considered the employer of the
11personal assistants working under the Home Services Program
12under Section 3 of the Rehabilitation of Persons with
13Disabilities Act, subject to the limitations set forth in this
14Act and in the Rehabilitation of Persons with Disabilities
15Act. As of January 29, 2013 (the effective date of Public Act
1697-1158), but not before except as otherwise provided in this
17subsection (o), the State shall be considered the employer of
18home care and home health workers who function as personal
19assistants and individual maintenance home health workers and
20who also work under the Home Services Program under Section 3
21of the Rehabilitation of Persons with Disabilities Act, no
22matter whether the State provides those services through
23direct fee-for-service arrangements, with the assistance of a
24managed care organization or other intermediary, or otherwise,
25but subject to the limitations set forth in this Act and the
26Rehabilitation of Persons with Disabilities Act. The State

 

 

HB5373- 39 -LRB104 20029 AAS 33480 b

1shall not be considered to be the employer of home care and
2home health workers who function as personal assistants and
3individual maintenance home health workers and who also work
4under the Home Services Program under Section 3 of the
5Rehabilitation of Persons with Disabilities Act, for any
6purposes not specifically provided for in Public Act 93-204 or
7Public Act 97-1158, including but not limited to, purposes of
8vicarious liability in tort and purposes of statutory
9retirement or health insurance benefits. Home care and home
10health workers who function as personal assistants and
11individual maintenance home health workers and who also work
12under the Home Services Program under Section 3 of the
13Rehabilitation of Persons with Disabilities Act shall not be
14covered by the State Employees Group Insurance Act of 1971. As
15of January 1, 2006 (the effective date of Public Act 94-320),
16but not before, the State of Illinois shall be considered the
17employer of the day and child care home providers
18participating in the child care assistance program under
19Section 9A-11 of the Illinois Public Aid Code, subject to the
20limitations set forth in this Act and in Section 9A-11 of the
21Illinois Public Aid Code. The State shall not be considered to
22be the employer of child and day care home providers for any
23purposes not specifically provided for in Public Act 94-320,
24including, but not limited to, purposes of vicarious liability
25in tort and purposes of statutory retirement or health
26insurance benefits. Child and day care home providers shall

 

 

HB5373- 40 -LRB104 20029 AAS 33480 b

1not be covered by the State Employees Group Insurance Act of
21971.
3    "Public employer" or "employer" as used in this Act,
4however, does not mean and shall not include the General
5Assembly of the State of Illinois, the Executive Ethics
6Commission, the Offices of the Executive Inspectors General,
7the Legislative Ethics Commission, the Office of the
8Legislative Inspector General, the Office of the Auditor
9General's Inspector General, the Office of the Governor, the
10Governor's Office of Management and Budget, the Illinois
11Finance Authority, the Office of the Lieutenant Governor, the
12State Board of Elections, and educational employers or
13employers as defined in the Illinois Educational Labor
14Relations Act, except with respect to a state university in
15its employment of firefighters and peace officers and except
16with respect to a school district in the employment of peace
17officers in its own police department in existence on July 23,
182010 (the effective date of Public Act 96-1257). County boards
19and county sheriffs shall be designated as joint or
20co-employers of county peace officers appointed under the
21authority of a county sheriff. Nothing in this subsection (o)
22shall be construed to prevent the State Panel or the Local
23Panel from determining that employers are joint or
24co-employers.
25    (o-5) With respect to wages, fringe benefits, hours,
26holidays, vacations, proficiency examinations, sick leave, and

 

 

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1other conditions of employment, the public employer of public
2employees who are court reporters, as defined in the Court
3Reporters Act, shall be determined as follows:
4        (1) For court reporters employed by the Cook County
5    Judicial Circuit, the chief judge of the Cook County
6    Circuit Court is the public employer and employer
7    representative.
8        (2) For court reporters employed by the 12th, 18th,
9    19th, and, on and after December 4, 2006, the 22nd
10    judicial circuits, a group consisting of the chief judges
11    of those circuits, acting jointly by majority vote, is the
12    public employer and employer representative.
13        (3) For court reporters employed by all other judicial
14    circuits, a group consisting of the chief judges of those
15    circuits, acting jointly by majority vote, is the public
16    employer and employer representative.
17    (p) "Security employee" means an employee who is
18responsible for the supervision and control of inmates at
19correctional facilities. The term also includes other
20non-security employees in bargaining units having the majority
21of employees being responsible for the supervision and control
22of inmates at correctional facilities.
23    (q) "Short-term employee" means an employee who is
24employed for less than 2 consecutive calendar quarters during
25a calendar year and who does not have a reasonable assurance
26that he or she will be rehired by the same employer for the

 

 

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1same service in a subsequent calendar year.
2    (q-5) "State agency" means an agency directly responsible
3to the Governor, as defined in Section 3.1 of the Executive
4Reorganization Implementation Act, and the Illinois Commerce
5Commission, the Illinois Workers' Compensation Commission, the
6Civil Service Commission, the Pollution Control Board, the
7Illinois Racing Board, and the Illinois State Police Merit
8Board.
9    (r) "Supervisor" is:
10        (1) An employee whose principal work is substantially
11    different from that of his or her subordinates and who has
12    authority, in the interest of the employer, to hire,
13    transfer, suspend, lay off, recall, promote, discharge,
14    direct, reward, or discipline employees, to adjust their
15    grievances, or to effectively recommend any of those
16    actions, if the exercise of that authority is not of a
17    merely routine or clerical nature, but requires the
18    consistent use of independent judgment. Except with
19    respect to police employment, the term "supervisor"
20    includes only those individuals who devote a preponderance
21    of their employment time to exercising that authority,
22    State supervisors notwithstanding. Determinations of
23    supervisor status shall be based on actual employee job
24    duties and not solely on written job descriptions. Nothing
25    in this definition prohibits an individual from also
26    meeting the definition of "managerial employee" under

 

 

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1    subsection (j) of this Section. In addition, in
2    determining supervisory status in police employment, rank
3    shall not be determinative. The Board shall consider, as
4    evidence of bargaining unit inclusion or exclusion, the
5    common law enforcement policies and relationships between
6    police officer ranks and certification under applicable
7    civil service law, ordinances, personnel codes, or
8    Division 2.1 of Article 10 of the Illinois Municipal Code,
9    but these factors shall not be the sole or predominant
10    factors considered by the Board in determining police
11    supervisory status.
12        Notwithstanding the provisions of the preceding
13    paragraph, in determining supervisory status in fire
14    fighter employment, no fire fighter shall be excluded as a
15    supervisor who has established representation rights under
16    Section 9 of this Act. Further, in fire fighter units,
17    employees shall consist of fire fighters of the highest
18    rank of company officer and below. A company officer may
19    be responsible for multiple companies or apparatus on a
20    shift, multiple stations, or an entire shift. There may be
21    more than one company officer per shift. If a company
22    officer otherwise qualifies as a supervisor under the
23    preceding paragraph, however, he or she shall not be
24    included in the fire fighter unit. If there is no rank
25    between that of chief and the highest company officer, the
26    employer may designate a position on each shift as a Shift

 

 

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1    Commander, and the persons occupying those positions shall
2    be supervisors. All other ranks above that of the highest
3    company officer shall be supervisors.
4        (2) With respect only to State employees in positions
5    under the jurisdiction of the Attorney General, Secretary
6    of State, Comptroller, or Treasurer (i) that were
7    certified in a bargaining unit on or after December 2,
8    2008, (ii) for which a petition is filed with the Illinois
9    Public Labor Relations Board on or after April 5, 2013
10    (the effective date of Public Act 97-1172), or (iii) for
11    which a petition is pending before the Illinois Public
12    Labor Relations Board on that date, an employee who
13    qualifies as a supervisor under (A) Section 152 of the
14    National Labor Relations Act and (B) orders of the
15    National Labor Relations Board interpreting that provision
16    or decisions of courts reviewing decisions of the National
17    Labor Relations Board.
18        (3) With respect to a police officer, other than a
19    police officer employed by the Illinois State Police, any
20    officer in a permanent rank for which the police officer
21    is appointed. For municipal police officers, "in a
22    permanent rank" shall mean those not subject to
23    promotional testing pursuant to Division 1 or Division 2.1
24    of the Illinois Municipal Code. The position or rank
25    immediately below that of Chief, whether occupied by a
26    person or persons in appointed positions or a tested rank

 

 

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1    shall also be considered supervisors unless that rank is
2    that of patrol officer. An appointment of duties in which
3    the tested permanent rank does not change shall not be
4    considered the appointment of a supervisor under this
5    definition.
6        (4) With respect to a police officer for the State
7    Police, any rank of Major or above.
8    Notwithstanding the provisions of paragraph (1) of
9subsection (r), "supervisor" does not include (1) a police
10officer excluded from the definition of "supervisor" by a
11collective bargaining agreement, (2) a police officer who is
12in a rank for which the police officer must complete a written
13test pursuant to Division 1 or Division 2.1 of the Illinois
14Municipal Code in order to be employed in that rank, (3) a
15police officer who is in a position or rank that has been
16voluntarily recognized as covered by a collective bargaining
17agreement by the employer, or (4) a police officer who is in a
18position or rank that has been historically covered by a
19collective bargaining agreement. However, these exclusions
20from the definition of "supervisor" only apply in this Act for
21the purposes of supervisory collective bargaining purposes
22only. Employees occupying supervisory bargaining ranks shall
23still be required to perform supervisory functions as outlined
24in paragraph (1) of subsection (r) and be held accountable for
25failure to perform supervisory functions.
26    (s)(1) "Unit" means a class of jobs or positions that are

 

 

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1held by employees whose collective interests may suitably be
2represented by a labor organization for collective bargaining.
3Except with respect to non-State fire fighters and paramedics
4employed by fire departments and fire protection districts,
5non-State peace officers, and peace officers in the Illinois
6State Police, a bargaining unit determined by the Board shall
7not include both employees and supervisors, or supervisors
8only, except as provided in paragraph (2) of this subsection
9(s) and except for bargaining units in existence on July 1,
101984 (the effective date of this Act). With respect to
11non-State fire fighters and paramedics employed by fire
12departments and fire protection districts, non-State peace
13officers, and peace officers in the Illinois State Police, a
14bargaining unit determined by the Board shall not include both
15supervisors and nonsupervisors, or supervisors only, except as
16provided in paragraph (2) of this subsection (s) and except
17for bargaining units in existence on January 1, 1986 (the
18effective date of this amendatory Act of 1985). A bargaining
19unit determined by the Board to contain peace officers shall
20contain no employees other than peace officers unless
21otherwise agreed to by the employer and the labor organization
22or labor organizations involved. Notwithstanding any other
23provision of this Act, a bargaining unit, including a
24historical bargaining unit, containing sworn peace officers of
25the Department of Natural Resources (formerly designated the
26Department of Conservation) shall contain no employees other

 

 

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1than such sworn peace officers upon the effective date of this
2amendatory Act of 1990 or upon the expiration date of any
3collective bargaining agreement in effect upon the effective
4date of this amendatory Act of 1990 covering both such sworn
5peace officers and other employees.
6    (2) Notwithstanding the exclusion of supervisors from
7bargaining units as provided in paragraph (1) of this
8subsection (s), a public employer may agree to permit its
9supervisory employees to form bargaining units and may bargain
10with those units. This Act shall apply if the public employer
11chooses to bargain under this subsection.
12    (3) Public employees who are court reporters, as defined
13in the Court Reporters Act, shall be divided into 3 units for
14collective bargaining purposes. One unit shall be court
15reporters employed by the Cook County Judicial Circuit; one
16unit shall be court reporters employed by the 12th, 18th,
1719th, and, on and after December 4, 2006, the 22nd judicial
18circuits; and one unit shall be court reporters employed by
19all other judicial circuits.
20    (t) "Active petition for certification in a bargaining
21unit" means a petition for certification filed with the Board
22under one of the following case numbers: S-RC-11-110;
23S-RC-11-098; S-UC-11-080; S-RC-11-086; S-RC-11-074;
24S-RC-11-076; S-RC-11-078; S-UC-11-052; S-UC-11-054;
25S-RC-11-062; S-RC-11-060; S-RC-11-042; S-RC-11-014;
26S-RC-11-016; S-RC-11-020; S-RC-11-030; S-RC-11-004;

 

 

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1S-RC-10-244; S-RC-10-228; S-RC-10-222; S-RC-10-220;
2S-RC-10-214; S-RC-10-196; S-RC-10-194; S-RC-10-178;
3S-RC-10-176; S-RC-10-162; S-RC-10-156; S-RC-10-088;
4S-RC-10-074; S-RC-10-076; S-RC-10-078; S-RC-10-060;
5S-RC-10-070; S-RC-10-044; S-RC-10-038; S-RC-10-040;
6S-RC-10-042; S-RC-10-018; S-RC-10-024; S-RC-10-004;
7S-RC-10-006; S-RC-10-008; S-RC-10-010; S-RC-10-012;
8S-RC-09-202; S-RC-09-182; S-RC-09-180; S-RC-09-156;
9S-UC-09-196; S-UC-09-182; S-RC-08-130; S-RC-07-110; or
10S-RC-07-100.
11(Source: P.A. 103-154, eff. 6-30-23; 104-118, eff. 7-1-26.)
 
12    (5 ILCS 315/7)  (from Ch. 48, par. 1607)
13    Sec. 7. Duty to bargain. A public employer and the
14exclusive representative have the authority and the duty to
15bargain collectively set forth in this Section.
16    For the purposes of this Act, "to bargain collectively"
17means the performance of the mutual obligation of the public
18employer or his designated representative and the
19representative of the public employees to meet at reasonable
20times, including meetings in advance of the budget-making
21process, and to negotiate in good faith with respect to wages,
22hours, and other conditions of employment, not excluded by
23Section 4 of this Act, or the negotiation of an agreement, or
24any question arising thereunder and the execution of a written
25contract incorporating any agreement reached if requested by

 

 

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1either party, but such obligation does not compel either party
2to agree to a proposal or require the making of a concession.
3    The duty "to bargain collectively" shall also include an
4obligation to negotiate over any matter with respect to wages,
5hours and other conditions of employment, not specifically
6provided for in any other law or not specifically in violation
7of the provisions of any law. If any other law pertains, in
8part, to a matter affecting the wages, hours and other
9conditions of employment, such other law shall not be
10construed as limiting the duty "to bargain collectively" and
11to enter into collective bargaining agreements containing
12clauses which either supplement, implement, or relate to the
13effect of such provisions in other laws.
14    The duty "to bargain collectively" shall also include
15negotiations as to the terms of a collective bargaining
16agreement. The parties may, by mutual agreement, provide for
17arbitration of impasses resulting from their inability to
18agree upon wages, hours and terms and conditions of employment
19to be included in a collective bargaining agreement. Such
20arbitration provisions shall be subject to the Illinois
21"Uniform Arbitration Act" unless agreed by the parties.
22    The duty "to bargain collectively" shall also mean that no
23party to a collective bargaining contract shall terminate or
24modify such contract, unless the party desiring such
25termination or modification:
26        (1) serves a written notice upon the other party to

 

 

HB5373- 50 -LRB104 20029 AAS 33480 b

1    the contract of the proposed termination or modification
2    60 days prior to the expiration date thereof, or in the
3    event such contract contains no expiration date, 60 days
4    prior to the time it is proposed to make such termination
5    or modification;
6        (2) offers to meet and confer with the other party for
7    the purpose of negotiating a new contract or a contract
8    containing the proposed modifications;
9        (3) notifies the Board within 30 days after such
10    notice of the existence of a dispute, provided no
11    agreement has been reached by that time; and
12        (4) continues in full force and effect, without
13    resorting to strike or lockout, all the terms and
14    conditions of the existing contract for a period of 60
15    days after such notice is given to the other party or until
16    the expiration date of such contract, whichever occurs
17    later.
18    The duties imposed upon employers, employees and labor
19organizations by paragraphs (2), (3) and (4) shall become
20inapplicable upon an intervening certification of the Board,
21under which the labor organization, which is a party to the
22contract, has been superseded as or ceased to be the exclusive
23representative of the employees pursuant to the provisions of
24subsection (a) of Section 9, and the duties so imposed shall
25not be construed as requiring either party to discuss or agree
26to any modification of the terms and conditions contained in a

 

 

HB5373- 51 -LRB104 20029 AAS 33480 b

1contract for a fixed period, if such modification is to become
2effective before such terms and conditions can be reopened
3under the provisions of the contract.
4    Collective bargaining for home care and home health
5workers who function as personal assistants and individual
6maintenance home health workers under the Home Services
7Program shall be limited to the terms and conditions of
8employment under the State's control, as defined in Public Act
993-204 or this amendatory Act of the 97th General Assembly, as
10applicable.
11    Collective bargaining for child and day care home
12providers under the child care assistance program shall be
13limited to the terms and conditions of employment under the
14State's control, as defined in this amendatory Act of the 94th
15General Assembly.
16    Notwithstanding any other provision of this Section,
17whenever collective bargaining is for the purpose of
18establishing an initial agreement following original
19certification of units, with respect to public employees other
20than peace officers, fire fighters, and security employees,
21the following apply:
22        (1) Not later than 10 days after receiving a written
23    request for collective bargaining from a labor
24    organization that has been newly certified as a
25    representative as defined in Section 6(c), or within such
26    further period as the parties agree upon, the parties

 

 

HB5373- 52 -LRB104 20029 AAS 33480 b

1    shall meet and commence to bargain collectively and shall
2    make every reasonable effort to conclude and sign a
3    collective bargaining agreement.
4        (2) If anytime after the expiration of the 90-day
5    period beginning on the date on which bargaining is
6    commenced the parties have failed to reach an agreement,
7    either party may notify the Illinois Public Labor
8    Relations Board of the existence of a dispute and request
9    mediation in accordance with the provisions of Section 14
10    of this Act.
11        (3) If after the expiration of the 30-day period
12    beginning on the date on which mediation commenced, or
13    such additional period as the parties may agree upon, the
14    mediator is not able to bring the parties to agreement by
15    conciliation, either the exclusive representative of the
16    employees or the employer may request of the other, in
17    writing, arbitration and shall submit a copy of the
18    request to the board. Upon submission of the request for
19    arbitration, the parties shall be required to participate
20    in the impasse arbitration procedures set forth in Section
21    14 of this Act, except the right to strike shall not be
22    considered waived pursuant to Section 17 of this Act,
23    until the actual convening of the arbitration hearing.
24(Source: P.A. 104-358, eff. 8-15-25.)
 
25    Section 10. The Voluntary Payroll Deductions Act of 1983

 

 

HB5373- 53 -LRB104 20029 AAS 33480 b

1is amended by changing Section 3 as follows:
 
2    (5 ILCS 340/3)  (from Ch. 15, par. 503)
3    Sec. 3. Definitions. As used in this Act unless the
4context otherwise requires:
5    (a) "Employee" means any regular officer or employee who
6receives salary or wages for personal services rendered to the
7State of Illinois, and includes an individual hired as an
8employee by contract with that individual.
9    (b) "Qualified organization" means an organization
10representing one or more benefiting agencies, which
11organization is designated by the State Comptroller as
12qualified to receive payroll deductions under this Act. An
13organization desiring to be designated as a qualified
14organization shall:
15        (1) Submit written or electronic designations on forms
16    approved by the State Comptroller by 500 or more employees
17    or State annuitants, in which such employees or State
18    annuitants indicate that the organization is one for which
19    the employee or State annuitant intends to authorize
20    withholding. The forms shall require the name, last 4
21    digits only of the social security number, and employing
22    State agency for each employee. Upon notification by the
23    Comptroller that such forms have been approved, the
24    organization shall, within 30 days, notify in writing the
25    Comptroller or his or her designee of its intention to

 

 

HB5373- 54 -LRB104 20029 AAS 33480 b

1    obtain the required number of designations. Such
2    organization shall have 12 months from that date to obtain
3    the necessary designations and return to the State
4    Comptroller's office the completed designations, which
5    shall be subject to verification procedures established by
6    the State Comptroller;
7        (2) Certify that all benefiting agencies are tax
8    exempt under Section 501(c)(3) of the Internal Revenue
9    Code;
10        (3) Certify that all benefiting agencies are in
11    compliance with the Illinois Human Rights Act;
12        (4) Certify that all benefiting agencies are in
13    compliance with the Charitable Trust Act and the
14    Solicitation for Charity Act;
15        (5) Certify that all benefiting agencies actively
16    conduct health or welfare programs and provide services to
17    individuals directed at one or more of the following
18    common human needs within a community: service, research,
19    and education in the health fields; family and child care
20    services; protective services for children and adults;
21    services for children and adults in foster care; services
22    related to the management and maintenance of the home;
23    child day care services for adults; transportation
24    services; information, referral and counseling services;
25    services to eliminate illiteracy; the preparation and
26    delivery of meals; adoption services; emergency shelter

 

 

HB5373- 55 -LRB104 20029 AAS 33480 b

1    care and relief services; disaster relief services; safety
2    services; neighborhood and community organization
3    services; recreation services; social adjustment and
4    rehabilitation services; health support services; or a
5    combination of such services designed to meet the special
6    needs of specific groups, such as children and youth, the
7    ill and infirm, and persons with physical disabilities;
8    and that all such benefiting agencies provide the above
9    described services to individuals and their families in
10    the community and surrounding area in which the
11    organization conducts its fund drive, or that such
12    benefiting agencies provide relief to victims of natural
13    disasters and other emergencies on a where and as needed
14    basis;
15        (6) Certify that the organization has disclosed the
16    percentage of the organization's total collected receipts
17    from employees or State annuitants that are distributed to
18    the benefiting agencies and the percentage of the
19    organization's total collected receipts from employees or
20    State annuitants that are expended for fund-raising and
21    overhead costs. These percentages shall be the same
22    percentage figures annually disclosed by the organization
23    to the Attorney General. The disclosure shall be made to
24    all solicited employees and State annuitants and shall be
25    in the form of a factual statement on all petitions and in
26    the campaign's brochures for employees and State

 

 

HB5373- 56 -LRB104 20029 AAS 33480 b

1    annuitants;
2        (7) Certify that all benefiting agencies receiving
3    funds which the employee or State annuitant has requested
4    or designated for distribution to a particular community
5    and surrounding area use a majority of such funds
6    distributed for services in the actual provision of
7    services in that community and surrounding area;
8        (8) Certify that neither it nor its member
9    organizations will solicit State employees for
10    contributions at their workplace, except pursuant to this
11    Act and the rules promulgated thereunder. Each qualified
12    organization, and each participating United Fund, is
13    encouraged to cooperate with all others and with all State
14    agencies and educational institutions so as to simplify
15    procedures, to resolve differences and to minimize costs;
16        (9) Certify that it will pay its share of the campaign
17    costs and will comply with the Code of Campaign Conduct as
18    approved by the Comptroller or other agency as designated
19    by the Comptroller; and
20        (10) Certify that it maintains a year-round office,
21    the telephone number, and person responsible for the
22    operations of the organization in Illinois. That
23    information shall be provided to the State Comptroller at
24    the time the organization is seeking participation under
25    this Act.
26    Each qualified organization shall submit to the State

 

 

HB5373- 57 -LRB104 20029 AAS 33480 b

1Comptroller between January 1 and March 1 of each year, a
2statement that the organization is in compliance with all of
3the requirements set forth in paragraphs (2) through (10). The
4State Comptroller shall exclude any organization that fails to
5submit the statement from the next solicitation period.
6    In order to be designated as a qualified organization, the
7organization shall have existed at least 2 years prior to
8submitting the written or electronic designation forms
9required in paragraph (1) and shall certify to the State
10Comptroller that such organization has been providing services
11described in paragraph (5) in Illinois. If the organization
12seeking designation represents more than one benefiting
13agency, it need not have existed for 2 years but shall certify
14to the State Comptroller that each of its benefiting agencies
15has existed for at least 2 years prior to submitting the
16written or electronic designation forms required in paragraph
17(1) and that each has been providing services described in
18paragraph (5) in Illinois.
19    Organizations which have met the requirements of this Act
20shall be permitted to participate in the State and
21Universities Combined Appeal as of January 1st of the year
22immediately following their approval by the Comptroller.
23    Where the certifications described in paragraphs (2), (3),
24(4), (5), (6), (7), (8), (9), and (10) above are made by an
25organization representing more than one benefiting agency they
26shall be based upon the knowledge and belief of such qualified

 

 

HB5373- 58 -LRB104 20029 AAS 33480 b

1organization. Any qualified organization shall immediately
2notify the State Comptroller in writing if the qualified
3organization receives information or otherwise believes that a
4benefiting agency is no longer in compliance with the
5certification of the qualified organization. A qualified
6organization representing more than one benefiting agency
7shall thereafter withhold and refrain from distributing to
8such benefiting agency those funds received pursuant to this
9Act until the benefiting agency is again in compliance with
10the qualified organization's certification. The qualified
11organization shall immediately notify the State Comptroller of
12the benefiting agency's resumed compliance with the
13certification, based upon the qualified organization's
14knowledge and belief, and shall pay over to the benefiting
15agency those funds previously withheld.
16    In order to qualify, a qualified organization must receive
17250 deduction pledges from the immediately preceding
18solicitation period as set forth in Section 6. The Comptroller
19shall, by February 1st of each year, so notify any qualified
20organization that failed to receive the minimum deduction
21requirement. The notification shall give such qualified
22organization until March 1st to provide the Comptroller with
23documentation that the minimum deduction requirement has been
24met. On the basis of all the documentation, the Comptroller
25shall, by March 15th of each year, make publicly available a
26list of all organizations which have met the minimum payroll

 

 

HB5373- 59 -LRB104 20029 AAS 33480 b

1deduction requirement. Only those organizations which have met
2such requirements, as well as the other requirements of this
3Section, shall be permitted to solicit State employees or
4State annuitants for voluntary contributions, and the
5Comptroller shall discontinue withholding for any such
6organization which fails to meet these requirements, except
7qualified organizations that received deduction pledges during
8the 2004 solicitation period are deemed to be qualified for
9the 2005 solicitation period.
10    (c) "United Fund" means the organization conducting the
11single, annual, consolidated effort to secure funds for
12distribution to agencies engaged in charitable and public
13health, welfare and services purposes, which is commonly known
14as the United Fund, or the organization which serves in place
15of the United Fund organization in communities where an
16organization known as the United Fund is not organized.
17    In order for a United Fund to participate in the State and
18Universities Employees Combined Appeal, it shall comply with
19the provisions of paragraph (9) of subsection (b).
20    (d) "State and Universities Employees Combined Appeal",
21otherwise known as "SECA", means the State-directed joint
22effort of all of the qualified organizations, together with
23the United Funds, for the solicitation of voluntary
24contributions from State and University employees and State
25annuitants.
26    (e) "Retirement system" means any or all of the following:

 

 

HB5373- 60 -LRB104 20029 AAS 33480 b

1the General Assembly Retirement System, the State Employees'
2Retirement System of Illinois, the State Universities
3Retirement System, the Teachers' Retirement System of the
4State of Illinois, and the Judges Retirement System.
5    (f) "State annuitant" means a person receiving an annuity
6or disability benefit under Article 2, 14, 15, 16, or 18 of the
7Illinois Pension Code.
8(Source: P.A. 102-291, eff. 8-6-21.)
 
9    Section 15. The Children and Family Services Act is
10amended by changing Sections 5, 5a, 5.15, 21, 22.1, and 22.4 as
11follows:
 
12    (20 ILCS 505/5)
13    (Text of Section before amendment by P.A. 104-107)
14    Sec. 5. Direct child welfare services; Department of
15Children and Family Services. To provide direct child welfare
16services when not available through other public or private
17child care or program facilities.
18    (a) For purposes of this Section:
19        (1) "Children" means persons found within the State
20    who are under the age of 18 years. The term also includes
21    persons under age 21 who:
22            (A) were committed to the Department pursuant to
23        the Juvenile Court Act or the Juvenile Court Act of
24        1987 and who continue under the jurisdiction of the

 

 

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1        court; or
2            (B) were accepted for care, service and training
3        by the Department prior to the age of 18 and whose best
4        interest in the discretion of the Department would be
5        served by continuing that care, service and training
6        because of severe emotional disturbances, physical
7        disability, social adjustment or any combination
8        thereof, or because of the need to complete an
9        educational or vocational training program.
10        (2) "Homeless youth" means persons found within the
11    State who are under the age of 19, are not in a safe and
12    stable living situation and cannot be reunited with their
13    families.
14        (3) "Child welfare services" means public social
15    services which are directed toward the accomplishment of
16    the following purposes:
17            (A) protecting and promoting the health, safety
18        and welfare of children, including homeless,
19        dependent, or neglected children;
20            (B) remedying, or assisting in the solution of
21        problems which may result in, the neglect, abuse,
22        exploitation, or delinquency of children;
23            (C) preventing the unnecessary separation of
24        children from their families by identifying family
25        problems, assisting families in resolving their
26        problems, and preventing the breakup of the family

 

 

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1        where the prevention of child removal is desirable and
2        possible when the child can be cared for at home
3        without endangering the child's health and safety;
4            (D) restoring to their families children who have
5        been removed, by the provision of services to the
6        child and the families when the child can be cared for
7        at home without endangering the child's health and
8        safety;
9            (E) placing children in suitable permanent family
10        arrangements, through guardianship or adoption, in
11        cases where restoration to the birth family is not
12        safe, possible, or appropriate;
13            (F) at the time of placement, conducting
14        concurrent planning, as described in subsection (l-1)
15        of this Section, so that permanency may occur at the
16        earliest opportunity. Consideration should be given so
17        that if reunification fails or is delayed, the
18        placement made is the best available placement to
19        provide permanency for the child;
20            (G) (blank);
21            (H) (blank); and
22            (I) placing and maintaining children in facilities
23        that provide separate living quarters for children
24        under the age of 18 and for children 18 years of age
25        and older, unless a child 18 years of age is in the
26        last year of high school education or vocational

 

 

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1        training, in an approved individual or group treatment
2        program, in a licensed shelter facility, or secure
3        child care facility. The Department is not required to
4        place or maintain children:
5                (i) who are in a foster home, or
6                (ii) who are persons with a developmental
7            disability, as defined in the Mental Health and
8            Developmental Disabilities Code, or
9                (iii) who are female children who are
10            pregnant, pregnant and parenting, or parenting, or
11                (iv) who are siblings, in facilities that
12            provide separate living quarters for children 18
13            years of age and older and for children under 18
14            years of age.
15    (b) (Blank).
16    (b-5) The Department shall adopt rules to establish a
17process for all licensed residential providers in Illinois to
18submit data as required by the Department if they contract or
19receive reimbursement for children's mental health, substance
20use, and developmental disability services from the Department
21of Human Services, the Department of Juvenile Justice, or the
22Department of Healthcare and Family Services. The requested
23data must include, but is not limited to, capacity, staffing,
24and occupancy data for the purpose of establishing State need
25and placement availability.
26    All information collected, shared, or stored pursuant to

 

 

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1this subsection shall be handled in accordance with all State
2and federal privacy laws and accompanying regulations and
3rules, including, without limitation, the federal Health
4Insurance Portability and Accountability Act of 1996 (Public
5Law 104-191) and the Mental Health and Developmental
6Disabilities Confidentiality Act.
7    (c) The Department shall establish and maintain
8tax-supported child welfare services and extend and seek to
9improve voluntary services throughout the State, to the end
10that services and care shall be available on an equal basis
11throughout the State to children requiring such services.
12    (d) The Director may authorize advance disbursements for
13any new program initiative to any agency contracting with the
14Department. As a prerequisite for an advance disbursement, the
15contractor must post a surety bond in the amount of the advance
16disbursement and have a purchase of service contract approved
17by the Department. The Department may pay up to 2 months
18operational expenses in advance. The amount of the advance
19disbursement shall be prorated over the life of the contract
20or the remaining months of the fiscal year, whichever is less,
21and the installment amount shall then be deducted from future
22bills. Advance disbursement authorizations for new initiatives
23shall not be made to any agency after that agency has operated
24during 2 consecutive fiscal years. The requirements of this
25Section concerning advance disbursements shall not apply with
26respect to the following: payments to local public agencies

 

 

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

 

 

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

 

 

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1    In addition, the following services may be made available
2to assess and meet the needs of children and families:
3        (1) comprehensive family-based services;
4        (2) assessments;
5        (3) respite care; and
6        (4) in-home health services.
7    The Department shall provide transportation for any of the
8services it makes available to children or families or for
9which it refers children or families.
10    (j) The Department may provide categories of financial
11assistance and education assistance grants, and shall
12establish rules and regulations concerning the assistance and
13grants, to persons who adopt or become subsidized guardians of
14children with physical or mental disabilities, children who
15are older, or other hard-to-place children who (i) immediately
16prior to their adoption or subsidized guardianship were youth
17in 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 or subsidized
12guardians, as set forth in the annual assistance agreement.
13Special purpose grants are allowed where the child requires
14special service but such costs may not exceed the amounts
15which similar services would cost the Department if it were to
16provide or secure them as guardian 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 adoption or subsidized guardianship.
12Family preservation services shall only be offered when doing
13so will not endanger the children's health or safety. With
14respect to children who are in substitute care pursuant to the
15Juvenile Court Act of 1987, family preservation services shall
16not be offered if a goal other than those of subdivisions (A),
17(B), or (B-1) of subsection (2.3) of Section 2-28 of that Act
18has been set, except that reunification services may be
19offered as provided in paragraph (F) of subsection (2.3) of
20Section 2-28 of that Act. Nothing in this paragraph shall be
21construed to create a private right of action or claim on the
22part of any individual or child welfare agency, except that
23when a child is the subject of an action under Article II of
24the Juvenile Court Act of 1987 and the child's service plan
25calls for services to facilitate achievement of the permanency
26goal, the court hearing the action under Article II of the

 

 

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

 

 

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1"differential response program" provided for in subsection
2(a-5) of Section 7.4 of the Abused and Neglected Child
3Reporting Act.
4    The Department may, at its discretion except for those
5children also adjudicated neglected or dependent, accept for
6care and training any child who has been adjudicated addicted,
7as a truant minor in need of supervision or as a minor
8requiring authoritative intervention, under the Juvenile Court
9Act or the Juvenile Court Act of 1987, but no such child shall
10be committed to the Department by any court without the
11approval of the Department. On and after January 1, 2015 (the
12effective date of Public Act 98-803) and before January 1,
132017, a minor charged with a criminal offense under the
14Criminal Code of 1961 or the Criminal Code of 2012 or
15adjudicated delinquent shall not be placed in the custody of
16or committed to the Department by any court, except (i) a minor
17less than 16 years of age committed to the Department under
18Section 5-710 of the Juvenile Court Act of 1987, (ii) a minor
19for whom an independent basis of abuse, neglect, or dependency
20exists, which must be defined by departmental rule, or (iii) a
21minor for whom the court has granted a supplemental petition
22to reinstate wardship pursuant to subsection (2) of Section
232-33 of the Juvenile Court Act of 1987. On and after January 1,
242017, a minor charged with a criminal offense under the
25Criminal Code of 1961 or the Criminal Code of 2012 or
26adjudicated delinquent shall not be placed in the custody of

 

 

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1or committed to the Department by any court, except (i) a minor
2less than 15 years of age committed to the Department under
3Section 5-710 of the Juvenile Court Act of 1987, (ii) a minor
4for whom an independent basis of abuse, neglect, or dependency
5exists, which must be defined by departmental rule, or (iii) a
6minor for whom the court has granted a supplemental petition
7to reinstate wardship pursuant to subsection (2) of Section
82-33 of the Juvenile Court Act of 1987. An independent basis
9exists when the allegations or adjudication of abuse, neglect,
10or dependency do not arise from the same facts, incident, or
11circumstances which give rise to a charge or adjudication of
12delinquency. The Department shall assign a caseworker to
13attend any hearing involving a youth in the care and custody of
14the Department who is placed on aftercare release, including
15hearings involving sanctions for violation of aftercare
16release conditions and aftercare release revocation hearings.
17    As soon as is possible, the Department shall develop and
18implement a special program of family preservation services to
19support intact, relative, foster, and adoptive families who
20are experiencing extreme hardships due to the difficulty and
21stress of caring for a child who has been diagnosed with a
22pervasive developmental disorder if the Department determines
23that those services are necessary to ensure the health and
24safety of the child. The Department may offer services to any
25family whether or not a report has been filed under the Abused
26and Neglected Child Reporting Act. The Department may refer

 

 

HB5373- 73 -LRB104 20029 AAS 33480 b

1the child or family to services available from other agencies
2in the community if the conditions in the child's or family's
3home are reasonably likely to subject the child or family to
4future reports of suspected child abuse or neglect. Acceptance
5of these services shall be voluntary. The Department shall
6develop and implement a public information campaign to alert
7health and social service providers and the general public
8about these special family preservation services. The nature
9and scope of the services offered and the number of families
10served under the special program implemented under this
11paragraph shall be determined by the level of funding that the
12Department annually allocates for this purpose. The term
13"pervasive developmental disorder" under this paragraph means
14a neurological condition, including, but not limited to,
15Asperger's Syndrome and autism, as defined in the most recent
16edition of the Diagnostic and Statistical Manual of Mental
17Disorders of the American Psychiatric Association.
18    (l-1) The General Assembly recognizes that the best
19interests of the child require that the child be placed in the
20most permanent living arrangement that is an appropriate
21option for the child, consistent with the child's best
22interest, using the factors set forth in subsection (4.05) of
23Section 1-3 of the Juvenile Court Act of 1987 as soon as is
24practically possible. To achieve this goal, the General
25Assembly directs the Department of Children and Family
26Services to conduct concurrent planning so that permanency may

 

 

HB5373- 74 -LRB104 20029 AAS 33480 b

1occur at the earliest opportunity. Permanent living
2arrangements may include prevention of placement of a child
3outside the home of the family when the child can be cared for
4at home without endangering the child's health or safety;
5reunification with the family, when safe and appropriate, if
6temporary placement is necessary; or movement of the child
7toward the most appropriate living arrangement and legal
8status.
9    When determining reasonable efforts to be made with
10respect to a child, as described in this subsection, and in
11making such reasonable efforts, the child's health and safety
12shall be the paramount concern.
13    When a child is placed in foster care, the Department
14shall ensure and document that reasonable efforts were made to
15prevent or eliminate the need to remove the child from the
16child's home. The Department must make reasonable efforts to
17reunify the family when temporary placement of the child
18occurs unless otherwise required, pursuant to the Juvenile
19Court Act of 1987. At any time after the dispositional hearing
20where the Department believes that further reunification
21services would be ineffective, it may request a finding from
22the court that reasonable efforts are no longer appropriate.
23The Department is not required to provide further
24reunification services after such a finding.
25    A decision to place a child in substitute care shall be
26made with considerations of the child's health, safety, and

 

 

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1best interests. The Department shall make diligent efforts to
2place the child with a relative, document those diligent
3efforts, and document reasons for any failure or inability to
4secure such a relative placement. If the primary issue
5preventing an emergency placement of a child with a relative
6is a lack of resources, including, but not limited to,
7concrete goods, safety modifications, and services, the
8Department shall make diligent efforts to assist the relative
9in obtaining the necessary resources. No later than July 1,
102025, the Department shall adopt rules defining what is
11diligent and necessary in providing supports to potential
12relative placements. At the time of placement, consideration
13should also be given so that if reunification fails or is
14delayed, the placement has the potential to be an appropriate
15permanent placement for the child.
16    The Department shall adopt rules addressing concurrent
17planning for reunification and permanency. The Department
18shall consider the following factors when determining
19appropriateness of concurrent planning:
20        (1) the likelihood of prompt reunification;
21        (2) the past history of the family;
22        (3) the barriers to reunification being addressed by
23    the family;
24        (4) the level of cooperation of the family;
25        (4.5) the child's wishes;
26        (5) the caregivers' willingness to work with the

 

 

HB5373- 76 -LRB104 20029 AAS 33480 b

1    family to reunite;
2        (6) the willingness and ability of the caregivers' to
3    provide a permanent placement;
4        (7) the age of the child;
5        (8) placement of siblings; and
6        (9) the wishes of the parent or parents unless the
7    parental preferences are contrary to the best interests of
8    the child.
9    (m) The Department may assume temporary custody of any
10child if:
11        (1) it has received a written consent to such
12    temporary custody signed by the parents of the child or by
13    the parent having custody of the child if the parents are
14    not living together or by the guardian or custodian of the
15    child if the child is not in the custody of either parent,
16    or
17        (2) the child is found in the State and neither a
18    parent, guardian nor custodian of the child can be
19    located.
20If the child is found in the child's residence without a
21parent, guardian, custodian, or responsible caretaker, the
22Department may, instead of removing the child and assuming
23temporary custody, place an authorized representative of the
24Department in that residence until such time as a parent,
25guardian, or custodian enters the home and expresses a
26willingness and apparent ability to ensure the child's health

 

 

HB5373- 77 -LRB104 20029 AAS 33480 b

1and safety and resume permanent charge of the child, or until a
2relative enters the home and is willing and able to ensure the
3child's health and safety and assume charge of the child until
4a parent, guardian, or custodian enters the home and expresses
5such willingness and ability to ensure the child's safety and
6resume permanent charge. After a caretaker has remained in the
7home for a period not to exceed 12 hours, the Department must
8follow those procedures outlined in Section 2-9, 3-11, 4-8, or
95-415 of the Juvenile Court Act of 1987.
10    The Department shall have the authority, responsibilities
11and duties that a legal custodian of the child would have
12pursuant to subsection (9) of Section 1-3 of the Juvenile
13Court Act of 1987. Whenever a child is taken into temporary
14custody pursuant to an investigation under the Abused and
15Neglected Child Reporting Act, or pursuant to a referral and
16acceptance under the Juvenile Court Act of 1987 of a minor in
17limited custody, the Department, during the period of
18temporary custody and before the child is brought before a
19judicial officer as required by Section 2-9, 3-11, 4-8, or
205-415 of the Juvenile Court Act of 1987, shall have the
21authority, responsibilities and duties that a legal custodian
22of the child would have under subsection (9) of Section 1-3 of
23the Juvenile Court Act of 1987.
24    The Department shall ensure that any child taken into
25custody is scheduled for an appointment for a medical
26examination.

 

 

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1    A parent, guardian, or custodian of a child in the
2temporary custody of the Department who would have custody of
3the child if the child were not in the temporary custody of the
4Department may deliver to the Department a signed request that
5the Department surrender the temporary custody of the child.
6The Department may retain temporary custody of the child for
710 days after the receipt of the request, during which period
8the Department may cause to be filed a petition pursuant to the
9Juvenile Court Act of 1987. If a petition is so filed, the
10Department shall retain temporary custody of the child until
11the court orders otherwise. If a petition is not filed within
12the 10-day period, the child shall be surrendered to the
13custody of the requesting parent, guardian, or custodian not
14later than the expiration of the 10-day period, at which time
15the authority and duties of the Department with respect to the
16temporary custody of the child shall terminate.
17    (m-1) The Department may place children under 18 years of
18age in a secure child care facility licensed by the Department
19that cares for children who are in need of secure living
20arrangements for their health, safety, and well-being after a
21determination is made by the facility director and the
22Director or the Director's designate prior to admission to the
23facility subject to Section 2-27.1 of the Juvenile Court Act
24of 1987. This subsection (m-1) does not apply to a child who is
25subject to placement in a correctional facility operated
26pursuant to Section 3-15-2 of the Unified Code of Corrections,

 

 

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1unless the child is a youth in care who was placed in the care
2of the Department before being subject to placement in a
3correctional facility and a court of competent jurisdiction
4has ordered placement of the child in a secure care facility.
5    (n) The Department may place children under 18 years of
6age in licensed child care facilities when in the opinion of
7the Department, appropriate services aimed at family
8preservation have been unsuccessful and cannot ensure the
9child's health and safety or are unavailable and such
10placement would be for their best interest. Payment for board,
11clothing, care, training and supervision of any child placed
12in a licensed child care facility may be made by the
13Department, by the parents or guardians of the estates of
14those children, or by both the Department and the parents or
15guardians, except that no payments shall be made by the
16Department for any child placed in a licensed child care
17facility for board, clothing, care, training, and supervision
18of such a child that exceed the average per capita cost of
19maintaining and of caring for a child in institutions for
20dependent or neglected children operated by the Department.
21However, such restriction on payments does not apply in cases
22where children require specialized care and treatment for
23problems of severe emotional disturbance, physical disability,
24social adjustment, or any combination thereof and suitable
25facilities for the placement of such children are not
26available at payment rates within the limitations set forth in

 

 

HB5373- 80 -LRB104 20029 AAS 33480 b

1this Section. All reimbursements for services delivered shall
2be absolutely inalienable by assignment, sale, attachment, or
3garnishment or otherwise.
4    (n-1) The Department shall provide or authorize child
5welfare services, aimed at assisting minors to achieve
6sustainable self-sufficiency as independent adults, for any
7minor eligible for the reinstatement of wardship pursuant to
8subsection (2) of Section 2-33 of the Juvenile Court Act of
91987, whether or not such reinstatement is sought or allowed,
10provided that the minor consents to such services and has not
11yet attained the age of 21. The Department shall have
12responsibility for the development and delivery of services
13under this Section. An eligible youth may access services
14under this Section through the Department of Children and
15Family Services or by referral from the Department of Human
16Services. Youth participating in services under this Section
17shall cooperate with the assigned case manager in developing
18an agreement identifying the services to be provided and how
19the youth will increase skills to achieve self-sufficiency. A
20homeless shelter is not considered appropriate housing for any
21youth receiving child welfare services under this Section. The
22Department shall continue child welfare services under this
23Section to any eligible minor until the minor becomes 21 years
24of age, no longer consents to participate, or achieves
25self-sufficiency as identified in the minor's service plan.
26The Department of Children and Family Services shall create

 

 

HB5373- 81 -LRB104 20029 AAS 33480 b

1clear, readable notice of the rights of former foster youth to
2child welfare services under this Section and how such
3services may be obtained. The Department of Children and
4Family Services and the Department of Human Services shall
5disseminate this information statewide. The Department shall
6adopt regulations describing services intended to assist
7minors in achieving sustainable self-sufficiency as
8independent adults.
9    (o) The Department shall establish an administrative
10review and appeal process for children and families who
11request or receive child welfare services from the Department.
12Youth in care who are placed by private child welfare
13agencies, and caregivers with whom those youth are placed,
14shall be afforded the same procedural and appeal rights as
15children and families in the case of placement by the
16Department, including the right to an initial review of a
17private agency decision by that agency. The Department shall
18ensure that any private child welfare agency, which accepts
19youth in care for placement, affords those rights to children
20and caregivers with whom those children are placed. The
21Department shall accept for administrative review and an
22appeal hearing a complaint made by (i) a child or caregiver
23with whom the child is placed concerning a decision following
24an initial review by a private child welfare agency or (ii) a
25prospective adoptive parent who alleges a violation of
26subsection (j-5) of this Section. An appeal of a decision

 

 

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1concerning a change in the placement of a child shall be
2conducted in an expedited manner. A court determination that a
3current placement is necessary and appropriate under Section
42-28 of the Juvenile Court Act of 1987 does not constitute a
5judicial determination on the merits of an administrative
6appeal, filed by a former caregiver, involving a change of
7placement decision. No later than July 1, 2025, the Department
8shall adopt rules to develop a reconsideration process to
9review: a denial of certification of a relative, a denial of
10placement with a relative, and a denial of visitation with an
11identified relative. Rules shall include standards and
12criteria for reconsideration that incorporate the best
13interests of the child under subsection (4.05) of Section 1-3
14of the Juvenile Court Act of 1987, address situations where
15multiple relatives seek certification, and provide that all
16rules regarding placement changes shall be followed. The rules
17shall outline the essential elements of each form used in the
18implementation and enforcement of the provisions of this
19amendatory Act of the 103rd General Assembly.
20    (p) (Blank).
21    (q) The Department may receive and use, in their entirety,
22for the benefit of children any gift, donation, or bequest of
23money or other property which is received on behalf of such
24children, or any financial benefits to which such children are
25or may become entitled while under the jurisdiction or care of
26the Department, except that the benefits described in Section

 

 

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15.46 must be used and conserved consistent with the provisions
2under Section 5.46.
3    The Department shall set up and administer no-cost,
4interest-bearing accounts in appropriate financial
5institutions for children for whom the Department is legally
6responsible and who have been determined eligible for
7Veterans' Benefits, Social Security benefits, assistance
8allotments from the armed forces, court ordered payments,
9parental voluntary payments, Supplemental Security Income,
10Railroad Retirement payments, Black Lung benefits, or other
11miscellaneous payments. Interest earned by each account shall
12be credited to the account, unless disbursed in accordance
13with this subsection.
14    In disbursing funds from children's accounts, the
15Department shall:
16        (1) Establish standards in accordance with State and
17    federal laws for disbursing money from children's
18    accounts. In all circumstances, the Department's
19    Guardianship Administrator or the Guardianship
20    Administrator's designee must approve disbursements from
21    children's accounts. The Department shall be responsible
22    for keeping complete records of all disbursements for each
23    account for any purpose.
24        (2) Calculate on a monthly basis the amounts paid from
25    State funds for the child's board and care, medical care
26    not covered under Medicaid, and social services; and

 

 

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1    utilize funds from the child's account, as covered by
2    regulation, to reimburse those costs. Monthly,
3    disbursements from all children's accounts, up to 1/12 of
4    $13,000,000, shall be deposited by the Department into the
5    General Revenue Fund and the balance over 1/12 of
6    $13,000,000 into the DCFS Children's Services Fund.
7        (3) Maintain any balance remaining after reimbursing
8    for the child's costs of care, as specified in item (2).
9    The balance shall accumulate in accordance with relevant
10    State and federal laws and shall be disbursed to the child
11    or the child's guardian or to the issuing agency.
12    (r) The Department shall promulgate regulations
13encouraging all adoption agencies to voluntarily forward to
14the Department or its agent names and addresses of all persons
15who have applied for and have been approved for adoption of a
16hard-to-place child or child with a disability and the names
17of such children who have not been placed for adoption. A list
18of such names and addresses shall be maintained by the
19Department or its agent, and coded lists which maintain the
20confidentiality of the person seeking to adopt the child and
21of the child shall be made available, without charge, to every
22adoption agency in the State to assist the agencies in placing
23such children for adoption. The Department may delegate to an
24agent its duty to maintain and make available such lists. The
25Department shall ensure that such agent maintains the
26confidentiality of the person seeking to adopt the child and

 

 

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1of the child.
2    (s) The Department of Children and Family Services may
3establish and implement a program to reimburse caregivers
4licensed, certified, or otherwise approved by the Department
5of Children and Family Services for damages sustained by the
6caregivers as a result of the malicious or negligent acts of
7children placed by the Department, as well as providing third
8party coverage for such caregivers with regard to actions of
9children placed by the Department to other individuals. Such
10coverage will be secondary to the caregiver's liability
11insurance policy, if applicable. The program shall be funded
12through appropriations from the General Revenue Fund,
13specifically designated for such purposes.
14    (t) The Department shall perform home studies and
15investigations and shall exercise supervision over visitation
16as ordered by a court pursuant to the Illinois Marriage and
17Dissolution of Marriage Act or the Adoption Act only if:
18        (1) an order entered by an Illinois court specifically
19    directs the Department to perform such services; and
20        (2) the court has ordered one or both of the parties to
21    the proceeding to reimburse the Department for its
22    reasonable costs for providing such services in accordance
23    with Department rules, or has determined that neither
24    party is financially able to pay.
25    The Department shall provide written notification to the
26court of the specific arrangements for supervised visitation

 

 

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1and projected monthly costs within 60 days of the court order.
2The Department shall send to the court information related to
3the costs incurred except in cases where the court has
4determined the parties are financially unable to pay. The
5court may order additional periodic reports as appropriate.
6    (u) In addition to other information that must be
7provided, whenever the Department places a child with a
8prospective adoptive parent or parents, in a licensed foster
9home, group home, or child care institution, in a relative
10home, or in a certified relative caregiver home, the
11Department shall provide to the caregiver, appropriate
12facility staff, or prospective adoptive parent or parents:
13        (1) available detailed information concerning the
14    child's educational and health history, copies of
15    immunization records (including insurance and medical card
16    information), a history of the child's previous
17    placements, if any, and reasons for placement changes
18    excluding any information that identifies or reveals the
19    location of any previous caregiver or adoptive parents;
20        (2) a copy of the child's portion of the client
21    service plan, including any visitation arrangement, and
22    all amendments or revisions to it as related to the child;
23    and
24        (3) information containing details of the child's
25    individualized education program educational plan when the
26    child is receiving special education services.

 

 

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1    The caregiver, appropriate facility staff, or prospective
2adoptive parent or parents, shall be informed of any known
3social or behavioral information (including, but not limited
4to, criminal background, fire setting, perpetuation of sexual
5abuse, destructive behavior, and substance abuse) necessary to
6care for and safeguard the children to be placed or currently
7in the home or setting. The Department may prepare a written
8summary of the information required by this paragraph, which
9may be provided to the caregiver, appropriate facility staff,
10or prospective adoptive parent in advance of a placement. The
11caregiver, appropriate facility staff, or prospective adoptive
12parent may review the supporting documents in the child's file
13in the presence of casework staff. In the case of an emergency
14placement, casework staff shall at least provide known
15information verbally, if necessary, and must subsequently
16provide the information in writing as required by this
17subsection.
18    The information described in this subsection shall be
19provided in writing. In the case of emergency placements when
20time does not allow prior review, preparation, and collection
21of written information, the Department shall provide such
22information as it becomes available. Within 10 business days
23after placement, the Department shall obtain from the
24caregiver, appropriate facility staff, or prospective adoptive
25parent or parents a signed verification of receipt of the
26information provided. Within 10 business days after placement,

 

 

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1the Department shall provide to the child's guardian ad litem
2a copy of the information provided to the caregiver,
3appropriate facility staff, or prospective adoptive parent or
4parents. The information provided to the caregiver,
5appropriate facility staff, or prospective adoptive parent or
6parents shall be reviewed and approved regarding accuracy at
7the supervisory level.
8    (u-5) Beginning July 1, 2025, certified relative caregiver
9homes under Section 3.4 of the Child Care Act of 1969 shall be
10eligible to receive foster care maintenance payments from the
11Department in an amount no less than payments made to licensed
12foster family homes. Beginning July 1, 2025, relative homes
13providing care to a child placed by the Department that are not
14a certified relative caregiver home under Section 3.4 of the
15Child Care Act of 1969 or a licensed foster family home shall
16be eligible to receive payments from the Department in an
17amount no less 90% of the payments made to licensed foster
18family homes and certified relative caregiver homes.
19    (u-6) To assist relative and certified relative
20caregivers, no later than July 1, 2025, the Department shall
21adopt rules to implement a relative support program, as
22follows:
23        (1) For relative and certified relative caregivers,
24    the Department is authorized to reimburse or prepay
25    reasonable expenditures to remedy home conditions
26    necessary to fulfill the home safety-related requirements

 

 

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1    of relative caregiver homes.
2        (2) The Department may provide short-term emergency
3    funds to relative and certified relative caregiver homes
4    experiencing extreme hardships due to the difficulty and
5    stress associated with adding youth in care as new
6    household members.
7        (3) Consistent with federal law, the Department shall
8    include in any State Plan made in accordance with the
9    Adoption Assistance and Child Welfare Act of 1980, Titles
10    IV-E and XIX of the Social Security Act, and any other
11    applicable federal laws the provision of kinship navigator
12    program services. The Department shall apply for and
13    administer all relevant federal aid in accordance with
14    law. Federal funds acquired for the kinship navigator
15    program shall be used for the development, implementation,
16    and operation of kinship navigator program services. The
17    kinship navigator program services may provide
18    information, referral services, support, and assistance to
19    relative and certified relative caregivers of youth in
20    care to address their unique needs and challenges. Until
21    the Department is approved to receive federal funds for
22    these purposes, the Department shall publicly post on the
23    Department's website semi-annual updates regarding the
24    Department's progress in pursuing federal funding.
25    Whenever the Department publicly posts these updates on
26    its website, the Department shall notify the General

 

 

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1    Assembly through the General Assembly's designee.
2    (u-7) To support finding permanency for children through
3subsidized guardianship and adoption and to prevent disruption
4in guardianship and adoptive placements, the Department shall
5establish and maintain accessible subsidized guardianship and
6adoption support services for all children under 18 years of
7age placed in guardianship or adoption who, immediately
8preceding the guardianship or adoption, were in the custody or
9guardianship of the Department under Article II of the
10Juvenile Court Act of 1987.
11    The Department shall establish and maintain a toll-free
12number to respond to requests from the public about its
13subsidized guardianship and adoption support services under
14this subsection and shall staff the toll-free number so that
15calls are answered on a timely basis, but in no event more than
16one business day after the receipt of a request. These
17requests from the public may be made anonymously. To meet this
18obligation, the Department may utilize the same toll-free
19number the Department operates to respond to post-adoption
20requests under subsection (b-5) of Section 18.9 of the
21Adoption Act. The Department shall publicize information about
22the Department's subsidized guardianship support services and
23toll-free number as follows:
24        (1) it shall post information on the Department's
25    website;
26        (2) it shall provide the information to every licensed

 

 

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1    child welfare agency and any entity providing subsidized
2    guardianship support services in Illinois courts;
3        (3) it shall reference such information in the
4    materials the Department provides to caregivers pursuing
5    subsidized guardianship to inform them of their rights and
6    responsibilities under the Child Care Act of 1969 and this
7    Act;
8        (4) it shall provide the information, including the
9    Department's Post Adoption and Guardianship Services
10    booklet, to eligible caregivers as part of its
11    guardianship training and at the time they are presented
12    with the Permanency Commitment form;
13        (5) it shall include, in each annual notification
14    letter mailed to subsidized guardians, a short, 2-sided
15    flier or news bulletin in plain language that describes
16    access to post-guardianship services, how to access
17    services under the Family Support Program, formerly known
18    as the Individual Care Grant Program, the webpage address
19    to the Post Adoption and Guardianship Services booklet,
20    information on how to request that a copy of the booklet be
21    mailed; and
22        (6) it shall ensure that kinship navigator programs of
23    this State, when established, have this information to
24    include in materials the programs provide to caregivers.
25    No later than July 1, 2026, the Department shall provide a
26mechanism for the public to make information requests by

 

 

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1electronic means.
2    The Department shall review and update annually all
3information relating to its subsidized guardianship support
4services, including its Post Adoption and Guardianship
5Services booklet, to include updated information on Family
6Support Program services eligibility and subsidized
7guardianship support services that are available through the
8medical assistance program established under Article V of the
9Illinois Public Aid Code or any other State program for mental
10health services. The Department and the Department of
11Healthcare and Family Services shall coordinate their efforts
12in the development of these resources.
13    Every licensed child welfare agency and any entity
14providing kinship navigator programs funded by the Department
15shall provide the Department's website address and link to the
16Department's subsidized guardianship support services
17information set forth in subsection (d), including the
18Department's toll-free number, to every relative who is or
19will be providing guardianship placement for a child placed by
20the Department.
21    (v) The Department shall access criminal history record
22information as defined in the Illinois Uniform Conviction
23Information Act and information maintained in the adjudicatory
24and dispositional record system as defined in Section 2605-355
25of the Illinois State Police Law if the Department determines
26the information is necessary to perform its duties under the

 

 

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1Abused and Neglected Child Reporting Act, the Child Care Act
2of 1969, and the Children and Family Services Act. The
3Department shall provide for interactive computerized
4communication and processing equipment that permits direct
5online on-line communication with the Illinois State Police's
6central criminal history data repository. The Department shall
7comply with all certification requirements and provide
8certified operators who have been trained by personnel from
9the Illinois State Police. In addition, one Office of the
10Inspector General investigator shall have training in the use
11of the criminal history information access system and have
12access to the terminal. The Department of Children and Family
13Services and its employees shall abide by rules and
14regulations established by the Illinois State Police relating
15to the access and dissemination of this information.
16    (v-1) Prior to final approval for placement of a child
17with a foster or adoptive parent, the Department shall conduct
18a criminal records background check of the prospective foster
19or adoptive parent, including fingerprint-based checks of
20national crime information databases. Final approval for
21placement shall not be granted if the record check reveals a
22felony conviction for child abuse or neglect, for spousal
23abuse, for a crime against children, or for a crime involving
24violence, including human trafficking, sex trafficking, rape,
25sexual assault, or homicide, but not including other physical
26assault or battery, or if there is a felony conviction for

 

 

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1physical assault, battery, or a drug-related offense committed
2within the past 5 years.
3    (v-2) Prior to final approval for placement of a child
4with a foster or adoptive parent, the Department shall check
5its child abuse and neglect registry for information
6concerning prospective foster and adoptive parents, and any
7adult living in the home. If any prospective foster or
8adoptive parent or other adult living in the home has resided
9in another state in the preceding 5 years, the Department
10shall request a check of that other state's child abuse and
11neglect registry.
12    (v-3) Prior to the final approval of final placement of a
13related child in a certified relative caregiver home as
14defined in Section 2.37 of the Child Care Act of 1969, the
15Department shall ensure that the background screening meets
16the standards required under subsection (c) of Section 3.4 of
17the Child Care Act of 1969.
18    (v-4) Prior to final approval for placement of a child
19with a relative, as defined in Section 4d of this Act, who is
20not a licensed foster parent, has declined to seek approval to
21be a certified relative caregiver, or was denied approval as a
22certified relative caregiver, the Department shall:
23        (i) check the child abuse and neglect registry for
24    information concerning the prospective relative caregiver
25    and any other adult living in the home. If any prospective
26    relative caregiver or other adult living in the home has

 

 

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1    resided in another state in the preceding 5 years, the
2    Department shall request a check of that other state's
3    child abuse and neglect registry; and
4        (ii) conduct a criminal records background check of
5    the prospective relative caregiver and all other adults
6    living in the home, including fingerprint-based checks of
7    national crime information databases. Final approval for
8    placement shall not be granted if the record check reveals
9    a felony conviction for child abuse or neglect, for
10    spousal abuse, for a crime against children, or for a
11    crime involving violence, including human trafficking, sex
12    trafficking, rape, sexual assault, or homicide, but not
13    including other physical assault or battery, or if there
14    is a felony conviction for physical assault, battery, or a
15    drug-related offense committed within the past 5 years;
16    provided however, that the Department is empowered to
17    grant a waiver as the Department may provide by rule, and
18    the Department approves the request for the waiver based
19    on a comprehensive evaluation of the caregiver and
20    household members and the conditions relating to the
21    safety of the placement.
22    No later than July 1, 2025, the Department shall adopt
23rules or revise existing rules to effectuate the changes made
24to this subsection (v-4). The rules shall outline the
25essential elements of each form used in the implementation and
26enforcement of the provisions of this amendatory Act of the

 

 

HB5373- 96 -LRB104 20029 AAS 33480 b

1103rd General Assembly.
2    (w) (Blank).
3    (x) The Department shall conduct annual credit history
4checks to determine the financial history of children placed
5under its guardianship pursuant to the Juvenile Court Act of
61987. The Department shall conduct such credit checks starting
7when a youth in care turns 12 years old and each year
8thereafter for the duration of the guardianship as terminated
9pursuant to the Juvenile Court Act of 1987. The Department
10shall determine if financial exploitation of the child's
11personal information has occurred. If financial exploitation
12appears to have taken place or is presently ongoing, the
13Department shall notify the proper law enforcement agency, the
14proper State's Attorney, or the Attorney General.
15    (y) Beginning on July 22, 2010 (the effective date of
16Public Act 96-1189), a child with a disability who receives
17residential and educational services from the Department shall
18be eligible to receive transition services in accordance with
19Article 14 of the School Code from the age of 14.5 through age
2021, inclusive, notwithstanding the child's residential
21services arrangement. For purposes of this subsection, "child
22with a disability" means a child with a disability as defined
23by the federal Individuals with Disabilities Education
24Improvement Act of 2004.
25    (z) The Department shall access criminal history record
26information as defined as "background information" in this

 

 

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1subsection and criminal history record information as defined
2in the Illinois Uniform Conviction Information Act for each
3Department employee or Department applicant. Each Department
4employee or Department applicant shall submit the employee's
5or applicant's fingerprints to the Illinois State Police in
6the form and manner prescribed by the Illinois State Police.
7These fingerprints shall be checked against the fingerprint
8records now and hereafter filed in the Illinois State Police
9and the Federal Bureau of Investigation criminal history
10records databases. The Illinois State Police shall charge a
11fee for conducting the criminal history record check, which
12shall be deposited into the State Police Services Fund and
13shall not exceed the actual cost of the record check. The
14Illinois State Police shall furnish, pursuant to positive
15identification, all Illinois conviction information to the
16Department of Children and Family Services.
17    For purposes of this subsection:
18    "Background information" means all of the following:
19        (i) Upon the request of the Department of Children and
20    Family Services, conviction information obtained from the
21    Illinois State Police as a result of a fingerprint-based
22    criminal history records check of the Illinois criminal
23    history records database and the Federal Bureau of
24    Investigation criminal history records database concerning
25    a Department employee or Department applicant.
26        (ii) Information obtained by the Department of

 

 

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1    Children and Family Services after performing a check of
2    the Illinois State Police's Sex Offender Database, as
3    authorized by Section 120 of the Sex Offender Community
4    Notification Law, concerning a Department employee or
5    Department applicant.
6        (iii) Information obtained by the Department of
7    Children and Family Services after performing a check of
8    the Child Abuse and Neglect Tracking System (CANTS)
9    operated and maintained by the Department.
10    "Department employee" means a full-time or temporary
11employee coded or certified within the State of Illinois
12Personnel System.
13    "Department applicant" means an individual who has
14conditional Department full-time or part-time work, a
15contractor, an individual used to replace or supplement staff,
16an academic intern, a volunteer in Department offices or on
17Department contracts, a work-study student, an individual or
18entity licensed by the Department, or an unlicensed service
19provider who works as a condition of a contract or an agreement
20and whose work may bring the unlicensed service provider into
21contact with Department clients or client records.
22    (aa) The changes made to this Section by Public Act
23104-165 this amendatory Act of the 104th General Assembly are
24declarative of existing law and are not a new enactment.
25(Source: P.A. 103-22, eff. 8-8-23; 103-50, eff. 1-1-24;
26103-546, eff. 8-11-23; 103-605, eff. 7-1-24; 103-1061, eff.

 

 

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17-1-25; 104-165, eff. 8-15-25; revised 9-11-25.)
 
2    (Text of Section after amendment by P.A. 104-107)
3    Sec. 5. Direct child welfare services; Department of
4Children and Family Services. To provide direct child welfare
5services when not available through other public or private
6child care or program facilities.
7    (a) For purposes of this Section:
8        (1) "Children" means persons found within the State
9    who are under the age of 18 years. The term also includes
10    persons under age 21 who:
11            (A) were committed to the Department pursuant to
12        the Juvenile Court Act or the Juvenile Court Act of
13        1987 and who continue under the jurisdiction of the
14        court; or
15            (B) were accepted for care, service and training
16        by the Department prior to the age of 18 and whose best
17        interest in the discretion of the Department would be
18        served by continuing that care, service and training
19        because of severe emotional disturbances, physical
20        disability, social adjustment or any combination
21        thereof, or because of the need to complete an
22        educational or vocational training program.
23        (2) "Homeless youth" means persons found within the
24    State who are under the age of 19, are not in a safe and
25    stable living situation and cannot be reunited with their

 

 

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

 

 

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1            (F) at the time of placement, conducting
2        concurrent planning, as described in subsection (l-1)
3        of this Section, so that permanency may occur at the
4        earliest opportunity. Consideration should be given so
5        that if reunification fails or is delayed, the
6        placement made is the best available placement to
7        provide permanency for the child;
8            (F-1) preparing adolescents to successfully
9        transition to independence, including transition
10        planning for youth who qualify for a guardian as a
11        person with a disability under Article XIa of the
12        Probate Act of 1975;
13            (G) (blank);
14            (H) (blank); and
15            (I) placing and maintaining children in facilities
16        that provide separate living quarters for children
17        under the age of 18 and for children 18 years of age
18        and older, unless a child 18 years of age is in the
19        last year of high school education or vocational
20        training, in an approved individual or group treatment
21        program, in a licensed shelter facility, or secure
22        child care facility. The Department is not required to
23        place or maintain children:
24                (i) who are in a foster home, or
25                (ii) who are persons with a developmental
26            disability, as defined in the Mental Health and

 

 

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1            Developmental Disabilities Code, or
2                (iii) who are female children who are
3            pregnant, pregnant and parenting, or parenting, or
4                (iv) who are siblings, in facilities that
5            provide separate living quarters for children 18
6            years of age and older and for children under 18
7            years of age.
8    (b) (Blank).
9    (b-5) The Department shall adopt rules to establish a
10process for all licensed residential providers in Illinois to
11submit data as required by the Department if they contract or
12receive reimbursement for children's mental health, substance
13use, and developmental disability services from the Department
14of Human Services, the Department of Juvenile Justice, or the
15Department of Healthcare and Family Services. The requested
16data must include, but is not limited to, capacity, staffing,
17and occupancy data for the purpose of establishing State need
18and placement availability.
19    All information collected, shared, or stored pursuant to
20this subsection shall be handled in accordance with all State
21and federal privacy laws and accompanying regulations and
22rules, including, without limitation, the federal Health
23Insurance Portability and Accountability Act of 1996 (Public
24Law 104-191) and the Mental Health and Developmental
25Disabilities Confidentiality Act.
26    (c) The Department shall establish and maintain

 

 

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1tax-supported child welfare services and extend and seek to
2improve voluntary services throughout the State, to the end
3that services and care shall be available on an equal basis
4throughout the State to children requiring such services.
5    (d) The Director may authorize advance disbursements for
6any new program initiative to any agency contracting with the
7Department. As a prerequisite for an advance disbursement, the
8contractor must post a surety bond in the amount of the advance
9disbursement and have a purchase of service contract approved
10by the Department. The Department may pay up to 2 months
11operational expenses in advance. The amount of the advance
12disbursement shall be prorated over the life of the contract
13or the remaining months of the fiscal year, whichever is less,
14and the installment amount shall then be deducted from future
15bills. Advance disbursement authorizations for new initiatives
16shall not be made to any agency after that agency has operated
17during 2 consecutive fiscal years. The requirements of this
18Section concerning advance disbursements shall not apply with
19respect to the following: payments to local public agencies
20for child day care services as authorized by Section 5a of this
21Act; and youth service programs receiving grant funds under
22Section 17a-4.
23    (e) (Blank).
24    (f) (Blank).
25    (g) The Department shall establish rules and regulations
26concerning its operation of programs designed to meet the

 

 

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1goals of child safety and protection, family preservation, and
2permanency, including, but not limited to:
3        (1) reunification, guardianship, and adoption;
4        (2) relative and licensed foster care;
5        (3) family counseling;
6        (4) protective services;
7        (5) (blank);
8        (6) homemaker service;
9        (7) return of runaway children;
10        (8) (blank);
11        (9) placement under Section 5-7 of the Juvenile Court
12    Act or Section 2-27, 3-28, 4-25, or 5-740 of the Juvenile
13    Court Act of 1987 in accordance with the federal Adoption
14    Assistance and Child Welfare Act of 1980;
15        (10) interstate services; and
16        (11) transition planning for youth aging out of care.
17    Rules and regulations established by the Department shall
18include provisions for training Department staff and the staff
19of Department grantees, through contracts with other agencies
20or resources, in screening techniques to identify substance
21use disorders, as defined in the Substance Use Disorder Act,
22approved by the Department of Human Services, as a successor
23to the Department of Alcoholism and Substance Abuse, for the
24purpose of identifying children and adults who should be
25referred for an assessment at an organization appropriately
26licensed by the Department of Human Services for substance use

 

 

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1disorder treatment.
2    (h) If the Department finds that there is no appropriate
3program or facility within or available to the Department for
4a youth in care and that no licensed private facility has an
5adequate and appropriate program or none agrees to accept the
6youth in care, the Department shall create an appropriate
7individualized, program-oriented plan for such youth in care.
8The plan may be developed within the Department or through
9purchase of services by the Department to the extent that it is
10within its statutory authority to do.
11    (i) Service programs shall be available throughout the
12State and shall include but not be limited to the following
13services:
14        (1) case management;
15        (2) homemakers;
16        (3) counseling;
17        (4) parent education;
18        (5) child day care;
19        (6) emergency assistance and advocacy; and
20        (7) kinship navigator and relative caregiver supports.
21    In addition, the following services may be made available
22to assess and meet the needs of children and families:
23        (1) comprehensive family-based services;
24        (2) assessments;
25        (3) respite care; and
26        (4) in-home health services.

 

 

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1    The Department shall provide transportation for any of the
2services it makes available to children or families or for
3which it refers children or families.
4    (j) The Department may provide categories of financial
5assistance and education assistance grants, and shall
6establish rules and regulations concerning the assistance and
7grants, to persons who adopt or become subsidized guardians of
8children with physical or mental disabilities, children who
9are older, or other hard-to-place children who (i) immediately
10prior to their adoption or subsidized guardianship were youth
11in care or (ii) were determined eligible for financial
12assistance with respect to a prior adoption and who become
13available for adoption because the prior adoption has been
14dissolved and the parental rights of the adoptive parents have
15been terminated or because the child's adoptive parents have
16died. The Department may continue to provide financial
17assistance and education assistance grants for a child who was
18determined eligible for financial assistance under this
19subsection (j) in the interim period beginning when the
20child's adoptive parents died and ending with the finalization
21of the new adoption of the child by another adoptive parent or
22parents. The Department may also provide categories of
23financial assistance and education assistance grants, and
24shall establish rules and regulations for the assistance and
25grants, to persons appointed guardian of the person under
26Section 5-7 of the Juvenile Court Act or Section 2-27, 3-28,

 

 

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14-25, or 5-740 of the Juvenile Court Act of 1987 for children
2who were youth in care for 12 months immediately prior to the
3appointment of the guardian.
4    The amount of assistance may vary, depending upon the
5needs of the child and the adoptive parents or subsidized
6guardians, as set forth in the annual assistance agreement.
7Special purpose grants are allowed where the child requires
8special service but such costs may not exceed the amounts
9which similar services would cost the Department if it were to
10provide or secure them as guardian of the child.
11    Any financial assistance provided under this subsection is
12inalienable by assignment, sale, execution, attachment,
13garnishment, or any other remedy for recovery or collection of
14a judgment or debt.
15    (j-5) The Department shall not deny or delay the placement
16of a child for adoption if an approved family is available
17either outside of the Department region handling the case, or
18outside of the State of Illinois.
19    (k) The Department shall accept for care and training any
20child who has been adjudicated neglected or abused, or
21dependent committed to it pursuant to the Juvenile Court Act
22or the Juvenile Court Act of 1987.
23    (l) The Department shall offer family preservation
24services, as defined in Section 8.2 of the Abused and
25Neglected Child Reporting Act, to help families, including
26adoptive and extended families. Family preservation services

 

 

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1shall be offered (i) to prevent the placement of children in
2substitute care when the children can be cared for at home or
3in the custody of the person responsible for the children's
4welfare, (ii) to reunite children with their families, or
5(iii) to maintain an adoption or subsidized guardianship.
6Family preservation services shall only be offered when doing
7so will not endanger the children's health or safety. With
8respect to children who are in substitute care pursuant to the
9Juvenile Court Act of 1987, family preservation services shall
10not be offered if a goal other than those of subdivisions (A),
11(B), or (B-1) of subsection (2.3) of Section 2-28 of that Act
12has been set, except that reunification services may be
13offered as provided in paragraph (F) of subsection (2.3) of
14Section 2-28 of that Act. Nothing in this paragraph shall be
15construed to create a private right of action or claim on the
16part of any individual or child welfare agency, except that
17when a child is the subject of an action under Article II of
18the Juvenile Court Act of 1987 and the child's service plan
19calls for services to facilitate achievement of the permanency
20goal, the court hearing the action under Article II of the
21Juvenile Court Act of 1987 may order the Department to provide
22the services set out in the plan, if those services are not
23provided with reasonable promptness and if those services are
24available.
25    The Department shall notify the child and the child's
26family of the Department's responsibility to offer and provide

 

 

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

 

 

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1as a truant minor in need of supervision or as a minor
2requiring authoritative intervention, under the Juvenile Court
3Act or the Juvenile Court Act of 1987, but no such child shall
4be committed to the Department by any court without the
5approval of the Department. On and after January 1, 2015 (the
6effective date of Public Act 98-803) and before January 1,
72017, a minor charged with a criminal offense under the
8Criminal Code of 1961 or the Criminal Code of 2012 or
9adjudicated delinquent shall not be placed in the custody of
10or committed to the Department by any court, except (i) a minor
11less than 16 years of age committed to the Department under
12Section 5-710 of the Juvenile Court Act of 1987, (ii) a minor
13for whom an independent basis of abuse, neglect, or dependency
14exists, which must be defined by departmental rule, or (iii) a
15minor for whom the court has granted a supplemental petition
16to reinstate wardship pursuant to subsection (2) of Section
172-33 of the Juvenile Court Act of 1987. On and after January 1,
182017, a minor charged with a criminal offense under the
19Criminal Code of 1961 or the Criminal Code of 2012 or
20adjudicated delinquent shall not be placed in the custody of
21or committed to the Department by any court, except (i) a minor
22less than 15 years of age committed to the Department under
23Section 5-710 of the Juvenile Court Act of 1987, (ii) a minor
24for whom an independent basis of abuse, neglect, or dependency
25exists, which must be defined by departmental rule, or (iii) a
26minor for whom the court has granted a supplemental petition

 

 

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1to reinstate wardship pursuant to subsection (2) of Section
22-33 of the Juvenile Court Act of 1987. An independent basis
3exists when the allegations or adjudication of abuse, neglect,
4or dependency do not arise from the same facts, incident, or
5circumstances which give rise to a charge or adjudication of
6delinquency. The Department shall assign a caseworker to
7attend any hearing involving a youth in the care and custody of
8the Department who is placed on aftercare release, including
9hearings involving sanctions for violation of aftercare
10release conditions and aftercare release revocation hearings.
11    As soon as is possible, the Department shall develop and
12implement a special program of family preservation services to
13support intact, relative, foster, and adoptive families who
14are experiencing extreme hardships due to the difficulty and
15stress of caring for a child who has been diagnosed with a
16pervasive developmental disorder if the Department determines
17that those services are necessary to ensure the health and
18safety of the child. The Department may offer services to any
19family whether or not a report has been filed under the Abused
20and Neglected Child Reporting Act. The Department may refer
21the child or family to services available from other agencies
22in the community if the conditions in the child's or family's
23home are reasonably likely to subject the child or family to
24future reports of suspected child abuse or neglect. Acceptance
25of these services shall be voluntary. The Department shall
26develop and implement a public information campaign to alert

 

 

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1health and social service providers and the general public
2about these special family preservation services. The nature
3and scope of the services offered and the number of families
4served under the special program implemented under this
5paragraph shall be determined by the level of funding that the
6Department annually allocates for this purpose. The term
7"pervasive developmental disorder" under this paragraph means
8a neurological condition, including, but not limited to,
9Asperger's Syndrome and autism, as defined in the most recent
10edition of the Diagnostic and Statistical Manual of Mental
11Disorders of the American Psychiatric Association.
12    (l-1) The General Assembly recognizes that the best
13interests of the child require that the child be placed in the
14most permanent living arrangement that is an appropriate
15option for the child, consistent with the child's best
16interest, using the factors set forth in subsection (4.05) of
17Section 1-3 of the Juvenile Court Act of 1987 as soon as is
18practically possible. To achieve this goal, the General
19Assembly directs the Department of Children and Family
20Services to conduct concurrent planning so that permanency may
21occur at the earliest opportunity. Permanent living
22arrangements may include prevention of placement of a child
23outside the home of the family when the child can be cared for
24at home without endangering the child's health or safety;
25reunification with the family, when safe and appropriate, if
26temporary placement is necessary; or movement of the child

 

 

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1toward the most appropriate living arrangement and legal
2status.
3    When determining reasonable efforts to be made with
4respect to a child, as described in this subsection, and in
5making such reasonable efforts, the child's health and safety
6shall be the paramount concern.
7    When a child is placed in foster care, the Department
8shall ensure and document that reasonable efforts were made to
9prevent or eliminate the need to remove the child from the
10child's home. The Department must make reasonable efforts to
11reunify the family when temporary placement of the child
12occurs unless otherwise required, pursuant to the Juvenile
13Court Act of 1987. At any time after the dispositional hearing
14where the Department believes that further reunification
15services would be ineffective, it may request a finding from
16the court that reasonable efforts are no longer appropriate.
17The Department is not required to provide further
18reunification services after such a finding.
19    A decision to place a child in substitute care shall be
20made with considerations of the child's health, safety, and
21best interests. The Department shall make diligent efforts to
22place the child with a relative, document those diligent
23efforts, and document reasons for any failure or inability to
24secure such a relative placement. If the primary issue
25preventing an emergency placement of a child with a relative
26is a lack of resources, including, but not limited to,

 

 

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1concrete goods, safety modifications, and services, the
2Department shall make diligent efforts to assist the relative
3in obtaining the necessary resources. No later than July 1,
42025, the Department shall adopt rules defining what is
5diligent and necessary in providing supports to potential
6relative placements. At the time of placement, consideration
7should also be given so that if reunification fails or is
8delayed, the placement has the potential to be an appropriate
9permanent placement for the child.
10    The Department shall adopt rules addressing concurrent
11planning for reunification and permanency. The Department
12shall consider the following factors when determining
13appropriateness of concurrent planning:
14        (1) the likelihood of prompt reunification;
15        (2) the past history of the family;
16        (3) the barriers to reunification being addressed by
17    the family;
18        (4) the level of cooperation of the family;
19        (4.5) the child's wishes;
20        (5) the caregivers' willingness to work with the
21    family to reunite;
22        (6) the willingness and ability of the caregivers' to
23    provide a permanent placement;
24        (7) the age of the child;
25        (8) placement of siblings; and
26        (9) the wishes of the parent or parents unless the

 

 

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1    parental preferences are contrary to the best interests of
2    the child.
3    (m) The Department may assume temporary custody of any
4child if:
5        (1) it has received a written consent to such
6    temporary custody signed by the parents of the child or by
7    the parent having custody of the child if the parents are
8    not living together or by the guardian or custodian of the
9    child if the child is not in the custody of either parent,
10    or
11        (2) the child is found in the State and neither a
12    parent, guardian nor custodian of the child can be
13    located.
14If the child is found in the child's residence without a
15parent, guardian, custodian, or responsible caretaker, the
16Department may, instead of removing the child and assuming
17temporary custody, place an authorized representative of the
18Department in that residence until such time as a parent,
19guardian, or custodian enters the home and expresses a
20willingness and apparent ability to ensure the child's health
21and safety and resume permanent charge of the child, or until a
22relative enters the home and is willing and able to ensure the
23child's health and safety and assume charge of the child until
24a parent, guardian, or custodian enters the home and expresses
25such willingness and ability to ensure the child's safety and
26resume permanent charge. After a caretaker has remained in the

 

 

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1home for a period not to exceed 12 hours, the Department must
2follow those procedures outlined in Section 2-9, 3-11, 4-8, or
35-415 of the Juvenile Court Act of 1987.
4    The Department shall have the authority, responsibilities
5and duties that a legal custodian of the child would have
6pursuant to subsection (9) of Section 1-3 of the Juvenile
7Court Act of 1987. Whenever a child is taken into temporary
8custody pursuant to an investigation under the Abused and
9Neglected Child Reporting Act, or pursuant to a referral and
10acceptance under the Juvenile Court Act of 1987 of a minor in
11limited custody, the Department, during the period of
12temporary custody and before the child is brought before a
13judicial officer as required by Section 2-9, 3-11, 4-8, or
145-415 of the Juvenile Court Act of 1987, shall have the
15authority, responsibilities and duties that a legal custodian
16of the child would have under subsection (9) of Section 1-3 of
17the Juvenile Court Act of 1987.
18    The Department shall ensure that any child taken into
19custody is scheduled for an appointment for a medical
20examination.
21    A parent, guardian, or custodian of a child in the
22temporary custody of the Department who would have custody of
23the child if the child were not in the temporary custody of the
24Department may deliver to the Department a signed request that
25the Department surrender the temporary custody of the child.
26The Department may retain temporary custody of the child for

 

 

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110 days after the receipt of the request, during which period
2the Department may cause to be filed a petition pursuant to the
3Juvenile Court Act of 1987. If a petition is so filed, the
4Department shall retain temporary custody of the child until
5the court orders otherwise. If a petition is not filed within
6the 10-day period, the child shall be surrendered to the
7custody of the requesting parent, guardian, or custodian not
8later than the expiration of the 10-day period, at which time
9the authority and duties of the Department with respect to the
10temporary custody of the child shall terminate.
11    (m-1) The Department may place children under 18 years of
12age in a secure child care facility licensed by the Department
13that cares for children who are in need of secure living
14arrangements for their health, safety, and well-being after a
15determination is made by the facility director and the
16Director or the Director's designate prior to admission to the
17facility subject to Section 2-27.1 of the Juvenile Court Act
18of 1987. This subsection (m-1) does not apply to a child who is
19subject to placement in a correctional facility operated
20pursuant to Section 3-15-2 of the Unified Code of Corrections,
21unless the child is a youth in care who was placed in the care
22of the Department before being subject to placement in a
23correctional facility and a court of competent jurisdiction
24has ordered placement of the child in a secure care facility.
25    (n) The Department may place children under 18 years of
26age in licensed child care facilities when in the opinion of

 

 

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1the Department, appropriate services aimed at family
2preservation have been unsuccessful and cannot ensure the
3child's health and safety or are unavailable and such
4placement would be for their best interest. Payment for board,
5clothing, care, training and supervision of any child placed
6in a licensed child care facility may be made by the
7Department, by the parents or guardians of the estates of
8those children, or by both the Department and the parents or
9guardians, except that no payments shall be made by the
10Department for any child placed in a licensed child care
11facility for board, clothing, care, training, and supervision
12of such a child that exceed the average per capita cost of
13maintaining and of caring for a child in institutions for
14dependent or neglected children operated by the Department.
15However, such restriction on payments does not apply in cases
16where children require specialized care and treatment for
17problems of severe emotional disturbance, physical disability,
18social adjustment, or any combination thereof and suitable
19facilities for the placement of such children are not
20available at payment rates within the limitations set forth in
21this Section. All reimbursements for services delivered shall
22be absolutely inalienable by assignment, sale, attachment, or
23garnishment or otherwise.
24    (n-1) The Department shall provide or authorize child
25welfare services, aimed at assisting minors to achieve
26sustainable self-sufficiency as independent adults, for any

 

 

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1minor eligible for the reinstatement of wardship pursuant to
2subsection (2) of Section 2-33 of the Juvenile Court Act of
31987, whether or not such reinstatement is sought or allowed,
4provided that the minor consents to such services and has not
5yet attained the age of 21. The Department shall have
6responsibility for the development and delivery of services
7under this Section. An eligible youth may access services
8under this Section through the Department of Children and
9Family Services or by referral from the Department of Human
10Services. Youth participating in services under this Section
11shall cooperate with the assigned case manager in developing
12an agreement identifying the services to be provided and how
13the youth will increase skills to achieve self-sufficiency. A
14homeless shelter is not considered appropriate housing for any
15youth receiving child welfare services under this Section. The
16Department shall continue child welfare services under this
17Section to any eligible minor until the minor becomes 21 years
18of age, no longer consents to participate, or achieves
19self-sufficiency as identified in the minor's service plan.
20The Department of Children and Family Services shall create
21clear, readable notice of the rights of former foster youth to
22child welfare services under this Section and how such
23services may be obtained. The Department of Children and
24Family Services and the Department of Human Services shall
25disseminate this information statewide. The Department shall
26adopt regulations describing services intended to assist

 

 

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1minors in achieving sustainable self-sufficiency as
2independent adults.
3    (o) The Department shall establish an administrative
4review and appeal process for children and families who
5request or receive child welfare services from the Department.
6Youth in care who are placed by private child welfare
7agencies, and caregivers with whom those youth are placed,
8shall be afforded the same procedural and appeal rights as
9children and families in the case of placement by the
10Department, including the right to an initial review of a
11private agency decision by that agency. The Department shall
12ensure that any private child welfare agency, which accepts
13youth in care for placement, affords those rights to children
14and caregivers with whom those children are placed. The
15Department shall accept for administrative review and an
16appeal hearing a complaint made by (i) a child or caregiver
17with whom the child is placed concerning a decision following
18an initial review by a private child welfare agency or (ii) a
19prospective adoptive parent who alleges a violation of
20subsection (j-5) of this Section. An appeal of a decision
21concerning a change in the placement of a child shall be
22conducted in an expedited manner. A court determination that a
23current placement is necessary and appropriate under Section
242-28 of the Juvenile Court Act of 1987 does not constitute a
25judicial determination on the merits of an administrative
26appeal, filed by a former caregiver, involving a change of

 

 

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1placement decision. No later than July 1, 2025, the Department
2shall adopt rules to develop a reconsideration process to
3review: a denial of certification of a relative, a denial of
4placement with a relative, and a denial of visitation with an
5identified relative. Rules shall include standards and
6criteria for reconsideration that incorporate the best
7interests of the child under subsection (4.05) of Section 1-3
8of the Juvenile Court Act of 1987, address situations where
9multiple relatives seek certification, and provide that all
10rules regarding placement changes shall be followed. The rules
11shall outline the essential elements of each form used in the
12implementation and enforcement of the provisions of this
13amendatory Act of the 103rd General Assembly.
14    (p) (Blank).
15    (q) The Department may receive and use, in their entirety,
16for the benefit of children any gift, donation, or bequest of
17money or other property which is received on behalf of such
18children, or any financial benefits to which such children are
19or may become entitled while under the jurisdiction or care of
20the Department, except that the benefits described in Section
215.46 must be used and conserved consistent with the provisions
22under Section 5.46.
23    The Department shall set up and administer no-cost,
24interest-bearing accounts in appropriate financial
25institutions for children for whom the Department is legally
26responsible and who have been determined eligible for

 

 

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

 

 

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1        (3) Maintain any balance remaining after reimbursing
2    for the child's costs of care, as specified in item (2).
3    The balance shall accumulate in accordance with relevant
4    State and federal laws and shall be disbursed to the child
5    or the child's guardian or to the issuing agency.
6    (r) The Department shall promulgate regulations
7encouraging all adoption agencies to voluntarily forward to
8the Department or its agent names and addresses of all persons
9who have applied for and have been approved for adoption of a
10hard-to-place child or child with a disability and the names
11of such children who have not been placed for adoption. A list
12of such names and addresses shall be maintained by the
13Department or its agent, and coded lists which maintain the
14confidentiality of the person seeking to adopt the child and
15of the child shall be made available, without charge, to every
16adoption agency in the State to assist the agencies in placing
17such children for adoption. The Department may delegate to an
18agent its duty to maintain and make available such lists. The
19Department shall ensure that such agent maintains the
20confidentiality of the person seeking to adopt the child and
21of the child.
22    (s) The Department of Children and Family Services may
23establish and implement a program to reimburse caregivers
24licensed, certified, or otherwise approved by the Department
25of Children and Family Services for damages sustained by the
26caregivers as a result of the malicious or negligent acts of

 

 

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1children placed by the Department, as well as providing third
2party coverage for such caregivers with regard to actions of
3children placed by the Department to other individuals. Such
4coverage will be secondary to the caregiver's liability
5insurance policy, if applicable. The program shall be funded
6through appropriations from the General Revenue Fund,
7specifically designated for such purposes.
8    (t) The Department shall perform home studies and
9investigations and shall exercise supervision over visitation
10as ordered by a court pursuant to the Illinois Marriage and
11Dissolution of Marriage Act or the Adoption Act only if:
12        (1) an order entered by an Illinois court specifically
13    directs the Department to perform such services; and
14        (2) the court has ordered one or both of the parties to
15    the proceeding to reimburse the Department for its
16    reasonable costs for providing such services in accordance
17    with Department rules, or has determined that neither
18    party is financially able to pay.
19    The Department shall provide written notification to the
20court of the specific arrangements for supervised visitation
21and projected monthly costs within 60 days of the court order.
22The Department shall send to the court information related to
23the costs incurred except in cases where the court has
24determined the parties are financially unable to pay. The
25court may order additional periodic reports as appropriate.
26    (u) In addition to other information that must be

 

 

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

 

 

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1in the home or setting. The Department may prepare a written
2summary of the information required by this paragraph, which
3may be provided to the caregiver, appropriate facility staff,
4or prospective adoptive parent in advance of a placement. The
5caregiver, appropriate facility staff, or prospective adoptive
6parent may review the supporting documents in the child's file
7in the presence of casework staff. In the case of an emergency
8placement, casework staff shall at least provide known
9information verbally, if necessary, and must subsequently
10provide the information in writing as required by this
11subsection.
12    The information described in this subsection shall be
13provided in writing. In the case of emergency placements when
14time does not allow prior review, preparation, and collection
15of written information, the Department shall provide such
16information as it becomes available. Within 10 business days
17after placement, the Department shall obtain from the
18caregiver, appropriate facility staff, or prospective adoptive
19parent or parents a signed verification of receipt of the
20information provided. Within 10 business days after placement,
21the Department shall provide to the child's guardian ad litem
22a copy of the information provided to the caregiver,
23appropriate facility staff, or prospective adoptive parent or
24parents. The information provided to the caregiver,
25appropriate facility staff, or prospective adoptive parent or
26parents shall be reviewed and approved regarding accuracy at

 

 

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1the supervisory level.
2    (u-5) Beginning July 1, 2025, certified relative caregiver
3homes under Section 3.4 of the Child Care Act of 1969 shall be
4eligible to receive foster care maintenance payments from the
5Department in an amount no less than payments made to licensed
6foster family homes. Beginning July 1, 2025, relative homes
7providing care to a child placed by the Department that are not
8a certified relative caregiver home under Section 3.4 of the
9Child Care Act of 1969 or a licensed foster family home shall
10be eligible to receive payments from the Department in an
11amount no less 90% of the payments made to licensed foster
12family homes and certified relative caregiver homes.
13    (u-6) To assist relative and certified relative
14caregivers, no later than July 1, 2025, the Department shall
15adopt rules to implement a relative support program, as
16follows:
17        (1) For relative and certified relative caregivers,
18    the Department is authorized to reimburse or prepay
19    reasonable expenditures to remedy home conditions
20    necessary to fulfill the home safety-related requirements
21    of relative caregiver homes.
22        (2) The Department may provide short-term emergency
23    funds to relative and certified relative caregiver homes
24    experiencing extreme hardships due to the difficulty and
25    stress associated with adding youth in care as new
26    household members.

 

 

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1        (3) Consistent with federal law, the Department shall
2    include in any State Plan made in accordance with the
3    Adoption Assistance and Child Welfare Act of 1980, Titles
4    IV-E and XIX of the Social Security Act, and any other
5    applicable federal laws the provision of kinship navigator
6    program services. The Department shall apply for and
7    administer all relevant federal aid in accordance with
8    law. Federal funds acquired for the kinship navigator
9    program shall be used for the development, implementation,
10    and operation of kinship navigator program services. The
11    kinship navigator program services may provide
12    information, referral services, support, and assistance to
13    relative and certified relative caregivers of youth in
14    care to address their unique needs and challenges. Until
15    the Department is approved to receive federal funds for
16    these purposes, the Department shall publicly post on the
17    Department's website semi-annual updates regarding the
18    Department's progress in pursuing federal funding.
19    Whenever the Department publicly posts these updates on
20    its website, the Department shall notify the General
21    Assembly through the General Assembly's designee.
22    (u-7) To support finding permanency for children through
23subsidized guardianship and adoption and to prevent disruption
24in guardianship and adoptive placements, the Department shall
25establish and maintain accessible subsidized guardianship and
26adoption support services for all children under 18 years of

 

 

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1age placed in guardianship or adoption who, immediately
2preceding the guardianship or adoption, were in the custody or
3guardianship of the Department under Article II of the
4Juvenile Court Act of 1987.
5    The Department shall establish and maintain a toll-free
6number to respond to requests from the public about its
7subsidized guardianship and adoption support services under
8this subsection and shall staff the toll-free number so that
9calls are answered on a timely basis, but in no event more than
10one business day after the receipt of a request. These
11requests from the public may be made anonymously. To meet this
12obligation, the Department may utilize the same toll-free
13number the Department operates to respond to post-adoption
14requests under subsection (b-5) of Section 18.9 of the
15Adoption Act. The Department shall publicize information about
16the Department's subsidized guardianship support services and
17toll-free number as follows:
18        (1) it shall post information on the Department's
19    website;
20        (2) it shall provide the information to every licensed
21    child welfare agency and any entity providing subsidized
22    guardianship support services in Illinois courts;
23        (3) it shall reference such information in the
24    materials the Department provides to caregivers pursuing
25    subsidized guardianship to inform them of their rights and
26    responsibilities under the Child Care Act of 1969 and this

 

 

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1    Act;
2        (4) it shall provide the information, including the
3    Department's Post Adoption and Guardianship Services
4    booklet, to eligible caregivers as part of its
5    guardianship training and at the time they are presented
6    with the Permanency Commitment form;
7        (5) it shall include, in each annual notification
8    letter mailed to subsidized guardians, a short, 2-sided
9    flier or news bulletin in plain language that describes
10    access to post-guardianship services, how to access
11    services under the Family Support Program, formerly known
12    as the Individual Care Grant Program, the webpage address
13    to the Post Adoption and Guardianship Services booklet,
14    information on how to request that a copy of the booklet be
15    mailed; and
16        (6) it shall ensure that kinship navigator programs of
17    this State, when established, have this information to
18    include in materials the programs provide to caregivers.
19    No later than July 1, 2026, the Department shall provide a
20mechanism for the public to make information requests by
21electronic means.
22    The Department shall review and update annually all
23information relating to its subsidized guardianship support
24services, including its Post Adoption and Guardianship
25Services booklet, to include updated information on Family
26Support Program services eligibility and subsidized

 

 

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1guardianship support services that are available through the
2medical assistance program established under Article V of the
3Illinois Public Aid Code or any other State program for mental
4health services. The Department and the Department of
5Healthcare and Family Services shall coordinate their efforts
6in the development of these resources.
7    Every licensed child welfare agency and any entity
8providing kinship navigator programs funded by the Department
9shall provide the Department's website address and link to the
10Department's subsidized guardianship support services
11information set forth in subsection (d), including the
12Department's toll-free number, to every relative who is or
13will be providing guardianship placement for a child placed by
14the Department.
15    (v) The Department shall access criminal history record
16information as defined in the Illinois Uniform Conviction
17Information Act and information maintained in the adjudicatory
18and dispositional record system as defined in Section 2605-355
19of the Illinois State Police Law if the Department determines
20the information is necessary to perform its duties under the
21Abused and Neglected Child Reporting Act, the Child Care Act
22of 1969, and the Children and Family Services Act. The
23Department shall provide for interactive computerized
24communication and processing equipment that permits direct
25online on-line communication with the Illinois State Police's
26central criminal history data repository. The Department shall

 

 

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1comply with all certification requirements and provide
2certified operators who have been trained by personnel from
3the Illinois State Police. In addition, one Office of the
4Inspector General investigator shall have training in the use
5of the criminal history information access system and have
6access to the terminal. The Department of Children and Family
7Services and its employees shall abide by rules and
8regulations established by the Illinois State Police relating
9to the access and dissemination of this information.
10    (v-1) Prior to final approval for placement of a child
11with a foster or adoptive parent, the Department shall conduct
12a criminal records background check of the prospective foster
13or adoptive parent, including fingerprint-based checks of
14national crime information databases. Final approval for
15placement shall not be granted if the record check reveals a
16felony conviction for child abuse or neglect, for spousal
17abuse, for a crime against children, or for a crime involving
18violence, including human trafficking, sex trafficking, rape,
19sexual assault, or homicide, but not including other physical
20assault or battery, or if there is a felony conviction for
21physical assault, battery, or a drug-related offense committed
22within the past 5 years.
23    (v-2) Prior to final approval for placement of a child
24with a foster or adoptive parent, the Department shall check
25its child abuse and neglect registry for information
26concerning prospective foster and adoptive parents, and any

 

 

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1adult living in the home. If any prospective foster or
2adoptive parent or other adult living in the home has resided
3in another state in the preceding 5 years, the Department
4shall request a check of that other state's child abuse and
5neglect registry.
6    (v-3) Prior to the final approval of final placement of a
7related child in a certified relative caregiver home as
8defined in Section 2.37 of the Child Care Act of 1969, the
9Department shall ensure that the background screening meets
10the standards required under subsection (c) of Section 3.4 of
11the Child Care Act of 1969.
12    (v-4) Prior to final approval for placement of a child
13with a relative, as defined in Section 4d of this Act, who is
14not a licensed foster parent, has declined to seek approval to
15be a certified relative caregiver, or was denied approval as a
16certified relative caregiver, the Department shall:
17        (i) check the child abuse and neglect registry for
18    information concerning the prospective relative caregiver
19    and any other adult living in the home. If any prospective
20    relative caregiver or other adult living in the home has
21    resided in another state in the preceding 5 years, the
22    Department shall request a check of that other state's
23    child abuse and neglect registry; and
24        (ii) conduct a criminal records background check of
25    the prospective relative caregiver and all other adults
26    living in the home, including fingerprint-based checks of

 

 

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1    national crime information databases. Final approval for
2    placement shall not be granted if the record check reveals
3    a felony conviction for child abuse or neglect, for
4    spousal abuse, for a crime against children, or for a
5    crime involving violence, including human trafficking, sex
6    trafficking, rape, sexual assault, or homicide, but not
7    including other physical assault or battery, or if there
8    is a felony conviction for physical assault, battery, or a
9    drug-related offense committed within the past 5 years;
10    provided however, that the Department is empowered to
11    grant a waiver as the Department may provide by rule, and
12    the Department approves the request for the waiver based
13    on a comprehensive evaluation of the caregiver and
14    household members and the conditions relating to the
15    safety of the placement.
16    No later than July 1, 2025, the Department shall adopt
17rules or revise existing rules to effectuate the changes made
18to this subsection (v-4). The rules shall outline the
19essential elements of each form used in the implementation and
20enforcement of the provisions of this amendatory Act of the
21103rd General Assembly.
22    (w) (Blank).
23    (x) The Department shall conduct annual credit history
24checks to determine the financial history of children placed
25under its guardianship pursuant to the Juvenile Court Act of
261987. The Department shall conduct such credit checks starting

 

 

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1when a youth in care turns 12 years old and each year
2thereafter for the duration of the guardianship as terminated
3pursuant to the Juvenile Court Act of 1987. The Department
4shall determine if financial exploitation of the child's
5personal information has occurred. If financial exploitation
6appears to have taken place or is presently ongoing, the
7Department shall notify the proper law enforcement agency, the
8proper State's Attorney, or the Attorney General.
9    (y) Beginning on July 22, 2010 (the effective date of
10Public Act 96-1189), a child with a disability who receives
11residential and educational services from the Department shall
12be eligible to receive transition services in accordance with
13Article 14 of the School Code from the age of 14.5 through age
1421, inclusive, notwithstanding the child's residential
15services arrangement. For purposes of this subsection, "child
16with a disability" means a child with a disability as defined
17by the federal Individuals with Disabilities Education
18Improvement Act of 2004.
19    (z) The Department shall access criminal history record
20information as defined as "background information" in this
21subsection and criminal history record information as defined
22in the Illinois Uniform Conviction Information Act for each
23Department employee or Department applicant. Each Department
24employee or Department applicant shall submit the employee's
25or applicant's fingerprints to the Illinois State Police in
26the form and manner prescribed by the Illinois State Police.

 

 

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1These fingerprints shall be checked against the fingerprint
2records now and hereafter filed in the Illinois State Police
3and the Federal Bureau of Investigation criminal history
4records databases. The Illinois State Police shall charge a
5fee for conducting the criminal history record check, which
6shall be deposited into the State Police Services Fund and
7shall not exceed the actual cost of the record check. The
8Illinois State Police shall furnish, pursuant to positive
9identification, all Illinois conviction information to the
10Department of Children and Family Services.
11    For purposes of this subsection:
12    "Background information" means all of the following:
13        (i) Upon the request of the Department of Children and
14    Family Services, conviction information obtained from the
15    Illinois State Police as a result of a fingerprint-based
16    criminal history records check of the Illinois criminal
17    history records database and the Federal Bureau of
18    Investigation criminal history records database concerning
19    a Department employee or Department applicant.
20        (ii) Information obtained by the Department of
21    Children and Family Services after performing a check of
22    the Illinois State Police's Sex Offender Database, as
23    authorized by Section 120 of the Sex Offender Community
24    Notification Law, concerning a Department employee or
25    Department applicant.
26        (iii) Information obtained by the Department of

 

 

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1    Children and Family Services after performing a check of
2    the Child Abuse and Neglect Tracking System (CANTS)
3    operated and maintained by the Department.
4    "Department employee" means a full-time or temporary
5employee coded or certified within the State of Illinois
6Personnel System.
7    "Department applicant" means an individual who has
8conditional Department full-time or part-time work, a
9contractor, an individual used to replace or supplement staff,
10an academic intern, a volunteer in Department offices or on
11Department contracts, a work-study student, an individual or
12entity licensed by the Department, or an unlicensed service
13provider who works as a condition of a contract or an agreement
14and whose work may bring the unlicensed service provider into
15contact with Department clients or client records.
16    (aa) The changes made to this Section by Public Act
17104-165 this amendatory Act of the 104th General Assembly are
18declarative of existing law and are not a new enactment.
19(Source: P.A. 103-22, eff. 8-8-23; 103-50, eff. 1-1-24;
20103-546, eff. 8-11-23; 103-605, eff. 7-1-24; 103-1061, eff.
217-1-25; 104-107, eff. 7-1-26; 104-165, eff. 8-15-25; revised
229-11-25.)
 
23    (20 ILCS 505/5a)  (from Ch. 23, par. 5005a)
24    Sec. 5a. Reimbursable services for which the Department of
25Children and Family Services shall pay 100% of the reasonable

 

 

HB5373- 138 -LRB104 20029 AAS 33480 b

1cost pursuant to a written contract negotiated between the
2Department and the agency furnishing the services (which shall
3include but not be limited to the determination of reasonable
4cost, the services being purchased and the duration of the
5agreement) include, but are not limited to:
 
6SERVICE ACTIVITIES
7    Adjunctive Therapy;
8    Child Care Service, including child day care;
9    Clinical Therapy;
10    Custodial Service;
11    Field Work Students;
12    Food Service;
13    Normal Education;
14    In-Service Training;
15    Intake or Evaluation, or both;
16    Medical Services;
17    Recreation;
18    Social Work or Counselling, or both;
19    Supportive Staff;
20    Volunteers.
 
21OBJECT EXPENSES
22    Professional Fees and Contract Service Payments;
23    Supplies;
24    Telephone and Telegram;

 

 

HB5373- 139 -LRB104 20029 AAS 33480 b

1    Occupancy;
2    Local Transportation;
3    Equipment and Other Fixed Assets, including amortization
4        of same;
5    Miscellaneous.
 
6ADMINISTRATIVE COSTS
7    Program Administration;
8    Supervision and Consultation;
9    Inspection and Monitoring for purposes of issuing
10        licenses;
11    Determination of Children who are eligible
12    for federal or other reimbursement;
13    Postage and Shipping;
14    Outside Printing, Artwork, etc.;
15    Subscriptions and Reference Publications;
16    Management and General Expense.
17Reimbursement of administrative costs other than inspection
18and monitoring for purposes of issuing licenses may not exceed
1920% of the costs for other services.
20    The Department may offer services to any child or family
21with respect to whom a report of suspected child abuse or
22neglect has been called in to the hotline after completion of a
23family assessment as provided under subsection (a-5) of
24Section 7.4 of the Abused and Neglected Child Reporting Act
25and the Department has determined that services are needed to

 

 

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1address the safety of the child and other family members and
2the risk of subsequent maltreatment. Acceptance of such
3services shall be voluntary.
4    All Object Expenses, Service Activities and Administrative
5Costs are allowable.
6    If a survey instrument is used in the rate setting
7process:
8        (a) with respect to any child day care centers, it
9    shall be limited to those agencies which receive
10    reimbursement from the State;
11        (b) the cost survey instrument shall be promulgated by
12    rule;
13        (c) any requirements of the respondents shall be
14    promulgated by rule;
15        (d) all screens, limits or other tests of
16    reasonableness, allowability and reimbursability shall be
17    promulgated by rule;
18        (e) adjustments may be made by the Department to rates
19    when it determines that reported wage and salary levels
20    are insufficient to attract capable caregivers in
21    sufficient numbers.
22    The Department of Children and Family Services may pay
23100% of the reasonable costs of research and valuation focused
24exclusively on services to youth in care. Such research
25projects must be approved, in advance, by the Director of the
26Department.

 

 

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1    In addition to reimbursements otherwise provided for in
2this Section, the Department of Human Services, through June
330, 2026 and Department of Early Childhood beginning on and
4after July 1, 2026, shall, in accordance with annual written
5agreements, make advance quarterly disbursements to local
6public agencies for child day care services with funds
7appropriated from the Local Effort Day Care Fund.
8    Neither the Department of Children and Family Services nor
9the Department of Human Services through June 30, 2026 and the
10Department of Early Childhood beginning on and after July 1,
112026 shall pay or approve reimbursement for child day care in a
12facility which is operating without a valid license or permit,
13except in the case of child day care homes or child day care
14centers which are exempt from the licensing requirements of
15the Child Care Act of 1969.
16    The rates paid to child day care providers by the
17Department of Children and Family Services shall match the
18rates paid to child care providers by the Department of Human
19Services, including base rates and any relevant rate
20enhancements through June 30, 2026. On and after July 1, 2026,
21the Department of Early Childhood shall pay child day care
22providers, who service the Department of Children and Family
23Services under the child care assistance program, including
24base rates and any relevant rate enhancements.
25(Source: P.A. 102-926, eff. 7-1-23; 103-594, eff. 6-25-24.)
 

 

 

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1    (20 ILCS 505/5.15)
2    (Section scheduled to be repealed on July 1, 2026)
3    Sec. 5.15. Child Day care; Department of Human Services.
4    (a) For the purpose of ensuring effective statewide
5planning, development, and utilization of resources for the
6child day care of children, operated under various auspices,
7the Department of Human Services, or any State agency that
8assumes these responsibilities, is designated to coordinate
9all child day care activities for children of the State and
10shall develop or continue, and shall update every year, a
11State comprehensive child care day-care plan for submission to
12the Governor that identifies high-priority areas and groups,
13relating them to available resources and identifying the most
14effective approaches to the use of existing child day care
15services. The State comprehensive child care day-care plan
16shall be made available to the General Assembly following the
17Governor's approval of the plan.
18    The plan shall include methods and procedures for the
19development of additional child day care resources for
20children to meet the goal of reducing short-run and long-run
21dependency and to provide necessary enrichment and stimulation
22to the education of young children. Recommendations shall be
23made for State policy on optimum use of private and public,
24local, State and federal resources, including an estimate of
25the resources needed for the licensing and regulation of child
26day care facilities.

 

 

HB5373- 143 -LRB104 20029 AAS 33480 b

1    A written report shall be submitted to the Governor and
2the General Assembly annually on April 15. The report shall
3include an evaluation of developments over the preceding
4fiscal year, including cost-benefit analyses of various
5arrangements. Beginning with the report in 1990 submitted by
6the Department's predecessor agency and every 2 years
7thereafter, the report shall also include the following:
8        (1) An assessment of the child care services, needs
9    and available resources throughout the State and an
10    assessment of the adequacy of existing child care
11    services, including, but not limited to, services assisted
12    under this Act and under any other program administered by
13    other State agencies.
14        (2) A survey of child day care facilities to determine
15    the number of qualified caregivers, as defined by rule,
16    attracted to vacant positions, or retained at the current
17    positions, and any problems encountered by facilities in
18    attracting and retaining capable caregivers. The report
19    shall include an assessment, based on the survey, of
20    improvements in employee benefits that may attract capable
21    caregivers. The survey process shall incorporate feedback
22    from groups and individuals with relevant expertise or
23    lived experience, including, but not limited to, educators
24    and child care providers, regarding the collection of data
25    in order to inform strategies and costs related to the
26    Child Care Development Fund and the General Revenue Fund,

 

 

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1    for the purpose of promoting workforce recruitment and
2    retention. The survey shall, at a minimum, be updated
3    every 4 years based on feedback received. Initial survey
4    updates shall be made prior to the 2025 survey data
5    collection.
6        (3) The average wages and salaries and fringe benefit
7    packages paid to caregivers throughout the State, computed
8    on a regional basis, compared to similarly qualified
9    employees in other but related fields.
10        (4) The qualifications of new caregivers hired at
11    licensed child day care facilities during the previous
12    2-year period.
13        (5) Recommendations for increasing caregiver wages and
14    salaries to ensure quality care for children.
15        (6) Evaluation of the fee structure and income
16    eligibility for child care subsidized by the State.
17    The requirement for reporting to the General Assembly
18shall be satisfied by filing copies of the report as required
19by Section 3.1 of the General Assembly Organization Act, and
20filing such additional copies with the State Government Report
21Distribution Center for the General Assembly as is required
22under paragraph (t) of Section 7 of the State Library Act.
23    (b) The Department of Human Services shall establish
24policies and procedures for developing and implementing
25interagency agreements with other agencies of the State
26providing child care services or reimbursement for such

 

 

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1services. The plans shall be annually reviewed and modified
2for the purpose of addressing issues of applicability and
3service system barriers.
4    (c) In cooperation with other State agencies, the
5Department of Human Services shall develop and implement, or
6shall continue, a resource and referral system for the State
7of Illinois either within the Department or by contract with
8local or regional agencies. Funding for implementation of this
9system may be provided through Department appropriations or
10other inter-agency funding arrangements. The resource and
11referral system shall provide at least the following services:
12        (1) Assembling and maintaining a data base on the
13    supply of child care services.
14        (2) Providing information and referrals for parents.
15        (3) Coordinating the development of new child care
16    resources.
17        (4) Providing technical assistance and training to
18    child care service providers.
19        (5) Recording and analyzing the demand for child care
20    services.
21    (d) The Department of Human Services shall conduct child
22day care planning activities with the following priorities:
23        (1) Development of voluntary child day care resources
24    wherever possible, with the provision for grants-in-aid
25    only where demonstrated to be useful and necessary as
26    incentives or supports. By January 1, 2002, the Department

 

 

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1    shall design a plan to create more child care slots as well
2    as goals and timetables to improve quality and
3    accessibility of child care.
4        (2) Emphasis on service to children of recipients of
5    public assistance when such service will allow training or
6    employment of the parent toward achieving the goal of
7    independence.
8        (3) (Blank).
9        (4) Care of children from families in stress and
10    crises whose members potentially may become, or are in
11    danger of becoming, non-productive and dependent.
12        (5) Expansion of family child day care facilities
13    wherever possible.
14        (6) Location of centers in economically depressed
15    neighborhoods, preferably in multi-service centers with
16    cooperation of other agencies. The Department shall
17    coordinate the provision of grants, but only to the extent
18    funds are specifically appropriated for this purpose, to
19    encourage the creation and expansion of child care centers
20    in high need communities to be issued by the State,
21    business, and local governments.
22        (7) Use of existing facilities free of charge or for
23    reasonable rental whenever possible in lieu of
24    construction.
25        (8) Development of strategies for assuring a more
26    complete range of child day care options, including

 

 

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1    provision of child day care services in homes, in schools,
2    or in centers, which will enable a parent or parents to
3    complete a course of education or obtain or maintain
4    employment and the creation of more child care options for
5    swing shift, evening, and weekend workers and for working
6    women with sick children. The Department shall encourage
7    companies to provide child care in their own offices or in
8    the building in which the corporation is located so that
9    employees of all the building's tenants can benefit from
10    the facility.
11        (9) Development of strategies for subsidizing students
12    pursuing degrees in the child care field.
13        (10) Continuation and expansion of service programs
14    that assist teen parents to continue and complete their
15    education.
16    Emphasis shall be given to support services that will help
17to ensure such parents' graduation from high school and to
18services for participants in any programs of job training
19conducted by the Department.
20    (e) The Department of Human Services shall actively
21stimulate the development of public and private resources at
22the local level. It shall also seek the fullest utilization of
23federal funds directly or indirectly available to the
24Department.
25    Where appropriate, existing non-governmental agencies or
26associations shall be involved in planning by the Department.

 

 

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1    (f) To better accommodate the child care needs of low
2income working families, especially those who receive
3Temporary Assistance for Needy Families (TANF) or who are
4transitioning from TANF to work, or who are at risk of
5depending on TANF in the absence of child care, the Department
6shall complete a study using outcome-based assessment
7measurements to analyze the various types of child care needs,
8including but not limited to: child care homes; child care
9facilities; before and after school care; and evening and
10weekend care. Based upon the findings of the study, the
11Department shall develop a plan by April 15, 1998, that
12identifies the various types of child care needs within
13various geographic locations. The plan shall include, but not
14be limited to, the special needs of parents and guardians in
15need of non-traditional child care services such as early
16mornings, evenings, and weekends; the needs of very low income
17families and children and how they might be better served; and
18strategies to assist child care providers to meet the needs
19and schedules of low income families.
20    (g) This Section is repealed on July 1, 2026.
21(Source: P.A. 103-594, eff. 6-25-24; 103-1054, eff. 12-20-24;
22104-417, eff. 8-15-25.)
 
23    (20 ILCS 505/21)
24    Sec. 21. Investigative powers; training.
25    (a) To make such investigations as it may deem necessary

 

 

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1to the performance of its duties.
2    (b) In the course of any such investigation any qualified
3person authorized by the Director may administer oaths and
4secure by its subpoena both the attendance and testimony of
5witnesses and the production of books and papers relevant to
6such investigation. Any person who is served with a subpoena
7by the Department to appear and testify or to produce books and
8papers, in the course of an investigation authorized by law,
9and who refuses or neglects to appear, or to testify, or to
10produce books and papers relevant to such investigation, as
11commanded in such subpoena, shall be guilty of a Class B
12misdemeanor. The fees of witnesses for attendance and travel
13shall be the same as the fees of witnesses before the circuit
14courts of this State. Any circuit court of this State, upon
15application of the person requesting the hearing or the
16Department, may compel the attendance of witnesses, the
17production of books and papers, and giving of testimony before
18the Department or before any authorized officer or employee
19thereof, by an attachment for contempt or otherwise, in the
20same manner as production of evidence may be compelled before
21such court. Every person who, having taken an oath or made
22affirmation before the Department or any authorized officer or
23employee thereof, shall willfully swear or affirm falsely,
24shall be guilty of perjury and upon conviction shall be
25punished accordingly.
26    (c) Investigations initiated under this Section shall

 

 

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1provide individuals due process of law, including the right to
2a hearing, to cross-examine witnesses, to obtain relevant
3documents, and to present evidence. Administrative findings
4shall be subject to the provisions of the Administrative
5Review Law.
6    (d) Beginning July 1, 1988, any child protective
7investigator or supervisor or child welfare specialist or
8supervisor employed by the Department on January 1, 1988 (the
9effective date of Public Act 85-206) shall have completed a
10training program which shall be instituted by the Department.
11The training program shall include, but not be limited to, the
12following: (1) training in the detection of symptoms of child
13neglect and drug abuse; (2) specialized training for dealing
14with families and children of drug abusers; and (3) specific
15training in child development, family dynamics and interview
16techniques. Such program shall conform to the criteria and
17curriculum developed under Section 4 of the Child Protective
18Investigator and Child Welfare Specialist Certification Act of
191987. Failure to complete such training due to lack of
20opportunity provided by the Department shall in no way be
21grounds for any disciplinary or other action against an
22investigator or a specialist.
23    The Department shall develop a continuous inservice staff
24development program and evaluation system. Each child
25protective investigator and supervisor and child welfare
26specialist and supervisor shall participate in such program

 

 

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1and evaluation and shall complete a minimum of 20 hours of
2inservice education and training every 2 years in order to
3maintain certification.
4    Any child protective investigator or child protective
5supervisor, or child welfare specialist or child welfare
6specialist supervisor hired by the Department who begins
7actual employment after January 1, 1988 (the effective date of
8Public Act 85-206), shall be certified pursuant to the Child
9Protective Investigator and Child Welfare Specialist
10Certification Act of 1987 before beginning such employment.
11Nothing in this Act shall replace or diminish the rights of
12employees under the Illinois Public Labor Relations Act, as
13amended, or the National Labor Relations Act. In the event of
14any conflict between either of those Acts, or any collective
15bargaining agreement negotiated thereunder, and the provisions
16of subsections (d) and (e), the former shall prevail and
17control.
18    (e) The Department shall develop and implement the
19following:
20        (1) A safety-based child welfare intervention system.
21        (2) Related training procedures.
22        (3) A standardized method for demonstration of
23    proficiency in application of the safety-based child
24    welfare intervention system.
25        (4) An evaluation of the reliability and validity of
26    the safety-based child welfare intervention system.

 

 

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1All child protective investigators and supervisors and child
2welfare specialists and supervisors employed by the Department
3or its contractors shall be required, subsequent to the
4availability of training under this Act, to demonstrate
5proficiency in application of the safety-based child welfare
6intervention system previous to being permitted to make safety
7decisions about the children for whom they are responsible.
8The Department shall establish a multi-disciplinary advisory
9committee appointed by the Director, including, but not
10limited to, representatives from the fields of child
11development, domestic violence, family systems, juvenile
12justice, law enforcement, health care, mental health,
13substance abuse, and social service to advise the Department
14and its related contractors in the development and
15implementation of the safety-based child welfare intervention
16system, related training, method for demonstration of
17proficiency in application of the safety-based child welfare
18intervention system, and evaluation of the reliability and
19validity of the safety-based child welfare intervention
20system. The Department shall develop the safety-based child
21welfare intervention system, training curriculum, method for
22demonstration of proficiency in application of the
23safety-based child welfare intervention system, and method for
24evaluation of the reliability and validity of the safety-based
25child welfare intervention system. Training and demonstration
26of proficiency in application of the safety-based child

 

 

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1welfare intervention system for all child protective
2investigators and supervisors and child welfare specialists
3and supervisors shall be completed as soon as practicable. The
4Department shall submit to the General Assembly on or before
5December 31, 2026, and every year thereafter, an annual report
6on the evaluation of the reliability and validity of the
7safety-based child welfare intervention system. The Department
8shall contract with a not-for-profit organization with
9demonstrated expertise in the field of safety-based child
10welfare intervention to assist in the development and
11implementation of the safety-based child welfare intervention
12system, related training, method for demonstration of
13proficiency in application of the safety-based child welfare
14intervention system, and evaluation of the reliability and
15validity of the safety-based child welfare intervention
16system.
17    (f) The Department shall provide each parent or guardian
18and responsible adult caregiver participating in a safety plan
19a copy of the written safety plan as signed by each parent or
20guardian and responsible adult caregiver and by a
21representative of the Department. The Department shall also
22provide each parent or guardian and responsible adult
23caregiver safety plan information on their rights and
24responsibilities that shall include, but need not be limited
25to, information on how to obtain medical care, emergency phone
26numbers, and information on how to notify schools or child day

 

 

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1care providers as appropriate. The Department's representative
2shall ensure that the safety plan is reviewed and approved by
3the child protection supervisor.
4(Source: P.A. 103-22, eff. 8-8-23; 103-460, eff. 1-1-24;
5103-605, eff. 7-1-24.)
 
6    (20 ILCS 505/22.1)  (from Ch. 23, par. 5022.1)
7    (Section scheduled to be repealed on July 1, 2026)
8    Sec. 22.1. Grants-in-aid for child care services;
9Department of Human Services.
10    (a) Blank.
11    (b) Blank.
12    (c) The Department of Human Services shall establish and
13operate child day care facilities for the children of migrant
14workers in areas of the State where they are needed. The
15Department may provide these child day care services by
16contracting with private centers if practicable. "Migrant
17worker" means any person who moves seasonally from one place
18to another, within or without the State, for the purpose of
19employment in agricultural activities. This Section is
20repealed on July 1, 2026.
21(Source: P.A. 103-594, eff. 6-25-24.)
 
22    (20 ILCS 505/22.4)  (from Ch. 23, par. 5022.4)
23    Sec. 22.4. Low-interest loans for child care facilities;
24Department of Human Services. The Department of Human Services

 

 

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1may establish, with financing to be provided through the
2issuance of bonds by the Illinois Finance Authority pursuant
3to the Illinois Finance Authority Act, a low-interest loan
4program to help child care centers and family child day care
5homes accomplish the following:
6        (a) establish a child care program;
7        (b) meet federal, State and local child care standards
8    as well as any applicable health and safety standards; or
9        (c) build facilities or renovate or expand existing
10    facilities.
11    Such loans shall be available only to child care centers
12and family child day care homes serving children of low income
13families.
14(Source: P.A. 93-205, eff. 1-1-04.)
 
15    Section 20. The Department of Commerce and Economic
16Opportunity Law of the Civil Administrative Code of Illinois
17is amended by changing Section 605-1050 as follows:
 
18    (20 ILCS 605/605-1050)
19    Sec. 605-1050. Coronavirus Back to Business Grant Program
20(or Back to Business Program).
21    (a) Purpose. The Department may receive State funds and,
22directly or indirectly, federal funds under the authority of
23legislation passed in response to the Coronavirus epidemic
24including, but not limited to, the Coronavirus Aid, Relief,

 

 

HB5373- 156 -LRB104 20029 AAS 33480 b

1and Economic Security Act, P.L. 116-136 (the "CARES Act") and
2the American Rescue Plan Act of 2021, P.L. 117-2 (the "ARPA
3Act"); such funds shall be used in accordance with the CARES
4Act and ARPA Act legislation and published guidance. Section
55001 of the CARES Act establishes the Coronavirus Relief Fund,
6which authorizes the State to expend funds that are necessary
7to respond to the COVID-19 public health emergency. The
8financial support of Qualifying Businesses is a necessary
9expense under federal guidance for implementing Section 5001
10of the CARES Act. Upon receipt or availability of such State or
11federal funds, and subject to appropriations for their use,
12the Department shall administer a program to provide financial
13assistance to Qualifying Businesses that have experienced
14interruption of business or other adverse conditions
15attributable to the COVID-19 public health emergency. Support
16may be provided directly by the Department to businesses and
17organizations or in cooperation with a Qualified Partner.
18Financial assistance may include, but not be limited to
19grants, expense reimbursements, or subsidies.
20    (b) From appropriations for the Back to Business Program,
21up to $60,000,000 may be allotted to the repayment or
22conversion of Eligible Loans made pursuant to the Department's
23Emergency Loan Fund Program. An Eligible Loan may be repaid or
24converted through a grant payment, subsidy, or reimbursement
25payment to the recipient or, on behalf of the recipient, to the
26Qualified Partner, or by any other lawful method.

 

 

HB5373- 157 -LRB104 20029 AAS 33480 b

1    (c) From appropriations for the Back to Business Program,
2the Department shall provide financial assistance through
3grants, expense reimbursements, or subsidies to Qualifying
4Businesses or a Qualified Partner to cover expenses or losses
5incurred due to the COVID-19 public health emergency or for
6start-up costs of a new Qualifying Business. All spending
7related to this program from federal funds must be
8reimbursable by the Federal Coronavirus Relief Fund in
9accordance with Section 5001 of the federal CARES Act, the
10ARPA Act, and any related federal guidance, or the provisions
11of any other federal source supporting the program.
12    (d) As more fully described in subsection (c), funds will
13be appropriated to the Back to Business Program for
14distribution to or on behalf of Qualifying Businesses. Of the
15funds appropriated, a minimum of 40% shall be allotted for
16Qualifying Businesses with ZIP codes located in the most
17disproportionately impacted areas of Illinois, based on
18positive COVID-19 cases.
19    (e) The Department shall coordinate with the Department of
20Human Services with respect to making grants, expense
21reimbursements or subsidies to any child care or day care
22provider providing services under Section 9A-11 of the
23Illinois Public Aid Code to determine what resources the
24Department of Human Services may be providing to a child care
25or day care provider under Section 9A-11 of the Illinois
26Public Aid Code.

 

 

HB5373- 158 -LRB104 20029 AAS 33480 b

1    (f) The Department may establish by rule administrative
2procedures for the grant program, including any application
3procedures, grant agreements, certifications, payment
4methodologies, and other accountability measures that may be
5imposed upon participants in the program. The emergency
6rulemaking process may be used to promulgate the initial rules
7of the grant program and any amendments to the rules following
8the effective date of this amendatory Act of the 102nd General
9Assembly.
10    (g) Definitions. As used in this Section:
11        (1) "COVID-19" means the novel coronavirus disease
12    deemed COVID-19 by the World Health Organization on
13    February 11, 2020.
14        (2) "Qualifying Business" means a business or
15    organization that has experienced or is experiencing
16    business interruption or other adverse conditions due to
17    the COVID-19 public health emergency, and includes a new
18    business or organization started after March 1, 2020 in
19    the midst of adverse conditions due to the COVID-19 public
20    health emergency.
21        (3) "Eligible Loan" means a loan of up to $50,000 that
22    was deemed eligible for funding under the Department's
23    Emergency Loan Fund Program and for which repayment will
24    be eligible for reimbursement from Coronavirus Relief Fund
25    monies pursuant to Section 5001 of the federal CARES Act
26    or the ARPA Act and any related federal guidance.

 

 

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1        (4) "Emergency Loan Fund Program", also referred to as
2    the "COVID-19 Emergency Relief Program", is a program
3    executed by the Department by which the State Small
4    Business Credit Initiative fund is utilized to guarantee
5    loans released by a financial intermediary or Qualified
6    Partner.
7        (5) "Qualified Partner" means a financial institution
8    or nonprofit with which the Department has entered into an
9    agreement or contract to provide or incentivize assistance
10    to Qualifying Businesses.
11    (h) Powers of the Department. The Department has the power
12to:
13        (1) provide grants, subsidies and expense
14    reimbursements to Qualifying Businesses or, on behalf of
15    Qualifying Businesses, to Qualifying Partners from
16    appropriations to cover Qualifying Businesses eligible
17    costs or losses incurred due to the COVID-19 public health
18    emergency, including losses caused by business
19    interruption or closure and including start-up costs for
20    new Qualifying Businesses;
21        (2) enter into agreements, accept funds, issue grants,
22    and engage in cooperation with agencies of the federal
23    government, units of local government, financial
24    institutions, and nonprofit organizations to carry out the
25    purposes of this Program, and to use funds appropriated
26    for the Back to Business Program;

 

 

HB5373- 160 -LRB104 20029 AAS 33480 b

1        (3) prepare forms for application, notification,
2    contract, and other matters, and establish procedures,
3    rules, or regulations deemed necessary and appropriate to
4    carry out the provisions of this Section;
5        (4) provide staff, administration, and related support
6    required to manage the Back to Business Program and pay
7    for the staffing, administration, and related support;
8        (5) using data provided by the Illinois Department of
9    Public Health and other reputable sources, determine which
10    geographic regions in Illinois have been most
11    disproportionately impacted by the COVID-19 public health
12    emergency, considering factors of positive cases, positive
13    case rates, and economic impact; and
14        (6) determine which industries and businesses in
15    Illinois have been most disproportionately impacted by the
16    COVID-19 public health emergency and establish procedures
17    that prioritize greatly impacted industries and
18    businesses, as well as Qualifying Businesses that did not
19    receive paycheck protection program assistance.
20(Source: P.A. 101-636, eff. 6-10-20; 102-16, eff. 6-17-21.)
 
21    Section 25. The Illinois Enterprise Zone Act is amended by
22changing Section 8 as follows:
 
23    (20 ILCS 655/8)  (from Ch. 67 1/2, par. 612)
24    Sec. 8. Zone Administration. The administration of an

 

 

HB5373- 161 -LRB104 20029 AAS 33480 b

1Enterprise Zone shall be under the jurisdiction of the
2designating municipality or county. Each designating
3municipality or county shall, by ordinance, designate a Zone
4Administrator for the certified zones within its jurisdiction.
5A Zone Administrator must be an officer or employee of the
6municipality or county. The Zone Administrator shall be the
7liaison between the designating municipality or county, the
8Department, and any designated zone organizations within zones
9under his jurisdiction.
10    A designating municipality or county may designate one or
11more organizations qualified under paragraph (d) of Section 3
12to be designated zone organizations for purposes of this Act.
13The municipality or county, may, by ordinance, delegate
14functions within an Enterprise Zone to one or more designated
15zone organizations in such zones.
16    Subject to the necessary governmental authorizations,
17designated zone organizations may provide the following
18services or perform the following functions in coordination
19with the municipality or county:
20    (a) Provide or contract for provision of public services
21including, but not limited to:
22        (1) establishment of crime watch patrols within zone
23    neighborhoods;
24        (2) establishment of volunteer child day care centers;
25        (3) organization of recreational activities for zone
26    area youth;

 

 

HB5373- 162 -LRB104 20029 AAS 33480 b

1        (4) garbage collection;
2        (5) street maintenance and improvements;
3        (6) bridge maintenance and improvements;
4        (7) maintenance and improvement of water and sewer
5    lines;
6        (8) energy conservation projects;
7        (9) health and clinic services;
8        (10) drug abuse programs;
9        (11) senior citizen assistance programs;
10        (12) park maintenance;
11        (13) rehabilitation, renovation, and operation and
12    maintenance of low and moderate income housing; and
13        (14) other types of public services as provided by law
14    or regulation.
15    (b) Exercise authority for the enforcement of any code,
16permit, or licensing procedure within an Enterprise Zone.
17    (c) Provide a forum for business, labor and government
18action on zone innovations.
19    (d) Apply for regulatory relief as provided in Section 8
20of this Act.
21    (e) Receive title to publicly owned land.
22    (f) Perform such other functions as the responsible
23government entity may deem appropriate, including offerings
24and contracts for insurance with businesses within the Zone.
25    (g) Agree with local governments to provide such public
26services within the zones by contracting with private firms

 

 

HB5373- 163 -LRB104 20029 AAS 33480 b

1and organizations, where feasible and prudent.
2    (h) Solicit and receive contributions to improve the
3quality of life in the Enterprise Zone.
4(Source: P.A. 91-357, eff. 7-29-99.)
 
5    Section 30. The Department of Human Services Act is
6amended by changing Sections 1-75 and 10-22 as follows:
 
7    (20 ILCS 1305/1-75)
8    (Section scheduled to be repealed on July 1, 2026)
9    Sec. 1-75. Off-Hours Child Care Program.
10    (a) Legislative intent. The General Assembly finds that:
11        (1) Finding child care can be a challenge for
12    firefighters, paramedics, police officers, nurses, and
13    other third shift workers across the State who often work
14    non-typical work hours. This can impact home life, school,
15    bedtime routines, job safety, and the mental health of
16    some of our most critical frontline workers and their
17    families.
18        (2) There is a need for increased options for
19    off-hours child care in the State. A majority of the
20    State's child care facilities do not provide care outside
21    of normal work hours, with just 3,251 child day care homes
22    and 435 group child day care homes that provide night
23    care.
24        (3) Illinois has a vested interest in ensuring that

 

 

HB5373- 164 -LRB104 20029 AAS 33480 b

1    our first responders and working families can provide
2    their children with appropriate care during off hours to
3    improve the morale of existing first responders and to
4    improve recruitment into the future.
5    (b) As used in this Section, "first responders" means
6emergency medical services personnel as defined in the
7Emergency Medical Services (EMS) Systems Act, firefighters,
8law enforcement officers, and, as determined by the
9Department, any other workers who, on account of their work
10schedule, need child care outside of the hours when licensed
11child care facilities typically operate.
12    (c) Subject to appropriation, the Department of Human
13Services shall establish and administer an Off-Hours Child
14Care Program to help first responders and other workers
15identify and access off-hours, night, or sleep time child
16care. Services funded under the program must address the child
17care needs of first responders. Funding provided under the
18program may also be used to cover any capital and operating
19expenses related to the provision of off-hours, night, or
20sleep time child care for first responders. Funding awarded
21under this Section shall be funded through appropriations from
22the Off-Hours Child Care Program Fund created under subsection
23(d). The Department shall implement the program by July 1,
242023. The Department may adopt any rules necessary to
25implement the program.
26    (d) The Off-Hours Child Care Program Fund is created as a

 

 

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1special fund in the State treasury. The Fund shall consist of
2any moneys appropriated to the Department of Human Services
3for the Off-Hours Child Care Program. Moneys in the Fund shall
4be expended for the Off-Hours Child Care Program and for no
5other purpose. All interest earned on moneys in the Fund shall
6be deposited into the Fund.
7    (e) This Section is repealed on July 1, 2026.
8(Source: P.A. 103-154, eff. 6-30-23; 103-594, eff. 6-25-24;
9104-417, eff. 8-15-25.)
 
10    (20 ILCS 1305/10-22)
11    (Section scheduled to be repealed on July 1, 2026)
12    Sec. 10-22. Great START program.
13    (a) The Department of Human Services shall, subject to a
14specific appropriation for this purpose, operate a Great START
15(Strategy To Attract and Retain Teachers) program. The goal of
16the program is to improve children's developmental and
17educational outcomes in child care by encouraging increased
18professional preparation by staff and staff retention. The
19Great START program shall coordinate with the TEACH
20professional development program.
21    The program shall provide wage supplements and may include
22other incentives to licensed child care center personnel,
23including early childhood teachers, school-age workers, early
24childhood assistants, school-age assistants, and directors, as
25such positions are defined by administrative rule of the

 

 

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1Department of Children and Family Services. The program shall
2provide wage supplements and may include other incentives to
3licensed family child day care home personnel and licensed
4group child day care home personnel, including caregivers and
5assistants as such positions are defined by administrative
6rule of the Department of Children and Family Services.
7Individuals will receive supplements commensurate with their
8qualifications.
9    (b) (Blank).
10    (c) The Department shall, by rule, define the scope and
11operation of the program, including a wage supplement scale.
12The scale shall pay increasing amounts for higher levels of
13educational attainment beyond minimum qualifications and shall
14recognize longevity of employment. Subject to the availability
15of sufficient appropriation, the wage supplements shall be
16paid to child care personnel in the form of bonuses at 6 month
17intervals. Six months of continuous service with a single
18employer is required to be eligible to receive a wage
19supplement bonus. Wage supplements shall be paid directly to
20individual child day care personnel, not to their employers.
21Eligible individuals must provide to the Department or its
22agent all information and documentation, including but not
23limited to college transcripts, to demonstrate their
24qualifications for a particular wage supplement level.
25    If appropriations permit, the Department may include
26one-time signing bonuses or other incentives to help providers

 

 

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1attract staff, provided that the signing bonuses are less than
2the supplement staff would have received if they had remained
3employed with another child day care center or family child
4day care home.
5    If appropriations permit, the Department may include
6one-time longevity bonuses or other incentives to recognize
7staff who have remained with a single employer.
8    (d) (Blank).
9    (e) This Section is repealed on July 1, 2026.
10(Source: P.A. 103-594, eff. 6-25-24.)
 
11    Section 35. The Mental Health and Developmental
12Disabilities Administrative Act is amended by changing Section
1357.5 as follows:
 
14    (20 ILCS 1705/57.5)
15    Sec. 57.5. Autism diagnosis education program.
16    (a) Subject to appropriations, the Department shall
17contract to establish an autism diagnosis education program
18for young children. The Department shall establish the program
19at 3 different sites in the State. The program shall have the
20following goals:
21        (1) Providing, to medical professionals and others
22    statewide, a systems development initiative that promotes
23    best practice standards for the diagnosis and treatment
24    planning for young children who have autism spectrum

 

 

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1    disorders, for the purpose of helping existing systems of
2    care to build solid circles of expertise within their
3    ranks.
4        (2) Educating medical practitioners, school personnel,
5    child day care providers, parents, and community service
6    providers (including, but not limited to, early
7    intervention and developmental disabilities providers)
8    throughout the State on appropriate diagnosis and
9    treatment of autism.
10        (3) Supporting systems of care for young children with
11    autism spectrum disorders.
12        (4) Working together with universities and
13    developmental disabilities providers to identify unmet
14    needs and resources.
15        (5) Encouraging and supporting research on optional
16    services for young children with autism spectrum
17    disorders.
18    In addition to the aforementioned items, on January 1,
192008, The Autism Program shall expand training and direct
20services by deploying additional regional centers, outreach
21centers, and community planning and network development
22initiatives. The expanded Autism Program Service Network shall
23consist of a comprehensive program of outreach and center
24development utilizing model programs developed by The Autism
25Program. This expansion shall span Illinois and support
26consensus building, outreach, and service provision for

 

 

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1children with autism spectrums disorders and their families.
2    (b) Before January 1, 2006, the Department shall report to
3the Governor and the General Assembly concerning the progress
4of the autism diagnosis education program established under
5this Section.
6(Source: P.A. 95-707, eff. 1-11-08.)
 
7    Section 40. The Illinois Finance Authority Act is amended
8by changing Section 840-5 as follows:
 
9    (20 ILCS 3501/840-5)
10    Sec. 840-5. The Authority shall have the following powers:
11    (a) To fix and revise from time to time and charge and
12collect rates, rents, fees and charges for the use of and for
13the services furnished or to be furnished by a project or other
14health facilities owned, financed or refinanced by the
15Authority or any portion thereof and to contract with any
16person, partnership, association or corporation or other body,
17public or private, in respect thereto; to coordinate its
18policies and procedures and cooperate with recognized health
19facility rate setting mechanisms which may now or hereafter be
20established.
21    (b) To establish rules and regulations for the use of a
22project or other health facilities owned, financed or
23refinanced by the Authority or any portion thereof and to
24designate a participating health institution as its agent to

 

 

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1establish rules and regulations for the use of a project or
2other health facilities owned by the Authority undertaken for
3that participating health institution.
4    (c) To establish or contract with others to carry out on
5its behalf a health facility project cost estimating service
6and to make this service available on all projects to provide
7expert cost estimates and guidance to the participating health
8institution and to the Authority. In order to implement this
9service and, through it, to contribute to cost containment,
10the Authority shall have the power to require such reasonable
11reports and documents from health facility projects as may be
12required for this service and for the development of cost
13reports and guidelines. The Authority may appoint a Technical
14Committee on Health Facility Project Costs and Cost
15Containment.
16    (d) To make mortgage or other secured or unsecured loans
17to or for the benefit of any participating health institution
18for the cost of a project in accordance with an agreement
19between the Authority and the participating health
20institution; provided that no such loan shall exceed the total
21cost of the project as determined by the participating health
22institution and approved by the Authority; provided further
23that such loans may be made to any entity affiliated with a
24participating health institution if the proceeds of such loan
25are made available to or applied for the benefit of such
26participating health institution.

 

 

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1    (e) To make mortgage or other secured or unsecured loans
2to or for the benefit of a participating health institution in
3accordance with an agreement between the Authority and the
4participating health institution to refund outstanding
5obligations, loans, indebtedness or advances issued, made,
6given or incurred by such participating health institution for
7the cost of a project; including the function to issue bonds
8and make loans to or for the benefit of a participating health
9institution to refinance indebtedness incurred by such
10participating health institution in projects undertaken and
11completed or for other health facilities acquired prior to or
12after the enactment of this Act when the Authority finds that
13such refinancing is in the public interest, and either
14alleviates a financial hardship of such participating health
15institution, or is in connection with other financing by the
16Authority for such participating health institution or may be
17expected to result in a lessened cost of patient care and a
18saving to third parties, including government, and to others
19who must pay for care, or any combination thereof; provided
20further that such loans may be made to any entity affiliated
21with a participating health institution if the proceeds of
22such loan are made available to or applied for the benefit of
23such participating health institution.
24    (f) To mortgage all or any portion of a project or other
25health facilities and the property on which any such project
26or other health facilities are located whether owned or

 

 

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1thereafter acquired, and to assign or pledge mortgages, deeds
2of trust, indentures of mortgage or trust or similar
3instruments, notes, and other securities of participating
4health institutions to which or for the benefit of which the
5Authority has made loans or of entities affiliated with such
6institutions and the revenues therefrom, including payments or
7income from any thereof owned or held by the Authority, for the
8benefit of the holders of bonds issued to finance such project
9or health facilities or issued to refund or refinance
10outstanding obligations, loans, indebtedness or advances of
11participating health institutions as permitted by this Act.
12    (g) To lease to a participating health institution the
13project being financed or refinanced or other health
14facilities conveyed to the Authority in connection with such
15financing or refinancing, upon such terms and conditions as
16the Authority shall deem proper, and to charge and collect
17rents therefor and to terminate any such lease upon the
18failure of the lessee to comply with any of the obligations
19thereof; and to include in any such lease, if desired,
20provisions that the lessee thereof shall have options to renew
21the lease for such period or periods and at such rent as shall
22be determined by the Authority or to purchase any or all of the
23health facilities or that upon payment of all of the
24indebtedness incurred by the Authority for the financing of
25such project or health facilities or for refunding outstanding
26obligations, loans, indebtedness or advances of a

 

 

HB5373- 173 -LRB104 20029 AAS 33480 b

1participating health institution, then the Authority may
2convey any or all of the project or such other health
3facilities to the lessee or lessees thereof with or without
4consideration.
5    (h) To make studies of needed health facilities that could
6not sustain a loan were it made under this Act and to recommend
7remedial action to the General Assembly; to do the same with
8regard to any laws or regulations that prevent health
9facilities from benefiting from this Act.
10    (i) To assist the Department of Commerce and Economic
11Opportunity to establish and implement a program to assist
12health facilities to identify and arrange financing for energy
13conservation projects in buildings and facilities owned or
14leased by health facilities.
15    (j) To assist the Department of Human Services in
16establishing a low interest loan program to help child care
17centers and family child day care homes serving children of
18low income families under Section 22.4 of the Children and
19Family Services Act. The Authority, on or after the effective
20date of this amendatory Act of the 97th General Assembly, is
21authorized to convert existing agreements for financial aid in
22accordance with Section 840-5(j) to permanent capital to
23leverage additional private capital and establish a revolving
24loan fund for nonprofit corporations providing human services
25under contract to the State.
26    (k) To assist the Department of Public Health and nursing

 

 

HB5373- 174 -LRB104 20029 AAS 33480 b

1homes in undertaking nursing home conversion projects in
2accordance with the Older Adult Services Act.
3(Source: P.A. 97-654, eff. 1-13-12.)
 
4    Section 45. The Asbestos Abatement Finance Act is amended
5by changing Section 2 as follows:
 
6    (20 ILCS 3510/2)  (from Ch. 111 1/2, par. 8102)
7    Sec. 2. Definitions. The following words and terms,
8whether or not capitalized, have the following meanings,
9unless the context or use clearly requires otherwise:
10    "Asbestos" means asbestos as defined and used in the
11federal Asbestos Hazard Emergency Response Act of 1986, as now
12or hereafter amended, including the regulations promulgated
13under that Act.
14    "Asbestos Abatement Project" means asbestos inspection,
15planning and response action under and within the meaning of
16the federal Asbestos Hazard Emergency Response Act of 1986, as
17now or hereafter amended, to abate a health hazard caused
18directly or indirectly by the existence of asbestos in any
19building or other facility owned, operated, maintained or
20occupied in whole or in part by a public corporation or a
21private institution.
22    "Authority" means the Illinois Finance Authority.
23    "Board" means the Board of the Authority.
24    "Bond" means any bond, note or other evidence of

 

 

HB5373- 175 -LRB104 20029 AAS 33480 b

1indebtedness issued by the Authority under this Act.
2    "Chairman" means the Chairman of the Authority.
3    "Cost" as applied to an asbestos abatement project means
4the costs incurred or to be incurred by a public corporation or
5a private institution in the removal, encapsulation,
6enclosure, repair, or maintenance of asbestos in any building
7or other facility owned, operated, maintained or occupied in
8whole or in part by a public corporation or a private
9institution, including all incidental costs such as
10engineering, architectural, consulting and legal expenses
11incurred in connection with an asbestos abatement project,
12plans, specifications, surveys, estimates of costs and
13revenues, finance charges, interest before and during
14construction of an asbestos abatement project and, for up to
1518 months after completion of construction, other expenses
16necessary or incident to determining the need, feasibility or
17practicability of an asbestos abatement project,
18administrative expenses, and such other costs, charges and
19expenses as may be necessary or incident to the construction
20or financing of any asbestos abatement project. As used in
21this Act, "cost" means not only costs of an asbestos abatement
22project expected to be incurred in the future, but costs
23already incurred and paid by a public corporation or a private
24institution so that a public corporation or a private
25institution shall be permitted to reimburse itself for those
26costs previously incurred and paid.

 

 

HB5373- 176 -LRB104 20029 AAS 33480 b

1    "Person" means any individual, firm, partnership,
2association, or corporation, separately or in any combination.
3    "Private institution" means any not-for-profit
4organization within the meaning of Section 501(c)(3) of the
5Internal Revenue Code of 1986, as now or hereafter amended,
6including any private or nonpublic pre-school, child day care
7center, day or residential educational institution that
8provides elementary or secondary education for grades 12 or
9under, any private or nonpublic college or university, or any
10hospital, health care or long term care institution.
11    "Private institution security" means any bond, note, loan
12agreement, or other evidence of indebtedness which a private
13institution is legally authorized to issue or enter into for
14the purpose of financing or refinancing the costs of an
15asbestos abatement project.
16    "Public corporation" means any body corporate organized by
17or under the laws of this State to carry out a public
18governmental or proprietary function, including the State, any
19State agency, any school district, park district, city,
20village, incorporated town, county, township, drainage or any
21other type of district, board, commission, authority,
22university, public community college or any combination
23(including any combination under Section 10 of Article VII of
24the Illinois Constitution or under the Intergovernmental
25Cooperation Act of 1973, as now or hereafter amended), acting
26through their corporate authorities, and any other unit of

 

 

HB5373- 177 -LRB104 20029 AAS 33480 b

1local government within the meaning of Section 1 of Article
2VII of the Illinois Constitution.
3    "Public corporation security" means any bond, note, loan
4agreement, or other evidence of indebtedness which a public
5corporation is legally authorized to issue or enter into for
6the purpose of financing or refinancing the costs of an
7asbestos abatement project.
8    "Secretary" means the Secretary of the Authority.
9    "State" means the State of Illinois.
10    "Treasurer" means the Treasurer of the Authority.
11(Source: P.A. 93-205, eff. 1-1-04.)
 
12    Section 50. The State Agency Employees Child Care Services
13Act is amended by changing Sections 2, 3, 4, and 5 as follows:
 
14    (30 ILCS 590/2)  (from Ch. 127, par. 3002)
15    Sec. 2. In this Act, unless the context otherwise
16requires, the following terms shall have the meanings ascribed
17to them:
18    1. "Department" means the Department of Central Management
19Services.
20    2. "State agency" means all departments, officers,
21commissions, boards, institutions and bodies politic and
22corporate of the State, including the offices of Clerk of the
23Supreme Court and Clerks of the Appellate Courts, the several
24courts of the State and the legislature, its committees or

 

 

HB5373- 178 -LRB104 20029 AAS 33480 b

1commissions.
2    3. "Child care services" means child day care home or
3center services as defined by the Child Care Act of 1969.
4(Source: P.A. 84-652.)
 
5    (30 ILCS 590/3)  (from Ch. 127, par. 3003)
6    Sec. 3. The Department may authorize a State agency to
7contract for the provision of child care services for its
8employees. The Department may, in accordance with established
9rules, allow child day care centers to operate in State-owned
10or leased facilities. Such facilities shall be primarily for
11use by State employees but use by non-employees may be
12allowed.
13    Where a State agency enters into a contract to construct,
14acquire or lease all or a substantial portion of a building, in
15which more than 50 persons shall be employed, other than a
16renewal of an existing lease, after July 1, 1990, and where a
17need has been demonstrated, according to Section 4 of this
18Act, on-site child care services shall be provided for State
19employees.
20    The Department shall implement this Act and shall
21promulgate all rules and regulations necessary for this
22purpose. By April 1, 1991, the Department shall propose rules
23setting forth the standards and criteria, including need and
24feasibility, for determining if on-site child care services
25shall be provided. The Department shall consult with the

 

 

HB5373- 179 -LRB104 20029 AAS 33480 b

1Department of Children and Family Services in defining
2standards for child care service centers established pursuant
3to this Act to ensure compliance with the Child Care Act of
41969. The Department shall establish a schedule of fees that
5shall be charged to employees of State agencies who may obtain
6child care services under this Act. Such schedule shall be
7established so that charges for service are based on the
8actual cost of care. Except as otherwise provided by law for
9employees who may qualify for public assistance or social
10services due to indigency or family circumstance, each
11employee obtaining child care services under this Act shall be
12responsible for full payment of such charges. The Department
13shall report, on or before December 31 of each year, to the
14Governor and the members of the General Assembly, on the
15feasibility and implementation of a plan for the provision of
16comprehensive child care services.
17(Source: P.A. 86-1482.)
 
18    (30 ILCS 590/4)  (from Ch. 127, par. 3004)
19    Sec. 4. Prior to receiving authorization from the
20Department to contract for child care services, a State agency
21shall demonstrate a need for such services. Proof of need
22submitted to the Department may include a survey of agency
23employees as well as a determination of the availability of
24child care services under such agency, through other State
25agencies, or in the community. The Department may also require

 

 

HB5373- 180 -LRB104 20029 AAS 33480 b

1submission of a feasibility, design and implementation plan,
2which takes into consideration similar needs and services of
3other State agencies.
4    The Department shall assist any State agency authorized to
5procure child care services in the preparation of a request
6for proposals, in order to assure that the services provided
7address the specific needs of the agency personnel.
8    Any State agency authorized by the Department to contract
9for child care services shall have the sole responsibility for
10choosing the successful bidder and overseeing the operation of
11its child care service program within the guidelines
12established by the Department. The Department shall promulgate
13rules pursuant to the Illinois Administrative Procedure Act
14which detail the specific standards to be used by the Director
15of any State agency in the selection of a vendor of child care
16services.
17    The State agency's contract shall provide for the
18establishment of or arrangement for the use of a licensed
19child day care center or a licensed child day care agency, as
20defined in the Child Care Act of 1969.
21    State agencies with similar needs, or those with small
22employee populations may group together to establish need and
23contract for the provision of child care services.
24(Source: P.A. 85-1337; 86-1482.)
 
25    (30 ILCS 590/5)  (from Ch. 127, par. 3005)

 

 

HB5373- 181 -LRB104 20029 AAS 33480 b

1    Sec. 5. The General Assembly, through the Joint Committee
2on Legislative Support Services, may contract for the
3establishment of child care services, which may also serve as
4a prototype or model of such services for other state
5agencies. Such a center shall use a schedule of fees and
6charges established by the Department under Section 3 of this
7Act. Such a center may also be used for the conduct of research
8on child development, child day care standards, the effect of
9employer-assisted child care on employee morale and
10productivity or other subjects as determined by the Joint
11Committee on Legislative Support Services, in consultation
12with the Department of Children and Family Services.
13(Source: P.A. 84-652.)
 
14    Section 55. The Use Tax Act is amended by changing Section
152c as follows:
 
16    (35 ILCS 105/2c)  (from Ch. 120, par. 439.2c)
17    Sec. 2c. For purposes of this Act, a corporation, limited
18liability company, society, association, foundation or
19institution organized and operated exclusively for educational
20purposes shall include: all tax-supported public schools;
21private schools which offer systematic instruction in useful
22branches of learning by methods common to public schools and
23which compare favorably in their scope and intensity with the
24course of study presented in tax-supported schools; licensed

 

 

HB5373- 182 -LRB104 20029 AAS 33480 b

1child day care centers as defined in Section 2.09 of the Child
2Care Act of 1969 which are operated by a not for profit
3corporation, society, association, foundation, institution or
4organization; vocational or technical schools or institutes
5organized and operated exclusively to provide a course of
6study of not less than 6 weeks duration and designed to prepare
7individuals to follow a trade or to pursue a manual,
8technical, mechanical, industrial, business or commercial
9occupation.
10    However, a corporation, limited liability company,
11society, association, foundation or institution organized and
12operated for the purpose of offering professional, trade or
13business seminars of short duration, self-improvement or
14personality development courses, courses which are avocational
15or recreational in nature, courses pursued entirely by open
16circuit television or radio, correspondence courses, or
17courses which do not provide specialized training within a
18specific vocational or technical field shall not be considered
19to be organized and operated exclusively for educational
20purposes.
21(Source: P.A. 88-480.)
 
22    Section 60. The Service Occupation Tax Act is amended by
23changing Section 2c as follows:
 
24    (35 ILCS 115/2c)  (from Ch. 120, par. 439.102c)

 

 

HB5373- 183 -LRB104 20029 AAS 33480 b

1    Sec. 2c. For purposes of this Act, a corporation, limited
2liability company, society, association, foundation or
3institution organized and operated exclusively for educational
4purposes shall include: all tax-supported public schools;
5private schools which offer systematic instruction in useful
6branches of learning by methods common to public schools and
7which compare favorably in their scope and intensity with the
8course of study presented in tax-supported schools; licensed
9child day care centers as defined in Section 2.09 of the Child
10Care Act of 1969 which are operated by a not-for-profit
11corporation, society, association, foundation, institution or
12organization; vocational or technical schools or institutes
13organized and operated exclusively to provide a course of
14study of not less than 6 weeks duration and designed to prepare
15individuals to follow a trade or to pursue a manual,
16technical, mechanical, industrial, business or commercial
17occupation.
18    However, a corporation, limited liability company,
19society, association, foundation or institution organized and
20operated for the purpose of offering professional, trade or
21business seminars of short duration, self-improvement or
22personality development courses, courses which are avocational
23or recreational in nature, courses pursued entirely by open
24circuit television or radio, correspondence courses, or
25courses which do not provide specialized training within a
26specific vocational or technical field shall not be considered

 

 

HB5373- 184 -LRB104 20029 AAS 33480 b

1to be organized and operated exclusively for educational
2purposes.
3(Source: P.A. 88-480.)
 
4    Section 65. The Retailers' Occupation Tax Act is amended
5by changing Section 2h as follows:
 
6    (35 ILCS 120/2h)  (from Ch. 120, par. 441h)
7    Sec. 2h. For purposes of this Act, a corporation, limited
8liability company, society, association, foundation or
9institution organized and operated exclusively for educational
10purposes shall include: all tax-supported public schools;
11private schools which offer systematic instruction in useful
12branches of learning by methods common to public schools and
13which compare favorably in their scope and intensity with the
14course of study presented in tax-supported schools; licensed
15child day care centers as defined in Section 2.09 of the Child
16Care Act of 1969 which are operated by a not for profit
17corporation, society, association, foundation, institution or
18organization; vocational or technical schools or institutes
19organized and operated exclusively to provide a course of
20study of not less than 6 weeks duration and designed to prepare
21individuals to follow a trade or to pursue a manual,
22technical, mechanical, industrial, business or commercial
23occupation.
24    However, a corporation, limited liability company,

 

 

HB5373- 185 -LRB104 20029 AAS 33480 b

1society, association, foundation or institution organized and
2operated for the purpose of offering professional, trade or
3business seminars of short duration, self-improvement or
4personality development courses, courses which are avocational
5or recreational in nature, courses pursued entirely by open
6circuit television or radio, correspondence courses, or
7courses which do not provide specialized training within a
8specific vocational or technical field shall not be considered
9to be organized and operated exclusively for educational
10purposes.
11(Source: P.A. 88-480.)
 
12    Section 70. The Community Self-Revitalization Act is
13amended by changing Section 15 as follows:
 
14    (50 ILCS 350/15)
15    Sec. 15. Certification; Board of Economic Advisors.
16    (a) In order to receive the assistance as provided in this
17Act, a community shall first, by ordinance passed by its
18corporate authorities, request that the Department certify
19that it is an economically distressed community. The community
20must submit a certified copy of the ordinance to the
21Department. After review of the ordinance, if the Department
22determines that the community meets the requirements for
23certification, the Department may certify the community as an
24economically distressed community.

 

 

HB5373- 186 -LRB104 20029 AAS 33480 b

1    (b) A community that is certified by the Department as an
2economically distressed community may appoint a Board of
3Economic Advisors to create and implement a revitalization
4plan for the community. The Board shall consist of 18 members
5of the community, appointed by the mayor or the presiding
6officer of the county or jointly by the presiding officers of
7each municipality and county that have joined to form a
8community for the purposes of this Act. Up to 18 Board members
9may be appointed from the following vital sectors:
10        (1) A member representing households and families.
11        (2) A member representing religious organizations.
12        (3) A member representing educational institutions.
13        (4) A member representing child care daycare centers,
14    care centers for persons with disabilities, and care
15    centers for the disadvantaged.
16        (5) A member representing community based
17    organizations such as neighborhood improvement
18    associations.
19        (6) A member representing federal and State employment
20    service systems, skill training centers, and placement
21    referrals.
22        (7) A member representing Masonic organizations,
23    fraternities, sororities, and social clubs.
24        (8) A member representing hospitals, nursing homes,
25    senior citizens, public health agencies, and funeral
26    homes.

 

 

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1        (9) A member representing organized sports, parks,
2    parties, and games of chance.
3        (10) A member representing political parties, clubs,
4    and affiliations, and election related matters concerning
5    voter education and participation.
6        (11) A member representing the cultural aspects of the
7    community, including cultural events, lifestyles,
8    languages, music, visual and performing arts, and
9    literature.
10        (12) A member representing police and fire protection
11    agencies, prisons, weapons systems, and the military
12    industrial complex.
13        (13) A member representing local businesses.
14        (14) A member representing the retail industry.
15        (15) A member representing the service industry.
16        (16) A member representing the industrial, production,
17    and manufacturing sectors.
18        (17) A member representing the advertising and
19    marketing industry.
20        (18) A member representing the technology services
21    industry.
22    The Board shall meet initially within 30 days of its
23appointment, shall select one member as chairperson at its
24initial meeting, and shall thereafter meet at the call of the
25chairperson. Members of the Board shall serve without
26compensation.

 

 

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1    (c) One third of the initial appointees shall serve for 2
2years, one third shall serve for 3 years, and one third shall
3serve for 4 years, as determined by lot. Subsequent appointees
4shall serve terms of 5 years.
5    (d) The Board shall create a 3-year to 5-year
6revitalization plan for the community. The plan shall contain
7distinct, measurable objectives for revitalization. The
8objectives shall be used to guide ongoing implementation of
9the plan and to measure progress during the 3-year to 5-year
10period. The Board shall work in a dynamic manner defining
11goals for the community based on the strengths and weaknesses
12of the individual sectors of the community as presented by
13each member of the Board. The Board shall meet periodically
14and revise the plan in light of the input from each member of
15the Board concerning his or her respective sector of
16expertise. The process shall be a community driven
17revitalization process, with community-specific data
18determining the direction and scope of the revitalization.
19(Source: P.A. 99-143, eff. 7-27-15.)
 
20    Section 75. The Counties Code is amended by changing
21Sections 4-11001, 5-1097.5, 5-12020, and 5-12024 as follows:
 
22    (55 ILCS 5/4-11001)  (from Ch. 34, par. 4-11001)
23    (Text of Section WITH the changes made by P.A. 98-1132,
24which has been held unconstitutional)

 

 

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1    Sec. 4-11001. Juror fees. Each county shall pay to grand
2and petit jurors for their services in attending courts the
3sums of $25 for the first day and thereafter $50 for each day
4of necessary attendance, or such higher amount as may be fixed
5by the county board.
6    If a judge so orders, a juror shall also receive
7reimbursement for the actual cost of child day care incurred
8by the juror during his or her service on a jury.
9    The juror fees for service and child day care shall be paid
10out of the county treasury.
11    The clerk of the court shall furnish to each juror without
12fee whenever he is discharged a certificate of the number of
13days' attendance at court, and upon presentation thereof to
14the county treasurer, he shall pay to the juror the sum
15provided for his service.
16    Any juror may elect to waive the fee paid for service,
17transportation, or child day care, or any combination thereof.
18(Source: P.A. 97-840, eff. 1-1-13; 98-1132, eff. 6-1-15.)
 
19    (Text of Section WITHOUT the changes made by P.A. 98-1132,
20which has been held unconstitutional)
21    Sec. 4-11001. Juror fees. Each county shall pay to grand
22and petit jurors for their services in attending courts the
23sum of $4 for each day of necessary attendance at such courts
24as jurors in counties of the first class, the sum of $5 for
25each day in counties of the second class, and the sum of $10

 

 

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1for each day in counties of the third class, or such higher
2amount as may be fixed by the county board.
3    In addition, jurors shall receive such travel expense as
4may be determined by the county board, provided that jurors in
5counties of the first class and second class shall receive at
6least 10 cents per mile for their travel expense. Mileage
7shall be allowed for travel during a juror's term as well as
8for travel at the opening and closing of his term.
9    If a judge so orders, a juror shall also receive
10reimbursement for the actual cost of child day care incurred
11by the juror during his or her service on a jury.
12    The juror fees for service, transportation, and child day
13care shall be paid out of the county treasury.
14    The clerk of the court shall furnish to each juror without
15fee whenever he is discharged a certificate of the number of
16days' attendance at court, and upon presentation thereof to
17the county treasurer, he shall pay to the juror the sum
18provided for his service.
19    Any juror may elect to waive the fee paid for service,
20transportation, or child day care, or any combination thereof.
21(Source: P.A. 97-840, eff. 1-1-13.)
 
22    (55 ILCS 5/5-1097.5)
23    Sec. 5-1097.5. Adult entertainment facility. It is
24prohibited within an unincorporated area of a county to locate
25an adult entertainment facility within 3,000 feet of the

 

 

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1property boundaries of any school, child day care center,
2cemetery, public park, forest preserve, public housing, place
3of religious worship, or residence, except that in a county
4with a population of more than 800,000 and less than 2,000,000
5inhabitants, it is prohibited to locate, construct, or operate
6a new adult entertainment facility within one mile of the
7property boundaries of any school, child day care center,
8cemetery, public park, forest preserve, public housing, or
9place of religious worship located anywhere within that
10county. Notwithstanding any other requirements of this
11Section, it is also prohibited to locate, construct, or
12operate a new adult entertainment facility within one mile of
13the property boundaries of any school, child day care center,
14cemetery, public park, forest preserve, public housing, or
15place of religious worship located in that area of Cook County
16outside of the City of Chicago.
17    For the purposes of this Section, "adult entertainment
18facility" means (i) a striptease club or pornographic movie
19theatre whose business is the commercial sale, dissemination,
20or distribution of sexually explicit material, shows, or other
21exhibitions or (ii) an adult bookstore or adult video store
22whose primary business is the commercial sale, dissemination,
23or distribution of sexually explicit material, shows, or other
24exhibitions. "Unincorporated area of a county" means any area
25not within the boundaries of a municipality.
26    The State's Attorney of the county where the adult

 

 

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1entertainment facility is located or the Attorney General may
2institute a civil action for an injunction to restrain
3violations of this Section. In that proceeding, the court
4shall determine whether a violation has been committed and
5shall enter such orders as it considers necessary to remove
6the effect of any violation and to prevent the violation from
7continuing or from being renewed in the future.
8(Source: P.A. 94-496, eff. 1-1-06; 95-214, eff. 8-16-07.)
 
9    (55 ILCS 5/5-12020)
10    (Text of Section before amendment by P.A. 104-458)
11    Sec. 5-12020. Commercial wind energy facilities and
12commercial solar energy facilities.
13    (a) As used in this Section:
14    "Commercial solar energy facility" means a "commercial
15solar energy system" as defined in Section 10-720 of the
16Property Tax Code. "Commercial solar energy facility" does not
17mean a utility-scale solar energy facility being constructed
18at a site that was eligible to participate in a procurement
19event conducted by the Illinois Power Agency pursuant to
20subsection (c-5) of Section 1-75 of the Illinois Power Agency
21Act.
22    "Commercial wind energy facility" means a wind energy
23conversion facility of equal or greater than 500 kilowatts in
24total nameplate generating capacity. "Commercial wind energy
25facility" includes a wind energy conversion facility seeking

 

 

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1an extension of a permit to construct granted by a county or
2municipality before January 27, 2023 (the effective date of
3Public Act 102-1123).
4    "Facility owner" means (i) a person with a direct
5ownership interest in a commercial wind energy facility or a
6commercial solar energy facility, or both, regardless of
7whether the person is involved in acquiring the necessary
8rights, permits, and approvals or otherwise planning for the
9construction and operation of the facility, and (ii) at the
10time the facility is being developed, a person who is acting as
11a developer of the facility by acquiring the necessary rights,
12permits, and approvals or by planning for the construction and
13operation of the facility, regardless of whether the person
14will own or operate the facility.
15    "Nonparticipating property" means real property that is
16not a participating property.
17    "Nonparticipating residence" means a residence that is
18located on nonparticipating property and that is existing and
19occupied on the date that an application for a permit to
20develop the commercial wind energy facility or the commercial
21solar energy facility is filed with the county.
22    "Occupied community building" means any one or more of the
23following buildings that is existing and occupied on the date
24that the application for a permit to develop the commercial
25wind energy facility or the commercial solar energy facility
26is filed with the county: a school, place of worship, day care

 

 

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1facility, public library, or community center.
2    "Participating property" means real property that is the
3subject of a written agreement between a facility owner and
4the owner of the real property that provides the facility
5owner an easement, option, lease, or license to use the real
6property for the purpose of constructing a commercial wind
7energy facility, a commercial solar energy facility, or
8supporting facilities. "Participating property" also includes
9real property that is owned by a facility owner for the purpose
10of constructing a commercial wind energy facility, a
11commercial solar energy facility, or supporting facilities.
12    "Participating residence" means a residence that is
13located on participating property and that is existing and
14occupied on the date that an application for a permit to
15develop the commercial wind energy facility or the commercial
16solar energy facility is filed with the county.
17    "Protected lands" means real property that is:
18        (1) subject to a permanent conservation right
19    consistent with the Real Property Conservation Rights Act;
20    or
21        (2) registered or designated as a nature preserve,
22    buffer, or land and water reserve under the Illinois
23    Natural Areas Preservation Act.
24    "Supporting facilities" means the transmission lines,
25substations, access roads, meteorological towers, storage
26containers, and equipment associated with the generation and

 

 

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1storage of electricity by the commercial wind energy facility
2or commercial solar energy facility.
3    "Wind tower" includes the wind turbine tower, nacelle, and
4blades.
5    (b) Notwithstanding any other provision of law or whether
6the county has formed a zoning commission and adopted formal
7zoning under Section 5-12007, a county may establish standards
8for commercial wind energy facilities, commercial solar energy
9facilities, or both. The standards may include all of the
10requirements specified in this Section but may not include
11requirements for commercial wind energy facilities or
12commercial solar energy facilities that are more restrictive
13than specified in this Section. A county may also regulate the
14siting of commercial wind energy facilities with standards
15that are not more restrictive than the requirements specified
16in this Section in unincorporated areas of the county that are
17outside the zoning jurisdiction of a municipality and that are
18outside the 1.5-mile radius surrounding the zoning
19jurisdiction of a municipality.
20    (c) If a county has elected to establish standards under
21subsection (b), before the county grants siting approval or a
22special use permit for a commercial wind energy facility or a
23commercial solar energy facility, or modification of an
24approved siting or special use permit, the county board of the
25county in which the facility is to be sited or the zoning board
26of appeals for the county shall hold at least one public

 

 

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1hearing. The public hearing shall be conducted in accordance
2with the Open Meetings Act and shall be held not more than 60
3days after the filing of the application for the facility. The
4county shall allow interested parties to a special use permit
5an opportunity to present evidence and to cross-examine
6witnesses at the hearing, but the county may impose reasonable
7restrictions on the public hearing, including reasonable time
8limitations on the presentation of evidence and the
9cross-examination of witnesses. The county shall also allow
10public comment at the public hearing in accordance with the
11Open Meetings Act. The county shall make its siting and
12permitting decisions not more than 30 days after the
13conclusion of the public hearing. Notice of the hearing shall
14be published in a newspaper of general circulation in the
15county. A facility owner must enter into an agricultural
16impact mitigation agreement with the Department of Agriculture
17prior to the date of the required public hearing. A commercial
18wind energy facility owner seeking an extension of a permit
19granted by a county prior to July 24, 2015 (the effective date
20of Public Act 99-132) must enter into an agricultural impact
21mitigation agreement with the Department of Agriculture prior
22to a decision by the county to grant the permit extension.
23Counties may allow test wind towers or test solar energy
24systems to be sited without formal approval by the county
25board.
26    (d) A county with an existing zoning ordinance in conflict

 

 

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1with this Section shall amend that zoning ordinance to be in
2compliance with this Section within 120 days after January 27,
32023 (the effective date of Public Act 102-1123).
4    (e) A county may require:
5        (1) a wind tower of a commercial wind energy facility
6    to be sited as follows, with setback distances measured
7    from the center of the base of the wind tower:
 
8Setback Description           Setback Distance
 
9Occupied Community            2.1 times the maximum blade tip
10Buildings                     height of the wind tower to the
11                              nearest point on the outside
12                              wall of the structure
 
13Participating Residences      1.1 times the maximum blade tip
14                              height of the wind tower to the
15                              nearest point on the outside
16                              wall of the structure
 
17Nonparticipating Residences   2.1 times the maximum blade tip
18                              height of the wind tower to the
19                              nearest point on the outside
20                              wall of the structure
 
21Boundary Lines of             None

 

 

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1Participating Property 
 
2Boundary Lines of             1.1 times the maximum blade tip
3Nonparticipating Property     height of the wind tower to the
4                              nearest point on the property
5                              line of the nonparticipating
6                              property
 
7Public Road Rights-of-Way     1.1 times the maximum blade tip
8                              height of the wind tower
9                              to the center point of the
10                              public road right-of-way
 
11Overhead Communication and    1.1 times the maximum blade tip
12Electric Transmission         height of the wind tower to the
13and Distribution Facilities   nearest edge of the property
14(Not Including Overhead       line, easement, or 
15Utility Service Lines to      right-of-way 
16Individual Houses or          containing the overhead line
17Outbuildings)
 
18Overhead Utility Service      None
19Lines to Individual
20Houses or Outbuildings
 
21Fish and Wildlife Areas       2.1 times the maximum blade

 

 

HB5373- 199 -LRB104 20029 AAS 33480 b

1and Illinois Nature           tip height of the wind tower
2Preserve Commission           to the nearest point on the
3Protected Lands               property line of the fish and
4                              wildlife area or protected
5                              land
6    This Section does not exempt or excuse compliance with
7    electric facility clearances approved or required by the
8    National Electrical Code, the National Electrical Safety
9    Code, the Illinois Commerce Commission, and the Federal
10    Energy Regulatory Commission and their designees or
11    successors;
12        (2) a wind tower of a commercial wind energy facility
13    to be sited so that industry standard computer modeling
14    indicates that any occupied community building or
15    nonparticipating residence will not experience more than
16    30 hours per year of shadow flicker under planned
17    operating conditions;
18        (3) a commercial solar energy facility to be sited as
19    follows, with setback distances measured from the nearest
20    edge of any component of the facility:
 
21Setback Description           Setback Distance
 
22Occupied Community            150 feet from the nearest
23Buildings and Dwellings on    point on the outside wall 
24Nonparticipating Properties   of the structure
 

 

 

HB5373- 200 -LRB104 20029 AAS 33480 b

1Boundary Lines of             None
2Participating Property    
 
3Public Road Rights-of-Way     50 feet from the nearest
4                              edge
 
5Boundary Lines of             50 feet to the nearest
6Nonparticipating Property     point on the property
7                              line of the nonparticipating
8                              property
 
9        (4) a commercial solar energy facility to be sited so
10    that the facility's perimeter is enclosed by fencing
11    having a height of at least 6 feet and no more than 25
12    feet; and
13        (5) a commercial solar energy facility to be sited so
14    that no component of a solar panel has a height of more
15    than 20 feet above ground when the solar energy facility's
16    arrays are at full tilt.
17    The requirements set forth in this subsection (e) may be
18waived subject to the written consent of the owner of each
19affected nonparticipating property.
20    (f) A county may not set a sound limitation for wind towers
21in commercial wind energy facilities or any components in
22commercial solar energy facilities that is more restrictive

 

 

HB5373- 201 -LRB104 20029 AAS 33480 b

1than the sound limitations established by the Illinois
2Pollution Control Board under 35 Ill. Adm. Code Parts 900,
3901, and 910.
4    (g) A county may not place any restriction on the
5installation or use of a commercial wind energy facility or a
6commercial solar energy facility unless it adopts an ordinance
7that complies with this Section. A county may not establish
8siting standards for supporting facilities that preclude
9development of commercial wind energy facilities or commercial
10solar energy facilities.
11    A request for siting approval or a special use permit for a
12commercial wind energy facility or a commercial solar energy
13facility, or modification of an approved siting or special use
14permit, shall be approved if the request is in compliance with
15the standards and conditions imposed in this Act, the zoning
16ordinance adopted consistent with this Code, and the
17conditions imposed under State and federal statutes and
18regulations.
19    (h) A county may not adopt zoning regulations that
20disallow, permanently or temporarily, commercial wind energy
21facilities or commercial solar energy facilities from being
22developed or operated in any district zoned to allow
23agricultural or industrial uses.
24    (i) A county may not require permit application fees for a
25commercial wind energy facility or commercial solar energy
26facility that are unreasonable. All application fees imposed

 

 

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1by the county shall be consistent with fees for projects in the
2county with similar capital value and cost.
3    (j) Except as otherwise provided in this Section, a county
4shall not require standards for construction, decommissioning,
5or deconstruction of a commercial wind energy facility or
6commercial solar energy facility or related financial
7assurances that are more restrictive than those included in
8the Department of Agriculture's standard wind farm
9agricultural impact mitigation agreement, template 81818, or
10standard solar agricultural impact mitigation agreement,
11version 8.19.19, as applicable and in effect on December 31,
122022. The amount of any decommissioning payment shall be in
13accordance with the financial assurance required by those
14agricultural impact mitigation agreements.
15    (j-5) A commercial wind energy facility or a commercial
16solar energy facility shall file a farmland drainage plan with
17the county and impacted drainage districts outlining how
18surface and subsurface drainage of farmland will be restored
19during and following construction or deconstruction of the
20facility. The plan is to be created independently by the
21facility developer and shall include the location of any
22potentially impacted drainage district facilities to the
23extent this information is publicly available from the county
24or the drainage district, plans to repair any subsurface
25drainage affected during construction or deconstruction using
26procedures outlined in the agricultural impact mitigation

 

 

HB5373- 203 -LRB104 20029 AAS 33480 b

1agreement entered into by the commercial wind energy facility
2owner or commercial solar energy facility owner, and
3procedures for the repair and restoration of surface drainage
4affected during construction or deconstruction. All surface
5and subsurface damage shall be repaired as soon as reasonably
6practicable.
7    (k) A county may not condition approval of a commercial
8wind energy facility or commercial solar energy facility on a
9property value guarantee and may not require a facility owner
10to pay into a neighboring property devaluation escrow account.
11    (l) A county may require certain vegetative screening
12surrounding a commercial wind energy facility or commercial
13solar energy facility but may not require earthen berms or
14similar structures.
15    (m) A county may set blade tip height limitations for wind
16towers in commercial wind energy facilities but may not set a
17blade tip height limitation that is more restrictive than the
18height allowed under a Determination of No Hazard to Air
19Navigation by the Federal Aviation Administration under 14 CFR
20Part 77.
21    (n) A county may require that a commercial wind energy
22facility owner or commercial solar energy facility owner
23provide:
24        (1) the results and recommendations from consultation
25    with the Illinois Department of Natural Resources that are
26    obtained through the Ecological Compliance Assessment Tool

 

 

HB5373- 204 -LRB104 20029 AAS 33480 b

1    (EcoCAT) or a comparable successor tool; and
2        (2) the results of the United States Fish and Wildlife
3    Service's Information for Planning and Consulting
4    environmental review or a comparable successor tool that
5    is consistent with (i) the "U.S. Fish and Wildlife
6    Service's Land-Based Wind Energy Guidelines" and (ii) any
7    applicable United States Fish and Wildlife Service solar
8    wildlife guidelines that have been subject to public
9    review.
10    (o) A county may require a commercial wind energy facility
11or commercial solar energy facility to adhere to the
12recommendations provided by the Illinois Department of Natural
13Resources in an EcoCAT natural resource review report under 17
14Ill. Adm. Code Part 1075.
15    (p) A county may require a facility owner to:
16        (1) demonstrate avoidance of protected lands as
17    identified by the Illinois Department of Natural Resources
18    and the Illinois Nature Preserve Commission; or
19        (2) consider the recommendations of the Illinois
20    Department of Natural Resources for setbacks from
21    protected lands, including areas identified by the
22    Illinois Nature Preserve Commission.
23    (q) A county may require that a facility owner provide
24evidence of consultation with the Illinois State Historic
25Preservation Office to assess potential impacts on
26State-registered historic sites under the Illinois State

 

 

HB5373- 205 -LRB104 20029 AAS 33480 b

1Agency Historic Resources Preservation Act.
2    (r) To maximize community benefits, including, but not
3limited to, reduced stormwater runoff, flooding, and erosion
4at the ground mounted solar energy system, improved soil
5health, and increased foraging habitat for game birds,
6songbirds, and pollinators, a county may (1) require a
7commercial solar energy facility owner to plant, establish,
8and maintain for the life of the facility vegetative ground
9cover, consistent with the goals of the Pollinator-Friendly
10Solar Site Act and (2) require the submittal of a vegetation
11management plan that is in compliance with the agricultural
12impact mitigation agreement in the application to construct
13and operate a commercial solar energy facility in the county
14if the vegetative ground cover and vegetation management plan
15comply with the requirements of the underlying agreement with
16the landowner or landowners where the facility will be
17constructed.
18    No later than 90 days after January 27, 2023 (the
19effective date of Public Act 102-1123), the Illinois
20Department of Natural Resources shall develop guidelines for
21vegetation management plans that may be required under this
22subsection for commercial solar energy facilities. The
23guidelines must include guidance for short-term and long-term
24property management practices that provide and maintain native
25and non-invasive naturalized perennial vegetation to protect
26the health and well-being of pollinators.

 

 

HB5373- 206 -LRB104 20029 AAS 33480 b

1    (s) If a facility owner enters into a road use agreement
2with the Illinois Department of Transportation, a road
3district, or other unit of local government relating to a
4commercial wind energy facility or a commercial solar energy
5facility, the road use agreement shall require the facility
6owner to be responsible for (i) the reasonable cost of
7improving roads used by the facility owner to construct the
8commercial wind energy facility or the commercial solar energy
9facility and (ii) the reasonable cost of repairing roads used
10by the facility owner during construction of the commercial
11wind energy facility or the commercial solar energy facility
12so that those roads are in a condition that is safe for the
13driving public after the completion of the facility's
14construction. Roadways improved in preparation for and during
15the construction of the commercial wind energy facility or
16commercial solar energy facility shall be repaired and
17restored to the improved condition at the reasonable cost of
18the developer if the roadways have degraded or were damaged as
19a result of construction-related activities.
20    The road use agreement shall not require the facility
21owner to pay costs, fees, or charges for road work that is not
22specifically and uniquely attributable to the construction of
23the commercial wind energy facility or the commercial solar
24energy facility. Road-related fees, permit fees, or other
25charges imposed by the Illinois Department of Transportation,
26a road district, or other unit of local government under a road

 

 

HB5373- 207 -LRB104 20029 AAS 33480 b

1use agreement with the facility owner shall be reasonably
2related to the cost of administration of the road use
3agreement.
4    (s-5) The facility owner shall also compensate landowners
5for crop losses or other agricultural damages resulting from
6damage to the drainage system caused by the construction of
7the commercial wind energy facility or the commercial solar
8energy facility. The commercial wind energy facility owner or
9commercial solar energy facility owner shall repair or pay for
10the repair of all damage to the subsurface drainage system
11caused by the construction of the commercial wind energy
12facility or the commercial solar energy facility in accordance
13with the agriculture impact mitigation agreement requirements
14for repair of drainage. The commercial wind energy facility
15owner or commercial solar energy facility owner shall repair
16or pay for the repair and restoration of surface drainage
17caused by the construction or deconstruction of the commercial
18wind energy facility or the commercial solar energy facility
19as soon as reasonably practicable.
20    (t) Notwithstanding any other provision of law, a facility
21owner with siting approval from a county to construct a
22commercial wind energy facility or a commercial solar energy
23facility is authorized to cross or impact a drainage system,
24including, but not limited to, drainage tiles, open drainage
25ditches, culverts, and water gathering vaults, owned or under
26the control of a drainage district under the Illinois Drainage

 

 

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1Code without obtaining prior agreement or approval from the
2drainage district in accordance with the farmland drainage
3plan required by subsection (j-5).
4    (u) The amendments to this Section adopted in Public Act
5102-1123 do not apply to: (1) an application for siting
6approval or for a special use permit for a commercial wind
7energy facility or commercial solar energy facility if the
8application was submitted to a unit of local government before
9January 27, 2023 (the effective date of Public Act 102-1123);
10(2) a commercial wind energy facility or a commercial solar
11energy facility if the facility owner has submitted an
12agricultural impact mitigation agreement to the Department of
13Agriculture before January 27, 2023 (the effective date of
14Public Act 102-1123); or (3) a commercial wind energy or
15commercial solar energy development on property that is
16located within an enterprise zone certified under the Illinois
17Enterprise Zone Act, that was classified as industrial by the
18appropriate zoning authority on or before January 27, 2023,
19and that is located within 4 miles of the intersection of
20Interstate 88 and Interstate 39.
21(Source: P.A. 103-81, eff. 6-9-23; 103-580, eff. 12-8-23;
22104-417, eff. 8-15-25.)
 
23    (Text of Section after amendment by P.A. 104-458)
24    Sec. 5-12020. Commercial wind energy facilities and
25commercial solar energy facilities.

 

 

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1    (a) As used in this Section:
2    "Commercial solar energy facility" means a "commercial
3solar energy system" as defined in Section 10-720 of the
4Property Tax Code. "Commercial solar energy facility" does not
5mean a utility-scale solar energy facility being constructed
6at a site that was eligible to participate in a procurement
7event conducted by the Illinois Power Agency pursuant to
8subsection (c-5) of Section 1-75 of the Illinois Power Agency
9Act.
10    "Commercial wind energy facility" means a wind energy
11conversion facility of equal or greater than 500 kilowatts in
12total nameplate generating capacity. "Commercial wind energy
13facility" includes a wind energy conversion facility seeking
14an extension of a permit to construct granted by a county or
15municipality before January 27, 2023 (the effective date of
16Public Act 102-1123).
17    "Facility owner" means (i) a person with a direct
18ownership interest in a commercial wind energy facility or a
19commercial solar energy facility, or both, regardless of
20whether the person is involved in acquiring the necessary
21rights, permits, and approvals or otherwise planning for the
22construction and operation of the facility, and (ii) at the
23time the facility is being developed, a person who is acting as
24a developer of the facility by acquiring the necessary rights,
25permits, and approvals or by planning for the construction and
26operation of the facility, regardless of whether the person

 

 

HB5373- 210 -LRB104 20029 AAS 33480 b

1will own or operate the facility.
2    "Nonparticipating property" means real property that is
3not a participating property.
4    "Nonparticipating residence" means a residence that is
5located on nonparticipating property and that is existing and
6occupied on the date that an application for a permit to
7develop the commercial wind energy facility or the commercial
8solar energy facility is filed with the county.
9    "Occupied community building" means any one or more of the
10following buildings that is existing and occupied on the date
11that the application for a permit to develop the commercial
12wind energy facility or the commercial solar energy facility
13is filed with the county: a school, place of worship, child day
14care facility, public library, or community center.
15    "Participating property" means real property that is the
16subject of a written agreement between a facility owner and
17the owner of the real property that provides the facility
18owner an easement, option, lease, or license to use the real
19property for the purpose of constructing a commercial wind
20energy facility, a commercial solar energy facility, or
21supporting facilities. "Participating property" also includes
22real property that is owned by a facility owner for the purpose
23of constructing a commercial wind energy facility, a
24commercial solar energy facility, or supporting facilities.
25    "Participating residence" means a residence that is
26located on participating property and that is existing and

 

 

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1occupied on the date that an application for a permit to
2develop the commercial wind energy facility or the commercial
3solar energy facility is filed with the county.
4    "Protected lands" means real property that is:
5        (1) subject to a permanent conservation right
6    consistent with the Real Property Conservation Rights Act;
7    or
8        (2) registered or designated as a nature preserve,
9    buffer, or land and water reserve under the Illinois
10    Natural Areas Preservation Act.
11    "Supporting facilities" means the transmission lines,
12substations, access roads, meteorological towers, storage
13containers, and equipment associated with the generation and
14storage of electricity by the commercial wind energy facility
15or commercial solar energy facility. "Supporting facilities"
16includes energy storage systems capable of absorbing energy
17and storing it for use at a later time, including, but not
18limited to, batteries and other electrochemical and
19electromechanical technologies or systems.
20    "Wind tower" includes the wind turbine tower, nacelle, and
21blades.
22    (b) Notwithstanding any other provision of law or whether
23the county has formed a zoning commission and adopted formal
24zoning under Section 5-12007, a county may establish standards
25for commercial wind energy facilities, commercial solar energy
26facilities, or both. The standards may include all of the

 

 

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1requirements specified in this Section but may not include
2requirements for commercial wind energy facilities or
3commercial solar energy facilities that are more restrictive
4than specified in this Section. A county may also regulate the
5siting of commercial wind energy facilities with standards
6that are not more restrictive than the requirements specified
7in this Section in unincorporated areas of the county that are
8outside the zoning jurisdiction of a municipality and that are
9outside the 1.5-mile radius surrounding the zoning
10jurisdiction of a municipality. A county may also regulate the
11siting of commercial solar energy facilities with standards
12that are not more restrictive than the requirements specified
13in this Section in unincorporated areas of the county that are
14outside of the zoning jurisdiction of a municipality.
15    (c) If a county has elected to establish standards under
16subsection (b), before the county grants siting approval or a
17special use permit for a commercial wind energy facility or a
18commercial solar energy facility, or modification of an
19approved siting or special use permit, the county board of the
20county in which the facility is to be sited or the zoning board
21of appeals for the county shall hold at least one public
22hearing. The public hearing shall be conducted in accordance
23with the Open Meetings Act and shall conclude not more than 60
24days after the filing of the application for the facility. The
25county shall allow interested parties to a special use permit
26an opportunity to present evidence and to cross-examine

 

 

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1witnesses at the hearing, but the county may impose reasonable
2restrictions on the public hearing, including reasonable time
3limitations on the presentation of evidence and the
4cross-examination of witnesses. The county shall also allow
5public comment at the public hearing in accordance with the
6Open Meetings Act. The county shall make its siting and
7permitting decisions not more than 30 days after the
8conclusion of the public hearing. Notice of the hearing shall
9be published in a newspaper of general circulation in the
10county. A facility owner must enter into an agricultural
11impact mitigation agreement with the Department of Agriculture
12prior to the date of the required public hearing. A commercial
13wind energy facility owner seeking an extension of a permit
14granted by a county prior to July 24, 2015 (the effective date
15of Public Act 99-132) must enter into an agricultural impact
16mitigation agreement with the Department of Agriculture prior
17to a decision by the county to grant the permit extension.
18Counties may allow test wind towers or test solar energy
19systems to be sited without formal approval by the county
20board.
21    (d) A county with an existing zoning ordinance in conflict
22with this Section shall amend that zoning ordinance to be in
23compliance with this Section within 120 days after January 27,
242023 (the effective date of Public Act 102-1123).
25    (e) A county may require:
26        (1) a wind tower of a commercial wind energy facility

 

 

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1    to be sited as follows, with setback distances measured
2    from the center of the base of the wind tower:
 
3Setback Description           Setback Distance
 
4Occupied Community            2.1 times the maximum blade tip
5Buildings                     height of the wind tower to the
6                              nearest point on the outside
7                              wall of the structure
 
8Participating Residences      1.1 times the maximum blade tip
9                              height of the wind tower to the
10                              nearest point on the outside
11                              wall of the structure
 
12Nonparticipating Residences   2.1 times the maximum blade tip
13                              height of the wind tower to the
14                              nearest point on the outside
15                              wall of the structure
 
16Boundary Lines of             None
17Participating Property 
 
18Boundary Lines of             1.1 times the maximum blade tip
19Nonparticipating Property     height of the wind tower to the
20                              nearest point on the property

 

 

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1                              line of the nonparticipating
2                              property
 
3Public Road Rights-of-Way     1.1 times the maximum blade tip
4                              height of the wind tower
5                              to the center point of the
6                              public road right-of-way
 
7Overhead Communication and    1.1 times the maximum blade tip
8Electric Transmission         height of the wind tower to the
9and Distribution Facilities   nearest edge of the property
10(Not Including Overhead       line, easement, or 
11Utility Service Lines to      right-of-way 
12Individual Houses or          containing the overhead line
13Outbuildings)
 
14Overhead Utility Service      None
15Lines to Individual
16Houses or Outbuildings
 
17Fish and Wildlife Areas       2.1 times the maximum blade
18and Illinois Nature           tip height of the wind tower
19Preserve Commission           to the nearest point on the
20Protected Lands               property line of the fish and
21                              wildlife area or protected
22                              land

 

 

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1    This Section does not exempt or excuse compliance with
2    electric facility clearances approved or required by the
3    National Electrical Code, the National Electrical Safety
4    Code, the Illinois Commerce Commission, and the Federal
5    Energy Regulatory Commission and their designees or
6    successors;
7        (2) a wind tower of a commercial wind energy facility
8    to be sited so that industry standard computer modeling
9    indicates that any occupied community building or
10    nonparticipating residence will not experience more than
11    30 hours per year of shadow flicker under planned
12    operating conditions;
13        (3) a commercial solar energy facility to be sited as
14    follows, with setback distances measured from the nearest
15    edge of any above-ground component of the facility,
16    excluding fencing:
 
17Setback Description           Setback Distance
 
18Occupied Community            150 feet from the nearest
19Buildings and Dwellings on    point on the outside wall 
20Nonparticipating Properties   of the structure
 
21Boundary Lines of             None
22Participating Property    
 

 

 

HB5373- 217 -LRB104 20029 AAS 33480 b

1Public Road Rights-of-Way     50 feet from the nearest
2                              edge of the public 
3                              right-of-way 
 
4Boundary Lines of             50 feet to the nearest
5Nonparticipating Property     point on the property
6                              line of the nonparticipating
7                              property
 
8        (4) a commercial solar energy facility to be sited so
9    that the facility's perimeter is enclosed by fencing
10    having a height of at least 6 feet and no more than 25
11    feet; and
12        (5) a commercial solar energy facility to be sited so
13    that no component of a solar panel has a height of more
14    than 20 feet above ground when the solar energy facility's
15    arrays are at full tilt.
16    This subsection (e) shall not preclude the ability of a
17county to require a reasonable setback distance between
18fencing and public rights-of-way if the requirement is not
19specific to commercial wind energy facilities or commercial
20solar energy facilities and does not preclude the development
21of commercial wind energy facilities or commercial solar
22energy facilities or the ability of commercial wind energy
23facilities or commercial solar energy facilities to comply
24with the requirements set forth in this subsection (e).

 

 

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1    The requirements set forth in this subsection (e) may be
2waived subject to the written consent of the owner of each
3affected nonparticipating property.
4    (f) A county may not set a sound limitation for wind towers
5in commercial wind energy facilities or any components in
6commercial solar energy facilities that is more restrictive
7than the sound limitations established by the Illinois
8Pollution Control Board under 35 Ill. Adm. Code Parts 900,
9901, and 910. Additionally, in accordance with Section 25 of
10the Environmental Protection Act, a participating property,
11participating residence, nonparticipating property,
12nonparticipating residence, or any combination of those
13properties or residences may waive enforcement of the rules
14adopted by the Illinois Pollution Control Board under 35 Ill.
15Adm. Code Parts 900, 901, and 910 by written waiver that
16complies with the applicable directive established in Section
1725 of the Environmental Protection Act and is recorded in the
18Office of the Recorder of the county in which the
19participating property, participating residence,
20nonparticipating property, or nonparticipating residence is
21located. Once recorded, such a waiver shall be binding on any
22current and future owners, residents, lessees, invitees, and
23users of the participating property, participating residence,
24nonparticipating property, or nonparticipating residence for
25enforcement purposes. An owner of any participating residence
26or nonparticipating residence shall disclose the existence of

 

 

HB5373- 219 -LRB104 20029 AAS 33480 b

1such a waiver to any lessee before entering any new lease for
2the residence.
3    A seller or transferor of a participating property,
4participating residence, nonparticipating property,
5nonparticipating residence, or any combination of those
6properties or residences shall disclose the existence of such
7a waiver to any buyer or transferee before any sale or transfer
8of the property. If disclosure of the waiver occurs after the
9buyer has made an offer to purchase the property, the seller
10shall disclose the existence of the waiver before accepting
11the buyer's offer and shall (1) allow the buyer an opportunity
12to review the disclosure and (2) inform the buyer that the
13buyer has the right to amend the buyer's offer.
14    (g) A county may not place any restriction on the
15installation or use of a commercial wind energy facility or a
16commercial solar energy facility unless it adopts an ordinance
17that complies with this Section. A county may not establish
18siting standards for supporting facilities that preclude
19development of commercial wind energy facilities or commercial
20solar energy facilities.
21    A request for siting approval or a special use permit for a
22commercial wind energy facility or a commercial solar energy
23facility, or modification of an approved siting or special use
24permit, shall be approved if the request is in compliance with
25the standards and conditions imposed in this Act, the zoning
26ordinance adopted consistent with this Act, and the conditions

 

 

HB5373- 220 -LRB104 20029 AAS 33480 b

1imposed under State and federal statutes and regulations.
2    (h) A county may not adopt zoning regulations that
3disallow, permanently or temporarily, commercial wind energy
4facilities or commercial solar energy facilities from being
5developed or operated in any district zoned to allow
6agricultural or industrial uses.
7    (i) (Blank).
8    (i-5) All siting approval or special use permit
9application fees for a commercial wind energy facility or
10commercial solar energy facility must be reasonable. Fees that
11do not exceed $5,000 per each megawatt of nameplate capacity
12of the energy facility, up to a maximum of $125,000, shall be
13considered presumptively reasonable. A county may also require
14reimbursement from the applicant for any reasonable expenses
15incurred by the county in processing the siting approval or
16special use permit application in excess of the maximum fee. A
17siting approval or special use permit shall not be subject to
18any time deadline to start construction or obtain a building
19permit of less than 5 years from the date of siting approval or
20special use permit approval. A county shall allow an applicant
21to request an extension of the deadline based upon reasonable
22cause for the extension request. The exemption shall not be
23unreasonably withheld, conditioned, or denied.
24    (i-10) A county may require, for a commercial wind energy
25facility or commercial solar energy facility, a single
26building permit and a reasonable permit fee for the facility

 

 

HB5373- 221 -LRB104 20029 AAS 33480 b

1which includes all supporting facilities. County building
2permit fees for commercial wind energy facility or commercial
3solar energy facility that do not exceed $5,000 per each
4megawatt of nameplate capacity of the energy facility, up to a
5maximum of $75,000, shall be considered presumptively
6reasonable. A county may also require reimbursement from the
7applicant for any reasonable expenses incurred by the county
8in processing the building permit in excess of the maximum
9fee. A county may require an applicant, upon start of
10construction of the facility, to maintain liability insurance
11that is commercially reasonable and consistent with prevailing
12industry standards for similar energy facilities.
13    (j) Except as otherwise provided in this Section, a county
14shall not require standards for construction, decommissioning,
15or deconstruction of a commercial wind energy facility or
16commercial solar energy facility or related financial
17assurances that are more restrictive than those included in
18the Department of Agriculture's standard wind farm
19agricultural impact mitigation agreement, template 81818, or
20standard solar agricultural impact mitigation agreement,
21version 8.19.19, as applicable and in effect on December 31,
222022. The amount of any decommissioning payment shall be in
23accordance with the financial assurance required by those
24agricultural impact mitigation agreements.
25    (j-5) A commercial wind energy facility or a commercial
26solar energy facility shall file a farmland drainage plan with

 

 

HB5373- 222 -LRB104 20029 AAS 33480 b

1the county and impacted drainage districts outlining how
2surface and subsurface drainage of farmland will be restored
3during and following construction or deconstruction of the
4facility. The plan is to be created independently by the
5facility developer and shall include the location of any
6potentially impacted drainage district facilities to the
7extent this information is publicly available from the county
8or the drainage district, plans to repair any subsurface
9drainage affected during construction or deconstruction using
10procedures outlined in the agricultural impact mitigation
11agreement entered into by the commercial wind energy facility
12owner or commercial solar energy facility owner, and
13procedures for the repair and restoration of surface drainage
14affected during construction or deconstruction. All surface
15and subsurface damage shall be repaired as soon as reasonably
16practicable.
17    (k) A county may not condition approval of a commercial
18wind energy facility or commercial solar energy facility on a
19property value guarantee and may not require a facility owner
20to pay into a neighboring property devaluation escrow account.
21    (l) A county may require certain vegetative screening
22between a commercial solar energy facility and
23nonparticipating residences. A county may not require earthen
24berms or similar structures. Vegetative screening requirements
25shall be commercially reasonable and limited in height at full
26maturity to avoid reduction of the productive energy output of

 

 

HB5373- 223 -LRB104 20029 AAS 33480 b

1the commercial solar energy facility. A county may not require
2vegetative screening to exceed 5 feet in height when first
3installed or prior to commercial operation date. The screening
4requirements shall take into account the size and location of
5the facility, visibility from nonparticipating residences,
6compatibility of native plant species, cost and feasibility of
7installation and maintenance, and industry standards and best
8practices for commercial solar energy facilities.
9    (m) A county may set blade tip height limitations for wind
10towers in commercial wind energy facilities but may not set a
11blade tip height limitation that is more restrictive than the
12height allowed under a Determination of No Hazard to Air
13Navigation by the Federal Aviation Administration under 14 CFR
14Part 77.
15    (n) A county may require that a commercial wind energy
16facility owner or commercial solar energy facility owner
17provide:
18        (1) the results and recommendations from consultation
19    with the Illinois Department of Natural Resources that are
20    obtained through the Ecological Compliance Assessment Tool
21    (EcoCAT) or a comparable successor tool; and
22        (2) (blank).
23    (o) A county may require a commercial wind energy facility
24or commercial solar energy facility to adhere to the
25recommendations provided by the Illinois Department of Natural
26Resources in an EcoCAT natural resource review report under 17

 

 

HB5373- 224 -LRB104 20029 AAS 33480 b

1Ill. Adm. Code Part 1075.
2    (p) A county may require a facility owner to:
3        (1) demonstrate avoidance of protected lands as
4    identified by the Illinois Department of Natural Resources
5    and the Illinois Nature Preserve Commission; or
6        (2) consider the recommendations of the Illinois
7    Department of Natural Resources for setbacks from
8    protected lands, including areas identified by the
9    Illinois Nature Preserve Commission.
10    (q) A county may require that a facility owner provide
11evidence of consultation with the Illinois State Historic
12Preservation Office to assess potential impacts on
13State-registered historic sites under the Illinois State
14Agency Historic Resources Preservation Act.
15    (r) To maximize community benefits, including, but not
16limited to, reduced stormwater runoff, flooding, and erosion
17at the ground mounted solar energy system, improved soil
18health, and increased foraging habitat for game birds,
19songbirds, and pollinators, a county may (1) require a
20commercial solar energy facility owner to plant, establish,
21and maintain for the life of the facility vegetative ground
22cover, consistent with the goals of the Pollinator-Friendly
23Solar Site Act and (2) require the submittal of a vegetation
24management plan that is in compliance with the agricultural
25impact mitigation agreement in the application to construct
26and operate a commercial solar energy facility in the county

 

 

HB5373- 225 -LRB104 20029 AAS 33480 b

1if the vegetative ground cover and vegetation management plan
2comply with the requirements of the underlying agreement with
3the landowner or landowners where the facility will be
4constructed.
5    No later than 90 days after January 27, 2023 (the
6effective date of Public Act 102-1123), the Illinois
7Department of Natural Resources shall develop guidelines for
8vegetation management plans that may be required under this
9subsection for commercial solar energy facilities. The
10guidelines must include guidance for short-term and long-term
11property management practices that provide and maintain native
12and non-invasive naturalized perennial vegetation to protect
13the health and well-being of pollinators.
14    (s) If a facility owner enters into a road use agreement
15with the Illinois Department of Transportation, a road
16district, or other unit of local government relating to a
17commercial wind energy facility or a commercial solar energy
18facility, the road use agreement shall require the facility
19owner to be responsible for (i) the reasonable cost of
20improving roads used by the facility owner to construct the
21commercial wind energy facility or the commercial solar energy
22facility and (ii) the reasonable cost of repairing roads used
23by the facility owner during construction of the commercial
24wind energy facility or the commercial solar energy facility
25so that those roads are in a condition that is safe for the
26driving public after the completion of the facility's

 

 

HB5373- 226 -LRB104 20029 AAS 33480 b

1construction. Roadways improved in preparation for and during
2the construction of the commercial wind energy facility or
3commercial solar energy facility shall be repaired and
4restored to the improved condition at the reasonable cost of
5the developer if the roadways have degraded or were damaged as
6a result of construction-related activities.
7    The road use agreement shall not require the facility
8owner to pay costs, fees, or charges for road work that is not
9specifically and uniquely attributable to the construction of
10the commercial wind energy facility or the commercial solar
11energy facility. No road district or other unit of local
12government may request or require permit fees, fines, or other
13payment obligations as a requirement for a road use agreement
14with a facility owner unless the amount of the reasonable
15permit fee or payment is equivalent to the amount of actual
16expenses incurred by the road district or other unit of local
17government for negotiating, executing, constructing, or
18implementing the road use agreement. The road use agreement
19shall not require any road work to be performed by or paid for
20by the facility owner that is not specifically and uniquely
21attributable to the road improvements required for the
22construction of the commercial wind energy facility or the
23commercial solar energy facility or the restoration of the
24roads used by the facility owner during construction-related
25activities.
26    (s-5) The facility owner shall also compensate landowners

 

 

HB5373- 227 -LRB104 20029 AAS 33480 b

1for crop losses or other agricultural damages resulting from
2damage to the drainage system caused by the construction of
3the commercial wind energy facility or the commercial solar
4energy facility. The commercial wind energy facility owner or
5commercial solar energy facility owner shall repair or pay for
6the repair of all damage to the subsurface drainage system
7caused by the construction of the commercial wind energy
8facility or the commercial solar energy facility in accordance
9with the agriculture impact mitigation agreement requirements
10for repair of drainage. The commercial wind energy facility
11owner or commercial solar energy facility owner shall repair
12or pay for the repair and restoration of surface drainage
13caused by the construction or deconstruction of the commercial
14wind energy facility or the commercial solar energy facility
15as soon as reasonably practicable.
16    (t) Notwithstanding any other provision of law, a facility
17owner with siting approval from a county to construct a
18commercial wind energy facility or a commercial solar energy
19facility is authorized to cross or impact a drainage system,
20including, but not limited to, drainage tiles, open drainage
21ditches, culverts, and water gathering vaults, owned or under
22the control of a drainage district under the Illinois Drainage
23Code without obtaining prior agreement or approval from the
24drainage district in accordance with the farmland drainage
25plan required by subsection (j-5).
26    (u) The amendments to this Section adopted in Public Act

 

 

HB5373- 228 -LRB104 20029 AAS 33480 b

1102-1123 do not apply to: (1) an application for siting
2approval or for a special use permit for a commercial wind
3energy facility or commercial solar energy facility if the
4application was submitted to a unit of local government before
5January 27, 2023 (the effective date of Public Act 102-1123);
6(2) a commercial wind energy facility or a commercial solar
7energy facility if the facility owner has submitted an
8agricultural impact mitigation agreement to the Department of
9Agriculture before January 27, 2023 (the effective date of
10Public Act 102-1123); (3) a commercial wind energy or
11commercial solar energy development on property that is
12located within an enterprise zone certified under the Illinois
13Enterprise Zone Act, that was classified as industrial by the
14appropriate zoning authority on or before January 27, 2023,
15and that is located within 4 miles of the intersection of
16Interstate 88 and Interstate 39; or (4) a commercial wind
17energy or commercial solar energy development on property in
18Madison County that is located within the area that has as its
19northern boundary the portion of Drexelius Road that is
20between the intersection of Drexelius Road and Wolf Road and
21the intersection of Drexelius Road and Fosterburg Road, that
22has as its eastern boundary the portion of Fosterburg Road
23that is between the intersection of Fosterburg Road and
24Drexelius Road and the intersection of Fosterburg Road and
25Wolf Road, and that has as its southern and western boundaries
26the portion of Wolf Road that is between the intersection of

 

 

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1Fosterburg Road and Wolf Road and the intersection of
2Drexelius Road and Wolf Road.
3(Source: P.A. 103-81, eff. 6-9-23; 103-580, eff. 12-8-23;
4104-417, eff. 8-15-25; 104-458, eff. 6-1-26.)
 
5    (55 ILCS 5/5-12024)
6    (This Section may contain text from a Public Act with a
7delayed effective date)
8    Sec. 5-12024. Energy storage systems.
9    (a) As used in this Section:
10    "Energy storage system" means a facility with an aggregate
11energy capacity that is greater than 1,000 kilowatts and that
12is capable of absorbing energy and storing it for use at a
13later time, including, but not limited to, electrochemical and
14electromechanical technologies. "Energy storage system" does
15not include technologies that require combustion. "Energy
16storage system" also does not include energy storage systems
17associated with commercial solar energy facilities or
18commercial wind energy facilities as defined in Section
195-12020.
20    "Excused service interruption" means any period during
21which an energy storage system does not store or discharge
22electricity and that is planned or reasonably foreseeable for
23standard commercial operation, including any unavailability
24caused by a buyer; storage capacity tests; system emergencies;
25curtailments, including curtailment orders; transmission

 

 

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1system outages; compliance with any operating restriction;
2serial defects; and planned outages.
3    "Facility owner" means (i) a person with a direct
4ownership interest in an energy storage system, regardless of
5whether the person is involved in acquiring the necessary
6rights, permits, and approvals or otherwise planning for the
7construction and operation of the facility and (ii) a person
8who, at the time the facility is being developed, is acting as
9a developer of the facility by acquiring the necessary rights,
10permits, and approvals or by planning for the construction and
11operation of the facility, regardless of whether the person
12will own or operate the facility.
13    "Force majeure" means any event or circumstance that
14delays or prevents an energy storage system from timely
15performing all or a portion of its commercial operations if
16the act or event, despite the exercise of commercially
17reasonable efforts, cannot be avoided by and is beyond the
18reasonable control, whether direct or indirect, of, and
19without the fault or negligence of, a facility owner or
20operator or any of its assignees. "Force majeure" includes,
21but is not limited to:
22        (1) fire, flood, tornado, or other natural disasters
23    or acts of God;
24        (2) war, civil strife, terrorist attack, or other
25    similar acts of violence;
26        (3) unavailability of materials, equipment, services,

 

 

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1    or labor, including unavailability due to global supply
2    chain shortages;
3        (4) utility or energy shortages or acts or omissions
4    of public utility providers;
5        (5) any delay resulting from a pandemic, epidemic, or
6    other public health emergency or related restrictions; and
7        (6) litigation or a regulatory proceeding regarding a
8    facility.
9    "NFPA" means the National Fire Protection Association.
10    "Nonparticipating property" means real property that is
11not a participating property.
12    "Nonparticipating residence" means a residence that is
13located on nonparticipating property and that exists and is
14occupied on the date that the application for a permit to
15develop an energy storage system is filed with the county.
16    "Occupied community building" means a school, place of
17worship, child day care facility, public library, or community
18center that is occupied on the date that the application for a
19permit to develop an energy storage system is filed with the
20county in which the building is located.
21    "Participating property" means real property that is the
22subject of a written agreement between a facility owner and
23the owner of the real property and that provides the facility
24owner an easement, option, lease, or license to use the real
25property for the purpose of constructing an energy storage
26system or supporting facilities.

 

 

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1    "Protected lands" means real property that is: (i) subject
2to a permanent conservation right consistent with the Real
3Property Conservation Rights Act; or (ii) registered or
4designated as a nature preserve, buffer, or land and water
5reserve under the Illinois Natural Areas Preservation Act.
6    "Supporting facilities" means the transmission lines,
7substations, switchyard, access roads, meteorological towers,
8storage containers, and equipment associated with the
9generation, storage, and dispatch of electricity by an energy
10storage system.
11    (b) Notwithstanding any other provision of law, if a
12county has formed a zoning commission and adopted formal
13zoning under Section 5-12007, then a county may establish
14standards for energy storage systems in areas of the county
15that are not within the zoning jurisdiction of a municipality.
16The standards may include all of the requirements specified in
17this Section but may not include requirements for energy
18storage systems that are more restrictive than specified in
19this Section or requirements that are not specified in this
20Section.
21    (c) A county may require the energy storage facility to
22comply with the version of NFPA 855 "Standard for the
23Installation of Stationary Energy Storage Systems" in effect
24on the effective date of this amendatory Act or any successor
25standard issued by the NFPA in effect on the date of siting or
26special use permit approval. A county may not include

 

 

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1requirements for energy storage systems that are more
2restrictive than NFPA 855 "Standard for the Installation of
3Stationary Energy Storage Systems" unless required by this
4Section.
5    (d) If a county has elected to establish standards under
6subsection (b), then the zoning board of appeals for the
7county shall hold at least one public hearing before the
8county grants (i) siting approval or a special use permit for
9an energy storage system or (ii) modification of an approved
10siting or special use permit. The public hearing shall be
11conducted in accordance with the Open Meetings Act and shall
12conclude not more than 60 days after the filing of the
13application for the facility. The county shall allow
14interested parties to a special use permit an opportunity to
15present evidence and to cross-examine witnesses at the
16hearing, but the county may impose reasonable restrictions on
17the public hearing, including reasonable time limitations on
18the presentation of evidence and the cross-examination of
19witnesses. The county shall also allow public comment at the
20public hearing in accordance with the Open Meetings Act. The
21county shall make its siting and permitting decisions not more
22than 30 days after the conclusion of the public hearing.
23Notice of the hearing shall be published in a newspaper of
24general circulation in the county.
25    (e) A county with an existing zoning ordinance in conflict
26with this Section shall amend that zoning ordinance to comply

 

 

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1with this Section within 120 days after the effective date of
2this amendatory Act of the 104th General Assembly.
3    (f) A county shall require an energy storage system to be
4sited as follows, with setback distances measured from the
5nearest edge of the nearest battery or other electrochemical
6or electromechanical enclosure:
 
7Setback Description           Setback Distance
 
8Occupied Community            150 feet from the nearest 
9Buildings and                 point of the outside wall of
10Nonparticipating Residences   the occupied community building
11                              or nonparticipating residence
 
12Boundary Lines of             50 feet to the nearest point
13Occupied Community            on the property line of
14Buildings and                 the occupied community building
15Nonparticipating Residences   or nonparticipating property
 
16Public Road Rights-of-Way     50 feet from the nearest edge
17                              of the right-of-way
18        (2) A county shall also require an energy storage
19    system to be sited so that the facility's perimeter is
20    enclosed by fencing having a height of at least 7 feet and
21    no more than 25 feet.
22    This Section does not exempt or excuse compliance with

 

 

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1electric facility clearances approved or required by the
2National Electrical Code, the National Electrical Safety Code,
3the Illinois Commerce Commission, the Federal Energy
4Regulatory Commission, and their designees or successors.
5    (g) A county may not set a sound limitation for energy
6storage systems that is more restrictive than the sound
7limitations established by the Illinois Pollution Control
8Board under 35 Ill. Adm. Code Parts 900, 901, and 910. After
9commercial operation, a county may require the facility owner
10to provide, not more than once, octave band sound pressure
11level measurements from a reasonable number of sampled
12locations at the perimeter of the energy storage system to
13demonstrate compliance with this Section.
14    (h) The provisions set forth in subsection (f) may be
15waived subject to the written consent of the owner of each
16affected nonparticipating property or nonparticipating
17residence.
18    (i) A county may not place any restriction on the
19installation or use of an energy storage system unless it has
20formed a zoning commission and adopted formal zoning under
21Section 5-12007 and adopts an ordinance that complies with
22this Section. A county may not establish siting standards for
23supporting facilities that preclude development of an energy
24storage system.
25    (j) A request for siting approval or a special use permit
26for an energy storage system, or modification of an approved

 

 

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1siting approval or special use permit, shall be approved if
2the request complies with the standards and conditions imposed
3in this Code, the zoning ordinance adopted consistent with
4this Section, and other State and federal statutes and
5regulations. The siting approval or special use permit
6approved by the county shall grant the facility owner a period
7of at least 3 years after county approval to obtain a building
8permit or commence construction of the energy storage system,
9before the siting approval or special use permit may become
10subject to revocation by the county. Facility owners may be
11granted an extension on obtaining building permits or
12commencing constructing upon a showing of good cause. A
13facility owner's request for an extension may not be
14unreasonably withheld, conditioned, or denied.
15    (k) A county may not adopt zoning regulations that
16disallow, permanently or temporarily, an energy storage system
17from being developed or operated in any district zones to
18allow agricultural or industrial uses.
19    (l) A facility owner shall file a farmland drainage plan
20with the county and impacted drainage districts that outlines
21how surface and subsurface drainage of farmland will be
22restored during and following the construction or
23deconstruction of the energy storage system. The plan shall be
24created independently by the facility owner and shall include
25the location of any potentially impacted drainage district
26facilities to the extent the information is publicly available

 

 

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1from the county or the drainage district and plans to repair
2any subsurface drainage affected during construction or
3deconstruction using procedures outlined in the
4decommissioning plan. All surface and subsurface damage shall
5be repaired as soon as reasonably practicable.
6    (m) A facility owner shall compensate landowners for crop
7losses or other agricultural damages resulting from damage to
8a drainage system caused by the construction of an energy
9storage system. The facility owner shall repair or pay for the
10repair of all damage to the subsurface drainage system caused
11by the construction of the energy storage system. The facility
12owner shall repair or pay for the repair and restoration of
13surface drainage caused by the construction or deconstruction
14of the energy storage facility as soon as reasonably
15practicable.
16    (n) County siting approval or special use permit
17application fees for an energy storage system shall not exceed
18the lesser of (i) $5,000 per each megawatt of nameplate
19capacity of the energy storage system or (ii) $50,000.
20    (o) The county may require a facility owner to provide a
21decommissioning plan to the county. The decommissioning plan
22may include all requirements for decommissioning plans in NFPA
23855 and may also require the facility owner to:
24        (1) state how the energy storage system will be
25    decommissioned, including removal to a depth of 3 feet of
26    all structures that have no ongoing purpose and all debris

 

 

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1    and restoration of the soil and any vegetation to a
2    condition as close as reasonably practicable to the soil's
3    and vegetation's preconstruction condition within 18
4    months of the end of project life or facility abandonment;
5        (2) include provisions related to commercially
6    reasonable efforts to reuse or recycle of equipment and
7    components associated with the commercial offsite energy
8    storage system;
9        (3) include financial assurance in the form of a
10    reclamation or surety bond or other commercially available
11    financial assurance that is acceptable to the county, with
12    the county or participating property owner as beneficiary.
13    The amount of the financial assurance shall not be more
14    than the estimated cost of decommissioning the energy
15    facility, after deducting salvage value, as calculated by
16    a professional engineer licensed to practice engineering
17    in this State with expertise in preparing decommissioning
18    estimates, retained by the applicant. The financial
19    assurance shall be provided to the county incrementally as
20    follows:
21            (A) 25% before the start of full commercial
22        operation;
23            (B) 50% before the start of the 5th year of
24        commercial operation; and
25            (C) 100% by the start of the tenth year of
26        commercial operation;

 

 

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1        (4) update the amount of the financial assurance not
2    more than every 5 years for the duration of commercial
3    operations. The amount shall be calculated by a
4    professional engineer licensed to practice engineering in
5    this State with expertise in decommissioning, hired by the
6    facility owner; and
7        (5) decommission the energy storage system, in
8    accordance with an approved decommissioning plan, within
9    18 months after abandonment. An energy storage system that
10    has not stored electrical energy for 12 consecutive months
11    or that fails, for a period of 6 consecutive months, to pay
12    a property owner who is party to a written agreement,
13    including, but not limited to, an easement, option, lease,
14    or license under the terms of which an energy storage
15    system is constructed on the property, amounts owed in
16    accordance with the written agreement shall be considered
17    abandoned, except when the inability to store energy is
18    the result of an event of force majeure or excused service
19    interruption.
20    (p) A county may not condition approval of an energy
21storage system on a property value guarantee and may not
22require a facility owner to pay into a neighboring property
23devaluation escrow account.
24    (q) A county may require that a facility owner provide the
25results and recommendations from consultation with the
26Department of Natural Resources that are obtained through the

 

 

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1Ecological Compliance Assessment Tool (EcoCAT) or a comparable
2successor tool.
3    (r) A county may require an energy storage system to
4adhere to the recommendations provided by the Department of
5Natural Resources in an Agency Action Report under 17 Ill.
6Adm. Code 1075.
7    (s) A county may require a facility owner to:
8        (1) demonstrate avoidance of protected lands as
9    identified by the Department of Natural Resources and the
10    Illinois Nature Preserves Commission; or
11        (2) consider the recommendations of the Department of
12    Natural Resources for setbacks from protected lands,
13    including areas identified by the Illinois Nature
14    Preserves Commission.
15    (t) A county may require that a facility owner provide
16evidence of consultation with the Illinois Historic
17Preservation Division to assess potential impacts on
18State-registered historic sites under the Illinois State
19Agency Historic Resources Preservation Act.
20    (u) A county may require that an application for siting
21approval or special use permit include the following
22information on a site plan:
23        (1) a description of the property lines and physical
24    features, including roads, for the facility site;
25        (2) a description of the proposed changes to the
26    landscape of the facility site, including vegetation

 

 

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1    clearing and planting, exterior lighting, and screening or
2    structures; and
3        (3) a description of the zoning district designation
4    for the parcel of land comprising the facility site.
5    (v) A county may not prohibit an energy storage system
6from undertaking periodic augmentation to maintain the
7approximate original capacity of the energy storage system. A
8county may not require renewed or additional siting approval
9or special use permit approval of periodic augmentation to
10maintain the approximate original capacity of the energy
11storage system.
12    (w) A county that issues a building permit for energy
13storage systems shall review and process building permit
14applications within 60 days after receipt of the building
15permit application. If a county does not grant or deny the
16building permit application within 60 days, the building
17permit shall be deemed granted. If a county denies a building
18permit application, it shall specify the reason for the denial
19in writing as part of its denial.
20    (x) A county may require a single building permit and a
21reasonable permit fee for the facility which includes all
22supporting facilities. A county building permit fee for an
23energy storage system that does not exceed the lesser of (i)
24$5,000 per each megawatt of nameplate capacity of the energy
25storage system or (ii) $50,000 shall be considered
26presumptively reasonable. A county may require that the

 

 

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1application for building permit contain:
2        (1) an electrical diagram detailing the battery energy
3    storage system layout, associated components, and
4    electrical interconnection methods, with all National
5    Electrical Code compliant disconnects and overcurrent
6    devices; and
7        (2) an equipment specification sheet.
8    (y) A county may require the facility owner to submit to
9the county prior to the facility's commercial operation a
10commissioning report meeting the requirements of NFPA 855
11Sections 4.2.4, 6.1.3, and 6.1.5.5, as published in 2023, or
12the applicable Sections in the most recent version of NFPA
13855.
14    (z) A county may require the facility owner to submit to
15the county prior to the facility's commercial operation a
16hazard mitigation analysis meeting the requirements of NFPA
17855 Section 4.4 or the applicable Sections in the most recent
18version of NFPA 855.
19    (aa) A county may require the facility owner to submit to
20the county an emergency operations plan meeting the
21requirements of NFPA 855 Section 4.3.2.1.4, published in 2023,
22or applicable Sections in the most recent version of NFPA 855,
23prior to commercial operation.
24    (bb) A county may require a warning that complies with
25requirements in NFPA 855 Section 4.7.4, published in 2023, or
26applicable sections in the most recent version of NFPA 855.

 

 

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1    (cc) A county may require the energy storage system to
2adhere to the principles for responsible outdoor lighting
3provided by the International Dark-Sky Association and shall
4limit outdoor lighting to that which is minimally required for
5safety and operational purposes. Any outdoor lighting shall be
6reasonably shielded and downcast from all residences and
7adjacent properties.
8    (dd) This Section does not exempt compliance with fire and
9safety standards and guidance established for the installation
10of lithium-ion battery energy storage systems set by the NFPA.
11    (ee) Prior to commencement of commercial operation, the
12facility owner shall offer to provide training for local fire
13departments and emergency responders in accordance with the
14facility emergency operations plan. A copy of the emergency
15operations plan shall be given to the facility owner, the
16local fire department, and emergency responders. All batteries
17integrated within an energy storage system shall be listed
18under the UL 1973 Standard. All batteries integrated within an
19energy storage system shall be listed in accordance with UL
209540 Standard, either from the manufacturer or by a field
21evaluation.
22    (ff) If a facility owner enters into a road use agreement
23with the Department of Transportation, a road district, or
24other unit of local government relating to an energy storage
25system, then the road use agreement shall require the facility
26owner to be responsible for (i) the reasonable cost of

 

 

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1improving, if necessary, roads used by the facility owner to
2construct the energy storage system and (ii) the reasonable
3cost of repairing roads used by the facility owner during
4construction of the energy storage system so that those roads
5are in a condition that is safe for the driving public after
6the completion of the facility's construction. A roadway
7improved in preparation for and during the construction of the
8energy storage system shall be repaired and restored to the
9improved condition at the reasonable cost of the developer if
10the roadways have degraded or were damaged as a result of
11construction-related activities.
12    The road use agreement shall not require the facility
13owner to pay costs, fees, or charges for road work that is not
14specifically and uniquely attributable to the construction of
15the energy storage system. No road district or other unit of
16local government may request or require a fine, permit fee, or
17other payment obligation as a requirement for a road use
18agreement with a facility owner unless the amount of the fine,
19permit fee, or other payment obligation is equivalent to the
20amount of actual expenses incurred by the road district or
21other unit of local government for negotiating, executing,
22constructing, or implementing the road use agreement. The road
23use agreement shall not require the facility owner to perform
24or pay for any road work that is unrelated to the road
25improvements required for the construction of the commercial
26wind energy facility or the commercial solar energy facility

 

 

HB5373- 245 -LRB104 20029 AAS 33480 b

1or the restoration of the roads used by the facility owner
2during construction-related activities.
3    (gg) The provisions of this amendatory Act of the 104th
4General Assembly do not apply to an application for siting
5approval or special use permit for an energy storage system if
6the application was submitted to a county before the effective
7date of this amendatory Act of the 104th General Assembly.
8(Source: P.A. 104-458, eff. 6-1-26.)
 
9    Section 80. The Township Code is amended by changing
10Section 85-13 as follows:
 
11    (60 ILCS 1/85-13)
12    Sec. 85-13. Township services, generally.
13    (a) The township board may either expend funds directly or
14may enter into any cooperative agreement or contract with any
15other governmental entity, not-for-profit corporation,
16non-profit community service association, or any for-profit
17business entity as provided in subsection (b) with respect to
18the expenditure of township funds, or funds made available to
19the township under the federal State and Local Fiscal
20Assistance Act of 1972, to provide any of the following
21services to the residents of the township:
22        (1) Ordinary and necessary maintenance and operating
23    expenses for the following:
24            (A) Public safety (including law enforcement, fire

 

 

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1        protection, and building code enforcement).
2            (B) Environmental protection (including sewage
3        disposal, sanitation, and pollution abatement).
4            (C) Public transportation (including transit
5        systems, paratransit systems, and streets and roads).
6            (D) Health, including mental, behavioral, eye,
7        dental, or other healthcare.
8            (E) Recreation.
9            (F) Libraries.
10            (G) Social services for the poor and aged.
11        (2) Ordinary and necessary capital expenditures
12    authorized by law.
13        (3) Development and retention of business, industrial,
14    manufacturing, and tourist facilities within the township.
15    (b) To be eligible to receive funds from the township
16under this Section, a private not-for-profit corporation or
17community service association shall have been in existence at
18least one year before receiving the funds. The township board
19may, however, for the purpose of providing child day care
20services, contract with child day care facilities licensed
21under the Child Care Act of 1969, regardless of whether the
22facilities are organized on a for-profit or not-for-profit
23basis.
24    (c) Township governments that directly expend or contract
25for child day care shall use the standard of need established
26by the Department of Children and Family Services in

 

 

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1determining recipients of subsidized child day care and shall
2use the rate schedule used by the Department of Children and
3Family Services for the purchase of subsidized child day care.
4Notwithstanding the preceding sentence, the township board may
5approve the application of a different, publicly available,
6professional or academically recognized standard of need in
7determining eligibility for subsidized day care.
8    (d) Township governments that directly expend or contract
9for senior citizen services may contract with for-profit (or
10not-for-profit) and non-sectarian organizations as provided in
11Sections 220-15 and 220-35.
12    (e) Those township supervisors or other elected township
13officials who are also members of a county board shall not vote
14on questions before the township board or the county board
15that relate to agreements or contracts between the township
16and the county under this Section or agreements or contracts
17between the township and the county that are otherwise
18authorized by law.
19    (f) The township board may enter into direct agreements
20with for-profit corporations or other business entities to
21carry out recycling programs in unincorporated areas of the
22township.
23    The township board may by ordinance administer a recycling
24program or adopt rules and regulations relating to recycling
25programs in unincorporated areas of the township that it from
26time to time deems necessary and may provide penalties for

 

 

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1violations of those rules and regulations.
2    (g) For purposes of alleviating high unemployment,
3economically depressed conditions, and lack of moderately
4priced housing, the trustees of a township that includes all
5or a portion of a city that is a "financially distressed city"
6under the Financially Distressed City Law may contract with
7one or more not-for-profit or for-profit organizations to
8construct and operate within the boundaries of the township a
9factory designed to manufacture housing or housing components.
10The contract may provide for the private organization or
11organizations to manage some or all operations of the factory
12and may provide for (i) payment of employee compensation and
13taxes; (ii) discharge of other legal responsibilities; (iii)
14sale of products; (iv) disposition of the factory, equipment,
15and other property; and (v) any other matters the township
16trustees consider reasonable.
17(Source: P.A. 103-192, eff. 1-1-24.)
 
18    Section 85. The Illinois Municipal Code is amended by
19changing Sections 8-3-18, 11-5-1.5, 11-21.5-5, 11-74.4-3, and
2011-80-15 as follows:
 
21    (65 ILCS 5/8-3-18)
22    Sec. 8-3-18. A municipality, upon a majority vote of its
23governing authority, may abate taxes levied for corporate
24purposes under Section 8-3-1 in an amount not to exceed 50% of

 

 

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1the donation by a taxpayer who donates not less than $10,000 to
2a qualified program. The abatement shall not exceed the tax
3extension on the taxpayer's real property for the levy year in
4which the donation is made.
5    For purposes of this Section, "qualified program" means a
6facility or a program in an area designated as a target area by
7the governing authority of the municipality for the creation
8or expansion of job training and counseling programs, youth
9child day care centers, congregate housing programs for senior
10adults, youth recreation programs, alcohol and drug abuse
11prevention, mental health counseling programs, domestic
12violence shelters, and other programs, facilities or services
13approved by the governing authority as qualified programs in a
14target area.
15(Source: P.A. 88-389.)
 
16    (65 ILCS 5/11-5-1.5)
17    Sec. 11-5-1.5. Adult entertainment facility. It is
18prohibited within a municipality to locate an adult
19entertainment facility within 1,000 feet of the property
20boundaries of any school, child day care center, cemetery,
21public park, forest preserve, public housing, and place of
22religious worship, except that in a county with a population
23of more than 800,000 and less than 2,000,000 inhabitants, it
24is prohibited to locate, construct, or operate a new adult
25entertainment facility within one mile of the property

 

 

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1boundaries of any school, child day care center, cemetery,
2public park, forest preserve, public housing, or place of
3religious worship located anywhere within that county.
4Notwithstanding any other requirements of this Section, it is
5also prohibited to locate, construct, or operate a new adult
6entertainment facility within one mile of the property
7boundaries of any school, child day care center, cemetery,
8public park, forest preserve, public housing, or place of
9religious worship located in that area of Cook County outside
10of the City of Chicago.
11    For the purposes of this Section, "adult entertainment
12facility" means (i) a striptease club or pornographic movie
13theatre whose business is the commercial sale, dissemination,
14or distribution of sexually explicit material, shows, or other
15exhibitions or (ii) an adult bookstore or adult video store in
16which 25% or more of its stock-in-trade, books, magazines, and
17films for sale, exhibition, or viewing on-premises are
18sexually explicit material.
19(Source: P.A. 95-47, eff. 1-1-08; 95-214, eff. 8-16-07;
2095-876, eff. 8-21-08.)
 
21    (65 ILCS 5/11-21.5-5)
22    Sec. 11-21.5-5. Local emergency energy plans.
23    (a) Any municipality, including a home rule municipality,
24may, by ordinance, require any electric utility (i) that
25serves more than 1,000,000 customers in Illinois and (ii) that

 

 

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1is operating within the corporate limits of the municipality
2to adopt and to provide the municipality with a local
3emergency energy plan. For the purposes of this Section, (i)
4"local emergency energy plan" or "plan" means a planned course
5of action developed by the electric utility that is
6implemented when the demand for electricity exceeds, or is at
7significant risk of exceeding, the supply of electricity
8available to the electric utility and (ii) "local emergency
9energy plan ordinance" means an ordinance adopted by the
10corporate authorities of the municipality under this Section
11that requires local emergency energy plans.
12    (b) A local emergency energy plan must include the
13following information:
14        (1) the circumstances that would require the
15    implementation of the plan;
16        (2) the levels or stages of the plan;
17        (3) the approximate geographic limits of each outage
18    area provided for in the plan;
19        (4) the approximate number of customers within each
20    outage area provided for in the plan;
21        (5) any police facilities, fire stations, hospitals,
22    nursing homes, schools, child day care centers, senior
23    citizens centers, community health centers, blood banks,
24    dialysis centers, community mental health centers,
25    correctional facilities, stormwater and wastewater
26    treatment or pumping facilities, water-pumping stations,

 

 

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1    buildings in excess of 80 feet in height that have been
2    identified by the municipality, and persons on life
3    support systems that are known to the electric utility
4    that could be affected by controlled rotating
5    interruptions of electric service under the plan; and
6        (6) the anticipated sequence and duration of
7    intentional interruptions of electric service to each
8    outage area under the plan.
9    (c) A local emergency energy plan ordinance may require
10that, when an electric utility determines it is necessary to
11implement a controlled rotating interruption of electric
12service because the demand for electricity exceeds, or is at
13significant risk of exceeding, the supply of electricity
14available to the electric utility, the electric utility notify
15a designated municipal officer that the electric utility will
16be implementing its local emergency energy plan. The
17notification shall be made pursuant to a procedure approved by
18the municipality after consultation with the electric utility.
19    (d) After providing the notice required in subsection (c),
20an electric utility shall reasonably and separately advise
21designated municipal officials before it implements each level
22or stage of the plan, which shall include (i) a request for
23emergency help from neighboring utilities, (ii) a declaration
24of a control area emergency, and (iii) a public appeal for
25voluntary curtailment of electricity use.
26    (e) The electric utility must give a separate notice to a

 

 

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1designated municipal official immediately after it determines
2that there will be a controlled rotating interruption of
3electric service under the local emergency energy plan. The
4notification must include (i) the areas in which service will
5be interrupted, (ii) the sequence and estimated duration of
6the service outage for each area, (iii) the affected feeders,
7and (iv) the number of affected customers in each area.
8Whenever practical, the notification shall be made at least 2
9hours before the time of the outages. If the electric utility
10is aware that controlled rotating interruptions may be
11required, the notification may not be made less than 30
12minutes before the outages.
13    (f) A local emergency energy plan ordinance may provide
14civil penalties for violations of its provisions. The
15penalties must be permitted under the Illinois Municipal Code.
16    (g) The notifications required by this Section are in
17addition to the notification requirements of any applicable
18franchise agreement or ordinance and to the notification
19requirements of any applicable federal or State law, rule, and
20regulation.
21    (h) Except for any penalties or remedies that may be
22provided in a local emergency energy plan ordinance, in this
23Act, or in rules adopted by the Illinois Commerce Commission,
24nothing in this Section shall be construed to impose liability
25for or prevent a utility from taking any actions that are
26necessary at any time, in any order, and with or without notice

 

 

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1that are required to preserve the integrity of the electric
2utility's electrical system and interconnected network.
3    (i) Nothing in this Section, a local emergency energy plan
4ordinance, or a local emergency energy plan creates any duty
5of a municipality to any person or entity. No municipality may
6be subject to any claim or cause of action arising, directly or
7indirectly, from its decision to adopt or to refrain from
8adopting a local emergency energy plan ordinance. No
9municipality may be subject to any claim or cause of action
10arising, directly or indirectly, from any act or omission
11under the terms of or information provided in a local
12emergency energy plan filed under a local emergency energy
13plan ordinance.
14(Source: P.A. 92-651, eff. 7-11-02; 93-293, eff. 7-22-03.)
 
15    (65 ILCS 5/11-74.4-3)  (from Ch. 24, par. 11-74.4-3)
16    (Text of Section before amendment by P.A. 104-457)
17    Sec. 11-74.4-3. Definitions. The following terms, wherever
18used or referred to in this Division 74.4 shall have the
19following respective meanings, unless in any case a different
20meaning clearly appears from the context.
21    (a) For any redevelopment project area that has been
22designated pursuant to this Section by an ordinance adopted
23prior to November 1, 1999 (the effective date of Public Act
2491-478), "blighted area" shall have the meaning set forth in
25this Section prior to that date.

 

 

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1    On and after November 1, 1999, "blighted area" means any
2improved or vacant area within the boundaries of a
3redevelopment project area located within the territorial
4limits of the municipality where:
5        (1) If improved, industrial, commercial, and
6    residential buildings or improvements are detrimental to
7    the public safety, health, or welfare because of a
8    combination of 5 or more of the following factors, each of
9    which is (i) present, with that presence documented, to a
10    meaningful extent so that a municipality may reasonably
11    find that the factor is clearly present within the intent
12    of the Act and (ii) reasonably distributed throughout the
13    improved part of the redevelopment project area:
14            (A) Dilapidation. An advanced state of disrepair
15        or neglect of necessary repairs to the primary
16        structural components of buildings or improvements in
17        such a combination that a documented building
18        condition analysis determines that major repair is
19        required or the defects are so serious and so
20        extensive that the buildings must be removed.
21            (B) Obsolescence. The condition or process of
22        falling into disuse. Structures have become ill-suited
23        for the original use.
24            (C) Deterioration. With respect to buildings,
25        defects including, but not limited to, major defects
26        in the secondary building components such as doors,

 

 

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1        windows, porches, gutters and downspouts, and fascia.
2        With respect to surface improvements, that the
3        condition of roadways, alleys, curbs, gutters,
4        sidewalks, off-street parking, and surface storage
5        areas evidence deterioration, including, but not
6        limited to, surface cracking, crumbling, potholes,
7        depressions, loose paving material, and weeds
8        protruding through paved surfaces.
9            (D) Presence of structures below minimum code
10        standards. All structures that do not meet the
11        standards of zoning, subdivision, building, fire, and
12        other governmental codes applicable to property, but
13        not including housing and property maintenance codes.
14            (E) Illegal use of individual structures. The use
15        of structures in violation of applicable federal,
16        State, or local laws, exclusive of those applicable to
17        the presence of structures below minimum code
18        standards.
19            (F) Excessive vacancies. The presence of buildings
20        that are unoccupied or under-utilized and that
21        represent an adverse influence on the area because of
22        the frequency, extent, or duration of the vacancies.
23            (G) Lack of ventilation, light, or sanitary
24        facilities. The absence of adequate ventilation for
25        light or air circulation in spaces or rooms without
26        windows, or that require the removal of dust, odor,

 

 

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1        gas, smoke, or other noxious airborne materials.
2        Inadequate natural light and ventilation means the
3        absence of skylights or windows for interior spaces or
4        rooms and improper window sizes and amounts by room
5        area to window area ratios. Inadequate sanitary
6        facilities refers to the absence or inadequacy of
7        garbage storage and enclosure, bathroom facilities,
8        hot water and kitchens, and structural inadequacies
9        preventing ingress and egress to and from all rooms
10        and units within a building.
11            (H) Inadequate utilities. Underground and overhead
12        utilities such as storm sewers and storm drainage,
13        sanitary sewers, water lines, and gas, telephone, and
14        electrical services that are shown to be inadequate.
15        Inadequate utilities are those that are: (i) of
16        insufficient capacity to serve the uses in the
17        redevelopment project area, (ii) deteriorated,
18        antiquated, obsolete, or in disrepair, or (iii)
19        lacking within the redevelopment project area.
20            (I) Excessive land coverage and overcrowding of
21        structures and community facilities. The
22        over-intensive use of property and the crowding of
23        buildings and accessory facilities onto a site.
24        Examples of problem conditions warranting the
25        designation of an area as one exhibiting excessive
26        land coverage are: (i) the presence of buildings

 

 

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1        either improperly situated on parcels or located on
2        parcels of inadequate size and shape in relation to
3        present-day standards of development for health and
4        safety and (ii) the presence of multiple buildings on
5        a single parcel. For there to be a finding of excessive
6        land coverage, these parcels must exhibit one or more
7        of the following conditions: insufficient provision
8        for light and air within or around buildings,
9        increased threat of spread of fire due to the close
10        proximity of buildings, lack of adequate or proper
11        access to a public right-of-way, lack of reasonably
12        required off-street parking, or inadequate provision
13        for loading and service.
14            (J) Deleterious land use or layout. The existence
15        of incompatible land-use relationships, buildings
16        occupied by inappropriate mixed-uses, or uses
17        considered to be noxious, offensive, or unsuitable for
18        the surrounding area.
19            (K) Environmental clean-up. The proposed
20        redevelopment project area has incurred Illinois
21        Environmental Protection Agency or United States
22        Environmental Protection Agency remediation costs for,
23        or a study conducted by an independent consultant
24        recognized as having expertise in environmental
25        remediation has determined a need for, the clean-up of
26        hazardous waste, hazardous substances, or underground

 

 

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1        storage tanks required by State or federal law,
2        provided that the remediation costs constitute a
3        material impediment to the development or
4        redevelopment of the redevelopment project area.
5            (L) Lack of community planning. The proposed
6        redevelopment project area was developed prior to or
7        without the benefit or guidance of a community plan.
8        This means that the development occurred prior to the
9        adoption by the municipality of a comprehensive or
10        other community plan or that the plan was not followed
11        at the time of the area's development. This factor
12        must be documented by evidence of adverse or
13        incompatible land-use relationships, inadequate street
14        layout, improper subdivision, parcels of inadequate
15        shape and size to meet contemporary development
16        standards, or other evidence demonstrating an absence
17        of effective community planning.
18            (M) The total equalized assessed value of the
19        proposed redevelopment project area has declined for 3
20        of the last 5 calendar years prior to the year in which
21        the redevelopment project area is designated or is
22        increasing at an annual rate that is less than the
23        balance of the municipality for 3 of the last 5
24        calendar years for which information is available or
25        is increasing at an annual rate that is less than the
26        Consumer Price Index for All Urban Consumers published

 

 

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1        by the United States Department of Labor or successor
2        agency for 3 of the last 5 calendar years prior to the
3        year in which the redevelopment project area is
4        designated.
5        (2) If vacant, the sound growth of the redevelopment
6    project area is impaired by a combination of 2 or more of
7    the following factors, each of which is (i) present, with
8    that presence documented, to a meaningful extent so that a
9    municipality may reasonably find that the factor is
10    clearly present within the intent of the Act and (ii)
11    reasonably distributed throughout the vacant part of the
12    redevelopment project area to which it pertains:
13            (A) Obsolete platting of vacant land that results
14        in parcels of limited or narrow size or configurations
15        of parcels of irregular size or shape that would be
16        difficult to develop on a planned basis and in a manner
17        compatible with contemporary standards and
18        requirements, or platting that failed to create
19        rights-of-ways for streets or alleys or that created
20        inadequate right-of-way widths for streets, alleys, or
21        other public rights-of-way or that omitted easements
22        for public utilities.
23            (B) Diversity of ownership of parcels of vacant
24        land sufficient in number to retard or impede the
25        ability to assemble the land for development.
26            (C) Tax and special assessment delinquencies exist

 

 

HB5373- 261 -LRB104 20029 AAS 33480 b

1        or the property has been the subject of tax sales under
2        the Property Tax Code within the last 5 years.
3            (D) Deterioration of structures or site
4        improvements in neighboring areas adjacent to the
5        vacant land.
6            (E) The area has incurred Illinois Environmental
7        Protection Agency or United States Environmental
8        Protection Agency remediation costs for, or a study
9        conducted by an independent consultant recognized as
10        having expertise in environmental remediation has
11        determined a need for, the clean-up of hazardous
12        waste, hazardous substances, or underground storage
13        tanks required by State or federal law, provided that
14        the remediation costs constitute a material impediment
15        to the development or redevelopment of the
16        redevelopment project area.
17            (F) The total equalized assessed value of the
18        proposed redevelopment project area has declined for 3
19        of the last 5 calendar years prior to the year in which
20        the redevelopment project area is designated or is
21        increasing at an annual rate that is less than the
22        balance of the municipality for 3 of the last 5
23        calendar years for which information is available or
24        is increasing at an annual rate that is less than the
25        Consumer Price Index for All Urban Consumers published
26        by the United States Department of Labor or successor

 

 

HB5373- 262 -LRB104 20029 AAS 33480 b

1        agency for 3 of the last 5 calendar years prior to the
2        year in which the redevelopment project area is
3        designated.
4        (3) If vacant, the sound growth of the redevelopment
5    project area is impaired by one of the following factors
6    that (i) is present, with that presence documented, to a
7    meaningful extent so that a municipality may reasonably
8    find that the factor is clearly present within the intent
9    of the Act and (ii) is reasonably distributed throughout
10    the vacant part of the redevelopment project area to which
11    it pertains:
12            (A) The area consists of one or more unused
13        quarries, mines, or strip mine ponds.
14            (B) The area consists of unused rail yards, rail
15        tracks, or railroad rights-of-way.
16            (C) The area, prior to its designation, is subject
17        to (i) chronic flooding that adversely impacts on real
18        property in the area as certified by a registered
19        professional engineer or appropriate regulatory agency
20        or (ii) surface water that discharges from all or a
21        part of the area and contributes to flooding within
22        the same watershed, but only if the redevelopment
23        project provides for facilities or improvements to
24        contribute to the alleviation of all or part of the
25        flooding.
26            (D) The area consists of an unused or illegal

 

 

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1        disposal site containing earth, stone, building
2        debris, or similar materials that were removed from
3        construction, demolition, excavation, or dredge sites.
4            (E) Prior to November 1, 1999, the area is not less
5        than 50 nor more than 100 acres and 75% of which is
6        vacant (notwithstanding that the area has been used
7        for commercial agricultural purposes within 5 years
8        prior to the designation of the redevelopment project
9        area), and the area meets at least one of the factors
10        itemized in paragraph (1) of this subsection, the area
11        has been designated as a town or village center by
12        ordinance or comprehensive plan adopted prior to
13        January 1, 1982, and the area has not been developed
14        for that designated purpose.
15            (F) The area qualified as a blighted improved area
16        immediately prior to becoming vacant, unless there has
17        been substantial private investment in the immediately
18        surrounding area.
19    (b) For any redevelopment project area that has been
20designated pursuant to this Section by an ordinance adopted
21prior to November 1, 1999 (the effective date of Public Act
2291-478), "conservation area" shall have the meaning set forth
23in this Section prior to that date.
24    On and after November 1, 1999, "conservation area" means
25any improved area within the boundaries of a redevelopment
26project area located within the territorial limits of the

 

 

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1municipality in which 50% or more of the structures in the area
2have an age of 35 years or more. Such an area is not yet a
3blighted area but because of a combination of 3 or more of the
4following factors is detrimental to the public safety, health,
5morals or welfare and such an area may become a blighted area:
6        (1) Dilapidation. An advanced state of disrepair or
7    neglect of necessary repairs to the primary structural
8    components of buildings or improvements in such a
9    combination that a documented building condition analysis
10    determines that major repair is required or the defects
11    are so serious and so extensive that the buildings must be
12    removed.
13        (2) Obsolescence. The condition or process of falling
14    into disuse. Structures have become ill-suited for the
15    original use.
16        (3) Deterioration. With respect to buildings, defects
17    including, but not limited to, major defects in the
18    secondary building components such as doors, windows,
19    porches, gutters and downspouts, and fascia. With respect
20    to surface improvements, that the condition of roadways,
21    alleys, curbs, gutters, sidewalks, off-street parking, and
22    surface storage areas evidence deterioration, including,
23    but not limited to, surface cracking, crumbling, potholes,
24    depressions, loose paving material, and weeds protruding
25    through paved surfaces.
26        (4) Presence of structures below minimum code

 

 

HB5373- 265 -LRB104 20029 AAS 33480 b

1    standards. All structures that do not meet the standards
2    of zoning, subdivision, building, fire, and other
3    governmental codes applicable to property, but not
4    including housing and property maintenance codes.
5        (5) Illegal use of individual structures. The use of
6    structures in violation of applicable federal, State, or
7    local laws, exclusive of those applicable to the presence
8    of structures below minimum code standards.
9        (6) Excessive vacancies. The presence of buildings
10    that are unoccupied or under-utilized and that represent
11    an adverse influence on the area because of the frequency,
12    extent, or duration of the vacancies.
13        (7) Lack of ventilation, light, or sanitary
14    facilities. The absence of adequate ventilation for light
15    or air circulation in spaces or rooms without windows, or
16    that require the removal of dust, odor, gas, smoke, or
17    other noxious airborne materials. Inadequate natural light
18    and ventilation means the absence or inadequacy of
19    skylights or windows for interior spaces or rooms and
20    improper window sizes and amounts by room area to window
21    area ratios. Inadequate sanitary facilities refers to the
22    absence or inadequacy of garbage storage and enclosure,
23    bathroom facilities, hot water and kitchens, and
24    structural inadequacies preventing ingress and egress to
25    and from all rooms and units within a building.
26        (8) Inadequate utilities. Underground and overhead

 

 

HB5373- 266 -LRB104 20029 AAS 33480 b

1    utilities such as storm sewers and storm drainage,
2    sanitary sewers, water lines, and gas, telephone, and
3    electrical services that are shown to be inadequate.
4    Inadequate utilities are those that are: (i) of
5    insufficient capacity to serve the uses in the
6    redevelopment project area, (ii) deteriorated, antiquated,
7    obsolete, or in disrepair, or (iii) lacking within the
8    redevelopment project area.
9        (9) Excessive land coverage and overcrowding of
10    structures and community facilities. The over-intensive
11    use of property and the crowding of buildings and
12    accessory facilities onto a site. Examples of problem
13    conditions warranting the designation of an area as one
14    exhibiting excessive land coverage are: the presence of
15    buildings either improperly situated on parcels or located
16    on parcels of inadequate size and shape in relation to
17    present-day standards of development for health and safety
18    and the presence of multiple buildings on a single parcel.
19    For there to be a finding of excessive land coverage,
20    these parcels must exhibit one or more of the following
21    conditions: insufficient provision for light and air
22    within or around buildings, increased threat of spread of
23    fire due to the close proximity of buildings, lack of
24    adequate or proper access to a public right-of-way, lack
25    of reasonably required off-street parking, or inadequate
26    provision for loading and service.

 

 

HB5373- 267 -LRB104 20029 AAS 33480 b

1        (10) Deleterious land use or layout. The existence of
2    incompatible land-use relationships, buildings occupied by
3    inappropriate mixed-uses, or uses considered to be
4    noxious, offensive, or unsuitable for the surrounding
5    area.
6        (11) Lack of community planning. The proposed
7    redevelopment project area was developed prior to or
8    without the benefit or guidance of a community plan. This
9    means that the development occurred prior to the adoption
10    by the municipality of a comprehensive or other community
11    plan or that the plan was not followed at the time of the
12    area's development. This factor must be documented by
13    evidence of adverse or incompatible land-use
14    relationships, inadequate street layout, improper
15    subdivision, parcels of inadequate shape and size to meet
16    contemporary development standards, or other evidence
17    demonstrating an absence of effective community planning.
18        (12) The area has incurred Illinois Environmental
19    Protection Agency or United States Environmental
20    Protection Agency remediation costs for, or a study
21    conducted by an independent consultant recognized as
22    having expertise in environmental remediation has
23    determined a need for, the clean-up of hazardous waste,
24    hazardous substances, or underground storage tanks
25    required by State or federal law, provided that the
26    remediation costs constitute a material impediment to the

 

 

HB5373- 268 -LRB104 20029 AAS 33480 b

1    development or redevelopment of the redevelopment project
2    area.
3        (13) The total equalized assessed value of the
4    proposed redevelopment project area has declined for 3 of
5    the last 5 calendar years for which information is
6    available or is increasing at an annual rate that is less
7    than the balance of the municipality for 3 of the last 5
8    calendar years for which information is available or is
9    increasing at an annual rate that is less than the
10    Consumer Price Index for All Urban Consumers published by
11    the United States Department of Labor or successor agency
12    for 3 of the last 5 calendar years for which information is
13    available.
14    (c) "Industrial park" means an area in a blighted or
15conservation area suitable for use by any manufacturing,
16industrial, research or transportation enterprise, of
17facilities to include but not be limited to factories, mills,
18processing plants, assembly plants, packing plants,
19fabricating plants, industrial distribution centers,
20warehouses, repair overhaul or service facilities, freight
21terminals, research facilities, test facilities or railroad
22facilities.
23    (d) "Industrial park conservation area" means an area
24within the boundaries of a redevelopment project area located
25within the territorial limits of a municipality that is a
26labor surplus municipality or within 1 1/2 miles of the

 

 

HB5373- 269 -LRB104 20029 AAS 33480 b

1territorial limits of a municipality that is a labor surplus
2municipality if the area is annexed to the municipality; which
3area is zoned as industrial no later than at the time the
4municipality by ordinance designates the redevelopment project
5area, and which area includes both vacant land suitable for
6use as an industrial park and a blighted area or conservation
7area contiguous to such vacant land.
8    (e) "Labor surplus municipality" means a municipality in
9which, at any time during the 6 months before the municipality
10by ordinance designates an industrial park conservation area,
11the unemployment rate was over 6% and was also 100% or more of
12the national average unemployment rate for that same time as
13published in the United States Department of Labor Bureau of
14Labor Statistics publication entitled "The Employment
15Situation" or its successor publication. For the purpose of
16this subsection, if unemployment rate statistics for the
17municipality are not available, the unemployment rate in the
18municipality shall be deemed to be the same as the
19unemployment rate in the principal county in which the
20municipality is located.
21    (f) "Municipality" shall mean a city, village,
22incorporated town, or a township that is located in the
23unincorporated portion of a county with 3 million or more
24inhabitants, if the county adopted an ordinance that approved
25the township's redevelopment plan.
26    (g) "Initial Sales Tax Amounts" means the amount of taxes

 

 

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1paid under the Retailers' Occupation Tax Act, Use Tax Act,
2Service Use Tax Act, the Service Occupation Tax Act, the
3Municipal Retailers' Occupation Tax Act, and the Municipal
4Service Occupation Tax Act by retailers and servicemen on
5transactions at places located in a State Sales Tax Boundary
6during the calendar year 1985.
7    (g-1) "Revised Initial Sales Tax Amounts" means the amount
8of taxes paid under the Retailers' Occupation Tax Act, Use Tax
9Act, Service Use Tax Act, the Service Occupation Tax Act, the
10Municipal Retailers' Occupation Tax Act, and the Municipal
11Service Occupation Tax Act by retailers and servicemen on
12transactions at places located within the State Sales Tax
13Boundary revised pursuant to Section 11-74.4-8a(9) of this
14Act.
15    (h) "Municipal Sales Tax Increment" means an amount equal
16to the increase in the aggregate amount of taxes paid to a
17municipality from the Local Government Tax Fund arising from
18sales by retailers and servicemen within the redevelopment
19project area or State Sales Tax Boundary, as the case may be,
20for as long as the redevelopment project area or State Sales
21Tax Boundary, as the case may be, exist over and above the
22aggregate amount of taxes as certified by the Illinois
23Department of Revenue and paid under the Municipal Retailers'
24Occupation Tax Act and the Municipal Service Occupation Tax
25Act by retailers and servicemen, on transactions at places of
26business located in the redevelopment project area or State

 

 

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1Sales Tax Boundary, as the case may be, during the base year
2which shall be the calendar year immediately prior to the year
3in which the municipality adopted tax increment allocation
4financing. For purposes of computing the aggregate amount of
5such taxes for base years occurring prior to 1985, the
6Department of Revenue shall determine the Initial Sales Tax
7Amounts for such taxes and deduct therefrom an amount equal to
84% of the aggregate amount of taxes per year for each year the
9base year is prior to 1985, but not to exceed a total deduction
10of 12%. The amount so determined shall be known as the
11"Adjusted Initial Sales Tax Amounts". For purposes of
12determining the Municipal Sales Tax Increment, the Department
13of Revenue shall for each period subtract from the amount paid
14to the municipality from the Local Government Tax Fund arising
15from sales by retailers and servicemen on transactions located
16in the redevelopment project area or the State Sales Tax
17Boundary, as the case may be, the certified Initial Sales Tax
18Amounts, the Adjusted Initial Sales Tax Amounts or the Revised
19Initial Sales Tax Amounts for the Municipal Retailers'
20Occupation Tax Act and the Municipal Service Occupation Tax
21Act. For the State Fiscal Year 1989, this calculation shall be
22made by utilizing the calendar year 1987 to determine the tax
23amounts received. For the State Fiscal Year 1990, this
24calculation shall be made by utilizing the period from January
251, 1988, until September 30, 1988, to determine the tax
26amounts received from retailers and servicemen pursuant to the

 

 

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1Municipal Retailers' Occupation Tax and the Municipal Service
2Occupation Tax Act, which shall have deducted therefrom
3nine-twelfths of the certified Initial Sales Tax Amounts, the
4Adjusted Initial Sales Tax Amounts or the Revised Initial
5Sales Tax Amounts as appropriate. For the State Fiscal Year
61991, this calculation shall be made by utilizing the period
7from October 1, 1988, to June 30, 1989, to determine the tax
8amounts received from retailers and servicemen pursuant to the
9Municipal Retailers' Occupation Tax and the Municipal Service
10Occupation Tax Act which shall have deducted therefrom
11nine-twelfths of the certified Initial Sales Tax Amounts,
12Adjusted Initial Sales Tax Amounts or the Revised Initial
13Sales Tax Amounts as appropriate. For every State Fiscal Year
14thereafter, the applicable period shall be the 12 months
15beginning July 1 and ending June 30 to determine the tax
16amounts received which shall have deducted therefrom the
17certified Initial Sales Tax Amounts, the Adjusted Initial
18Sales Tax Amounts or the Revised Initial Sales Tax Amounts, as
19the case may be.
20    (i) "Net State Sales Tax Increment" means the sum of the
21following: (a) 80% of the first $100,000 of State Sales Tax
22Increment annually generated within a State Sales Tax
23Boundary; (b) 60% of the amount in excess of $100,000 but not
24exceeding $500,000 of State Sales Tax Increment annually
25generated within a State Sales Tax Boundary; and (c) 40% of all
26amounts in excess of $500,000 of State Sales Tax Increment

 

 

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1annually generated within a State Sales Tax Boundary. If,
2however, a municipality established a tax increment financing
3district in a county with a population in excess of 3,000,000
4before January 1, 1986, and the municipality entered into a
5contract or issued bonds after January 1, 1986, but before
6December 31, 1986, to finance redevelopment project costs
7within a State Sales Tax Boundary, then the Net State Sales Tax
8Increment means, for the fiscal years beginning July 1, 1990,
9and July 1, 1991, 100% of the State Sales Tax Increment
10annually generated within a State Sales Tax Boundary; and
11notwithstanding any other provision of this Act, for those
12fiscal years the Department of Revenue shall distribute to
13those municipalities 100% of their Net State Sales Tax
14Increment before any distribution to any other municipality
15and regardless of whether or not those other municipalities
16will receive 100% of their Net State Sales Tax Increment. For
17Fiscal Year 1999, and every year thereafter until the year
182007, for any municipality that has not entered into a
19contract or has not issued bonds prior to June 1, 1988 to
20finance redevelopment project costs within a State Sales Tax
21Boundary, the Net State Sales Tax Increment shall be
22calculated as follows: By multiplying the Net State Sales Tax
23Increment by 90% in the State Fiscal Year 1999; 80% in the
24State Fiscal Year 2000; 70% in the State Fiscal Year 2001; 60%
25in the State Fiscal Year 2002; 50% in the State Fiscal Year
262003; 40% in the State Fiscal Year 2004; 30% in the State

 

 

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1Fiscal Year 2005; 20% in the State Fiscal Year 2006; and 10% in
2the State Fiscal Year 2007. No payment shall be made for State
3Fiscal Year 2008 and thereafter.
4    Municipalities that issued bonds in connection with a
5redevelopment project in a redevelopment project area within
6the State Sales Tax Boundary prior to July 29, 1991, or that
7entered into contracts in connection with a redevelopment
8project in a redevelopment project area before June 1, 1988,
9shall continue to receive their proportional share of the
10Illinois Tax Increment Fund distribution until the date on
11which the redevelopment project is completed or terminated.
12If, however, a municipality that issued bonds in connection
13with a redevelopment project in a redevelopment project area
14within the State Sales Tax Boundary prior to July 29, 1991
15retires the bonds prior to June 30, 2007 or a municipality that
16entered into contracts in connection with a redevelopment
17project in a redevelopment project area before June 1, 1988
18completes the contracts prior to June 30, 2007, then so long as
19the redevelopment project is not completed or is not
20terminated, the Net State Sales Tax Increment shall be
21calculated, beginning on the date on which the bonds are
22retired or the contracts are completed, as follows: By
23multiplying the Net State Sales Tax Increment by 60% in the
24State Fiscal Year 2002; 50% in the State Fiscal Year 2003; 40%
25in the State Fiscal Year 2004; 30% in the State Fiscal Year
262005; 20% in the State Fiscal Year 2006; and 10% in the State

 

 

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1Fiscal Year 2007. No payment shall be made for State Fiscal
2Year 2008 and thereafter. Refunding of any bonds issued prior
3to July 29, 1991, shall not alter the Net State Sales Tax
4Increment.
5    (j) "State Utility Tax Increment Amount" means an amount
6equal to the aggregate increase in State electric and gas tax
7charges imposed on owners and tenants, other than residential
8customers, of properties located within the redevelopment
9project area under Section 9-222 of the Public Utilities Act,
10over and above the aggregate of such charges as certified by
11the Department of Revenue and paid by owners and tenants,
12other than residential customers, of properties within the
13redevelopment project area during the base year, which shall
14be the calendar year immediately prior to the year of the
15adoption of the ordinance authorizing tax increment allocation
16financing.
17    (k) "Net State Utility Tax Increment" means the sum of the
18following: (a) 80% of the first $100,000 of State Utility Tax
19Increment annually generated by a redevelopment project area;
20(b) 60% of the amount in excess of $100,000 but not exceeding
21$500,000 of the State Utility Tax Increment annually generated
22by a redevelopment project area; and (c) 40% of all amounts in
23excess of $500,000 of State Utility Tax Increment annually
24generated by a redevelopment project area. For the State
25Fiscal Year 1999, and every year thereafter until the year
262007, for any municipality that has not entered into a

 

 

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1contract or has not issued bonds prior to June 1, 1988 to
2finance redevelopment project costs within a redevelopment
3project area, the Net State Utility Tax Increment shall be
4calculated as follows: By multiplying the Net State Utility
5Tax Increment by 90% in the State Fiscal Year 1999; 80% in the
6State Fiscal Year 2000; 70% in the State Fiscal Year 2001; 60%
7in the State Fiscal Year 2002; 50% in the State Fiscal Year
82003; 40% in the State Fiscal Year 2004; 30% in the State
9Fiscal Year 2005; 20% in the State Fiscal Year 2006; and 10% in
10the State Fiscal Year 2007. No payment shall be made for the
11State Fiscal Year 2008 and thereafter.
12    Municipalities that issue bonds in connection with the
13redevelopment project during the period from June 1, 1988
14until 3 years after the effective date of this Amendatory Act
15of 1988 shall receive the Net State Utility Tax Increment,
16subject to appropriation, for 15 State Fiscal Years after the
17issuance of such bonds. For the 16th through the 20th State
18Fiscal Years after issuance of the bonds, the Net State
19Utility Tax Increment shall be calculated as follows: By
20multiplying the Net State Utility Tax Increment by 90% in year
2116; 80% in year 17; 70% in year 18; 60% in year 19; and 50% in
22year 20. Refunding of any bonds issued prior to June 1, 1988,
23shall not alter the revised Net State Utility Tax Increment
24payments set forth above.
25    (l) "Obligations" mean bonds, loans, debentures, notes,
26special certificates or other evidence of indebtedness issued

 

 

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1by the municipality to carry out a redevelopment project or to
2refund outstanding obligations.
3    (m) "Payment in lieu of taxes" means those estimated tax
4revenues from real property in a redevelopment project area
5derived from real property that has been acquired by a
6municipality which according to the redevelopment project or
7plan is to be used for a private use which taxing districts
8would have received had a municipality not acquired the real
9property and adopted tax increment allocation financing and
10which would result from levies made after the time of the
11adoption of tax increment allocation financing to the time the
12current equalized value of real property in the redevelopment
13project area exceeds the total initial equalized value of real
14property in said area.
15    (n) "Redevelopment plan" means the comprehensive program
16of the municipality for development or redevelopment intended
17by the payment of redevelopment project costs to reduce or
18eliminate those conditions the existence of which qualified
19the redevelopment project area as a "blighted area" or
20"conservation area" or combination thereof or "industrial park
21conservation area," and thereby to enhance the tax bases of
22the taxing districts which extend into the redevelopment
23project area, provided that, with respect to redevelopment
24project areas described in subsections (p-1) and (p-2),
25"redevelopment plan" means the comprehensive program of the
26affected municipality for the development of qualifying

 

 

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1transit facilities. On and after November 1, 1999 (the
2effective date of Public Act 91-478), no redevelopment plan
3may be approved or amended that includes the development of
4vacant land (i) with a golf course and related clubhouse and
5other facilities or (ii) designated by federal, State, county,
6or municipal government as public land for outdoor
7recreational activities or for nature preserves and used for
8that purpose within 5 years prior to the adoption of the
9redevelopment plan. For the purpose of this subsection,
10"recreational activities" is limited to mean camping and
11hunting. Each redevelopment plan shall set forth in writing
12the program to be undertaken to accomplish the objectives and
13shall include but not be limited to:
14        (A) an itemized list of estimated redevelopment
15    project costs;
16        (B) evidence indicating that the redevelopment project
17    area on the whole has not been subject to growth and
18    development through investment by private enterprise,
19    provided that such evidence shall not be required for any
20    redevelopment project area located within a transit
21    facility improvement area established pursuant to Section
22    11-74.4-3.3;
23        (C) an assessment of any financial impact of the
24    redevelopment project area on or any increased demand for
25    services from any taxing district affected by the plan and
26    any program to address such financial impact or increased

 

 

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1    demand;
2        (D) the sources of funds to pay costs;
3        (E) the nature and term of the obligations to be
4    issued;
5        (F) the most recent equalized assessed valuation of
6    the redevelopment project area;
7        (G) an estimate as to the equalized assessed valuation
8    after redevelopment and the general land uses to apply in
9    the redevelopment project area;
10        (H) a commitment to fair employment practices and an
11    affirmative action plan;
12        (I) if it concerns an industrial park conservation
13    area, the plan shall also include a general description of
14    any proposed developer, user and tenant of any property, a
15    description of the type, structure and general character
16    of the facilities to be developed, a description of the
17    type, class and number of new employees to be employed in
18    the operation of the facilities to be developed; and
19        (J) if property is to be annexed to the municipality,
20    the plan shall include the terms of the annexation
21    agreement.
22    The provisions of items (B) and (C) of this subsection (n)
23shall not apply to a municipality that before March 14, 1994
24(the effective date of Public Act 88-537) had fixed, either by
25its corporate authorities or by a commission designated under
26subsection (k) of Section 11-74.4-4, a time and place for a

 

 

HB5373- 280 -LRB104 20029 AAS 33480 b

1public hearing as required by subsection (a) of Section
211-74.4-5. No redevelopment plan shall be adopted unless a
3municipality complies with all of the following requirements:
4        (1) The municipality finds that the redevelopment
5    project area on the whole has not been subject to growth
6    and development through investment by private enterprise
7    and would not reasonably be anticipated to be developed
8    without the adoption of the redevelopment plan, provided,
9    however, that such a finding shall not be required with
10    respect to any redevelopment project area located within a
11    transit facility improvement area established pursuant to
12    Section 11-74.4-3.3.
13        (2) The municipality finds that the redevelopment plan
14    and project conform to the comprehensive plan for the
15    development of the municipality as a whole, or, for
16    municipalities with a population of 100,000 or more,
17    regardless of when the redevelopment plan and project was
18    adopted, the redevelopment plan and project either: (i)
19    conforms to the strategic economic development or
20    redevelopment plan issued by the designated planning
21    authority of the municipality, or (ii) includes land uses
22    that have been approved by the planning commission of the
23    municipality.
24        (3) The redevelopment plan establishes the estimated
25    dates of completion of the redevelopment project and
26    retirement of obligations issued to finance redevelopment

 

 

HB5373- 281 -LRB104 20029 AAS 33480 b

1    project costs. Those dates may not be later than the dates
2    set forth under Section 11-74.4-3.5.
3        A municipality may by municipal ordinance amend an
4    existing redevelopment plan to conform to this paragraph
5    (3) as amended by Public Act 91-478, which municipal
6    ordinance may be adopted without further hearing or notice
7    and without complying with the procedures provided in this
8    Act pertaining to an amendment to or the initial approval
9    of a redevelopment plan and project and designation of a
10    redevelopment project area.
11        (3.5) The municipality finds, in the case of an
12    industrial park conservation area, also that the
13    municipality is a labor surplus municipality and that the
14    implementation of the redevelopment plan will reduce
15    unemployment, create new jobs and by the provision of new
16    facilities enhance the tax base of the taxing districts
17    that extend into the redevelopment project area.
18        (4) If any incremental revenues are being utilized
19    under Section 8(a)(1) or 8(a)(2) of this Act in
20    redevelopment project areas approved by ordinance after
21    January 1, 1986, the municipality finds: (a) that the
22    redevelopment project area would not reasonably be
23    developed without the use of such incremental revenues,
24    and (b) that such incremental revenues will be exclusively
25    utilized for the development of the redevelopment project
26    area.

 

 

HB5373- 282 -LRB104 20029 AAS 33480 b

1        (5) If: (a) the redevelopment plan will not result in
2    displacement of residents from 10 or more inhabited
3    residential units, and the municipality certifies in the
4    plan that such displacement will not result from the plan;
5    or (b) the redevelopment plan is for a redevelopment
6    project area or a qualifying transit facility located
7    within a transit facility improvement area established
8    pursuant to Section 11-74.4-3.3, and the applicable
9    project is subject to the process for evaluation of
10    environmental effects under the National Environmental
11    Policy Act of 1969, 42 U.S.C. 4321 et seq., then a housing
12    impact study need not be performed. If, however, the
13    redevelopment plan would result in the displacement of
14    residents from 10 or more inhabited residential units, or
15    if the redevelopment project area contains 75 or more
16    inhabited residential units and no certification is made,
17    then the municipality shall prepare, as part of the
18    separate feasibility report required by subsection (a) of
19    Section 11-74.4-5, a housing impact study.
20        Part I of the housing impact study shall include (i)
21    data as to whether the residential units are single family
22    or multi-family units, (ii) the number and type of rooms
23    within the units, if that information is available, (iii)
24    whether the units are inhabited or uninhabited, as
25    determined not less than 45 days before the date that the
26    ordinance or resolution required by subsection (a) of

 

 

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1    Section 11-74.4-5 is passed, and (iv) data as to the
2    racial and ethnic composition of the residents in the
3    inhabited residential units. The data requirement as to
4    the racial and ethnic composition of the residents in the
5    inhabited residential units shall be deemed to be fully
6    satisfied by data from the most recent federal census.
7        Part II of the housing impact study shall identify the
8    inhabited residential units in the proposed redevelopment
9    project area that are to be or may be removed. If inhabited
10    residential units are to be removed, then the housing
11    impact study shall identify (i) the number and location of
12    those units that will or may be removed, (ii) the
13    municipality's plans for relocation assistance for those
14    residents in the proposed redevelopment project area whose
15    residences are to be removed, (iii) the availability of
16    replacement housing for those residents whose residences
17    are to be removed, and shall identify the type, location,
18    and cost of the housing, and (iv) the type and extent of
19    relocation assistance to be provided.
20        (6) On and after November 1, 1999, the housing impact
21    study required by paragraph (5) shall be incorporated in
22    the redevelopment plan for the redevelopment project area.
23        (7) On and after November 1, 1999, no redevelopment
24    plan shall be adopted, nor an existing plan amended, nor
25    shall residential housing that is occupied by households
26    of low-income and very low-income persons in currently

 

 

HB5373- 284 -LRB104 20029 AAS 33480 b

1    existing redevelopment project areas be removed after
2    November 1, 1999 unless the redevelopment plan provides,
3    with respect to inhabited housing units that are to be
4    removed for households of low-income and very low-income
5    persons, affordable housing and relocation assistance not
6    less than that which would be provided under the federal
7    Uniform Relocation Assistance and Real Property
8    Acquisition Policies Act of 1970 and the regulations under
9    that Act, including the eligibility criteria. Affordable
10    housing may be either existing or newly constructed
11    housing. For purposes of this paragraph (7), "low-income
12    households", "very low-income households", and "affordable
13    housing" have the meanings set forth in the Illinois
14    Affordable Housing Act. The municipality shall make a good
15    faith effort to ensure that this affordable housing is
16    located in or near the redevelopment project area within
17    the municipality.
18        (8) On and after November 1, 1999, if, after the
19    adoption of the redevelopment plan for the redevelopment
20    project area, any municipality desires to amend its
21    redevelopment plan to remove more inhabited residential
22    units than specified in its original redevelopment plan,
23    that change shall be made in accordance with the
24    procedures in subsection (c) of Section 11-74.4-5.
25        (9) For redevelopment project areas designated prior
26    to November 1, 1999, the redevelopment plan may be amended

 

 

HB5373- 285 -LRB104 20029 AAS 33480 b

1    without further joint review board meeting or hearing,
2    provided that the municipality shall give notice of any
3    such changes by mail to each affected taxing district and
4    registrant on the interested party registry, to authorize
5    the municipality to expend tax increment revenues for
6    redevelopment project costs defined by paragraphs (5) and
7    (7.5), subparagraphs (E) and (F) of paragraph (11), and
8    paragraph (11.5) of subsection (q) of Section 11-74.4-3,
9    so long as the changes do not increase the total estimated
10    redevelopment project costs set out in the redevelopment
11    plan by more than 5% after adjustment for inflation from
12    the date the plan was adopted.
13    (o) "Redevelopment project" means any public and private
14development project in furtherance of the objectives of a
15redevelopment plan. On and after November 1, 1999 (the
16effective date of Public Act 91-478), no redevelopment plan
17may be approved or amended that includes the development of
18vacant land (i) with a golf course and related clubhouse and
19other facilities or (ii) designated by federal, State, county,
20or municipal government as public land for outdoor
21recreational activities or for nature preserves and used for
22that purpose within 5 years prior to the adoption of the
23redevelopment plan. For the purpose of this subsection,
24"recreational activities" is limited to mean camping and
25hunting.
26    (p) "Redevelopment project area" means an area designated

 

 

HB5373- 286 -LRB104 20029 AAS 33480 b

1by the municipality, which is not less in the aggregate than 1
21/2 acres and in respect to which the municipality has made a
3finding that there exist conditions which cause the area to be
4classified as an industrial park conservation area or a
5blighted area or a conservation area, or a combination of both
6blighted areas and conservation areas.
7    (p-1) Notwithstanding any provision of this Act to the
8contrary, on and after August 25, 2009 (the effective date of
9Public Act 96-680), a redevelopment project area may include
10areas within a one-half mile radius of an existing or proposed
11Regional Transportation Authority Suburban Transit Access
12Route (STAR Line) station without a finding that the area is
13classified as an industrial park conservation area, a blighted
14area, a conservation area, or a combination thereof, but only
15if the municipality receives unanimous consent from the joint
16review board created to review the proposed redevelopment
17project area.
18    (p-2) Notwithstanding any provision of this Act to the
19contrary, on and after the effective date of this amendatory
20Act of the 99th General Assembly, a redevelopment project area
21may include areas within a transit facility improvement area
22that has been established pursuant to Section 11-74.4-3.3
23without a finding that the area is classified as an industrial
24park conservation area, a blighted area, a conservation area,
25or any combination thereof.
26    (q) "Redevelopment project costs", except for

 

 

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1redevelopment project areas created pursuant to subsection
2(p-1) or (p-2), means and includes the sum total of all
3reasonable or necessary costs incurred or estimated to be
4incurred, and any such costs incidental to a redevelopment
5plan and a redevelopment project. Such costs include, without
6limitation, the following:
7        (1) Costs of studies, surveys, development of plans,
8    and specifications, implementation and administration of
9    the redevelopment plan including but not limited to staff
10    and professional service costs for architectural,
11    engineering, legal, financial, planning or other services,
12    provided however that no charges for professional services
13    may be based on a percentage of the tax increment
14    collected; except that on and after November 1, 1999 (the
15    effective date of Public Act 91-478), no contracts for
16    professional services, excluding architectural and
17    engineering services, may be entered into if the terms of
18    the contract extend beyond a period of 3 years. In
19    addition, "redevelopment project costs" shall not include
20    lobbying expenses. After consultation with the
21    municipality, each tax increment consultant or advisor to
22    a municipality that plans to designate or has designated a
23    redevelopment project area shall inform the municipality
24    in writing of any contracts that the consultant or advisor
25    has entered into with entities or individuals that have
26    received, or are receiving, payments financed by tax

 

 

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1    increment revenues produced by the redevelopment project
2    area with respect to which the consultant or advisor has
3    performed, or will be performing, service for the
4    municipality. This requirement shall be satisfied by the
5    consultant or advisor before the commencement of services
6    for the municipality and thereafter whenever any other
7    contracts with those individuals or entities are executed
8    by the consultant or advisor;
9        (1.5) After July 1, 1999, annual administrative costs
10    shall not include general overhead or administrative costs
11    of the municipality that would still have been incurred by
12    the municipality if the municipality had not designated a
13    redevelopment project area or approved a redevelopment
14    plan;
15        (1.6) The cost of marketing sites within the
16    redevelopment project area to prospective businesses,
17    developers, and investors;
18        (2) Property assembly costs, including but not limited
19    to acquisition of land and other property, real or
20    personal, or rights or interests therein, demolition of
21    buildings, site preparation, site improvements that serve
22    as an engineered barrier addressing ground level or below
23    ground environmental contamination, including, but not
24    limited to parking lots and other concrete or asphalt
25    barriers, and the clearing and grading of land;
26        (3) Costs of rehabilitation, reconstruction or repair

 

 

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1    or remodeling of existing public or private buildings,
2    fixtures, and leasehold improvements; and the cost of
3    replacing an existing public building if pursuant to the
4    implementation of a redevelopment project the existing
5    public building is to be demolished to use the site for
6    private investment or devoted to a different use requiring
7    private investment; including any direct or indirect costs
8    relating to Green Globes or LEED certified construction
9    elements or construction elements with an equivalent
10    certification;
11        (4) Costs of the construction of public works or
12    improvements, including any direct or indirect costs
13    relating to Green Globes or LEED certified construction
14    elements or construction elements with an equivalent
15    certification, except that on and after November 1, 1999,
16    redevelopment project costs shall not include the cost of
17    constructing a new municipal public building principally
18    used to provide offices, storage space, or conference
19    facilities or vehicle storage, maintenance, or repair for
20    administrative, public safety, or public works personnel
21    and that is not intended to replace an existing public
22    building as provided under paragraph (3) of subsection (q)
23    of Section 11-74.4-3 unless either (i) the construction of
24    the new municipal building implements a redevelopment
25    project that was included in a redevelopment plan that was
26    adopted by the municipality prior to November 1, 1999,

 

 

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1    (ii) the municipality makes a reasonable determination in
2    the redevelopment plan, supported by information that
3    provides the basis for that determination, that the new
4    municipal building is required to meet an increase in the
5    need for public safety purposes anticipated to result from
6    the implementation of the redevelopment plan, or (iii) the
7    new municipal public building is for the storage,
8    maintenance, or repair of transit vehicles and is located
9    in a transit facility improvement area that has been
10    established pursuant to Section 11-74.4-3.3;
11        (5) Costs of job training and retraining projects,
12    including the cost of "welfare to work" programs
13    implemented by businesses located within the redevelopment
14    project area;
15        (6) Financing costs, including but not limited to all
16    necessary and incidental expenses related to the issuance
17    of obligations and which may include payment of interest
18    on any obligations issued hereunder including interest
19    accruing during the estimated period of construction of
20    any redevelopment project for which such obligations are
21    issued and for not exceeding 36 months thereafter and
22    including reasonable reserves related thereto;
23        (7) To the extent the municipality by written
24    agreement accepts and approves the same, all or a portion
25    of a taxing district's capital costs resulting from the
26    redevelopment project necessarily incurred or to be

 

 

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1    incurred within a taxing district in furtherance of the
2    objectives of the redevelopment plan and project;
3        (7.5) For redevelopment project areas designated (or
4    redevelopment project areas amended to add or increase the
5    number of tax-increment-financing assisted housing units)
6    on or after November 1, 1999, an elementary, secondary, or
7    unit school district's increased costs attributable to
8    assisted housing units located within the redevelopment
9    project area for which the developer or redeveloper
10    receives financial assistance through an agreement with
11    the municipality or because the municipality incurs the
12    cost of necessary infrastructure improvements within the
13    boundaries of the assisted housing sites necessary for the
14    completion of that housing as authorized by this Act, and
15    which costs shall be paid by the municipality from the
16    Special Tax Allocation Fund when the tax increment revenue
17    is received as a result of the assisted housing units and
18    shall be calculated annually as follows:
19            (A) for foundation districts, excluding any school
20        district in a municipality with a population in excess
21        of 1,000,000, by multiplying the district's increase
22        in attendance resulting from the net increase in new
23        students enrolled in that school district who reside
24        in housing units within the redevelopment project area
25        that have received financial assistance through an
26        agreement with the municipality or because the

 

 

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1        municipality incurs the cost of necessary
2        infrastructure improvements within the boundaries of
3        the housing sites necessary for the completion of that
4        housing as authorized by this Act since the
5        designation of the redevelopment project area by the
6        most recently available per capita tuition cost as
7        defined in Section 10-20.12a of the School Code less
8        any increase in general State aid as defined in
9        Section 18-8.05 of the School Code or evidence-based
10        funding as defined in Section 18-8.15 of the School
11        Code attributable to these added new students subject
12        to the following annual limitations:
13                (i) for unit school districts with a district
14            average 1995-96 Per Capita Tuition Charge of less
15            than $5,900, no more than 25% of the total amount
16            of property tax increment revenue produced by
17            those housing units that have received tax
18            increment finance assistance under this Act;
19                (ii) for elementary school districts with a
20            district average 1995-96 Per Capita Tuition Charge
21            of less than $5,900, no more than 17% of the total
22            amount of property tax increment revenue produced
23            by those housing units that have received tax
24            increment finance assistance under this Act; and
25                (iii) for secondary school districts with a
26            district average 1995-96 Per Capita Tuition Charge

 

 

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1            of less than $5,900, no more than 8% of the total
2            amount of property tax increment revenue produced
3            by those housing units that have received tax
4            increment finance assistance under this Act.
5            (B) For alternate method districts, flat grant
6        districts, and foundation districts with a district
7        average 1995-96 Per Capita Tuition Charge equal to or
8        more than $5,900, excluding any school district with a
9        population in excess of 1,000,000, by multiplying the
10        district's increase in attendance resulting from the
11        net increase in new students enrolled in that school
12        district who reside in housing units within the
13        redevelopment project area that have received
14        financial assistance through an agreement with the
15        municipality or because the municipality incurs the
16        cost of necessary infrastructure improvements within
17        the boundaries of the housing sites necessary for the
18        completion of that housing as authorized by this Act
19        since the designation of the redevelopment project
20        area by the most recently available per capita tuition
21        cost as defined in Section 10-20.12a of the School
22        Code less any increase in general state aid as defined
23        in Section 18-8.05 of the School Code or
24        evidence-based funding as defined in Section 18-8.15
25        of the School Code attributable to these added new
26        students subject to the following annual limitations:

 

 

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1                (i) for unit school districts, no more than
2            40% of the total amount of property tax increment
3            revenue produced by those housing units that have
4            received tax increment finance assistance under
5            this Act;
6                (ii) for elementary school districts, no more
7            than 27% of the total amount of property tax
8            increment revenue produced by those housing units
9            that have received tax increment finance
10            assistance under this Act; and
11                (iii) for secondary school districts, no more
12            than 13% of the total amount of property tax
13            increment revenue produced by those housing units
14            that have received tax increment finance
15            assistance under this Act.
16            (C) For any school district in a municipality with
17        a population in excess of 1,000,000, the following
18        restrictions shall apply to the reimbursement of
19        increased costs under this paragraph (7.5):
20                (i) no increased costs shall be reimbursed
21            unless the school district certifies that each of
22            the schools affected by the assisted housing
23            project is at or over its student capacity;
24                (ii) the amount reimbursable shall be reduced
25            by the value of any land donated to the school
26            district by the municipality or developer, and by

 

 

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1            the value of any physical improvements made to the
2            schools by the municipality or developer; and
3                (iii) the amount reimbursed may not affect
4            amounts otherwise obligated by the terms of any
5            bonds, notes, or other funding instruments, or the
6            terms of any redevelopment agreement.
7        Any school district seeking payment under this
8        paragraph (7.5) shall, after July 1 and before
9        September 30 of each year, provide the municipality
10        with reasonable evidence to support its claim for
11        reimbursement before the municipality shall be
12        required to approve or make the payment to the school
13        district. If the school district fails to provide the
14        information during this period in any year, it shall
15        forfeit any claim to reimbursement for that year.
16        School districts may adopt a resolution waiving the
17        right to all or a portion of the reimbursement
18        otherwise required by this paragraph (7.5). By
19        acceptance of this reimbursement the school district
20        waives the right to directly or indirectly set aside,
21        modify, or contest in any manner the establishment of
22        the redevelopment project area or projects;
23        (7.7) For redevelopment project areas designated (or
24    redevelopment project areas amended to add or increase the
25    number of tax-increment-financing assisted housing units)
26    on or after January 1, 2005 (the effective date of Public

 

 

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1    Act 93-961), a public library district's increased costs
2    attributable to assisted housing units located within the
3    redevelopment project area for which the developer or
4    redeveloper receives financial assistance through an
5    agreement with the municipality or because the
6    municipality incurs the cost of necessary infrastructure
7    improvements within the boundaries of the assisted housing
8    sites necessary for the completion of that housing as
9    authorized by this Act shall be paid to the library
10    district by the municipality from the Special Tax
11    Allocation Fund when the tax increment revenue is received
12    as a result of the assisted housing units. This paragraph
13    (7.7) applies only if (i) the library district is located
14    in a county that is subject to the Property Tax Extension
15    Limitation Law or (ii) the library district is not located
16    in a county that is subject to the Property Tax Extension
17    Limitation Law but the district is prohibited by any other
18    law from increasing its tax levy rate without a prior
19    voter referendum.
20        The amount paid to a library district under this
21    paragraph (7.7) shall be calculated by multiplying (i) the
22    net increase in the number of persons eligible to obtain a
23    library card in that district who reside in housing units
24    within the redevelopment project area that have received
25    financial assistance through an agreement with the
26    municipality or because the municipality incurs the cost

 

 

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1    of necessary infrastructure improvements within the
2    boundaries of the housing sites necessary for the
3    completion of that housing as authorized by this Act since
4    the designation of the redevelopment project area by (ii)
5    the per-patron cost of providing library services so long
6    as it does not exceed $120. The per-patron cost shall be
7    the Total Operating Expenditures Per Capita for the
8    library in the previous fiscal year. The municipality may
9    deduct from the amount that it must pay to a library
10    district under this paragraph any amount that it has
11    voluntarily paid to the library district from the tax
12    increment revenue. The amount paid to a library district
13    under this paragraph (7.7) shall be no more than 2% of the
14    amount produced by the assisted housing units and
15    deposited into the Special Tax Allocation Fund.
16        A library district is not eligible for any payment
17    under this paragraph (7.7) unless the library district has
18    experienced an increase in the number of patrons from the
19    municipality that created the tax-increment-financing
20    district since the designation of the redevelopment
21    project area.
22        Any library district seeking payment under this
23    paragraph (7.7) shall, after July 1 and before September
24    30 of each year, provide the municipality with convincing
25    evidence to support its claim for reimbursement before the
26    municipality shall be required to approve or make the

 

 

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1    payment to the library district. If the library district
2    fails to provide the information during this period in any
3    year, it shall forfeit any claim to reimbursement for that
4    year. Library districts may adopt a resolution waiving the
5    right to all or a portion of the reimbursement otherwise
6    required by this paragraph (7.7). By acceptance of such
7    reimbursement, the library district shall forfeit any
8    right to directly or indirectly set aside, modify, or
9    contest in any manner whatsoever the establishment of the
10    redevelopment project area or projects;
11        (8) Relocation costs to the extent that a municipality
12    determines that relocation costs shall be paid or is
13    required to make payment of relocation costs by federal or
14    State law or in order to satisfy subparagraph (7) of
15    subsection (n);
16        (9) Payment in lieu of taxes;
17        (10) Costs of job training, retraining, advanced
18    vocational education or career education, including but
19    not limited to courses in occupational, semi-technical or
20    technical fields leading directly to employment, incurred
21    by one or more taxing districts, provided that such costs
22    (i) are related to the establishment and maintenance of
23    additional job training, advanced vocational education or
24    career education programs for persons employed or to be
25    employed by employers located in a redevelopment project
26    area; and (ii) when incurred by a taxing district or

 

 

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1    taxing districts other than the municipality, are set
2    forth in a written agreement by or among the municipality
3    and the taxing district or taxing districts, which
4    agreement describes the program to be undertaken,
5    including but not limited to the number of employees to be
6    trained, a description of the training and services to be
7    provided, the number and type of positions available or to
8    be available, itemized costs of the program and sources of
9    funds to pay for the same, and the term of the agreement.
10    Such costs include, specifically, the payment by community
11    college districts of costs pursuant to Sections 3-37,
12    3-38, 3-40 and 3-40.1 of the Public Community College Act
13    and by school districts of costs pursuant to Sections
14    10-22.20a and 10-23.3a of the School Code;
15        (11) Interest cost incurred by a redeveloper related
16    to the construction, renovation or rehabilitation of a
17    redevelopment project provided that:
18            (A) such costs are to be paid directly from the
19        special tax allocation fund established pursuant to
20        this Act;
21            (B) such payments in any one year may not exceed
22        30% of the annual interest costs incurred by the
23        redeveloper with regard to the redevelopment project
24        during that year;
25            (C) if there are not sufficient funds available in
26        the special tax allocation fund to make the payment

 

 

HB5373- 300 -LRB104 20029 AAS 33480 b

1        pursuant to this paragraph (11) then the amounts so
2        due shall accrue and be payable when sufficient funds
3        are available in the special tax allocation fund;
4            (D) the total of such interest payments paid
5        pursuant to this Act may not exceed 30% of the total
6        (i) cost paid or incurred by the redeveloper for the
7        redevelopment project plus (ii) redevelopment project
8        costs excluding any property assembly costs and any
9        relocation costs incurred by a municipality pursuant
10        to this Act;
11            (E) the cost limits set forth in subparagraphs (B)
12        and (D) of paragraph (11) shall be modified for the
13        financing of rehabilitated or new housing units for
14        low-income households and very low-income households,
15        as defined in Section 3 of the Illinois Affordable
16        Housing Act. The percentage of 75% shall be
17        substituted for 30% in subparagraphs (B) and (D) of
18        paragraph (11); and
19            (F) instead of the eligible costs provided by
20        subparagraphs (B) and (D) of paragraph (11), as
21        modified by this subparagraph, and notwithstanding any
22        other provisions of this Act to the contrary, the
23        municipality may pay from tax increment revenues up to
24        50% of the cost of construction of new housing units to
25        be occupied by low-income households and very
26        low-income households as defined in Section 3 of the

 

 

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1        Illinois Affordable Housing Act. The cost of
2        construction of those units may be derived from the
3        proceeds of bonds issued by the municipality under
4        this Act or other constitutional or statutory
5        authority or from other sources of municipal revenue
6        that may be reimbursed from tax increment revenues or
7        the proceeds of bonds issued to finance the
8        construction of that housing.
9            The eligible costs provided under this
10        subparagraph (F) of paragraph (11) shall be an
11        eligible cost for the construction, renovation, and
12        rehabilitation of all low and very low-income housing
13        units, as defined in Section 3 of the Illinois
14        Affordable Housing Act, within the redevelopment
15        project area. If the low and very low-income units are
16        part of a residential redevelopment project that
17        includes units not affordable to low and very
18        low-income households, only the low and very
19        low-income units shall be eligible for benefits under
20        this subparagraph (F) of paragraph (11). The standards
21        for maintaining the occupancy by low-income households
22        and very low-income households, as defined in Section
23        3 of the Illinois Affordable Housing Act, of those
24        units constructed with eligible costs made available
25        under the provisions of this subparagraph (F) of
26        paragraph (11) shall be established by guidelines

 

 

HB5373- 302 -LRB104 20029 AAS 33480 b

1        adopted by the municipality. The responsibility for
2        annually documenting the initial occupancy of the
3        units by low-income households and very low-income
4        households, as defined in Section 3 of the Illinois
5        Affordable Housing Act, shall be that of the then
6        current owner of the property. For ownership units,
7        the guidelines will provide, at a minimum, for a
8        reasonable recapture of funds, or other appropriate
9        methods designed to preserve the original
10        affordability of the ownership units. For rental
11        units, the guidelines will provide, at a minimum, for
12        the affordability of rent to low and very low-income
13        households. As units become available, they shall be
14        rented to income-eligible tenants. The municipality
15        may modify these guidelines from time to time; the
16        guidelines, however, shall be in effect for as long as
17        tax increment revenue is being used to pay for costs
18        associated with the units or for the retirement of
19        bonds issued to finance the units or for the life of
20        the redevelopment project area, whichever is later;
21        (11.5) If the redevelopment project area is located
22    within a municipality with a population of more than
23    100,000, the cost of day care services for children of
24    employees from low-income families working for businesses
25    located within the redevelopment project area and all or a
26    portion of the cost of operation of day care centers

 

 

HB5373- 303 -LRB104 20029 AAS 33480 b

1    established by redevelopment project area businesses to
2    serve employees from low-income families working in
3    businesses located in the redevelopment project area. For
4    the purposes of this paragraph, "low-income families"
5    means families whose annual income does not exceed 80% of
6    the municipal, county, or regional median income, adjusted
7    for family size, as the annual income and municipal,
8    county, or regional median income are determined from time
9    to time by the United States Department of Housing and
10    Urban Development.
11        (12) Costs relating to the development of urban
12    agricultural areas under Division 15.2 of the Illinois
13    Municipal Code.
14    Unless explicitly stated herein the cost of construction
15of new privately-owned buildings shall not be an eligible
16redevelopment project cost.
17    After November 1, 1999 (the effective date of Public Act
1891-478), none of the redevelopment project costs enumerated in
19this subsection shall be eligible redevelopment project costs
20if those costs would provide direct financial support to a
21retail entity initiating operations in the redevelopment
22project area while terminating operations at another Illinois
23location within 10 miles of the redevelopment project area but
24outside the boundaries of the redevelopment project area
25municipality. For purposes of this paragraph, termination
26means a closing of a retail operation that is directly related

 

 

HB5373- 304 -LRB104 20029 AAS 33480 b

1to the opening of the same operation or like retail entity
2owned or operated by more than 50% of the original ownership in
3a redevelopment project area, but it does not mean closing an
4operation for reasons beyond the control of the retail entity,
5as documented by the retail entity, subject to a reasonable
6finding by the municipality that the current location
7contained inadequate space, had become economically obsolete,
8or was no longer a viable location for the retailer or
9serviceman.
10    No cost shall be a redevelopment project cost in a
11redevelopment project area if used to demolish, remove, or
12substantially modify a historic resource, after August 26,
132008 (the effective date of Public Act 95-934), unless no
14prudent and feasible alternative exists. "Historic resource"
15for the purpose of this paragraph means (i) a place or
16structure that is included or eligible for inclusion on the
17National Register of Historic Places or (ii) a contributing
18structure in a district on the National Register of Historic
19Places. This paragraph does not apply to a place or structure
20for which demolition, removal, or modification is subject to
21review by the preservation agency of a Certified Local
22Government designated as such by the National Park Service of
23the United States Department of the Interior.
24    If a special service area has been established pursuant to
25the Special Service Area Tax Act or Special Service Area Tax
26Law, then any tax increment revenues derived from the tax

 

 

HB5373- 305 -LRB104 20029 AAS 33480 b

1imposed pursuant to the Special Service Area Tax Act or
2Special Service Area Tax Law may be used within the
3redevelopment project area for the purposes permitted by that
4Act or Law as well as the purposes permitted by this Act.
5    (q-1) For redevelopment project areas created pursuant to
6subsection (p-1), redevelopment project costs are limited to
7those costs in paragraph (q) that are related to the existing
8or proposed Regional Transportation Authority Suburban Transit
9Access Route (STAR Line) station.
10    (q-2) For a transit facility improvement area established
11prior to, on, or after the effective date of this amendatory
12Act of the 102nd General Assembly: (i) "redevelopment project
13costs" means those costs described in subsection (q) that are
14related to the construction, reconstruction, rehabilitation,
15remodeling, or repair of any existing or proposed transit
16facility, whether that facility is located within or outside
17the boundaries of a redevelopment project area established
18within that transit facility improvement area (and, to the
19extent a redevelopment project cost is described in subsection
20(q) as incurred or estimated to be incurred with respect to a
21redevelopment project area, then it shall apply with respect
22to such transit facility improvement area); and (ii) the
23provisions of Section 11-74.4-8 regarding tax increment
24allocation financing for a redevelopment project area located
25in a transit facility improvement area shall apply only to the
26lots, blocks, tracts and parcels of real property that are

 

 

HB5373- 306 -LRB104 20029 AAS 33480 b

1located within the boundaries of that redevelopment project
2area and not to the lots, blocks, tracts, and parcels of real
3property that are located outside the boundaries of that
4redevelopment project area.
5    (r) "State Sales Tax Boundary" means the redevelopment
6project area or the amended redevelopment project area
7boundaries which are determined pursuant to subsection (9) of
8Section 11-74.4-8a of this Act. The Department of Revenue
9shall certify pursuant to subsection (9) of Section 11-74.4-8a
10the appropriate boundaries eligible for the determination of
11State Sales Tax Increment.
12    (s) "State Sales Tax Increment" means an amount equal to
13the increase in the aggregate amount of taxes paid by
14retailers and servicemen, other than retailers and servicemen
15subject to the Public Utilities Act, on transactions at places
16of business located within a State Sales Tax Boundary pursuant
17to the Retailers' Occupation Tax Act, the Use Tax Act, the
18Service Use Tax Act, and the Service Occupation Tax Act,
19except such portion of such increase that is paid into the
20State and Local Sales Tax Reform Fund, the Local Government
21Distributive Fund, the Local Government Tax Fund and the
22County and Mass Transit District Fund, for as long as State
23participation exists, over and above the Initial Sales Tax
24Amounts, Adjusted Initial Sales Tax Amounts or the Revised
25Initial Sales Tax Amounts for such taxes as certified by the
26Department of Revenue and paid under those Acts by retailers

 

 

HB5373- 307 -LRB104 20029 AAS 33480 b

1and servicemen on transactions at places of business located
2within the State Sales Tax Boundary during the base year which
3shall be the calendar year immediately prior to the year in
4which the municipality adopted tax increment allocation
5financing, less 3.0% of such amounts generated under the
6Retailers' Occupation Tax Act, Use Tax Act and Service Use Tax
7Act and the Service Occupation Tax Act, which sum shall be
8appropriated to the Department of Revenue to cover its costs
9of administering and enforcing this Section. For purposes of
10computing the aggregate amount of such taxes for base years
11occurring prior to 1985, the Department of Revenue shall
12compute the Initial Sales Tax Amount for such taxes and deduct
13therefrom an amount equal to 4% of the aggregate amount of
14taxes per year for each year the base year is prior to 1985,
15but not to exceed a total deduction of 12%. The amount so
16determined shall be known as the "Adjusted Initial Sales Tax
17Amount". For purposes of determining the State Sales Tax
18Increment the Department of Revenue shall for each period
19subtract from the tax amounts received from retailers and
20servicemen on transactions located in the State Sales Tax
21Boundary, the certified Initial Sales Tax Amounts, Adjusted
22Initial Sales Tax Amounts or Revised Initial Sales Tax Amounts
23for the Retailers' Occupation Tax Act, the Use Tax Act, the
24Service Use Tax Act and the Service Occupation Tax Act. For the
25State Fiscal Year 1989 this calculation shall be made by
26utilizing the calendar year 1987 to determine the tax amounts

 

 

HB5373- 308 -LRB104 20029 AAS 33480 b

1received. For the State Fiscal Year 1990, this calculation
2shall be made by utilizing the period from January 1, 1988,
3until September 30, 1988, to determine the tax amounts
4received from retailers and servicemen, which shall have
5deducted therefrom nine-twelfths of the certified Initial
6Sales Tax Amounts, Adjusted Initial Sales Tax Amounts or the
7Revised Initial Sales Tax Amounts as appropriate. For the
8State Fiscal Year 1991, this calculation shall be made by
9utilizing the period from October 1, 1988, until June 30,
101989, to determine the tax amounts received from retailers and
11servicemen, which shall have deducted therefrom nine-twelfths
12of the certified Initial State Sales Tax Amounts, Adjusted
13Initial Sales Tax Amounts or the Revised Initial Sales Tax
14Amounts as appropriate. For every State Fiscal Year
15thereafter, the applicable period shall be the 12 months
16beginning July 1 and ending on June 30, to determine the tax
17amounts received which shall have deducted therefrom the
18certified Initial Sales Tax Amounts, Adjusted Initial Sales
19Tax Amounts or the Revised Initial Sales Tax Amounts.
20Municipalities intending to receive a distribution of State
21Sales Tax Increment must report a list of retailers to the
22Department of Revenue by October 31, 1988 and by July 31, of
23each year thereafter.
24    (t) "Taxing districts" means counties, townships, cities
25and incorporated towns and villages, school, road, park,
26sanitary, mosquito abatement, forest preserve, public health,

 

 

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1fire protection, river conservancy, tuberculosis sanitarium
2and any other municipal corporations or districts with the
3power to levy taxes.
4    (u) "Taxing districts' capital costs" means those costs of
5taxing districts for capital improvements that are found by
6the municipal corporate authorities to be necessary and
7directly result from the redevelopment project.
8    (v) As used in subsection (a) of Section 11-74.4-3 of this
9Act, "vacant land" means any parcel or combination of parcels
10of real property without industrial, commercial, and
11residential buildings which has not been used for commercial
12agricultural purposes within 5 years prior to the designation
13of the redevelopment project area, unless the parcel is
14included in an industrial park conservation area or the parcel
15has been subdivided; provided that if the parcel was part of a
16larger tract that has been divided into 3 or more smaller
17tracts that were accepted for recording during the period from
181950 to 1990, then the parcel shall be deemed to have been
19subdivided, and all proceedings and actions of the
20municipality taken in that connection with respect to any
21previously approved or designated redevelopment project area
22or amended redevelopment project area are hereby validated and
23hereby declared to be legally sufficient for all purposes of
24this Act. For purposes of this Section and only for land
25subject to the subdivision requirements of the Plat Act, land
26is subdivided when the original plat of the proposed

 

 

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1Redevelopment Project Area or relevant portion thereof has
2been properly certified, acknowledged, approved, and recorded
3or filed in accordance with the Plat Act and a preliminary
4plat, if any, for any subsequent phases of the proposed
5Redevelopment Project Area or relevant portion thereof has
6been properly approved and filed in accordance with the
7applicable ordinance of the municipality.
8    (w) "Annual Total Increment" means the sum of each
9municipality's annual Net Sales Tax Increment and each
10municipality's annual Net Utility Tax Increment. The ratio of
11the Annual Total Increment of each municipality to the Annual
12Total Increment for all municipalities, as most recently
13calculated by the Department, shall determine the proportional
14shares of the Illinois Tax Increment Fund to be distributed to
15each municipality.
16    (x) "LEED certified" means any certification level of
17construction elements by a qualified Leadership in Energy and
18Environmental Design Accredited Professional as determined by
19the U.S. Green Building Council.
20    (y) "Green Globes certified" means any certification level
21of construction elements by a qualified Green Globes
22Professional as determined by the Green Building Initiative.
23(Source: P.A. 102-627, eff. 8-27-21.)
 
24    (Text of Section after amendment by P.A. 104-457)
25    Sec. 11-74.4-3. Definitions. The following terms, wherever

 

 

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1used or referred to in this Division 74.4 shall have the
2following respective meanings, unless in any case a different
3meaning clearly appears from the context.
4    (a) For any redevelopment project area that has been
5designated pursuant to this Section by an ordinance adopted
6prior to November 1, 1999 (the effective date of Public Act
791-478), "blighted area" shall have the meaning set forth in
8this Section prior to that date.
9    On and after November 1, 1999, "blighted area" means any
10improved or vacant area within the boundaries of a
11redevelopment project area located within the territorial
12limits of the municipality where:
13        (1) If improved, industrial, commercial, and
14    residential buildings or improvements are detrimental to
15    the public safety, health, or welfare because of a
16    combination of 5 or more of the following factors, each of
17    which is (i) present, with that presence documented, to a
18    meaningful extent so that a municipality may reasonably
19    find that the factor is clearly present within the intent
20    of the Act and (ii) reasonably distributed throughout the
21    improved part of the redevelopment project area:
22            (A) Dilapidation. An advanced state of disrepair
23        or neglect of necessary repairs to the primary
24        structural components of buildings or improvements in
25        such a combination that a documented building
26        condition analysis determines that major repair is

 

 

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1        required or the defects are so serious and so
2        extensive that the buildings must be removed.
3            (B) Obsolescence. The condition or process of
4        falling into disuse. Structures have become ill-suited
5        for the original use.
6            (C) Deterioration. With respect to buildings,
7        defects including, but not limited to, major defects
8        in the secondary building components such as doors,
9        windows, porches, gutters and downspouts, and fascia.
10        With respect to surface improvements, that the
11        condition of roadways, alleys, curbs, gutters,
12        sidewalks, off-street parking, and surface storage
13        areas evidence deterioration, including, but not
14        limited to, surface cracking, crumbling, potholes,
15        depressions, loose paving material, and weeds
16        protruding through paved surfaces.
17            (D) Presence of structures below minimum code
18        standards. All structures that do not meet the
19        standards of zoning, subdivision, building, fire, and
20        other governmental codes applicable to property, but
21        not including housing and property maintenance codes.
22            (E) Illegal use of individual structures. The use
23        of structures in violation of applicable federal,
24        State, or local laws, exclusive of those applicable to
25        the presence of structures below minimum code
26        standards.

 

 

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1            (F) Excessive vacancies. The presence of buildings
2        that are unoccupied or under-utilized and that
3        represent an adverse influence on the area because of
4        the frequency, extent, or duration of the vacancies.
5            (G) Lack of ventilation, light, or sanitary
6        facilities. The absence of adequate ventilation for
7        light or air circulation in spaces or rooms without
8        windows, or that require the removal of dust, odor,
9        gas, smoke, or other noxious airborne materials.
10        Inadequate natural light and ventilation means the
11        absence of skylights or windows for interior spaces or
12        rooms and improper window sizes and amounts by room
13        area to window area ratios. Inadequate sanitary
14        facilities refers to the absence or inadequacy of
15        garbage storage and enclosure, bathroom facilities,
16        hot water and kitchens, and structural inadequacies
17        preventing ingress and egress to and from all rooms
18        and units within a building.
19            (H) Inadequate utilities. Underground and overhead
20        utilities such as storm sewers and storm drainage,
21        sanitary sewers, water lines, and gas, telephone, and
22        electrical services that are shown to be inadequate.
23        Inadequate utilities are those that are: (i) of
24        insufficient capacity to serve the uses in the
25        redevelopment project area, (ii) deteriorated,
26        antiquated, obsolete, or in disrepair, or (iii)

 

 

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1        lacking within the redevelopment project area.
2            (I) Excessive land coverage and overcrowding of
3        structures and community facilities. The
4        over-intensive use of property and the crowding of
5        buildings and accessory facilities onto a site.
6        Examples of problem conditions warranting the
7        designation of an area as one exhibiting excessive
8        land coverage are: (i) the presence of buildings
9        either improperly situated on parcels or located on
10        parcels of inadequate size and shape in relation to
11        present-day standards of development for health and
12        safety and (ii) the presence of multiple buildings on
13        a single parcel. For there to be a finding of excessive
14        land coverage, these parcels must exhibit one or more
15        of the following conditions: insufficient provision
16        for light and air within or around buildings,
17        increased threat of spread of fire due to the close
18        proximity of buildings, lack of adequate or proper
19        access to a public right-of-way, lack of reasonably
20        required off-street parking, or inadequate provision
21        for loading and service.
22            (J) Deleterious land use or layout. The existence
23        of incompatible land-use relationships, buildings
24        occupied by inappropriate mixed-uses, or uses
25        considered to be noxious, offensive, or unsuitable for
26        the surrounding area.

 

 

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1            (K) Environmental clean-up. The proposed
2        redevelopment project area has incurred Illinois
3        Environmental Protection Agency or United States
4        Environmental Protection Agency remediation costs for,
5        or a study conducted by an independent consultant
6        recognized as having expertise in environmental
7        remediation has determined a need for, the clean-up of
8        hazardous waste, hazardous substances, or underground
9        storage tanks required by State or federal law,
10        provided that the remediation costs constitute a
11        material impediment to the development or
12        redevelopment of the redevelopment project area.
13            (L) Lack of community planning. The proposed
14        redevelopment project area was developed prior to or
15        without the benefit or guidance of a community plan.
16        This means that the development occurred prior to the
17        adoption by the municipality of a comprehensive or
18        other community plan or that the plan was not followed
19        at the time of the area's development. This factor
20        must be documented by evidence of adverse or
21        incompatible land-use relationships, inadequate street
22        layout, improper subdivision, parcels of inadequate
23        shape and size to meet contemporary development
24        standards, or other evidence demonstrating an absence
25        of effective community planning.
26            (M) The total equalized assessed value of the

 

 

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1        proposed redevelopment project area has declined for 3
2        of the last 5 calendar years prior to the year in which
3        the redevelopment project area is designated or is
4        increasing at an annual rate that is less than the
5        balance of the municipality for 3 of the last 5
6        calendar years for which information is available or
7        is increasing at an annual rate that is less than the
8        Consumer Price Index for All Urban Consumers published
9        by the United States Department of Labor or successor
10        agency for 3 of the last 5 calendar years prior to the
11        year in which the redevelopment project area is
12        designated.
13        (2) If vacant, the sound growth of the redevelopment
14    project area is impaired by a combination of 2 or more of
15    the following factors, each of which is (i) present, with
16    that presence documented, to a meaningful extent so that a
17    municipality may reasonably find that the factor is
18    clearly present within the intent of the Act and (ii)
19    reasonably distributed throughout the vacant part of the
20    redevelopment project area to which it pertains:
21            (A) Obsolete platting of vacant land that results
22        in parcels of limited or narrow size or configurations
23        of parcels of irregular size or shape that would be
24        difficult to develop on a planned basis and in a manner
25        compatible with contemporary standards and
26        requirements, or platting that failed to create

 

 

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1        rights-of-way for streets or alleys or that created
2        inadequate right-of-way widths for streets, alleys, or
3        other public rights-of-way or that omitted easements
4        for public utilities.
5            (B) Diversity of ownership of parcels of vacant
6        land sufficient in number to retard or impede the
7        ability to assemble the land for development.
8            (C) Tax and special assessment delinquencies exist
9        or the property has been the subject of tax sales under
10        the Property Tax Code within the last 5 years.
11            (D) Deterioration of structures or site
12        improvements in neighboring areas adjacent to the
13        vacant land.
14            (E) The area has incurred Illinois Environmental
15        Protection Agency or United States Environmental
16        Protection Agency remediation costs for, or a study
17        conducted by an independent consultant recognized as
18        having expertise in environmental remediation has
19        determined a need for, the clean-up of hazardous
20        waste, hazardous substances, or underground storage
21        tanks required by State or federal law, provided that
22        the remediation costs constitute a material impediment
23        to the development or redevelopment of the
24        redevelopment project area.
25            (F) The total equalized assessed value of the
26        proposed redevelopment project area has declined for 3

 

 

HB5373- 318 -LRB104 20029 AAS 33480 b

1        of the last 5 calendar years prior to the year in which
2        the redevelopment project area is designated or is
3        increasing at an annual rate that is less than the
4        balance of the municipality for 3 of the last 5
5        calendar years for which information is available or
6        is increasing at an annual rate that is less than the
7        Consumer Price Index for All Urban Consumers published
8        by the United States Department of Labor or successor
9        agency for 3 of the last 5 calendar years prior to the
10        year in which the redevelopment project area is
11        designated.
12        (3) If vacant, the sound growth of the redevelopment
13    project area is impaired by one of the following factors
14    that (i) is present, with that presence documented, to a
15    meaningful extent so that a municipality may reasonably
16    find that the factor is clearly present within the intent
17    of the Act and (ii) is reasonably distributed throughout
18    the vacant part of the redevelopment project area to which
19    it pertains:
20            (A) The area consists of one or more unused
21        quarries, mines, or strip mine ponds.
22            (B) The area consists of unused rail yards, rail
23        tracks, or railroad rights-of-way.
24            (C) The area, prior to its designation, is subject
25        to (i) chronic flooding that adversely impacts on real
26        property in the area as certified by a registered

 

 

HB5373- 319 -LRB104 20029 AAS 33480 b

1        professional engineer or appropriate regulatory agency
2        or (ii) surface water that discharges from all or a
3        part of the area and contributes to flooding within
4        the same watershed, but only if the redevelopment
5        project provides for facilities or improvements to
6        contribute to the alleviation of all or part of the
7        flooding.
8            (D) The area consists of an unused or illegal
9        disposal site containing earth, stone, building
10        debris, or similar materials that were removed from
11        construction, demolition, excavation, or dredge sites.
12            (E) Prior to November 1, 1999, the area is not less
13        than 50 nor more than 100 acres and 75% of which is
14        vacant (notwithstanding that the area has been used
15        for commercial agricultural purposes within 5 years
16        prior to the designation of the redevelopment project
17        area), and the area meets at least one of the factors
18        itemized in paragraph (1) of this subsection, the area
19        has been designated as a town or village center by
20        ordinance or comprehensive plan adopted prior to
21        January 1, 1982, and the area has not been developed
22        for that designated purpose.
23            (F) The area qualified as a blighted improved area
24        immediately prior to becoming vacant, unless there has
25        been substantial private investment in the immediately
26        surrounding area.

 

 

HB5373- 320 -LRB104 20029 AAS 33480 b

1    (b) For any redevelopment project area that has been
2designated pursuant to this Section by an ordinance adopted
3prior to November 1, 1999 (the effective date of Public Act
491-478), "conservation area" shall have the meaning set forth
5in this Section prior to that date.
6    On and after November 1, 1999, "conservation area" means
7any improved area within the boundaries of a redevelopment
8project area located within the territorial limits of the
9municipality in which 50% or more of the structures in the area
10have an age of 35 years or more. Such an area is not yet a
11blighted area but because of a combination of 3 or more of the
12following factors is detrimental to the public safety, health,
13morals or welfare and such an area may become a blighted area:
14        (1) Dilapidation. An advanced state of disrepair or
15    neglect of necessary repairs to the primary structural
16    components of buildings or improvements in such a
17    combination that a documented building condition analysis
18    determines that major repair is required or the defects
19    are so serious and so extensive that the buildings must be
20    removed.
21        (2) Obsolescence. The condition or process of falling
22    into disuse. Structures have become ill-suited for the
23    original use.
24        (3) Deterioration. With respect to buildings, defects
25    including, but not limited to, major defects in the
26    secondary building components such as doors, windows,

 

 

HB5373- 321 -LRB104 20029 AAS 33480 b

1    porches, gutters and downspouts, and fascia. With respect
2    to surface improvements, that the condition of roadways,
3    alleys, curbs, gutters, sidewalks, off-street parking, and
4    surface storage areas evidence deterioration, including,
5    but not limited to, surface cracking, crumbling, potholes,
6    depressions, loose paving material, and weeds protruding
7    through paved surfaces.
8        (4) Presence of structures below minimum code
9    standards. All structures that do not meet the standards
10    of zoning, subdivision, building, fire, and other
11    governmental codes applicable to property, but not
12    including housing and property maintenance codes.
13        (5) Illegal use of individual structures. The use of
14    structures in violation of applicable federal, State, or
15    local laws, exclusive of those applicable to the presence
16    of structures below minimum code standards.
17        (6) Excessive vacancies. The presence of buildings
18    that are unoccupied or under-utilized and that represent
19    an adverse influence on the area because of the frequency,
20    extent, or duration of the vacancies.
21        (7) Lack of ventilation, light, or sanitary
22    facilities. The absence of adequate ventilation for light
23    or air circulation in spaces or rooms without windows, or
24    that require the removal of dust, odor, gas, smoke, or
25    other noxious airborne materials. Inadequate natural light
26    and ventilation means the absence or inadequacy of

 

 

HB5373- 322 -LRB104 20029 AAS 33480 b

1    skylights or windows for interior spaces or rooms and
2    improper window sizes and amounts by room area to window
3    area ratios. Inadequate sanitary facilities refers to the
4    absence or inadequacy of garbage storage and enclosure,
5    bathroom facilities, hot water and kitchens, and
6    structural inadequacies preventing ingress and egress to
7    and from all rooms and units within a building.
8        (8) Inadequate utilities. Underground and overhead
9    utilities such as storm sewers and storm drainage,
10    sanitary sewers, water lines, and gas, telephone, and
11    electrical services that are shown to be inadequate.
12    Inadequate utilities are those that are: (i) of
13    insufficient capacity to serve the uses in the
14    redevelopment project area, (ii) deteriorated, antiquated,
15    obsolete, or in disrepair, or (iii) lacking within the
16    redevelopment project area.
17        (9) Excessive land coverage and overcrowding of
18    structures and community facilities. The over-intensive
19    use of property and the crowding of buildings and
20    accessory facilities onto a site. Examples of problem
21    conditions warranting the designation of an area as one
22    exhibiting excessive land coverage are: the presence of
23    buildings either improperly situated on parcels or located
24    on parcels of inadequate size and shape in relation to
25    present-day standards of development for health and safety
26    and the presence of multiple buildings on a single parcel.

 

 

HB5373- 323 -LRB104 20029 AAS 33480 b

1    For there to be a finding of excessive land coverage,
2    these parcels must exhibit one or more of the following
3    conditions: insufficient provision for light and air
4    within or around buildings, increased threat of spread of
5    fire due to the close proximity of buildings, lack of
6    adequate or proper access to a public right-of-way, lack
7    of reasonably required off-street parking, or inadequate
8    provision for loading and service.
9        (10) Deleterious land use or layout. The existence of
10    incompatible land-use relationships, buildings occupied by
11    inappropriate mixed-uses, or uses considered to be
12    noxious, offensive, or unsuitable for the surrounding
13    area.
14        (11) Lack of community planning. The proposed
15    redevelopment project area was developed prior to or
16    without the benefit or guidance of a community plan. This
17    means that the development occurred prior to the adoption
18    by the municipality of a comprehensive or other community
19    plan or that the plan was not followed at the time of the
20    area's development. This factor must be documented by
21    evidence of adverse or incompatible land-use
22    relationships, inadequate street layout, improper
23    subdivision, parcels of inadequate shape and size to meet
24    contemporary development standards, or other evidence
25    demonstrating an absence of effective community planning.
26        (12) The area has incurred Illinois Environmental

 

 

HB5373- 324 -LRB104 20029 AAS 33480 b

1    Protection Agency or United States Environmental
2    Protection Agency remediation costs for, or a study
3    conducted by an independent consultant recognized as
4    having expertise in environmental remediation has
5    determined a need for, the clean-up of hazardous waste,
6    hazardous substances, or underground storage tanks
7    required by State or federal law, provided that the
8    remediation costs constitute a material impediment to the
9    development or redevelopment of the redevelopment project
10    area.
11        (13) The total equalized assessed value of the
12    proposed redevelopment project area has declined for 3 of
13    the last 5 calendar years for which information is
14    available or is increasing at an annual rate that is less
15    than the balance of the municipality for 3 of the last 5
16    calendar years for which information is available or is
17    increasing at an annual rate that is less than the
18    Consumer Price Index for All Urban Consumers published by
19    the United States Department of Labor or successor agency
20    for 3 of the last 5 calendar years for which information is
21    available.
22    (c) "Industrial park" means an area in a blighted or
23conservation area suitable for use by any manufacturing,
24industrial, research or transportation enterprise, of
25facilities to include but not be limited to factories, mills,
26processing plants, assembly plants, packing plants,

 

 

HB5373- 325 -LRB104 20029 AAS 33480 b

1fabricating plants, industrial distribution centers,
2warehouses, repair overhaul or service facilities, freight
3terminals, research facilities, test facilities or railroad
4facilities.
5    (d) "Industrial park conservation area" means an area
6within the boundaries of a redevelopment project area located
7within the territorial limits of a municipality that is a
8labor surplus municipality or within 1 1/2 miles of the
9territorial limits of a municipality that is a labor surplus
10municipality if the area is annexed to the municipality; which
11area is zoned as industrial no later than at the time the
12municipality by ordinance designates the redevelopment project
13area, and which area includes both vacant land suitable for
14use as an industrial park and a blighted area or conservation
15area contiguous to such vacant land.
16    (e) "Labor surplus municipality" means a municipality in
17which, at any time during the 6 months before the municipality
18by ordinance designates an industrial park conservation area,
19the unemployment rate was over 6% and was also 100% or more of
20the national average unemployment rate for that same time as
21published in the United States Department of Labor Bureau of
22Labor Statistics publication entitled "The Employment
23Situation" or its successor publication. For the purpose of
24this subsection, if unemployment rate statistics for the
25municipality are not available, the unemployment rate in the
26municipality shall be deemed to be the same as the

 

 

HB5373- 326 -LRB104 20029 AAS 33480 b

1unemployment rate in the principal county in which the
2municipality is located.
3    (f) "Municipality" shall mean a city, village,
4incorporated town, or a township that is located in the
5unincorporated portion of a county with 3 million or more
6inhabitants, if the county adopted an ordinance that approved
7the township's redevelopment plan.
8    (g) "Initial Sales Tax Amounts" means the amount of taxes
9paid under the Retailers' Occupation Tax Act, Use Tax Act,
10Service Use Tax Act, the Service Occupation Tax Act, the
11Municipal Retailers' Occupation Tax Act, and the Municipal
12Service Occupation Tax Act by retailers and servicemen on
13transactions at places located in a State Sales Tax Boundary
14during the calendar year 1985.
15    (g-1) "Revised Initial Sales Tax Amounts" means the amount
16of taxes paid under the Retailers' Occupation Tax Act, Use Tax
17Act, Service Use Tax Act, the Service Occupation Tax Act, the
18Municipal Retailers' Occupation Tax Act, and the Municipal
19Service Occupation Tax Act by retailers and servicemen on
20transactions at places located within the State Sales Tax
21Boundary revised pursuant to Section 11-74.4-8a(9) of this
22Act.
23    (h) "Municipal Sales Tax Increment" means an amount equal
24to the increase in the aggregate amount of taxes paid to a
25municipality from the Local Government Tax Fund arising from
26sales by retailers and servicemen within the redevelopment

 

 

HB5373- 327 -LRB104 20029 AAS 33480 b

1project area or State Sales Tax Boundary, as the case may be,
2for as long as the redevelopment project area or State Sales
3Tax Boundary, as the case may be, exist over and above the
4aggregate amount of taxes as certified by the Illinois
5Department of Revenue and paid under the Municipal Retailers'
6Occupation Tax Act and the Municipal Service Occupation Tax
7Act by retailers and servicemen, on transactions at places of
8business located in the redevelopment project area or State
9Sales Tax Boundary, as the case may be, during the base year
10which shall be the calendar year immediately prior to the year
11in which the municipality adopted tax increment allocation
12financing. For purposes of computing the aggregate amount of
13such taxes for base years occurring prior to 1985, the
14Department of Revenue shall determine the Initial Sales Tax
15Amounts for such taxes and deduct therefrom an amount equal to
164% of the aggregate amount of taxes per year for each year the
17base year is prior to 1985, but not to exceed a total deduction
18of 12%. The amount so determined shall be known as the
19"Adjusted Initial Sales Tax Amounts". For purposes of
20determining the Municipal Sales Tax Increment, the Department
21of Revenue shall for each period subtract from the amount paid
22to the municipality from the Local Government Tax Fund arising
23from sales by retailers and servicemen on transactions located
24in the redevelopment project area or the State Sales Tax
25Boundary, as the case may be, the certified Initial Sales Tax
26Amounts, the Adjusted Initial Sales Tax Amounts or the Revised

 

 

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1Initial Sales Tax Amounts for the Municipal Retailers'
2Occupation Tax Act and the Municipal Service Occupation Tax
3Act. For the State Fiscal Year 1989, this calculation shall be
4made by utilizing the calendar year 1987 to determine the tax
5amounts received. For the State Fiscal Year 1990, this
6calculation shall be made by utilizing the period from January
71, 1988, until September 30, 1988, to determine the tax
8amounts received from retailers and servicemen pursuant to the
9Municipal Retailers' Occupation Tax and the Municipal Service
10Occupation Tax Act, which shall have deducted therefrom
11nine-twelfths of the certified Initial Sales Tax Amounts, the
12Adjusted Initial Sales Tax Amounts or the Revised Initial
13Sales Tax Amounts as appropriate. For the State Fiscal Year
141991, this calculation shall be made by utilizing the period
15from October 1, 1988, to June 30, 1989, to determine the tax
16amounts received from retailers and servicemen pursuant to the
17Municipal Retailers' Occupation Tax and the Municipal Service
18Occupation Tax Act which shall have deducted therefrom
19nine-twelfths of the certified Initial Sales Tax Amounts,
20Adjusted Initial Sales Tax Amounts or the Revised Initial
21Sales Tax Amounts as appropriate. For every State Fiscal Year
22thereafter, the applicable period shall be the 12 months
23beginning July 1 and ending June 30 to determine the tax
24amounts received which shall have deducted therefrom the
25certified Initial Sales Tax Amounts, the Adjusted Initial
26Sales Tax Amounts or the Revised Initial Sales Tax Amounts, as

 

 

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1the case may be.
2    (i) "Net State Sales Tax Increment" means the sum of the
3following: (a) 80% of the first $100,000 of State Sales Tax
4Increment annually generated within a State Sales Tax
5Boundary; (b) 60% of the amount in excess of $100,000 but not
6exceeding $500,000 of State Sales Tax Increment annually
7generated within a State Sales Tax Boundary; and (c) 40% of all
8amounts in excess of $500,000 of State Sales Tax Increment
9annually generated within a State Sales Tax Boundary. If,
10however, a municipality established a tax increment financing
11district in a county with a population in excess of 3,000,000
12before January 1, 1986, and the municipality entered into a
13contract or issued bonds after January 1, 1986, but before
14December 31, 1986, to finance redevelopment project costs
15within a State Sales Tax Boundary, then the Net State Sales Tax
16Increment means, for the fiscal years beginning July 1, 1990,
17and July 1, 1991, 100% of the State Sales Tax Increment
18annually generated within a State Sales Tax Boundary; and
19notwithstanding any other provision of this Act, for those
20fiscal years the Department of Revenue shall distribute to
21those municipalities 100% of their Net State Sales Tax
22Increment before any distribution to any other municipality
23and regardless of whether or not those other municipalities
24will receive 100% of their Net State Sales Tax Increment. For
25Fiscal Year 1999, and every year thereafter until the year
262007, for any municipality that has not entered into a

 

 

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1contract or has not issued bonds prior to June 1, 1988 to
2finance redevelopment project costs within a State Sales Tax
3Boundary, the Net State Sales Tax Increment shall be
4calculated as follows: By multiplying the Net State Sales Tax
5Increment by 90% in the State Fiscal Year 1999; 80% in the
6State Fiscal Year 2000; 70% in the State Fiscal Year 2001; 60%
7in the State Fiscal Year 2002; 50% in the State Fiscal Year
82003; 40% in the State Fiscal Year 2004; 30% in the State
9Fiscal Year 2005; 20% in the State Fiscal Year 2006; and 10% in
10the State Fiscal Year 2007. No payment shall be made for State
11Fiscal Year 2008 and thereafter.
12    Municipalities that issued bonds in connection with a
13redevelopment project in a redevelopment project area within
14the State Sales Tax Boundary prior to July 29, 1991, or that
15entered into contracts in connection with a redevelopment
16project in a redevelopment project area before June 1, 1988,
17shall continue to receive their proportional share of the
18Illinois Tax Increment Fund distribution until the date on
19which the redevelopment project is completed or terminated.
20If, however, a municipality that issued bonds in connection
21with a redevelopment project in a redevelopment project area
22within the State Sales Tax Boundary prior to July 29, 1991
23retires the bonds prior to June 30, 2007 or a municipality that
24entered into contracts in connection with a redevelopment
25project in a redevelopment project area before June 1, 1988
26completes the contracts prior to June 30, 2007, then so long as

 

 

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1the redevelopment project is not completed or is not
2terminated, the Net State Sales Tax Increment shall be
3calculated, beginning on the date on which the bonds are
4retired or the contracts are completed, as follows: By
5multiplying the Net State Sales Tax Increment by 60% in the
6State Fiscal Year 2002; 50% in the State Fiscal Year 2003; 40%
7in the State Fiscal Year 2004; 30% in the State Fiscal Year
82005; 20% in the State Fiscal Year 2006; and 10% in the State
9Fiscal Year 2007. No payment shall be made for State Fiscal
10Year 2008 and thereafter. Refunding of any bonds issued prior
11to July 29, 1991, shall not alter the Net State Sales Tax
12Increment.
13    (j) "State Utility Tax Increment Amount" means an amount
14equal to the aggregate increase in State electric and gas tax
15charges imposed on owners and tenants, other than residential
16customers, of properties located within the redevelopment
17project area under Section 9-222 of the Public Utilities Act,
18over and above the aggregate of such charges as certified by
19the Department of Revenue and paid by owners and tenants,
20other than residential customers, of properties within the
21redevelopment project area during the base year, which shall
22be the calendar year immediately prior to the year of the
23adoption of the ordinance authorizing tax increment allocation
24financing.
25    (k) "Net State Utility Tax Increment" means the sum of the
26following: (a) 80% of the first $100,000 of State Utility Tax

 

 

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1Increment annually generated by a redevelopment project area;
2(b) 60% of the amount in excess of $100,000 but not exceeding
3$500,000 of the State Utility Tax Increment annually generated
4by a redevelopment project area; and (c) 40% of all amounts in
5excess of $500,000 of State Utility Tax Increment annually
6generated by a redevelopment project area. For the State
7Fiscal Year 1999, and every year thereafter until the year
82007, for any municipality that has not entered into a
9contract or has not issued bonds prior to June 1, 1988 to
10finance redevelopment project costs within a redevelopment
11project area, the Net State Utility Tax Increment shall be
12calculated as follows: By multiplying the Net State Utility
13Tax Increment by 90% in the State Fiscal Year 1999; 80% in the
14State Fiscal Year 2000; 70% in the State Fiscal Year 2001; 60%
15in the State Fiscal Year 2002; 50% in the State Fiscal Year
162003; 40% in the State Fiscal Year 2004; 30% in the State
17Fiscal Year 2005; 20% in the State Fiscal Year 2006; and 10% in
18the State Fiscal Year 2007. No payment shall be made for the
19State Fiscal Year 2008 and thereafter.
20    Municipalities that issue bonds in connection with the
21redevelopment project during the period from June 1, 1988
22until 3 years after the effective date of this Amendatory Act
23of 1988 shall receive the Net State Utility Tax Increment,
24subject to appropriation, for 15 State Fiscal Years after the
25issuance of such bonds. For the 16th through the 20th State
26Fiscal Years after issuance of the bonds, the Net State

 

 

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1Utility Tax Increment shall be calculated as follows: By
2multiplying the Net State Utility Tax Increment by 90% in year
316; 80% in year 17; 70% in year 18; 60% in year 19; and 50% in
4year 20. Refunding of any bonds issued prior to June 1, 1988,
5shall not alter the revised Net State Utility Tax Increment
6payments set forth above.
7    (l) "Obligations" mean bonds, loans, debentures, notes,
8special certificates or other evidence of indebtedness issued
9by the municipality to carry out a redevelopment project or to
10refund outstanding obligations.
11    (m) "Payment in lieu of taxes" means those estimated tax
12revenues from real property in a redevelopment project area
13derived from real property that has been acquired by a
14municipality which according to the redevelopment project or
15plan is to be used for a private use which taxing districts
16would have received had a municipality not acquired the real
17property and adopted tax increment allocation financing and
18which would result from levies made after the time of the
19adoption of tax increment allocation financing to the time the
20current equalized value of real property in the redevelopment
21project area exceeds the total initial equalized value of real
22property in said area.
23    (n) "Redevelopment plan" means the comprehensive program
24of the municipality for development or redevelopment intended
25by the payment of redevelopment project costs to reduce or
26eliminate those conditions the existence of which qualified

 

 

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1the redevelopment project area as a "blighted area" or
2"conservation area" or combination thereof or "industrial park
3conservation area," and thereby to enhance the tax bases of
4the taxing districts which extend into the redevelopment
5project area, provided that, with respect to redevelopment
6project areas described in subsections (p-1) and (p-2),
7"redevelopment plan" means the comprehensive program of the
8affected municipality for the development of qualifying
9transit facilities. On and after November 1, 1999 (the
10effective date of Public Act 91-478), no redevelopment plan
11may be approved or amended that includes the development of
12vacant land (i) with a golf course and related clubhouse and
13other facilities or (ii) designated by federal, State, county,
14or municipal government as public land for outdoor
15recreational activities or for nature preserves and used for
16that purpose within 5 years prior to the adoption of the
17redevelopment plan. For the purpose of this subsection,
18"recreational activities" is limited to mean camping and
19hunting. Each redevelopment plan shall set forth in writing
20the program to be undertaken to accomplish the objectives and
21shall include but not be limited to:
22        (A) an itemized list of estimated redevelopment
23    project costs;
24        (B) evidence indicating that the redevelopment project
25    area on the whole has not been subject to growth and
26    development through investment by private enterprise,

 

 

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1    provided that such evidence shall not be required for any
2    redevelopment project area located within a transit
3    facility improvement area established pursuant to Section
4    11-74.4-3.3;
5        (C) an assessment of any financial impact of the
6    redevelopment project area on or any increased demand for
7    services from any taxing district affected by the plan and
8    any program to address such financial impact or increased
9    demand;
10        (D) the sources of funds to pay costs;
11        (E) the nature and term of the obligations to be
12    issued;
13        (F) the most recent equalized assessed valuation of
14    the redevelopment project area;
15        (G) an estimate as to the equalized assessed valuation
16    after redevelopment and the general land uses to apply in
17    the redevelopment project area;
18        (H) a commitment to fair employment practices and an
19    affirmative action plan;
20        (I) if it concerns an industrial park conservation
21    area, the plan shall also include a general description of
22    any proposed developer, user and tenant of any property, a
23    description of the type, structure and general character
24    of the facilities to be developed, a description of the
25    type, class and number of new employees to be employed in
26    the operation of the facilities to be developed; and

 

 

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1        (J) if property is to be annexed to the municipality,
2    the plan shall include the terms of the annexation
3    agreement.
4    The provisions of items (B) and (C) of this subsection (n)
5shall not apply to a municipality that before March 14, 1994
6(the effective date of Public Act 88-537) had fixed, either by
7its corporate authorities or by a commission designated under
8subsection (k) of Section 11-74.4-4, a time and place for a
9public hearing as required by subsection (a) of Section
1011-74.4-5. No redevelopment plan shall be adopted unless a
11municipality complies with all of the following requirements:
12        (1) The municipality finds that the redevelopment
13    project area on the whole has not been subject to growth
14    and development through investment by private enterprise
15    and would not reasonably be anticipated to be developed
16    without the adoption of the redevelopment plan, provided,
17    however, that such a finding shall not be required with
18    respect to any redevelopment project area located within a
19    transit facility improvement area established pursuant to
20    Section 11-74.4-3.3.
21        (2) The municipality finds that the redevelopment plan
22    and project conform to the comprehensive plan for the
23    development of the municipality as a whole, or, for
24    municipalities with a population of 100,000 or more,
25    regardless of when the redevelopment plan and project was
26    adopted, the redevelopment plan and project either: (i)

 

 

HB5373- 337 -LRB104 20029 AAS 33480 b

1    conforms to the strategic economic development or
2    redevelopment plan issued by the designated planning
3    authority of the municipality, or (ii) includes land uses
4    that have been approved by the planning commission of the
5    municipality.
6        (3) The redevelopment plan establishes the estimated
7    dates of completion of the redevelopment project and
8    retirement of obligations issued to finance redevelopment
9    project costs. Those dates may not be later than the dates
10    set forth under Section 11-74.4-3.5.
11        A municipality may by municipal ordinance amend an
12    existing redevelopment plan to conform to this paragraph
13    (3) as amended by Public Act 91-478, which municipal
14    ordinance may be adopted without further hearing or notice
15    and without complying with the procedures provided in this
16    Act pertaining to an amendment to or the initial approval
17    of a redevelopment plan and project and designation of a
18    redevelopment project area.
19        (3.5) The municipality finds, in the case of an
20    industrial park conservation area, also that the
21    municipality is a labor surplus municipality and that the
22    implementation of the redevelopment plan will reduce
23    unemployment, create new jobs and by the provision of new
24    facilities enhance the tax base of the taxing districts
25    that extend into the redevelopment project area.
26        (4) If any incremental revenues are being utilized

 

 

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1    under Section 8(a)(1) or 8(a)(2) of this Act in
2    redevelopment project areas approved by ordinance after
3    January 1, 1986, the municipality finds: (a) that the
4    redevelopment project area would not reasonably be
5    developed without the use of such incremental revenues,
6    and (b) that such incremental revenues will be exclusively
7    utilized for the development of the redevelopment project
8    area.
9        (5) If: (a) the redevelopment plan will not result in
10    displacement of residents from 10 or more inhabited
11    residential units, and the municipality certifies in the
12    plan that such displacement will not result from the plan;
13    or (b) the redevelopment plan is for a redevelopment
14    project area or a qualifying transit facility located
15    within a transit facility improvement area established
16    pursuant to Section 11-74.4-3.3, and the applicable
17    project is subject to the process for evaluation of
18    environmental effects under the National Environmental
19    Policy Act of 1969, 42 U.S.C. 4321 et seq., then a housing
20    impact study need not be performed. If, however, the
21    redevelopment plan would result in the displacement of
22    residents from 10 or more inhabited residential units, or
23    if the redevelopment project area contains 75 or more
24    inhabited residential units and no certification is made,
25    then the municipality shall prepare, as part of the
26    separate feasibility report required by subsection (a) of

 

 

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1    Section 11-74.4-5, a housing impact study.
2        Part I of the housing impact study shall include (i)
3    data as to whether the residential units are single family
4    or multi-family units, (ii) the number and type of rooms
5    within the units, if that information is available, (iii)
6    whether the units are inhabited or uninhabited, as
7    determined not less than 45 days before the date that the
8    ordinance or resolution required by subsection (a) of
9    Section 11-74.4-5 is passed, and (iv) data as to the
10    racial and ethnic composition of the residents in the
11    inhabited residential units. The data requirement as to
12    the racial and ethnic composition of the residents in the
13    inhabited residential units shall be deemed to be fully
14    satisfied by data from the most recent federal census.
15        Part II of the housing impact study shall identify the
16    inhabited residential units in the proposed redevelopment
17    project area that are to be or may be removed. If inhabited
18    residential units are to be removed, then the housing
19    impact study shall identify (i) the number and location of
20    those units that will or may be removed, (ii) the
21    municipality's plans for relocation assistance for those
22    residents in the proposed redevelopment project area whose
23    residences are to be removed, (iii) the availability of
24    replacement housing for those residents whose residences
25    are to be removed, and shall identify the type, location,
26    and cost of the housing, and (iv) the type and extent of

 

 

HB5373- 340 -LRB104 20029 AAS 33480 b

1    relocation assistance to be provided.
2        (6) On and after November 1, 1999, the housing impact
3    study required by paragraph (5) shall be incorporated in
4    the redevelopment plan for the redevelopment project area.
5        (7) On and after November 1, 1999, no redevelopment
6    plan shall be adopted, nor an existing plan amended, nor
7    shall residential housing that is occupied by households
8    of low-income and very low-income persons in currently
9    existing redevelopment project areas be removed after
10    November 1, 1999 unless the redevelopment plan provides,
11    with respect to inhabited housing units that are to be
12    removed for households of low-income and very low-income
13    persons, affordable housing and relocation assistance not
14    less than that which would be provided under the federal
15    Uniform Relocation Assistance and Real Property
16    Acquisition Policies Act of 1970 and the regulations under
17    that Act, including the eligibility criteria. Affordable
18    housing may be either existing or newly constructed
19    housing. For purposes of this paragraph (7), "low-income
20    households", "very low-income households", and "affordable
21    housing" have the meanings set forth in the Illinois
22    Affordable Housing Act. The municipality shall make a good
23    faith effort to ensure that this affordable housing is
24    located in or near the redevelopment project area within
25    the municipality.
26        (8) On and after November 1, 1999, if, after the

 

 

HB5373- 341 -LRB104 20029 AAS 33480 b

1    adoption of the redevelopment plan for the redevelopment
2    project area, any municipality desires to amend its
3    redevelopment plan to remove more inhabited residential
4    units than specified in its original redevelopment plan,
5    that change shall be made in accordance with the
6    procedures in subsection (c) of Section 11-74.4-5.
7        (9) For redevelopment project areas designated prior
8    to November 1, 1999, the redevelopment plan may be amended
9    without further joint review board meeting or hearing,
10    provided that the municipality shall give notice of any
11    such changes by mail to each affected taxing district and
12    registrant on the interested party registry, to authorize
13    the municipality to expend tax increment revenues for
14    redevelopment project costs defined by paragraphs (5) and
15    (7.5), subparagraphs (E) and (F) of paragraph (11), and
16    paragraph (11.5) of subsection (q) of Section 11-74.4-3,
17    so long as the changes do not increase the total estimated
18    redevelopment project costs set out in the redevelopment
19    plan by more than 5% after adjustment for inflation from
20    the date the plan was adopted.
21    (o) "Redevelopment project" means any public and private
22development project in furtherance of the objectives of a
23redevelopment plan. On and after November 1, 1999 (the
24effective date of Public Act 91-478), no redevelopment plan
25may be approved or amended that includes the development of
26vacant land (i) with a golf course and related clubhouse and

 

 

HB5373- 342 -LRB104 20029 AAS 33480 b

1other facilities or (ii) designated by federal, State, county,
2or municipal government as public land for outdoor
3recreational activities or for nature preserves and used for
4that purpose within 5 years prior to the adoption of the
5redevelopment plan. For the purpose of this subsection,
6"recreational activities" is limited to mean camping and
7hunting.
8    (p) "Redevelopment project area" means an area designated
9by the municipality, which is not less in the aggregate than 1
101/2 acres and in respect to which the municipality has made a
11finding that there exist conditions which cause the area to be
12classified as an industrial park conservation area or a
13blighted area or a conservation area, or a combination of both
14blighted areas and conservation areas.
15    (p-1) Notwithstanding any provision of this Act to the
16contrary, on and after August 25, 2009 (the effective date of
17Public Act 96-680), a redevelopment project area may include
18areas within a one-half mile radius of an existing or proposed
19Northern Illinois Transit Authority Suburban Transit Access
20Route (STAR Line) station without a finding that the area is
21classified as an industrial park conservation area, a blighted
22area, a conservation area, or a combination thereof, but only
23if the municipality receives unanimous consent from the joint
24review board created to review the proposed redevelopment
25project area.
26    (p-2) Notwithstanding any provision of this Act to the

 

 

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1contrary, on and after the effective date of this amendatory
2Act of the 99th General Assembly, a redevelopment project area
3may include areas within a transit facility improvement area
4that has been established pursuant to Section 11-74.4-3.3
5without a finding that the area is classified as an industrial
6park conservation area, a blighted area, a conservation area,
7or any combination thereof.
8    (q) "Redevelopment project costs", except for
9redevelopment project areas created pursuant to subsection
10(p-1) or (p-2), means and includes the sum total of all
11reasonable or necessary costs incurred or estimated to be
12incurred, and any such costs incidental to a redevelopment
13plan and a redevelopment project. Such costs include, without
14limitation, the following:
15        (1) Costs of studies, surveys, development of plans,
16    and specifications, implementation and administration of
17    the redevelopment plan including but not limited to staff
18    and professional service costs for architectural,
19    engineering, legal, financial, planning or other services,
20    provided however that no charges for professional services
21    may be based on a percentage of the tax increment
22    collected; except that on and after November 1, 1999 (the
23    effective date of Public Act 91-478), no contracts for
24    professional services, excluding architectural and
25    engineering services, may be entered into if the terms of
26    the contract extend beyond a period of 3 years. In

 

 

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1    addition, "redevelopment project costs" shall not include
2    lobbying expenses. After consultation with the
3    municipality, each tax increment consultant or advisor to
4    a municipality that plans to designate or has designated a
5    redevelopment project area shall inform the municipality
6    in writing of any contracts that the consultant or advisor
7    has entered into with entities or individuals that have
8    received, or are receiving, payments financed by tax
9    increment revenues produced by the redevelopment project
10    area with respect to which the consultant or advisor has
11    performed, or will be performing, service for the
12    municipality. This requirement shall be satisfied by the
13    consultant or advisor before the commencement of services
14    for the municipality and thereafter whenever any other
15    contracts with those individuals or entities are executed
16    by the consultant or advisor;
17        (1.5) After July 1, 1999, annual administrative costs
18    shall not include general overhead or administrative costs
19    of the municipality that would still have been incurred by
20    the municipality if the municipality had not designated a
21    redevelopment project area or approved a redevelopment
22    plan;
23        (1.6) The cost of marketing sites within the
24    redevelopment project area to prospective businesses,
25    developers, and investors;
26        (2) Property assembly costs, including but not limited

 

 

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1    to acquisition of land and other property, real or
2    personal, or rights or interests therein, demolition of
3    buildings, site preparation, site improvements that serve
4    as an engineered barrier addressing ground level or below
5    ground environmental contamination, including, but not
6    limited to parking lots and other concrete or asphalt
7    barriers, and the clearing and grading of land;
8        (3) Costs of rehabilitation, reconstruction or repair
9    or remodeling of existing public or private buildings,
10    fixtures, and leasehold improvements; and the cost of
11    replacing an existing public building if pursuant to the
12    implementation of a redevelopment project the existing
13    public building is to be demolished to use the site for
14    private investment or devoted to a different use requiring
15    private investment; including any direct or indirect costs
16    relating to Green Globes or LEED certified construction
17    elements or construction elements with an equivalent
18    certification;
19        (4) Costs of the construction of public works or
20    improvements, including any direct or indirect costs
21    relating to Green Globes or LEED certified construction
22    elements or construction elements with an equivalent
23    certification, except that on and after November 1, 1999,
24    redevelopment project costs shall not include the cost of
25    constructing a new municipal public building principally
26    used to provide offices, storage space, or conference

 

 

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1    facilities or vehicle storage, maintenance, or repair for
2    administrative, public safety, or public works personnel
3    and that is not intended to replace an existing public
4    building as provided under paragraph (3) of subsection (q)
5    of Section 11-74.4-3 unless either (i) the construction of
6    the new municipal building implements a redevelopment
7    project that was included in a redevelopment plan that was
8    adopted by the municipality prior to November 1, 1999,
9    (ii) the municipality makes a reasonable determination in
10    the redevelopment plan, supported by information that
11    provides the basis for that determination, that the new
12    municipal building is required to meet an increase in the
13    need for public safety purposes anticipated to result from
14    the implementation of the redevelopment plan, or (iii) the
15    new municipal public building is for the storage,
16    maintenance, or repair of transit vehicles and is located
17    in a transit facility improvement area that has been
18    established pursuant to Section 11-74.4-3.3;
19        (5) Costs of job training and retraining projects,
20    including the cost of "welfare to work" programs
21    implemented by businesses located within the redevelopment
22    project area;
23        (6) Financing costs, including but not limited to all
24    necessary and incidental expenses related to the issuance
25    of obligations and which may include payment of interest
26    on any obligations issued hereunder including interest

 

 

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1    accruing during the estimated period of construction of
2    any redevelopment project for which such obligations are
3    issued and for not exceeding 36 months thereafter and
4    including reasonable reserves related thereto;
5        (7) To the extent the municipality by written
6    agreement accepts and approves the same, all or a portion
7    of a taxing district's capital costs resulting from the
8    redevelopment project necessarily incurred or to be
9    incurred within a taxing district in furtherance of the
10    objectives of the redevelopment plan and project;
11        (7.5) For redevelopment project areas designated (or
12    redevelopment project areas amended to add or increase the
13    number of tax-increment-financing assisted housing units)
14    on or after November 1, 1999, an elementary, secondary, or
15    unit school district's increased costs attributable to
16    assisted housing units located within the redevelopment
17    project area for which the developer or redeveloper
18    receives financial assistance through an agreement with
19    the municipality or because the municipality incurs the
20    cost of necessary infrastructure improvements within the
21    boundaries of the assisted housing sites necessary for the
22    completion of that housing as authorized by this Act, and
23    which costs shall be paid by the municipality from the
24    Special Tax Allocation Fund when the tax increment revenue
25    is received as a result of the assisted housing units and
26    shall be calculated annually as follows:

 

 

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1            (A) for foundation districts, excluding any school
2        district in a municipality with a population in excess
3        of 1,000,000, by multiplying the district's increase
4        in attendance resulting from the net increase in new
5        students enrolled in that school district who reside
6        in housing units within the redevelopment project area
7        that have received financial assistance through an
8        agreement with the municipality or because the
9        municipality incurs the cost of necessary
10        infrastructure improvements within the boundaries of
11        the housing sites necessary for the completion of that
12        housing as authorized by this Act since the
13        designation of the redevelopment project area by the
14        most recently available per capita tuition cost as
15        defined in Section 10-20.12a of the School Code less
16        any increase in general State aid as defined in
17        Section 18-8.05 of the School Code or evidence-based
18        funding as defined in Section 18-8.15 of the School
19        Code attributable to these added new students subject
20        to the following annual limitations:
21                (i) for unit school districts with a district
22            average 1995-96 Per Capita Tuition Charge of less
23            than $5,900, no more than 25% of the total amount
24            of property tax increment revenue produced by
25            those housing units that have received tax
26            increment finance assistance under this Act;

 

 

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1                (ii) for elementary school districts with a
2            district average 1995-96 Per Capita Tuition Charge
3            of less than $5,900, no more than 17% of the total
4            amount of property tax increment revenue produced
5            by those housing units that have received tax
6            increment finance assistance under this Act; and
7                (iii) for secondary school districts with a
8            district average 1995-96 Per Capita Tuition Charge
9            of less than $5,900, no more than 8% of the total
10            amount of property tax increment revenue produced
11            by those housing units that have received tax
12            increment finance assistance under this Act.
13            (B) For alternate method districts, flat grant
14        districts, and foundation districts with a district
15        average 1995-96 Per Capita Tuition Charge equal to or
16        more than $5,900, excluding any school district with a
17        population in excess of 1,000,000, by multiplying the
18        district's increase in attendance resulting from the
19        net increase in new students enrolled in that school
20        district who reside in housing units within the
21        redevelopment project area that have received
22        financial assistance through an agreement with the
23        municipality or because the municipality incurs the
24        cost of necessary infrastructure improvements within
25        the boundaries of the housing sites necessary for the
26        completion of that housing as authorized by this Act

 

 

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1        since the designation of the redevelopment project
2        area by the most recently available per capita tuition
3        cost as defined in Section 10-20.12a of the School
4        Code less any increase in general state aid as defined
5        in Section 18-8.05 of the School Code or
6        evidence-based funding as defined in Section 18-8.15
7        of the School Code attributable to these added new
8        students subject to the following annual limitations:
9                (i) for unit school districts, no more than
10            40% of the total amount of property tax increment
11            revenue produced by those housing units that have
12            received tax increment finance assistance under
13            this Act;
14                (ii) for elementary school districts, no more
15            than 27% of the total amount of property tax
16            increment revenue produced by those housing units
17            that have received tax increment finance
18            assistance under this Act; and
19                (iii) for secondary school districts, no more
20            than 13% of the total amount of property tax
21            increment revenue produced by those housing units
22            that have received tax increment finance
23            assistance under this Act.
24            (C) For any school district in a municipality with
25        a population in excess of 1,000,000, the following
26        restrictions shall apply to the reimbursement of

 

 

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1        increased costs under this paragraph (7.5):
2                (i) no increased costs shall be reimbursed
3            unless the school district certifies that each of
4            the schools affected by the assisted housing
5            project is at or over its student capacity;
6                (ii) the amount reimbursable shall be reduced
7            by the value of any land donated to the school
8            district by the municipality or developer, and by
9            the value of any physical improvements made to the
10            schools by the municipality or developer; and
11                (iii) the amount reimbursed may not affect
12            amounts otherwise obligated by the terms of any
13            bonds, notes, or other funding instruments, or the
14            terms of any redevelopment agreement.
15        Any school district seeking payment under this
16        paragraph (7.5) shall, after July 1 and before
17        September 30 of each year, provide the municipality
18        with reasonable evidence to support its claim for
19        reimbursement before the municipality shall be
20        required to approve or make the payment to the school
21        district. If the school district fails to provide the
22        information during this period in any year, it shall
23        forfeit any claim to reimbursement for that year.
24        School districts may adopt a resolution waiving the
25        right to all or a portion of the reimbursement
26        otherwise required by this paragraph (7.5). By

 

 

HB5373- 352 -LRB104 20029 AAS 33480 b

1        acceptance of this reimbursement the school district
2        waives the right to directly or indirectly set aside,
3        modify, or contest in any manner the establishment of
4        the redevelopment project area or projects;
5        (7.7) For redevelopment project areas designated (or
6    redevelopment project areas amended to add or increase the
7    number of tax-increment-financing assisted housing units)
8    on or after January 1, 2005 (the effective date of Public
9    Act 93-961), a public library district's increased costs
10    attributable to assisted housing units located within the
11    redevelopment project area for which the developer or
12    redeveloper receives financial assistance through an
13    agreement with the municipality or because the
14    municipality incurs the cost of necessary infrastructure
15    improvements within the boundaries of the assisted housing
16    sites necessary for the completion of that housing as
17    authorized by this Act shall be paid to the library
18    district by the municipality from the Special Tax
19    Allocation Fund when the tax increment revenue is received
20    as a result of the assisted housing units. This paragraph
21    (7.7) applies only if (i) the library district is located
22    in a county that is subject to the Property Tax Extension
23    Limitation Law or (ii) the library district is not located
24    in a county that is subject to the Property Tax Extension
25    Limitation Law but the district is prohibited by any other
26    law from increasing its tax levy rate without a prior

 

 

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1    voter referendum.
2        The amount paid to a library district under this
3    paragraph (7.7) shall be calculated by multiplying (i) the
4    net increase in the number of persons eligible to obtain a
5    library card in that district who reside in housing units
6    within the redevelopment project area that have received
7    financial assistance through an agreement with the
8    municipality or because the municipality incurs the cost
9    of necessary infrastructure improvements within the
10    boundaries of the housing sites necessary for the
11    completion of that housing as authorized by this Act since
12    the designation of the redevelopment project area by (ii)
13    the per-patron cost of providing library services so long
14    as it does not exceed $120. The per-patron cost shall be
15    the Total Operating Expenditures Per Capita for the
16    library in the previous fiscal year. The municipality may
17    deduct from the amount that it must pay to a library
18    district under this paragraph any amount that it has
19    voluntarily paid to the library district from the tax
20    increment revenue. The amount paid to a library district
21    under this paragraph (7.7) shall be no more than 2% of the
22    amount produced by the assisted housing units and
23    deposited into the Special Tax Allocation Fund.
24        A library district is not eligible for any payment
25    under this paragraph (7.7) unless the library district has
26    experienced an increase in the number of patrons from the

 

 

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1    municipality that created the tax-increment-financing
2    district since the designation of the redevelopment
3    project area.
4        Any library district seeking payment under this
5    paragraph (7.7) shall, after July 1 and before September
6    30 of each year, provide the municipality with convincing
7    evidence to support its claim for reimbursement before the
8    municipality shall be required to approve or make the
9    payment to the library district. If the library district
10    fails to provide the information during this period in any
11    year, it shall forfeit any claim to reimbursement for that
12    year. Library districts may adopt a resolution waiving the
13    right to all or a portion of the reimbursement otherwise
14    required by this paragraph (7.7). By acceptance of such
15    reimbursement, the library district shall forfeit any
16    right to directly or indirectly set aside, modify, or
17    contest in any manner whatsoever the establishment of the
18    redevelopment project area or projects;
19        (8) Relocation costs to the extent that a municipality
20    determines that relocation costs shall be paid or is
21    required to make payment of relocation costs by federal or
22    State law or in order to satisfy subparagraph (7) of
23    subsection (n);
24        (9) Payment in lieu of taxes;
25        (10) Costs of job training, retraining, advanced
26    vocational education or career education, including but

 

 

HB5373- 355 -LRB104 20029 AAS 33480 b

1    not limited to courses in occupational, semi-technical or
2    technical fields leading directly to employment, incurred
3    by one or more taxing districts, provided that such costs
4    (i) are related to the establishment and maintenance of
5    additional job training, advanced vocational education or
6    career education programs for persons employed or to be
7    employed by employers located in a redevelopment project
8    area; and (ii) when incurred by a taxing district or
9    taxing districts other than the municipality, are set
10    forth in a written agreement by or among the municipality
11    and the taxing district or taxing districts, which
12    agreement describes the program to be undertaken,
13    including but not limited to the number of employees to be
14    trained, a description of the training and services to be
15    provided, the number and type of positions available or to
16    be available, itemized costs of the program and sources of
17    funds to pay for the same, and the term of the agreement.
18    Such costs include, specifically, the payment by community
19    college districts of costs pursuant to Sections 3-37,
20    3-38, 3-40 and 3-40.1 of the Public Community College Act
21    and by school districts of costs pursuant to Sections
22    10-22.20a and 10-23.3a of the School Code;
23        (11) Interest cost incurred by a redeveloper related
24    to the construction, renovation or rehabilitation of a
25    redevelopment project provided that:
26            (A) such costs are to be paid directly from the

 

 

HB5373- 356 -LRB104 20029 AAS 33480 b

1        special tax allocation fund established pursuant to
2        this Act;
3            (B) such payments in any one year may not exceed
4        30% of the annual interest costs incurred by the
5        redeveloper with regard to the redevelopment project
6        during that year;
7            (C) if there are not sufficient funds available in
8        the special tax allocation fund to make the payment
9        pursuant to this paragraph (11) then the amounts so
10        due shall accrue and be payable when sufficient funds
11        are available in the special tax allocation fund;
12            (D) the total of such interest payments paid
13        pursuant to this Act may not exceed 30% of the total
14        (i) cost paid or incurred by the redeveloper for the
15        redevelopment project plus (ii) redevelopment project
16        costs excluding any property assembly costs and any
17        relocation costs incurred by a municipality pursuant
18        to this Act;
19            (E) the cost limits set forth in subparagraphs (B)
20        and (D) of paragraph (11) shall be modified for the
21        financing of rehabilitated or new housing units for
22        low-income households and very low-income households,
23        as defined in Section 3 of the Illinois Affordable
24        Housing Act. The percentage of 75% shall be
25        substituted for 30% in subparagraphs (B) and (D) of
26        paragraph (11); and

 

 

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1            (F) instead of the eligible costs provided by
2        subparagraphs (B) and (D) of paragraph (11), as
3        modified by this subparagraph, and notwithstanding any
4        other provisions of this Act to the contrary, the
5        municipality may pay from tax increment revenues up to
6        50% of the cost of construction of new housing units to
7        be occupied by low-income households and very
8        low-income households as defined in Section 3 of the
9        Illinois Affordable Housing Act. The cost of
10        construction of those units may be derived from the
11        proceeds of bonds issued by the municipality under
12        this Act or other constitutional or statutory
13        authority or from other sources of municipal revenue
14        that may be reimbursed from tax increment revenues or
15        the proceeds of bonds issued to finance the
16        construction of that housing.
17            The eligible costs provided under this
18        subparagraph (F) of paragraph (11) shall be an
19        eligible cost for the construction, renovation, and
20        rehabilitation of all low and very low-income housing
21        units, as defined in Section 3 of the Illinois
22        Affordable Housing Act, within the redevelopment
23        project area. If the low and very low-income units are
24        part of a residential redevelopment project that
25        includes units not affordable to low and very
26        low-income households, only the low and very

 

 

HB5373- 358 -LRB104 20029 AAS 33480 b

1        low-income units shall be eligible for benefits under
2        this subparagraph (F) of paragraph (11). The standards
3        for maintaining the occupancy by low-income households
4        and very low-income households, as defined in Section
5        3 of the Illinois Affordable Housing Act, of those
6        units constructed with eligible costs made available
7        under the provisions of this subparagraph (F) of
8        paragraph (11) shall be established by guidelines
9        adopted by the municipality. The responsibility for
10        annually documenting the initial occupancy of the
11        units by low-income households and very low-income
12        households, as defined in Section 3 of the Illinois
13        Affordable Housing Act, shall be that of the then
14        current owner of the property. For ownership units,
15        the guidelines will provide, at a minimum, for a
16        reasonable recapture of funds, or other appropriate
17        methods designed to preserve the original
18        affordability of the ownership units. For rental
19        units, the guidelines will provide, at a minimum, for
20        the affordability of rent to low and very low-income
21        households. As units become available, they shall be
22        rented to income-eligible tenants. The municipality
23        may modify these guidelines from time to time; the
24        guidelines, however, shall be in effect for as long as
25        tax increment revenue is being used to pay for costs
26        associated with the units or for the retirement of

 

 

HB5373- 359 -LRB104 20029 AAS 33480 b

1        bonds issued to finance the units or for the life of
2        the redevelopment project area, whichever is later;
3        (11.5) If the redevelopment project area is located
4    within a municipality with a population of more than
5    100,000, the cost of child day care services for children
6    of employees from low-income families working for
7    businesses located within the redevelopment project area
8    and all or a portion of the cost of operation of child day
9    care centers established by redevelopment project area
10    businesses to serve employees from low-income families
11    working in businesses located in the redevelopment project
12    area. For the purposes of this paragraph, "low-income
13    families" means families whose annual income does not
14    exceed 80% of the municipal, county, or regional median
15    income, adjusted for family size, as the annual income and
16    municipal, county, or regional median income are
17    determined from time to time by the United States
18    Department of Housing and Urban Development.
19        (12) Costs relating to the development of urban
20    agricultural areas under Division 15.2 of the Illinois
21    Municipal Code.
22    Unless explicitly stated herein the cost of construction
23of new privately owned buildings shall not be an eligible
24redevelopment project cost.
25    After November 1, 1999 (the effective date of Public Act
2691-478), none of the redevelopment project costs enumerated in

 

 

HB5373- 360 -LRB104 20029 AAS 33480 b

1this subsection shall be eligible redevelopment project costs
2if those costs would provide direct financial support to a
3retail entity initiating operations in the redevelopment
4project area while terminating operations at another Illinois
5location within 10 miles of the redevelopment project area but
6outside the boundaries of the redevelopment project area
7municipality. For purposes of this paragraph, termination
8means a closing of a retail operation that is directly related
9to the opening of the same operation or like retail entity
10owned or operated by more than 50% of the original ownership in
11a redevelopment project area, but it does not mean closing an
12operation for reasons beyond the control of the retail entity,
13as documented by the retail entity, subject to a reasonable
14finding by the municipality that the current location
15contained inadequate space, had become economically obsolete,
16or was no longer a viable location for the retailer or
17serviceman.
18    No cost shall be a redevelopment project cost in a
19redevelopment project area if used to demolish, remove, or
20substantially modify a historic resource, after August 26,
212008 (the effective date of Public Act 95-934), unless no
22prudent and feasible alternative exists. "Historic resource"
23for the purpose of this paragraph means (i) a place or
24structure that is included or eligible for inclusion on the
25National Register of Historic Places or (ii) a contributing
26structure in a district on the National Register of Historic

 

 

HB5373- 361 -LRB104 20029 AAS 33480 b

1Places. This paragraph does not apply to a place or structure
2for which demolition, removal, or modification is subject to
3review by the preservation agency of a Certified Local
4Government designated as such by the National Park Service of
5the United States Department of the Interior.
6    If a special service area has been established pursuant to
7the Special Service Area Tax Act or Special Service Area Tax
8Law, then any tax increment revenues derived from the tax
9imposed pursuant to the Special Service Area Tax Act or
10Special Service Area Tax Law may be used within the
11redevelopment project area for the purposes permitted by that
12Act or Law as well as the purposes permitted by this Act.
13    (q-1) For redevelopment project areas created pursuant to
14subsection (p-1), redevelopment project costs are limited to
15those costs in paragraph (q) that are related to the existing
16or proposed Northern Illinois Transit Authority Suburban
17Transit Access Route (STAR Line) station.
18    (q-2) For a transit facility improvement area established
19prior to, on, or after the effective date of this amendatory
20Act of the 102nd General Assembly: (i) "redevelopment project
21costs" means those costs described in subsection (q) that are
22related to the construction, reconstruction, rehabilitation,
23remodeling, or repair of any existing or proposed transit
24facility, whether that facility is located within or outside
25the boundaries of a redevelopment project area established
26within that transit facility improvement area (and, to the

 

 

HB5373- 362 -LRB104 20029 AAS 33480 b

1extent a redevelopment project cost is described in subsection
2(q) as incurred or estimated to be incurred with respect to a
3redevelopment project area, then it shall apply with respect
4to such transit facility improvement area); and (ii) the
5provisions of Section 11-74.4-8 regarding tax increment
6allocation financing for a redevelopment project area located
7in a transit facility improvement area shall apply only to the
8lots, blocks, tracts and parcels of real property that are
9located within the boundaries of that redevelopment project
10area and not to the lots, blocks, tracts, and parcels of real
11property that are located outside the boundaries of that
12redevelopment project area.
13    (r) "State Sales Tax Boundary" means the redevelopment
14project area or the amended redevelopment project area
15boundaries which are determined pursuant to subsection (9) of
16Section 11-74.4-8a of this Act. The Department of Revenue
17shall certify pursuant to subsection (9) of Section 11-74.4-8a
18the appropriate boundaries eligible for the determination of
19State Sales Tax Increment.
20    (s) "State Sales Tax Increment" means an amount equal to
21the increase in the aggregate amount of taxes paid by
22retailers and servicemen, other than retailers and servicemen
23subject to the Public Utilities Act, on transactions at places
24of business located within a State Sales Tax Boundary pursuant
25to the Retailers' Occupation Tax Act, the Use Tax Act, the
26Service Use Tax Act, and the Service Occupation Tax Act,

 

 

HB5373- 363 -LRB104 20029 AAS 33480 b

1except such portion of such increase that is paid into the
2State and Local Sales Tax Reform Fund, the Local Government
3Distributive Fund, the Local Government Tax Fund and the
4County and Mass Transit District Fund, for as long as State
5participation exists, over and above the Initial Sales Tax
6Amounts, Adjusted Initial Sales Tax Amounts or the Revised
7Initial Sales Tax Amounts for such taxes as certified by the
8Department of Revenue and paid under those Acts by retailers
9and servicemen on transactions at places of business located
10within the State Sales Tax Boundary during the base year which
11shall be the calendar year immediately prior to the year in
12which the municipality adopted tax increment allocation
13financing, less 3.0% of such amounts generated under the
14Retailers' Occupation Tax Act, Use Tax Act and Service Use Tax
15Act and the Service Occupation Tax Act, which sum shall be
16appropriated to the Department of Revenue to cover its costs
17of administering and enforcing this Section. For purposes of
18computing the aggregate amount of such taxes for base years
19occurring prior to 1985, the Department of Revenue shall
20compute the Initial Sales Tax Amount for such taxes and deduct
21therefrom an amount equal to 4% of the aggregate amount of
22taxes per year for each year the base year is prior to 1985,
23but not to exceed a total deduction of 12%. The amount so
24determined shall be known as the "Adjusted Initial Sales Tax
25Amount". For purposes of determining the State Sales Tax
26Increment the Department of Revenue shall for each period

 

 

HB5373- 364 -LRB104 20029 AAS 33480 b

1subtract from the tax amounts received from retailers and
2servicemen on transactions located in the State Sales Tax
3Boundary, the certified Initial Sales Tax Amounts, Adjusted
4Initial Sales Tax Amounts or Revised Initial Sales Tax Amounts
5for the Retailers' Occupation Tax Act, the Use Tax Act, the
6Service Use Tax Act and the Service Occupation Tax Act. For the
7State Fiscal Year 1989 this calculation shall be made by
8utilizing the calendar year 1987 to determine the tax amounts
9received. For the State Fiscal Year 1990, this calculation
10shall be made by utilizing the period from January 1, 1988,
11until September 30, 1988, to determine the tax amounts
12received from retailers and servicemen, which shall have
13deducted therefrom nine-twelfths of the certified Initial
14Sales Tax Amounts, Adjusted Initial Sales Tax Amounts or the
15Revised Initial Sales Tax Amounts as appropriate. For the
16State Fiscal Year 1991, this calculation shall be made by
17utilizing the period from October 1, 1988, until June 30,
181989, to determine the tax amounts received from retailers and
19servicemen, which shall have deducted therefrom nine-twelfths
20of the certified Initial State Sales Tax Amounts, Adjusted
21Initial Sales Tax Amounts or the Revised Initial Sales Tax
22Amounts as appropriate. For every State Fiscal Year
23thereafter, the applicable period shall be the 12 months
24beginning July 1 and ending on June 30, to determine the tax
25amounts received which shall have deducted therefrom the
26certified Initial Sales Tax Amounts, Adjusted Initial Sales

 

 

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1Tax Amounts or the Revised Initial Sales Tax Amounts.
2Municipalities intending to receive a distribution of State
3Sales Tax Increment must report a list of retailers to the
4Department of Revenue by October 31, 1988 and by July 31, of
5each year thereafter.
6    (t) "Taxing districts" means counties, townships, cities
7and incorporated towns and villages, school, road, park,
8sanitary, mosquito abatement, forest preserve, public health,
9fire protection, river conservancy, tuberculosis sanitarium
10and any other municipal corporations or districts with the
11power to levy taxes.
12    (u) "Taxing districts' capital costs" means those costs of
13taxing districts for capital improvements that are found by
14the municipal corporate authorities to be necessary and
15directly result from the redevelopment project.
16    (v) As used in subsection (a) of Section 11-74.4-3 of this
17Act, "vacant land" means any parcel or combination of parcels
18of real property without industrial, commercial, and
19residential buildings which has not been used for commercial
20agricultural purposes within 5 years prior to the designation
21of the redevelopment project area, unless the parcel is
22included in an industrial park conservation area or the parcel
23has been subdivided; provided that if the parcel was part of a
24larger tract that has been divided into 3 or more smaller
25tracts that were accepted for recording during the period from
261950 to 1990, then the parcel shall be deemed to have been

 

 

HB5373- 366 -LRB104 20029 AAS 33480 b

1subdivided, and all proceedings and actions of the
2municipality taken in that connection with respect to any
3previously approved or designated redevelopment project area
4or amended redevelopment project area are hereby validated and
5hereby declared to be legally sufficient for all purposes of
6this Act. For purposes of this Section and only for land
7subject to the subdivision requirements of the Plat Act, land
8is subdivided when the original plat of the proposed
9Redevelopment Project Area or relevant portion thereof has
10been properly certified, acknowledged, approved, and recorded
11or filed in accordance with the Plat Act and a preliminary
12plat, if any, for any subsequent phases of the proposed
13Redevelopment Project Area or relevant portion thereof has
14been properly approved and filed in accordance with the
15applicable ordinance of the municipality.
16    (w) "Annual Total Increment" means the sum of each
17municipality's annual Net Sales Tax Increment and each
18municipality's annual Net Utility Tax Increment. The ratio of
19the Annual Total Increment of each municipality to the Annual
20Total Increment for all municipalities, as most recently
21calculated by the Department, shall determine the proportional
22shares of the Illinois Tax Increment Fund to be distributed to
23each municipality.
24    (x) "LEED certified" means any certification level of
25construction elements by a qualified Leadership in Energy and
26Environmental Design Accredited Professional as determined by

 

 

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1the U.S. Green Building Council.
2    (y) "Green Globes certified" means any certification level
3of construction elements by a qualified Green Globes
4Professional as determined by the Green Building Initiative.
5(Source: P.A. 104-457, eff. 6-1-26.)
 
6    (65 ILCS 5/11-80-15)  (from Ch. 24, par. 11-80-15)
7    Sec. 11-80-15. Street advertising; adult entertainment
8advertising.
9    (a) The corporate authorities of each municipality may
10license street advertising by means of billboards, sign
11boards, and signs and may regulate the character and control
12the location of billboards, sign boards, and signs upon vacant
13property and upon buildings.
14    (b) The corporate authorities of each municipality may
15further regulate the character and control the location of
16adult entertainment advertising placed on billboards, sign
17boards, and signs upon vacant property and upon buildings that
18are within 1,000 feet of the property boundaries of schools,
19child day care centers, cemeteries, public parks, and places
20of religious worship.
21    For the purposes of this subsection, "adult entertainment"
22means entertainment provided by an adult bookstore, striptease
23club, or pornographic movie theater whose business is the
24commercial sale, dissemination, or distribution of sexually
25explicit materials, shows, or other exhibitions.

 

 

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1(Source: P.A. 89-605, eff. 8-2-96.)
 
2    Section 90. The River Edge Redevelopment Zone Act is
3amended by changing Section 10-8 as follows:
 
4    (65 ILCS 115/10-8)
5    Sec. 10-8. Zone Administration. The administration of a
6River Edge Redevelopment Zone shall be under the jurisdiction
7of the designating municipality. Each designating municipality
8shall, by ordinance, designate a Zone Administrator for the
9certified zones within its jurisdiction. A Zone Administrator
10must be an officer or employee of the municipality. The Zone
11Administrator shall be the liaison between the designating
12municipality, the Department, and any designated zone
13organizations within zones under his or her jurisdiction.
14    A designating municipality may designate one or more
15organizations to be a designated zone organization, as defined
16under Section 10-3. The municipality, may, by ordinance,
17delegate functions within a River Edge Redevelopment Zone to
18one or more designated zone organizations in such zones.
19    Subject to the necessary governmental authorizations,
20designated zone organizations may, in coordination with the
21municipality, provide or contract for provision of public
22services including, but not limited to:
23        (1) crime-watch patrols within zone neighborhoods;
24        (2) volunteer child care day-care centers;

 

 

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1        (3) recreational activities for zone-area youth;
2        (4) garbage collection;
3        (5) street maintenance and improvements;
4        (6) bridge maintenance and improvements;
5        (7) maintenance and improvement of water and sewer
6    lines;
7        (8) energy conservation projects;
8        (9) health and clinic services;
9        (10) drug abuse programs;
10        (11) senior citizen assistance programs;
11        (12) park maintenance;
12        (13) rehabilitation, renovation, and operation and
13    maintenance of low and moderate income housing; and
14        (14) other types of public services as provided by law
15    or regulation.
16(Source: P.A. 94-1021, eff. 7-12-06.)
 
17    Section 95. The School Code is amended by changing
18Sections 2-3.66, 10-22.18b, 10-22.18c, and 34-18.4 as follows:
 
19    (105 ILCS 5/2-3.66)  (from Ch. 122, par. 2-3.66)
20    Sec. 2-3.66. Truants' alternative and optional education
21programs. To establish projects to offer modified
22instructional programs or other services designed to prevent
23students from dropping out of school, including programs
24pursuant to Section 2-3.41, and to serve as a part time or full

 

 

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1time option in lieu of regular school attendance and to award
2grants to local school districts, educational service regions
3or community college districts from appropriated funds to
4assist districts in establishing such projects. The education
5agency may operate its own program or enter into a contract
6with another not-for-profit entity to implement the program.
7The projects shall allow dropouts, up to and including age 21,
8potential dropouts, including truants, uninvolved, unmotivated
9and disaffected students, as defined by State Board of
10Education rules and regulations, to enroll, as an alternative
11to regular school attendance, in an optional education program
12which may be established by school board policy and is in
13conformance with rules adopted by the State Board of
14Education. Truants' Alternative and Optional Education
15programs funded pursuant to this Section shall be planned by a
16student, the student's parents or legal guardians, unless the
17student is 18 years or older, and school officials and shall
18culminate in an individualized optional education plan. Such
19plan shall focus on academic or vocational skills, or both,
20and may include, but not be limited to, evening school, summer
21school, community college courses, adult education,
22preparation courses for high school equivalency testing,
23vocational training, work experience, programs to enhance self
24concept and parenting courses. School districts which are
25awarded grants pursuant to this Section shall be authorized to
26provide child day care services to children of students who

 

 

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1are eligible and desire to enroll in programs established and
2funded under this Section, but only if and to the extent that
3such child day care is necessary to enable those eligible
4students to attend and participate in the programs and courses
5which are conducted pursuant to this Section. School districts
6and regional offices of education may claim general State aid
7under Section 18-8.05 or evidence-based funding under Section
818-8.15 for students enrolled in truants' alternative and
9optional education programs, provided that such students are
10receiving services that are supplemental to a program leading
11to a high school diploma and are otherwise eligible to be
12claimed for general State aid under Section 18-8.05 or
13evidence-based funding under Section 18-8.15, as applicable.
14(Source: P.A. 100-465, eff. 8-31-17.)
 
15    (105 ILCS 5/10-22.18b)  (from Ch. 122, par. 10-22.18b)
16    Sec. 10-22.18b. Before and after school programs. To
17develop and maintain before school and after school programs
18for students in kindergarten through the 6th grade. Such
19programs may include time for homework, physical exercise,
20afternoon nutritional snacks and educational offerings which
21are in addition to those offered during the regular school
22day. The chief administrator in each district shall be a
23certified teacher or a person who meets the requirements for
24supervising a child day care center under the Child Care Act of
251969. Individual programs shall be coordinated by certified

 

 

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1teachers or by persons who meet the requirements for
2supervising a child day care center under the Child Care Act of
31969. Additional employees who are not so qualified may also
4be employed for such programs.
5    The schedule of these programs may follow the work
6calendar of the local community rather than the regular school
7calendar. Parents or guardians of the participating students
8shall be responsible for providing transportation for the
9students to and from the programs. The school board may charge
10parents of participating students a fee, not to exceed the
11actual cost of such before and after school programs.
12(Source: P.A. 83-639.)
 
13    (105 ILCS 5/10-22.18c)  (from Ch. 122, par. 10-22.18c)
14    Sec. 10-22.18c. Model child day care services program.
15Local school districts may establish, in cooperation with the
16State Board of Education, a model program for the provision of
17child day care services in a school. The program shall be
18administered by the local school district and shall be funded
19from monies available from private and public sources. Student
20parents shall not be charged a fee for the child day care
21services; school personnel also may utilize the services, but
22shall be charged a fee. The program shall be supervised by a
23trained child care professional who is qualified to teach
24students parenting skills. As part of the program, the school
25shall offer a course in child behavior in which students shall

 

 

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1receive course credits for helping to care for the children in
2the program while learning parenting skills. The State Board
3of Education shall evaluate the programs' effectiveness in
4reducing school absenteeism and dropouts among teenage parents
5and shall report to the General Assembly concerning its
6findings after the program has been in operation for 2 years.
7(Source: P.A. 85-769.)
 
8    (105 ILCS 5/34-18.4)  (from Ch. 122, par. 34-18.4)
9    Sec. 34-18.4. Before and after school programs. The Board
10of Education may develop and maintain before school and after
11school programs for students in kindergarten through the 6th
12grade. Such programs may include time for homework, physical
13exercise, afternoon nutritional snacks and educational
14offerings which are in addition to those offered during the
15regular school day. The chief administrator in each district
16shall be a certified teacher or a person who meets the
17requirements for supervising a child day care center under the
18Child Care Act of 1969. Individual programs shall be
19coordinated by certified teachers or by persons who meet the
20requirements for supervising a child day care center under the
21Child Care Act of 1969. Additional employees who are not so
22qualified may also be employed for such programs.
23    The schedule of these programs may follow the work
24calendar of the local community rather than the regular school
25calendar. Parents or guardians of the participating students

 

 

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1shall be responsible for providing transportation for the
2students to and from the programs. The school board may charge
3parents of participating students a fee, not to exceed the
4actual cost of such before and after school programs.
5(Source: P.A. 83-639.)
 
6    Section 100. The Illinois School Student Records Act is
7amended by changing Section 2 as follows:
 
8    (105 ILCS 10/2)  (from Ch. 122, par. 50-2)
9    (Text of Section before amendment by P.A. 104-356)
10    Sec. 2. As used in this Act:
11    (a) "Student" means any person enrolled or previously
12enrolled in a school.
13    (b) "School" means any public preschool, day care center,
14kindergarten, nursery, elementary or secondary educational
15institution, vocational school, special educational facility
16or any other elementary or secondary educational agency or
17institution and any person, agency or institution which
18maintains school student records from more than one school,
19but does not include a private or non-public school.
20    (c) "State Board" means the State Board of Education.
21    (d) "School Student Record" means any writing or other
22recorded information concerning a student and by which a
23student may be individually identified, maintained by a school
24or at its direction or by an employee of a school, regardless

 

 

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1of how or where the information is stored. The following shall
2not be deemed school student records under this Act: writings
3or other recorded information maintained by an employee of a
4school or other person at the direction of a school for his or
5her exclusive use; provided that all such writings and other
6recorded information are destroyed not later than the
7student's graduation or permanent withdrawal from the school;
8and provided further that no such records or recorded
9information may be released or disclosed to any person except
10a person designated by the school as a substitute unless they
11are first incorporated in a school student record and made
12subject to all of the provisions of this Act. School student
13records shall not include information maintained by law
14enforcement professionals working in the school.
15    (e) "Student Permanent Record" means the minimum personal
16information necessary to a school in the education of the
17student and contained in a school student record. Such
18information may include the student's name, birth date,
19address, grades and grade level, parents' names and addresses,
20attendance records, and such other entries as the State Board
21may require or authorize.
22    (f) "Student Temporary Record" means all information
23contained in a school student record but not contained in the
24student permanent record. Such information may include family
25background information, intelligence test scores, aptitude
26test scores, psychological and personality test results,

 

 

HB5373- 376 -LRB104 20029 AAS 33480 b

1teacher evaluations, and other information of clear relevance
2to the education of the student, all subject to regulations of
3the State Board. The information shall include all of the
4following:
5        (1) Information provided under Section 8.6 of the
6    Abused and Neglected Child Reporting Act and information
7    contained in service logs maintained by a local education
8    agency under subsection (d) of Section 14-8.02f of the
9    School Code.
10        (2) Information regarding serious disciplinary
11    infractions that resulted in expulsion, suspension, or the
12    imposition of punishment or sanction. For purposes of this
13    provision, serious disciplinary infractions means:
14    infractions involving drugs, weapons, or bodily harm to
15    another.
16        (3) Information concerning a student's status and
17    related experiences as a parent, expectant parent, or
18    victim of domestic or sexual violence, as defined in
19    Article 26A of the School Code, including a statement of
20    the student or any other documentation, record, or
21    corroborating evidence and the fact that the student has
22    requested or obtained assistance, support, or services
23    related to that status. Enforcement of this paragraph (3)
24    shall follow the procedures provided in Section 26A-40 of
25    the School Code.
26    (g) "Parent" means a person who is the natural parent of

 

 

HB5373- 377 -LRB104 20029 AAS 33480 b

1the student or other person who has the primary responsibility
2for the care and upbringing of the student. All rights and
3privileges accorded to a parent under this Act shall become
4exclusively those of the student upon his 18th birthday,
5graduation from secondary school, marriage or entry into
6military service, whichever occurs first. Such rights and
7privileges may also be exercised by the student at any time
8with respect to the student's permanent school record.
9    (h) "Department" means the Department of Children and
10Family Services.
11(Source: P.A. 101-515, eff. 8-23-19; 102-199, eff. 7-1-22;
12102-466, eff. 7-1-25; 102-558, eff. 8-20-21; 102-813, eff.
135-13-22.)
 
14    (Text of Section after amendment by P.A. 104-356)
15    Sec. 2. As used in this Act:
16    (a) "Student" means any person enrolled or previously
17enrolled in a school.
18    (b) "School" means any public preschool, child day care
19center, kindergarten, nursery, elementary or secondary
20educational institution, vocational school, special
21educational facility or any other elementary or secondary
22educational agency or institution and any person, agency or
23institution which maintains school student records from more
24than one school, but does not include a private or non-public
25school.

 

 

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1    (c) "State Board" means the State Board of Education.
2    (d) "School Student Record" means any writing or other
3recorded information concerning a student and by which a
4student may be individually identified, maintained by a school
5or at its direction or by an employee of a school, regardless
6of how or where the information is stored. The following shall
7not be deemed school student records under this Act: writings
8or other recorded information maintained by an employee of a
9school or other person at the direction of a school for his or
10her exclusive use; provided that all such writings and other
11recorded information are destroyed not later than the
12student's graduation or permanent withdrawal from the school;
13and provided further that no such records or recorded
14information may be released or disclosed to any person except
15a person designated by the school as a substitute unless they
16are first incorporated in a school student record and made
17subject to all of the provisions of this Act. School student
18records shall not include information maintained by law
19enforcement professionals working in the school.
20    (e) "Student Permanent Record" means the minimum personal
21information necessary to a school in the education of the
22student and contained in a school student record. Such
23information may include the student's name, birth date,
24address, grades and grade level; parents' or guardians' names
25and addresses, attendance records; a summary of performance
26for students that received special education services; and

 

 

HB5373- 379 -LRB104 20029 AAS 33480 b

1such other entries as the State Board may require or
2authorize. A summary of performance shall be substantially
3similar to the summary of performance form developed by the
4State Board. Any summary of performance maintained as part of
5a Student Permanent Record shall be kept confidential and not
6be disclosed except as authorized by paragraph (1) or (14) of
7subsection (a) of Section 6. A summary of performance may be
8excluded from a Student Permanent Record if, after being
9notified in writing that (i) school districts do not keep
10special education records beyond 5 years and (ii) if a summary
11of performance record is not kept in a student's permanent
12file, the student may not have the documentation necessary to
13qualify for State or federal benefits in the future, the
14student and parents or guardians consent in writing to the
15exclusion of a summary of performance.
16    (f) "Student Temporary Record" means all information
17contained in a school student record but not contained in the
18student permanent record. Such information may include family
19background information, intelligence test scores, aptitude
20test scores, psychological and personality test results,
21teacher evaluations, and other information of clear relevance
22to the education of the student, all subject to regulations of
23the State Board. The information shall include all of the
24following:
25        (1) Information provided under Section 8.6 of the
26    Abused and Neglected Child Reporting Act and information

 

 

HB5373- 380 -LRB104 20029 AAS 33480 b

1    contained in service logs maintained by a local education
2    agency under subsection (d) of Section 14-8.02f of the
3    School Code.
4        (2) Information regarding serious disciplinary
5    infractions that resulted in expulsion, suspension, or the
6    imposition of punishment or sanction. For purposes of this
7    provision, serious disciplinary infractions means:
8    infractions involving drugs, weapons, or bodily harm to
9    another.
10        (3) Information concerning a student's status and
11    related experiences as a parent, expectant parent, or
12    victim of domestic or sexual violence, as defined in
13    Article 26A of the School Code, including a statement of
14    the student or any other documentation, record, or
15    corroborating evidence and the fact that the student has
16    requested or obtained assistance, support, or services
17    related to that status. Enforcement of this paragraph (3)
18    shall follow the procedures provided in Section 26A-40 of
19    the School Code.
20    (g) "Parent" means a person who is the natural parent of
21the student or other person who has the primary responsibility
22for the care and upbringing of the student. All rights and
23privileges accorded to a parent under this Act shall become
24exclusively those of the student upon his 18th birthday,
25graduation from secondary school, marriage or entry into
26military service, whichever occurs first. Such rights and

 

 

HB5373- 381 -LRB104 20029 AAS 33480 b

1privileges may also be exercised by the student at any time
2with respect to the student's permanent school record.
3    (h) "Department" means the Department of Children and
4Family Services.
5(Source: P.A. 104-356, eff. 7-1-26.)
 
6    Section 105. The University of Illinois Act is amended by
7changing Section 1d as follows:
 
8    (110 ILCS 305/1d)  (from Ch. 144, par. 22d)
9    Sec. 1d. Child care services.
10    (a) For the purposes of this Section, "child care
11services" means child day care home or center services as
12defined by the Child Care Act of 1969.
13    (b) The Board may contract for the provision of child care
14services for its employees. The Board may, in accordance with
15established rules, allow child day care centers to operate in
16State-owned or leased facilities. Such child day care centers
17shall be primarily for use by State employees of the
18university but use by non-employees may be allowed.
19    Where the Board enters into a contract to construct,
20acquire or lease all or a substantial portion of a building, in
21which more than 50 persons shall be employed, other than a
22renewal of an existing lease, after July 1, 1992, and where a
23need has been demonstrated, according to subsection (c),
24on-site child care services shall be provided for employees of

 

 

HB5373- 382 -LRB104 20029 AAS 33480 b

1the university.
2    The Board shall implement this Section and shall
3promulgate all rules and regulations necessary for this
4purpose. By April 1, 1993, the Board shall propose rules
5setting forth the standards and criteria, including need and
6feasibility, for determining if on-site child care services
7shall be provided. The Board shall consult with the Department
8of Children and Family Services in defining standards for
9child care service centers established pursuant to this
10Section to ensure compliance with the Child Care Act of 1969.
11The Board shall establish a schedule of fees that shall be
12charged for child care services under this Section. The
13schedule shall be established so that charges for service are
14based on the actual cost of care. Except as otherwise provided
15by law for employees who may qualify for public assistance or
16social services due to indigency or family circumstance, each
17employee obtaining child care services under this Section
18shall be responsible for full payment of all charges. The
19Board shall report, on or before December 31, 1993, to the
20Governor and the members of the General Assembly, on the
21feasibility and implementation of a plan for the provision of
22comprehensive child care services.
23    (c) Prior to contracting for child care services, the
24Board shall determine a need for child care services. Proof of
25need may include a survey of university employees as well as a
26determination of the availability of child care services

 

 

HB5373- 383 -LRB104 20029 AAS 33480 b

1through other State agencies, or in the community. The Board
2may also require submission of a feasibility, design and
3implementation plan, that takes into consideration similar
4needs and services of other State universities.
5    The Board shall have the sole responsibility for choosing
6the successful bidder and overseeing the operation of its
7child care service program within the guidelines established
8by the Board. The Board shall promulgate rules under the
9Illinois Administrative Procedure Act that detail the specific
10standards to be used in the selection of a vendor of child care
11services.
12    The contract shall provide for the establishment of or
13arrangement for the use of a licensed child day care center or
14a licensed child day care agency, as defined in the Child Care
15Act of 1969.
16(Source: P.A. 87-1019; 88-45.)
 
17    Section 110. The Southern Illinois University Management
18Act is amended by changing Section 8b.1 as follows:
 
19    (110 ILCS 520/8b.1)  (from Ch. 144, par. 658b.1)
20    Sec. 8b.1. Child care services.
21    (a) For the purposes of this Section, "child care
22services" means child day care home or center services as
23defined by the Child Care Act of 1969.
24    (b) The Board may contract for the provision of child care

 

 

HB5373- 384 -LRB104 20029 AAS 33480 b

1services for its employees. The Board may, in accordance with
2established rules, allow child day care centers to operate in
3State-owned or leased facilities. Such child day care centers
4shall be primarily for use by State employees of the
5university but use by non-employees may be allowed.
6    Where the Board enters into a contract to construct,
7acquire or lease all or a substantial portion of a building, in
8which more than 50 persons shall be employed, other than a
9renewal of an existing lease, after July 1, 1992, and where a
10need has been demonstrated, according to subsection (c),
11on-site child care services shall be provided for employees of
12the university.
13    The Board shall implement this Section and shall
14promulgate all rules and regulations necessary for this
15purpose. By April 1, 1993, the Board shall propose rules
16setting forth the standards and criteria, including need and
17feasibility, for determining if on-site child care services
18shall be provided. The Board shall consult with the Department
19of Children and Family Services in defining standards for
20child care service centers established pursuant to this
21Section to ensure compliance with the Child Care Act of 1969.
22The Board shall establish a schedule of fees that shall be
23charged for child care services under this Section. The
24schedule shall be established so that charges for service are
25based on the actual cost of care. Except as otherwise provided
26by law for employees who may qualify for public assistance or

 

 

HB5373- 385 -LRB104 20029 AAS 33480 b

1social services due to indigency or family circumstance, each
2employee obtaining child care services under this Section
3shall be responsible for full payment of all charges. The
4Board shall report, on or before December 31, 1993, to the
5Governor and the members of the General Assembly, on the
6feasibility and implementation of a plan for the provision of
7comprehensive child care services.
8    (c) Prior to contracting for child care services, the
9Board shall determine a need for child care services. Proof of
10need may include a survey of university employees as well as a
11determination of the availability of child care services
12through other State agencies, or in the community. The Board
13may also require submission of a feasibility, design and
14implementation plan, that takes into consideration similar
15needs and services of other State universities.
16    The Board shall have the sole responsibility for choosing
17the successful bidder and overseeing the operation of its
18child care service program within the guidelines established
19by the Board. The Board shall promulgate rules under the
20Illinois Administrative Procedure Act that detail the specific
21standards to be used in the selection of a vendor of child care
22services.
23    The contract shall provide for the establishment of or
24arrangement for the use of a licensed child day care center or
25a licensed child day care agency, as defined in the Child Care
26Act of 1969.

 

 

HB5373- 386 -LRB104 20029 AAS 33480 b

1(Source: P.A. 87-1019; 88-45.)
 
2    Section 115. The Chicago State University Law is amended
3by changing Section 5-95 as follows:
 
4    (110 ILCS 660/5-95)
5    Sec. 5-95. Child care services.
6    (a) For the purposes of this Section, "child care
7services" means child day care home or center services as
8defined by the Child Care Act of 1969.
9    (b) The Board may contract for the provision of child care
10services for its employees. The Board may, in accordance with
11established rules, allow child day care centers to operate in
12State-owned or leased facilities. Such child day care centers
13shall be primarily for use by State employees of Chicago State
14University but use by non-employees may be allowed.
15    Where the Board enters into a contract to construct,
16acquire or lease all or a substantial portion of a building, in
17which more than 50 persons shall be employed, other than a
18renewal of an existing lease, and where a need has been
19demonstrated, according to subsection (c), on-site child care
20services shall be provided for employees of Chicago State
21University.
22    The Board shall implement this Section and shall
23promulgate all rules and regulations necessary for this
24purpose. By September 1, 1996, the Board shall propose rules

 

 

HB5373- 387 -LRB104 20029 AAS 33480 b

1setting forth the standards and criteria, including need and
2feasibility, for determining if September child care services
3shall be provided. The Board shall consult with the Department
4of Children and Family Services in defining standards for
5child care service centers established pursuant to this
6Section to ensure compliance with the Child Care Act of 1969.
7The Board shall establish a schedule of fees that shall be
8charged for child care services under this Section. The
9schedule shall be established so that charges for service are
10based on the actual cost of care. Except as otherwise provided
11by law for employees who may qualify for public assistance or
12social services due to indigency or family circumstance, each
13employee obtaining child care services under this Section
14shall be responsible for full payment of all charges. The
15Board shall report, on or before December 31, 1996, to the
16Governor and the members of the General Assembly, on the
17feasibility and implementation of a plan for the provision of
18comprehensive child care services.
19    (c) Prior to contracting for child care services, the
20Board shall determine a need for child care services. Proof of
21need may include a survey of University employees as well as a
22determination of the availability of child care services
23through other State agencies, or in the community. The Board
24may also require submission of a feasibility, design and
25implementation plan that takes into consideration similar
26needs and services of other State universities.

 

 

HB5373- 388 -LRB104 20029 AAS 33480 b

1    The Board shall have the sole responsibility for choosing
2the successful bidder and overseeing the operation of its
3child care service program within the guidelines established
4by the Board. The Board shall promulgate rules under the
5Illinois Administrative Procedure Act that detail the specific
6standards to be used in the selection of a vendor of child care
7services.
8    The contract shall provide for the establishment of or
9arrangement for the use of a licensed child day care center or
10a licensed child day care agency, as defined in the Child Care
11Act of 1969.
12(Source: P.A. 89-4, eff. 1-1-96.)
 
13    Section 120. The Eastern Illinois University Law is
14amended by changing Section 10-95 as follows:
 
15    (110 ILCS 665/10-95)
16    Sec. 10-95. Child care services.
17    (a) For the purposes of this Section, "child care
18services" means child day care home or center services as
19defined by the Child Care Act of 1969.
20    (b) The Board may contract for the provision of child care
21services for its employees. The Board may, in accordance with
22established rules, allow child day care centers to operate in
23State-owned or leased facilities. Such child day care centers
24shall be primarily for use by State employees of Eastern

 

 

HB5373- 389 -LRB104 20029 AAS 33480 b

1Illinois University but use by non-employees may be allowed.
2    Where the Board enters into a contract to construct,
3acquire or lease all or a substantial portion of a building, in
4which more than 50 persons shall be employed, other than a
5renewal of an existing lease, and where a need has been
6demonstrated, according to subsection (c), on-site child care
7services shall be provided for employees of Eastern Illinois
8University.
9    The Board shall implement this Section and shall
10promulgate all rules and regulations necessary for this
11purpose. By September 1, 1996 the Board shall propose rules
12setting forth the standards and criteria, including need and
13feasibility, for determining if September child care services
14shall be provided. The Board shall consult with the Department
15of Children and Family Services in defining standards for
16child care service centers established pursuant to this
17Section to ensure compliance with the Child Care Act of 1969.
18The Board shall establish a schedule of fees that shall be
19charged for child care services under this Section. The
20schedule shall be established so that charges for service are
21based on the actual cost of care. Except as otherwise provided
22by law for employees who may qualify for public assistance or
23social services due to indigency or family circumstance, each
24employee obtaining child care services under this Section
25shall be responsible for full payment of all charges. The
26Board shall report, on or before December 31, 1996, to the

 

 

HB5373- 390 -LRB104 20029 AAS 33480 b

1Governor and the members of the General Assembly, on the
2feasibility and implementation of a plan for the provision of
3comprehensive child care services.
4    (c) Prior to contracting for child care services, the
5Board shall determine a need for child care services. Proof of
6need may include a survey of University employees as well as a
7determination of the availability of child care services
8through other State agencies, or in the community. The Board
9may also require submission of a feasibility, design and
10implementation plan that takes into consideration similar
11needs and services of other State universities.
12    The Board shall have the sole responsibility for choosing
13the successful bidder and overseeing the operation of its
14child care service program within the guidelines established
15by the Board. The Board shall promulgate rules under the
16Illinois Administrative Procedure Act that detail the specific
17standards to be used in the selection of a vendor of child care
18services.
19    The contract shall provide for the establishment of or
20arrangement for the use of a licensed child day care center or
21a licensed child day care agency, as defined in the Child Care
22Act of 1969.
23(Source: P.A. 89-4, eff. 1-1-96.)
 
24    Section 125. The Governors State University Law is amended
25by changing Section 15-95 as follows:
 

 

 

HB5373- 391 -LRB104 20029 AAS 33480 b

1    (110 ILCS 670/15-95)
2    Sec. 15-95. Child care services.
3    (a) For the purposes of this Section, "child care
4services" means child day care home or center services as
5defined by the Child Care Act of 1969.
6    (b) The Board may contract for the provision of child care
7services for its employees. The Board may, in accordance with
8established rules, allow child day care centers to operate in
9State-owned or leased facilities. Such child day care centers
10shall be primarily for use by State employees of Governors
11State University but use by non-employees may be allowed.
12    Where the Board enters into a contract to construct,
13acquire or lease all or a substantial portion of a building, in
14which more than 50 persons shall be employed, other than a
15renewal of an existing lease, and where a need has been
16demonstrated, according to subsection (c), on-site child care
17services shall be provided for employees of Governors State
18University.
19    The Board shall implement this Section and shall
20promulgate all rules and regulations necessary for this
21purpose. By September 1, 1996, the Board shall propose rules
22setting forth the standards and criteria, including need and
23feasibility, for determining if September child care services
24shall be provided. The Board shall consult with the Department
25of Children and Family Services in defining standards for

 

 

HB5373- 392 -LRB104 20029 AAS 33480 b

1child care service centers established pursuant to this
2Section to ensure compliance with the Child Care Act of 1969.
3The Board shall establish a schedule of fees that shall be
4charged for child care services under this Section. The
5schedule shall be established so that charges for service are
6based on the actual cost of care. Except as otherwise provided
7by law for employees who may qualify for public assistance or
8social services due to indigency or family circumstance, each
9employee obtaining child care services under this Section
10shall be responsible for full payment of all charges. The
11Board shall report, on or before December 31, 1996, to the
12Governor and the members of the General Assembly, on the
13feasibility and implementation of a plan for the provision of
14comprehensive child care services.
15    (c) Prior to contracting for child care services, the
16Board shall determine a need for child care services. Proof of
17need may include a survey of University employees as well as a
18determination of the availability of child care services
19through other State agencies, or in the community. The Board
20may also require submission of a feasibility, design and
21implementation plan that takes into consideration similar
22needs and services of other State universities.
23    The Board shall have the sole responsibility for choosing
24the successful bidder and overseeing the operation of its
25child care service program within the guidelines established
26by the Board. The Board shall promulgate rules under the

 

 

HB5373- 393 -LRB104 20029 AAS 33480 b

1Illinois Administrative Procedure Act that detail the specific
2standards to be used in the selection of a vendor of child care
3services.
4    The contract shall provide for the establishment of or
5arrangement for the use of a licensed child day care center or
6a licensed child day care agency, as defined in the Child Care
7Act of 1969.
8(Source: P.A. 89-4, eff. 1-1-96.)
 
9    Section 130. The Illinois State University Law is amended
10by changing Section 20-95 as follows:
 
11    (110 ILCS 675/20-95)
12    Sec. 20-95. Child care services.
13    (a) For the purposes of this Section, "child care
14services" means child day care home or center services as
15defined by the Child Care Act of 1969.
16    (b) The Board may contract for the provision of child care
17services for its employees. The Board may, in accordance with
18established rules, allow child day care centers to operate in
19State-owned or leased facilities. Such child day care centers
20shall be primarily for use by State employees of Illinois
21State University but use by non-employees may be allowed.
22    Where the Board enters into a contract to construct,
23acquire or lease all or a substantial portion of a building, in
24which more than 50 persons shall be employed, other than a

 

 

HB5373- 394 -LRB104 20029 AAS 33480 b

1renewal of an existing lease, and where a need has been
2demonstrated, according to subsection (c), on-site child care
3services shall be provided for employees of Illinois State
4University.
5    The Board shall implement this Section and shall
6promulgate all rules and regulations necessary for this
7purpose. By September 1, 1996, the Board shall propose rules
8setting forth the standards and criteria, including need and
9feasibility, for determining if September child care services
10shall be provided. The Board shall consult with the Department
11of Children and Family Services in defining standards for
12child care service centers established pursuant to this
13Section to ensure compliance with the Child Care Act of 1969.
14The Board shall establish a schedule of fees that shall be
15charged for child care services under this Section. The
16schedule shall be established so that charges for service are
17based on the actual cost of care. Except as otherwise provided
18by law for employees who may qualify for public assistance or
19social services due to indigency or family circumstance, each
20employee obtaining child care services under this Section
21shall be responsible for full payment of all charges. The
22Board shall report, on or before December 31, 1996, to the
23Governor and the members of the General Assembly, on the
24feasibility and implementation of a plan for the provision of
25comprehensive child care services.
26    (c) Prior to contracting for child care services, the

 

 

HB5373- 395 -LRB104 20029 AAS 33480 b

1Board shall determine a need for child care services. Proof of
2need may include a survey of University employees as well as a
3determination of the availability of child care services
4through other State agencies, or in the community. The Board
5may also require submission of a feasibility, design and
6implementation plan that takes into consideration similar
7needs and services of other State universities.
8    The Board shall have the sole responsibility for choosing
9the successful bidder and overseeing the operation of its
10child care service program within the guidelines established
11by the Board. The Board shall promulgate rules under the
12Illinois Administrative Procedure Act that detail the specific
13standards to be used in the selection of a vendor of child care
14services.
15    The contract shall provide for the establishment of or
16arrangement for the use of a licensed child day care center or
17a licensed child day care agency, as defined in the Child Care
18Act of 1969.
19(Source: P.A. 89-4, eff. 1-1-96.)
 
20    Section 135. The Northeastern Illinois University Law is
21amended by changing Section 25-95 as follows:
 
22    (110 ILCS 680/25-95)
23    Sec. 25-95. Child care services.
24    (a) For the purposes of this Section, "child care

 

 

HB5373- 396 -LRB104 20029 AAS 33480 b

1services" means child day care home or center services as
2defined by the Child Care Act of 1969.
3    (b) The Board may contract for the provision of child care
4services for its employees. The Board may, in accordance with
5established rules, allow child day care centers to operate in
6State-owned or leased facilities. Such child day care centers
7shall be primarily for use by State employees of Northeastern
8Illinois University but use by non-employees may be allowed.
9    Where the Board enters into a contract to construct,
10acquire or lease all or a substantial portion of a building, in
11which more than 50 persons shall be employed, other than a
12renewal of an existing lease, and where a need has been
13demonstrated, according to subsection (c), on-site child care
14services shall be provided for employees of Northeastern
15Illinois University.
16    The Board shall implement this Section and shall
17promulgate all rules and regulations necessary for this
18purpose. By September 1, 1996, the Board shall propose rules
19setting forth the standards and criteria, including need and
20feasibility, for determining if September child care services
21shall be provided. The Board shall consult with the Department
22of Children and Family Services in defining standards for
23child care service centers established pursuant to this
24Section to ensure compliance with the Child Care Act of 1969.
25The Board shall establish a schedule of fees that shall be
26charged for child care services under this Section. The

 

 

HB5373- 397 -LRB104 20029 AAS 33480 b

1schedule shall be established so that charges for service are
2based on the actual cost of care. Except as otherwise provided
3by law for employees who may qualify for public assistance or
4social services due to indigency or family circumstance, each
5employee obtaining child care services under this Section
6shall be responsible for full payment of all charges. The
7Board shall report, on or before December 31, 1996, to the
8Governor and the members of the General Assembly, on the
9feasibility and implementation of a plan for the provision of
10comprehensive child care services.
11    (c) Prior to contracting for child care services, the
12Board shall determine a need for child care services. Proof of
13need may include a survey of University employees as well as a
14determination of the availability of child care services
15through other State agencies, or in the community. The Board
16may also require submission of a feasibility, design and
17implementation plan that takes into consideration similar
18needs and services of other State universities.
19    The Board shall have the sole responsibility for choosing
20the successful bidder and overseeing the operation of its
21child care service program within the guidelines established
22by the Board. The Board shall promulgate rules under the
23Illinois Administrative Procedure Act that detail the specific
24standards to be used in the selection of a vendor of child care
25services.
26    The contract shall provide for the establishment of or

 

 

HB5373- 398 -LRB104 20029 AAS 33480 b

1arrangement for the use of a licensed child day care center or
2a licensed child day care agency, as defined in the Child Care
3Act of 1969.
4(Source: P.A. 89-4, eff. 1-1-96.)
 
5    Section 140. The Northern Illinois University Law is
6amended by changing Section 30-95 as follows:
 
7    (110 ILCS 685/30-95)
8    Sec. 30-95. Child care services.
9    (a) For the purposes of this Section, "child care
10services" means child day care home or center services as
11defined by the Child Care Act of 1969.
12    (b) The Board may contract for the provision of child care
13services for its employees. The Board may, in accordance with
14established rules, allow child day care centers to operate in
15State-owned or leased facilities. Such child day care centers
16shall be primarily for use by State employees of Northern
17Illinois University but use by non-employees may be allowed.
18    Where the Board enters into a contract to construct,
19acquire or lease all or a substantial portion of a building, in
20which more than 50 persons shall be employed, other than a
21renewal of an existing lease, and where a need has been
22demonstrated, according to subsection (c), on-site child care
23services shall be provided for employees of Northern Illinois
24University.

 

 

HB5373- 399 -LRB104 20029 AAS 33480 b

1    The Board shall implement this Section and shall
2promulgate all rules and regulations necessary for this
3purpose. By September 1, 1996, the Board shall propose rules
4setting forth the standards and criteria, including need and
5feasibility, for determining if September child care services
6shall be provided. The Board shall consult with the Department
7of Children and Family Services in defining standards for
8child care service centers established pursuant to this
9Section to ensure compliance with the Child Care Act of 1969.
10The Board shall establish a schedule of fees that shall be
11charged for child care services under this Section. The
12schedule shall be established so that charges for service are
13based on the actual cost of care. Except as otherwise provided
14by law for employees who may qualify for public assistance or
15social services due to indigency or family circumstance, each
16employee obtaining child care services under this Section
17shall be responsible for full payment of all charges. The
18Board shall report, on or before December 31, 1996, to the
19Governor and the members of the General Assembly, on the
20feasibility and implementation of a plan for the provision of
21comprehensive child care services.
22    (c) Prior to contracting for child care services, the
23Board shall determine a need for child care services. Proof of
24need may include a survey of University employees as well as a
25determination of the availability of child care services
26through other State agencies, or in the community. The Board

 

 

HB5373- 400 -LRB104 20029 AAS 33480 b

1may also require submission of a feasibility, design and
2implementation plan that takes into consideration similar
3needs and services of other State universities.
4    The Board shall have the sole responsibility for choosing
5the successful bidder and overseeing the operation of its
6child care service program within the guidelines established
7by the Board. The Board shall promulgate rules under the
8Illinois Administrative Procedure Act that detail the specific
9standards to be used in the selection of a vendor of child care
10services.
11    The contract shall provide for the establishment of or
12arrangement for the use of a licensed child day care center or
13a licensed child day care agency, as defined in the Child Care
14Act of 1969.
15(Source: P.A. 89-4, eff. 1-1-96.)
 
16    Section 145. The Western Illinois University Law is
17amended by changing Section 35-95 as follows:
 
18    (110 ILCS 690/35-95)
19    Sec. 35-95. Child care services.
20    (a) For the purposes of this Section, "child care
21services" means child day care home or center services as
22defined by the Child Care Act of 1969.
23    (b) The Board may contract for the provision of child care
24services for its employees. The Board may, in accordance with

 

 

HB5373- 401 -LRB104 20029 AAS 33480 b

1established rules, allow child day care centers to operate in
2State-owned or leased facilities. Such child day care centers
3shall be primarily for use by State employees of Western
4Illinois University but use by non-employees may be allowed.
5    Where the Board enters into a contract to construct,
6acquire or lease all or a substantial portion of a building, in
7which more than 50 persons shall be employed, other than a
8renewal of an existing lease, and where a need has been
9demonstrated, according to subsection (c), on-site child care
10services shall be provided for employees of Western Illinois
11University.
12    The Board shall implement this Section and shall
13promulgate all rules and regulations necessary for this
14purpose. By September 1, 1996, the Board shall propose rules
15setting forth the standards and criteria, including need and
16feasibility, for determining if September child care services
17shall be provided. The Board shall consult with the Department
18of Children and Family Services in defining standards for
19child care service centers established pursuant to this
20Section to ensure compliance with the Child Care Act of 1969.
21The Board shall establish a schedule of fees that shall be
22charged for child care services under this Section. The
23schedule shall be established so that charges for service are
24based on the actual cost of care. Except as otherwise provided
25by law for employees who may qualify for public assistance or
26social services due to indigency or family circumstance, each

 

 

HB5373- 402 -LRB104 20029 AAS 33480 b

1employee obtaining child care services under this Section
2shall be responsible for full payment of all charges. The
3Board shall report, on or before December 31, 1996, to the
4Governor and the members of the General Assembly, on the
5feasibility and implementation of a plan for the provision of
6comprehensive child care services.
7    (c) Prior to contracting for child care services, the
8Board shall determine a need for child care services. Proof of
9need may include a survey of University employees as well as a
10determination of the availability of child care services
11through other State agencies, or in the community. The Board
12may also require submission of a feasibility, design and
13implementation plan that takes into consideration similar
14needs and services of other State universities.
15    The Board shall have the sole responsibility for choosing
16the successful bidder and overseeing the operation of its
17child care service program within the guidelines established
18by the Board. The Board shall promulgate rules under the
19Illinois Administrative Procedure Act that detail the specific
20standards to be used in the selection of a vendor of child care
21services.
22    The contract shall provide for the establishment of or
23arrangement for the use of a licensed child day care center or
24a licensed child day care agency, as defined in the Child Care
25Act of 1969.
26(Source: P.A. 89-4, eff. 1-1-96.)
 

 

 

HB5373- 403 -LRB104 20029 AAS 33480 b

1    Section 150. The Alternative Health Care Delivery Act is
2amended by changing Section 35 as follows:
 
3    (210 ILCS 3/35)
4    Sec. 35. Alternative health care models authorized.
5Notwithstanding any other law to the contrary, alternative
6health care models described in this Section may be
7established on a demonstration basis.
8        (1) (Blank).
9        (2) Alternative health care delivery model;
10    postsurgical recovery care center. A postsurgical recovery
11    care center is a designated site which provides
12    postsurgical recovery care for generally healthy patients
13    undergoing surgical procedures that potentially require
14    overnight nursing care, pain control, or observation that
15    would otherwise be provided in an inpatient setting.
16    Patients may be discharged from the postsurgical recovery
17    care center in less than 24 hours if the attending
18    physician or the facility's medical director believes the
19    patient has recovered enough to be discharged. A
20    postsurgical recovery care center is either freestanding
21    or a defined unit of an ambulatory surgical treatment
22    center or hospital. No facility, or portion of a facility,
23    may participate in a demonstration program as a
24    postsurgical recovery care center unless the facility has

 

 

HB5373- 404 -LRB104 20029 AAS 33480 b

1    been licensed as an ambulatory surgical treatment center
2    or hospital for at least 2 years before August 20, 1993
3    (the effective date of Public Act 88-441). The maximum
4    length of stay for patients in a postsurgical recovery
5    care center is not to exceed 48 hours unless the treating
6    physician requests an extension of time from the recovery
7    center's medical director on the basis of medical or
8    clinical documentation that an additional care period is
9    required for the recovery of a patient and the medical
10    director approves the extension of time. In no case,
11    however, shall a patient's length of stay in a
12    postsurgical recovery care center be longer than 72 hours.
13    If a patient requires an additional care period after the
14    expiration of the 72-hour limit, the patient shall be
15    transferred to an appropriate facility. Reports on
16    variances from the 24-hour or 48-hour limit shall be sent
17    to the Department for its evaluation. The reports shall,
18    before submission to the Department, have removed from
19    them all patient and physician identifiers. Blood products
20    may be administered in the postsurgical recovery care
21    center model. In order to handle cases of complications,
22    emergencies, or exigent circumstances, every postsurgical
23    recovery care center as defined in this paragraph shall
24    maintain a contractual relationship, including a transfer
25    agreement, with a general acute care hospital. A
26    postsurgical recovery care center shall be no larger than

 

 

HB5373- 405 -LRB104 20029 AAS 33480 b

1    20 beds. A postsurgical recovery care center shall be
2    located within 15 minutes travel time from the general
3    acute care hospital with which the center maintains a
4    contractual relationship, including a transfer agreement,
5    as required under this paragraph.
6        No postsurgical recovery care center shall
7    discriminate against any patient requiring treatment
8    because of the source of payment for services, including
9    Medicare and Medicaid recipients.
10        The Department shall adopt rules to implement the
11    provisions of Public Act 88-441 concerning postsurgical
12    recovery care centers within 9 months after August 20,
13    1993. Notwithstanding any other law to the contrary, a
14    postsurgical recovery care center model may provide sleep
15    laboratory or similar sleep studies in accordance with
16    applicable State and federal laws and regulations.
17        (3) Alternative health care delivery model; children's
18    community-based health care center. A children's
19    community-based health care center model is a designated
20    site that provides nursing care, clinical support
21    services, and therapies for a period of one to 14 days for
22    short-term stays and 120 days to facilitate transitions to
23    home or other appropriate settings for medically fragile
24    children, technology dependent children, and children with
25    special health care needs who are deemed clinically stable
26    by a physician and are younger than 22 years of age. This

 

 

HB5373- 406 -LRB104 20029 AAS 33480 b

1    care is to be provided in a home-like environment that
2    serves no more than 12 children at a time, except that a
3    children's community-based health care center in existence
4    on the effective date of this amendatory Act of the 100th
5    General Assembly that is located in Chicago on grade level
6    for Life Safety Code purposes may provide care to no more
7    than 16 children at a time. Children's community-based
8    health care center services must be available through the
9    model to all families, including those whose care is paid
10    for through the Department of Healthcare and Family
11    Services, the Department of Children and Family Services,
12    the Department of Human Services, and insurance companies
13    who cover home health care services or private duty
14    nursing care in the home.
15        Each children's community-based health care center
16    model location shall be physically separate and apart from
17    any other facility licensed by the Department of Public
18    Health under this or any other Act and shall provide the
19    following services: respite care, registered nursing or
20    licensed practical nursing care, transitional care to
21    facilitate home placement or other appropriate settings
22    and reunite families, medical child day care, weekend
23    camps, and diagnostic studies typically done in the home
24    setting.
25        A children's community-based health care center may
26    provide initial training, prior to home placement for, and

 

 

HB5373- 407 -LRB104 20029 AAS 33480 b

1    shall keep records in a manner designated by the
2    Department regarding, the certified family health aide, as
3    defined in the Certified Family Health Aide Program for
4    Children and Adults Act, identified as the legally
5    responsible caregiver or designated by a legally
6    responsible caregiver for the medical care of an
7    individual who receives or is eligible to receive:
8            (i) in-home shift nursing services under the Early
9        and Periodic Screening, Diagnostic and Treatment
10        requirement of Medicaid under 42 U.S.C. 1396d(r); or
11            (ii) in-home shift nursing through the home and
12        community-based services waiver program authorized
13        under Section 1915(c) of the Social Security Act for
14        persons who are medically fragile and technology
15        dependent.
16        Coverage for the services provided by the Department
17    of Healthcare and Family Services under this paragraph (3)
18    is contingent upon federal waiver approval and is provided
19    only to Medicaid eligible clients participating in the
20    home and community based services waiver designated in
21    Section 1915(c) of the Social Security Act for medically
22    frail and technologically dependent children or children
23    in Department of Children and Family Services foster care
24    who receive home health benefits.
25        (4) Alternative health care delivery model; community
26    based residential rehabilitation center. A community-based

 

 

HB5373- 408 -LRB104 20029 AAS 33480 b

1    residential rehabilitation center model is a designated
2    site that provides rehabilitation or support, or both, for
3    persons who have experienced severe brain injury, who are
4    medically stable, and who no longer require acute
5    rehabilitative care or intense medical or nursing
6    services. The average length of stay in a community-based
7    residential rehabilitation center shall not exceed 4
8    months. As an integral part of the services provided,
9    individuals are housed in a supervised living setting
10    while having immediate access to the community. The
11    residential rehabilitation center authorized by the
12    Department may have more than one residence included under
13    the license. A residence may be no larger than 12 beds and
14    shall be located as an integral part of the community. Day
15    treatment or individualized outpatient services shall be
16    provided for persons who reside in their own home.
17    Functional outcome goals shall be established for each
18    individual. Services shall include, but are not limited
19    to, case management, training and assistance with
20    activities of daily living, nursing consultation,
21    traditional therapies (physical, occupational, speech),
22    functional interventions in the residence and community
23    (job placement, shopping, banking, recreation),
24    counseling, self-management strategies, productive
25    activities, and multiple opportunities for skill
26    acquisition and practice throughout the day. The design of

 

 

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1    individualized program plans shall be consistent with the
2    outcome goals that are established for each resident. The
3    programs provided in this setting shall be accredited by
4    the Commission on Accreditation of Rehabilitation
5    Facilities (CARF). The program shall have been accredited
6    by CARF as a Brain Injury Community-Integrative Program
7    for at least 3 years.
8        (5) Alternative health care delivery model;
9    Alzheimer's disease management center. An Alzheimer's
10    disease management center model is a designated site that
11    provides a safe and secure setting for care of persons
12    diagnosed with Alzheimer's disease. An Alzheimer's disease
13    management center model shall be a facility separate from
14    any other facility licensed by the Department of Public
15    Health under this or any other Act. An Alzheimer's disease
16    management center shall conduct and document an assessment
17    of each resident every 6 months. The assessment shall
18    include an evaluation of daily functioning, cognitive
19    status, other medical conditions, and behavioral problems.
20    An Alzheimer's disease management center shall develop and
21    implement an ongoing treatment plan for each resident. The
22    treatment plan shall have defined goals. The Alzheimer's
23    disease management center shall treat behavioral problems
24    and mood disorders using nonpharmacologic approaches such
25    as environmental modification, task simplification, and
26    other appropriate activities. All staff must have

 

 

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1    necessary training to care for all stages of Alzheimer's
2    Disease. An Alzheimer's disease management center shall
3    provide education and support for residents and
4    caregivers. The education and support shall include
5    referrals to support organizations for educational
6    materials on community resources, support groups, legal
7    and financial issues, respite care, and future care needs
8    and options. The education and support shall also include
9    a discussion of the resident's need to make advance
10    directives and to identify surrogates for medical and
11    legal decision-making. The provisions of this paragraph
12    establish the minimum level of services that must be
13    provided by an Alzheimer's disease management center. An
14    Alzheimer's disease management center model shall have no
15    more than 100 residents. Nothing in this paragraph (5)
16    shall be construed as prohibiting a person or facility
17    from providing services and care to persons with
18    Alzheimer's disease as otherwise authorized under State
19    law.
20        (6) Alternative health care delivery model; birth
21    center. A birth center shall be exclusively dedicated to
22    serving the childbirth-related needs of women and their
23    newborns and shall have no more than 10 beds. A birth
24    center is a designated site that is away from the mother's
25    usual place of residence and in which births are planned
26    to occur following a normal, uncomplicated, and low-risk

 

 

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1    pregnancy. A birth center shall offer prenatal care and
2    community education services and shall coordinate these
3    services with other health care services available in the
4    community.
5            (A) A birth center shall not be separately
6        licensed if it is one of the following:
7                (1) A part of a hospital; or
8                (2) A freestanding facility that is physically
9            distinct from a hospital but is operated under a
10            license issued to a hospital under the Hospital
11            Licensing Act.
12            (B) A separate birth center license shall be
13        required if the birth center is operated as:
14                (1) A part of the operation of a federally
15            qualified health center as designated by the
16            United States Department of Health and Human
17            Services; or
18                (2) A facility other than one described in
19            subparagraph (A)(1), (A)(2), or (B)(1) of this
20            paragraph (6) whose costs are reimbursable under
21            Title XIX of the federal Social Security Act.
22        In adopting rules for birth centers, the Department
23    shall consider: the American Association of Birth Centers'
24    Standards for Freestanding Birth Centers; the American
25    Academy of Pediatrics/American College of Obstetricians
26    and Gynecologists Guidelines for Perinatal Care; and the

 

 

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1    Regionalized Perinatal Health Care Code. The Department's
2    rules shall stipulate the eligibility criteria for birth
3    center admission. The Department's rules shall stipulate
4    the necessary equipment for emergency care according to
5    the American Association of Birth Centers' standards and
6    any additional equipment deemed necessary by the
7    Department. The Department's rules shall provide for a
8    time period within which each birth center not part of a
9    hospital must become accredited by either the Commission
10    for the Accreditation of Freestanding Birth Centers or The
11    Joint Commission.
12        A birth center shall be certified to participate in
13    the Medicare and Medicaid programs under Titles XVIII and
14    XIX, respectively, of the federal Social Security Act. To
15    the extent necessary, the Illinois Department of
16    Healthcare and Family Services shall apply for a waiver
17    from the United States Health Care Financing
18    Administration to allow birth centers to be reimbursed
19    under Title XIX of the federal Social Security Act.
20        A birth center that is not operated under a hospital
21    license shall be located within a ground travel time
22    distance from the general acute care hospital with which
23    the birth center maintains a contractual relationship,
24    including a transfer agreement, as required under this
25    paragraph, that allows for an emergency caesarian delivery
26    to be started within 30 minutes of the decision a

 

 

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1    caesarian delivery is necessary. A birth center operating
2    under a hospital license shall be located within a ground
3    travel time distance from the licensed hospital that
4    allows for an emergency caesarian delivery to be started
5    within 30 minutes of the decision a caesarian delivery is
6    necessary.
7        The services of a medical director physician, licensed
8    to practice medicine in all its branches, who is certified
9    or eligible for certification by the American College of
10    Obstetricians and Gynecologists or the American Board of
11    Osteopathic Obstetricians and Gynecologists or has
12    hospital obstetrical privileges are required in birth
13    centers. The medical director in consultation with the
14    Director of Nursing and Midwifery Services shall
15    coordinate the clinical staff and overall provision of
16    patient care. The medical director or his or her physician
17    designee shall be available on the premises or within a
18    close proximity as defined by rule. The medical director
19    and the Director of Nursing and Midwifery Services shall
20    jointly develop and approve policies defining the criteria
21    to determine which pregnancies are accepted as normal,
22    uncomplicated, and low-risk, and the anesthesia services
23    available at the center. No general anesthesia may be
24    administered at the center.
25        If a birth center employs certified nurse midwives, a
26    certified nurse midwife shall be the Director of Nursing

 

 

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1    and Midwifery Services who is responsible for the
2    development of policies and procedures for services as
3    provided by Department rules.
4        An obstetrician, family practitioner, or certified
5    nurse midwife shall attend each woman in labor from the
6    time of admission through birth and throughout the
7    immediate postpartum period. Attendance may be delegated
8    only to another physician or certified nurse midwife.
9    Additionally, a second staff person shall also be present
10    at each birth who is licensed or certified in Illinois in a
11    health-related field and under the supervision of the
12    physician or certified nurse midwife in attendance, has
13    specialized training in labor and delivery techniques and
14    care of newborns, and receives planned and ongoing
15    training as needed to perform assigned duties effectively.
16        The maximum length of stay in a birth center shall be
17    consistent with existing State laws allowing a 48-hour
18    stay or appropriate post-delivery care, if discharged
19    earlier than 48 hours.
20        A birth center shall participate in the Illinois
21    Perinatal System under the Developmental Disability
22    Prevention Act. At a minimum, this participation shall
23    require a birth center to establish a letter of agreement
24    with a hospital designated under the Perinatal System. A
25    hospital that operates or has a letter of agreement with a
26    birth center shall include the birth center under its

 

 

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1    maternity service plan under the Hospital Licensing Act
2    and shall include the birth center in the hospital's
3    letter of agreement with its regional perinatal center.
4        A birth center may not discriminate against any
5    patient requiring treatment because of the source of
6    payment for services, including Medicare and Medicaid
7    recipients.
8        No general anesthesia and no surgery may be performed
9    at a birth center. The Department may by rule add birth
10    center patient eligibility criteria or standards as it
11    deems necessary. The Department shall by rule require each
12    birth center to report the information which the
13    Department shall make publicly available, which shall
14    include, but is not limited to, the following:
15            (i) Birth center ownership.
16            (ii) Sources of payment for services.
17            (iii) Utilization data involving patient length of
18        stay.
19            (iv) Admissions and discharges.
20            (v) Complications.
21            (vi) Transfers.
22            (vii) Unusual incidents.
23            (viii) Deaths.
24            (ix) Any other publicly reported data required
25        under the Illinois Consumer Guide.
26            (x) Post-discharge patient status data where

 

 

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1        patients are followed for 14 days after discharge from
2        the birth center to determine whether the mother or
3        baby developed a complication or infection.
4        Within 9 months after the effective date of this
5    amendatory Act of the 95th General Assembly, the
6    Department shall adopt rules that are developed with
7    consideration of: the American Association of Birth
8    Centers' Standards for Freestanding Birth Centers; the
9    American Academy of Pediatrics/American College of
10    Obstetricians and Gynecologists Guidelines for Perinatal
11    Care; and the Regionalized Perinatal Health Care Code.
12        The Department shall adopt other rules as necessary to
13    implement the provisions of this amendatory Act of the
14    95th General Assembly within 9 months after the effective
15    date of this amendatory Act of the 95th General Assembly.
16(Source: P.A. 104-9, eff. 6-16-25.)
 
17    Section 155. The MC/DD Act is amended by changing Section
181-114.001 as follows:
 
19    (210 ILCS 46/1-114.001)
20    Sec. 1-114.001. Habilitation. "Habilitation" means an
21effort directed toward increasing a person's level of
22physical, mental, social, or economic functioning.
23Habilitation may include, but is not limited to, diagnosis,
24evaluation, medical services, residential care, child day

 

 

HB5373- 417 -LRB104 20029 AAS 33480 b

1care, special living arrangements, training, education,
2employment services, protective services, and counseling.
3(Source: P.A. 99-180, eff. 7-29-15.)
 
4    Section 160. The ID/DD Community Care Act is amended by
5changing Section 1-114.001 as follows:
 
6    (210 ILCS 47/1-114.001)
7    Sec. 1-114.001. Habilitation. "Habilitation" means an
8effort directed toward increasing a person's level of
9physical, mental, social, or economic functioning.
10Habilitation may include, but is not limited to, diagnosis,
11evaluation, medical services, residential care, child day
12care, special living arrangements, training, education,
13employment services, protective services, and counseling.
14(Source: P.A. 97-38, eff. 6-28-11.)
 
15    Section 165. The Hospital Licensing Act is amended by
16changing Section 6.13 as follows:
 
17    (210 ILCS 85/6.13)  (from Ch. 111 1/2, par. 147.13)
18    Sec. 6.13. Any hospital licensed under this Act may
19provide a program or service for the temporary custodial care
20of mildly ill children who, because of their illness, are
21unable to attend school or to participate in their normal
22child day care program. The Department shall develop minimum

 

 

HB5373- 418 -LRB104 20029 AAS 33480 b

1standards, rules and regulations to govern the operation of a
2sick child day program which is operated by a hospital and
3located on the hospital's licensed premises. Any such
4standards, rules and regulations shall provide that:
5    (a) a sick child day program may be located anywhere on the
6hospital's licensed premises, including patient care units,
7when the following conditions are met:
8        (1) Children in the sick child day program shall not
9    simultaneously occupy the same room as a hospital patient;
10    and
11        (2) Children in the sick child day program who are
12    recovering from non-contagious conditions shall be cared
13    for in a room separate from children registered in the
14    program who have contagious conditions.
15    (b) children registered in a sick child day program are
16not considered to be hospital patients, and are not required
17to be under the professional care of a member of the hospital's
18medical staff except in those cases where emergency medical
19treatment is needed during the time the child is on the program
20premises; and
21    (c) medication may be administered to a child in a sick
22child program when the following conditions are met:
23        (1) Prescription medications shall be labeled with the
24    child's name, directions for administering the medication,
25    the date, the physician's name, the prescription number,
26    and the dispensing drug store or pharmacy. Only current

 

 

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1    prescription medications will be administered by the
2    program. Nothing in this paragraph (1) shall be construed
3    to prohibit program staff from administering medication
4    prescribed by any licensed professional who is permitted
5    by law to do so, whether or not the professional is a
6    member of the hospital's medical staff.
7        (2) Written parental permission shall be obtained
8    before non-prescription medication is administered. Such
9    medication shall be administered in accordance with
10    package instructions.
11(Source: P.A. 86-1461; 87-435.)
 
12    Section 170. The Illinois Insurance Code is amended by
13changing Sections 155.31, 1204, and 1630 as follows:
 
14    (215 ILCS 5/155.31)
15    Sec. 155.31. Child Day care and group child day care
16homes; coverage.
17    (a) No insurer providing insurance coverage, as defined in
18subsection (b) of Section 143.13 of this Code, shall nonrenew
19or cancel an insurance policy on a child day care home or group
20child day care home, as defined in the Child Care Act of 1969,
21solely on the basis that the insured operates a duly licensed
22child day care home or group child day care home on the insured
23premises.
24    (b) An insurer providing such insurance coverage to a

 

 

HB5373- 420 -LRB104 20029 AAS 33480 b

1licensed child day care home or licensed group child day care
2home may provide such coverage with a separate policy or
3endorsement to a policy of fire and extended coverage
4insurance, as defined in subsection (b) of Section 143.13.
5    (c) Notwithstanding subsections (a) and (b) of this
6Section, the insurer providing such coverage shall be allowed
7to cancel or nonrenew an insurance policy on a child day care
8home or group child day care home based upon the authority
9provided under Sections 143.21 and 143.21.1 of this Code.
10(Source: P.A. 90-401, eff. 1-1-98; 90-655, eff. 7-30-98.)
 
11    (215 ILCS 5/1204)  (from Ch. 73, par. 1065.904)
12    Sec. 1204. (A) The Director shall promulgate rules and
13regulations which shall require each insurer licensed to write
14property or casualty insurance in the State and each syndicate
15doing business on the Illinois Insurance Exchange to record
16and report its loss and expense experience and other data as
17may be necessary to assess the relationship of insurance
18premiums and related income as compared to insurance costs and
19expenses. The Director may designate one or more rate service
20organizations or advisory organizations to gather and compile
21such experience and data. The Director shall require each
22insurer licensed to write property or casualty insurance in
23this State and each syndicate doing business on the Illinois
24Insurance Exchange to submit a report, on a form furnished by
25the Director, showing its direct writings in this State and

 

 

HB5373- 421 -LRB104 20029 AAS 33480 b

1companywide.
2    (B) Such report required by subsection (A) of this Section
3may include, but not be limited to, the following specific
4types of insurance written by such insurer:
5        (1) Political subdivision liability insurance reported
6    separately in the following categories:
7            (a) municipalities;
8            (b) school districts;
9            (c) other political subdivisions;
10        (2) Public official liability insurance;
11        (3) Dram shop liability insurance;
12        (4) Child Day care center liability insurance;
13        (5) Labor, fraternal or religious organizations
14    liability insurance;
15        (6) Errors and omissions liability insurance;
16        (7) Officers and directors liability insurance
17    reported separately as follows:
18            (a) non-profit entities;
19            (b) for-profit entities;
20        (8) Products liability insurance;
21        (9) Medical malpractice insurance;
22        (10) Attorney malpractice insurance;
23        (11) Architects and engineers malpractice insurance;
24    and
25        (12) Motor vehicle insurance reported separately for
26    commercial and private passenger vehicles as follows:

 

 

HB5373- 422 -LRB104 20029 AAS 33480 b

1            (a) motor vehicle physical damage insurance;
2            (b) motor vehicle liability insurance.
3    (C) Such report may include, but need not be limited to the
4following data, both specific to this State and companywide,
5in the aggregate or by type of insurance for the previous year
6on a calendar year basis:
7        (1) Direct premiums written;
8        (2) Direct premiums earned;
9        (3) Number of policies;
10        (4) Net investment income, using appropriate estimates
11    where necessary;
12        (5) Losses paid;
13        (6) Losses incurred;
14        (7) Loss reserves:
15            (a) Losses unpaid on reported claims;
16            (b) Losses unpaid on incurred but not reported
17        claims;
18        (8) Number of claims:
19            (a) Paid claims;
20            (b) Arising claims;
21        (9) Loss adjustment expenses:
22            (a) Allocated loss adjustment expenses;
23            (b) Unallocated loss adjustment expenses;
24        (10) Net underwriting gain or loss;
25        (11) Net operation gain or loss, including net
26    investment income;

 

 

HB5373- 423 -LRB104 20029 AAS 33480 b

1        (12) Any other information requested by the Director.
2    (C-3) Additional information by an advisory organization
3as defined in Section 463 of this Code.
4        (1) An advisory organization as defined in Section 463
5    of this Code shall report annually the following
6    information in such format as may be prescribed by the
7    Secretary:
8            (a) paid and incurred losses for each of the past
9        10 years;
10            (b) medical payments and medical charges, if
11        collected, for each of the past 10 years;
12            (c) the following indemnity payment information:
13        cumulative payments by accident year by calendar year
14        of development. This array will show payments made and
15        frequency of claims in the following categories:
16        medical only, permanent partial disability (PPD),
17        permanent total disability (PTD), temporary total
18        disability (TTD), and fatalities;
19            (d) injuries by frequency and severity;
20            (e) by class of employee.
21        (2) The report filed with the Secretary of Financial
22    and Professional Regulation under paragraph (1) of this
23    subsection (C-3) shall be made available, on an aggregate
24    basis, to the General Assembly and to the general public.
25    The identity of the petitioner, the respondent, the
26    attorneys, and the insurers shall not be disclosed.

 

 

HB5373- 424 -LRB104 20029 AAS 33480 b

1        (3) Reports required under this subsection (C-3) shall
2    be filed with the Secretary no later than September 1 in
3    2006 and no later than September 1 of each year
4    thereafter.
5    (D) In addition to the information which may be requested
6under subsection (C), the Director may also request on a
7companywide, aggregate basis, Federal Income Tax recoverable,
8net realized capital gain or loss, net unrealized capital gain
9or loss, and all other expenses not requested in subsection
10(C) above.
11    (E) Violations - Suspensions - Revocations.
12        (1) Any company or person subject to this Article, who
13    willfully or repeatedly fails to observe or who otherwise
14    violates any of the provisions of this Article or any rule
15    or regulation promulgated by the Director under authority
16    of this Article or any final order of the Director entered
17    under the authority of this Article shall by civil penalty
18    forfeit to the State of Illinois a sum not to exceed
19    $2,000. Each day during which a violation occurs
20    constitutes a separate offense.
21        (2) No forfeiture liability under paragraph (1) of
22    this subsection may attach unless a written notice of
23    apparent liability has been issued by the Director and
24    received by the respondent, or the Director sends written
25    notice of apparent liability by registered or certified
26    mail, return receipt requested, to the last known address

 

 

HB5373- 425 -LRB104 20029 AAS 33480 b

1    of the respondent. Any respondent so notified must be
2    granted an opportunity to request a hearing within 10 days
3    from receipt of notice, or to show in writing, why he
4    should not be held liable. A notice issued under this
5    Section must set forth the date, facts and nature of the
6    act or omission with which the respondent is charged and
7    must specifically identify the particular provision of
8    this Article, rule, regulation or order of which a
9    violation is charged.
10        (3) No forfeiture liability under paragraph (1) of
11    this subsection may attach for any violation occurring
12    more than 2 years prior to the date of issuance of the
13    notice of apparent liability and in no event may the total
14    civil penalty forfeiture imposed for the acts or omissions
15    set forth in any one notice of apparent liability exceed
16    $100,000.
17        (4) All administrative hearings conducted pursuant to
18    this Article are subject to 50 Ill. Adm. Code 2402 and all
19    administrative hearings are subject to the Administrative
20    Review Law.
21        (5) The civil penalty forfeitures provided for in this
22    Section are payable to the General Revenue Fund of the
23    State of Illinois, and may be recovered in a civil suit in
24    the name of the State of Illinois brought in the Circuit
25    Court in Sangamon County or in the Circuit Court of the
26    county where the respondent is domiciled or has its

 

 

HB5373- 426 -LRB104 20029 AAS 33480 b

1    principal operating office.
2        (6) In any case where the Director issues a notice of
3    apparent liability looking toward the imposition of a
4    civil penalty forfeiture under this Section that fact may
5    not be used in any other proceeding before the Director to
6    the prejudice of the respondent to whom the notice was
7    issued, unless (a) the civil penalty forfeiture has been
8    paid, or (b) a court has ordered payment of the civil
9    penalty forfeiture and that order has become final.
10        (7) When any person or company has a license or
11    certificate of authority under this Code and knowingly
12    fails or refuses to comply with a lawful order of the
13    Director requiring compliance with this Article, entered
14    after notice and hearing, within the period of time
15    specified in the order, the Director may, in addition to
16    any other penalty or authority provided, revoke or refuse
17    to renew the license or certificate of authority of such
18    person or company, or may suspend the license or
19    certificate of authority of such person or company until
20    compliance with such order has been obtained.
21        (8) When any person or company has a license or
22    certificate of authority under this Code and knowingly
23    fails or refuses to comply with any provisions of this
24    Article, the Director may, after notice and hearing, in
25    addition to any other penalty provided, revoke or refuse
26    to renew the license or certificate of authority of such

 

 

HB5373- 427 -LRB104 20029 AAS 33480 b

1    person or company, or may suspend the license or
2    certificate of authority of such person or company, until
3    compliance with such provision of this Article has been
4    obtained.
5        (9) No suspension or revocation under this Section may
6    become effective until 5 days from the date that the
7    notice of suspension or revocation has been personally
8    delivered or delivered by registered or certified mail to
9    the company or person. A suspension or revocation under
10    this Section is stayed upon the filing, by the company or
11    person, of a petition for judicial review under the
12    Administrative Review Law.
13(Source: P.A. 103-426, eff. 8-4-23.)
 
14    (215 ILCS 5/1630)
15    Sec. 1630. Definitions. As used in this Article:
16    "Aggregator site" means a website that provides access to
17information regarding insurance products from more than one
18insurer, including product and insurer information, for use in
19comparison shopping.
20    "Blanket travel insurance" means a policy of travel
21insurance issued to any eligible group providing coverage for
22specific classes of persons defined in the policy with
23coverage provided to all members of the eligible group without
24a separate charge to individual members of the eligible group.
25    "Cancellation fee waiver" means a contractual agreement

 

 

HB5373- 428 -LRB104 20029 AAS 33480 b

1between a supplier of travel services and its customer to
2waive some or all of the nonrefundable cancellation fee
3provisions of the supplier's underlying travel contract with
4or without regard to the reason for the cancellation or form of
5reimbursement. A "cancellation fee waiver" is not insurance.
6    "Eligible group", solely for the purposes of travel
7insurance, means 2 or more persons who are engaged in a common
8enterprise, or have an economic, educational, or social
9affinity or relationship, including, but not limited to, any
10of the following:
11        (1) any entity engaged in the business of providing
12    travel or travel services, including, but not limited to:
13    tour operators, lodging providers, vacation property
14    owners, hotels and resorts, travel clubs, travel agencies,
15    property managers, cultural exchange programs, and common
16    carriers or the operator, owner, or lessor of a means of
17    transportation of passengers, including, but not limited
18    to, airlines, cruise lines, railroads, steamship
19    companies, and public bus carriers, wherein with regard to
20    any particular travel or type of travel or travelers, all
21    members or customers of the group must have a common
22    exposure to risk attendant to such travel;
23        (2) any college, school, or other institution of
24    learning covering students, teachers, employees, or
25    volunteers;
26        (3) any employer covering any group of employees,

 

 

HB5373- 429 -LRB104 20029 AAS 33480 b

1    volunteers, contractors, board of directors, dependents,
2    or guests;
3        (4) any sports team, camp, or sponsor of any sports
4    team or camp covering participants, members, campers,
5    employees, officials, supervisors, or volunteers;
6        (5) any religious, charitable, recreational,
7    educational, or civic organization, or branch of an
8    organization covering any group of members, participants,
9    or volunteers;
10        (6) any financial institution or financial institution
11    vendor, or parent holding company, trustee, or agent of or
12    designated by one or more financial institutions or
13    financial institution vendors, including account holders,
14    credit card holders, debtors, guarantors, or purchasers;
15        (7) any incorporated or unincorporated association,
16    including labor unions, having a common interest,
17    constitution and bylaws, and organized and maintained in
18    good faith for purposes other than obtaining insurance for
19    members or participants of such association covering its
20    members;
21        (8) any trust or the trustees of a fund established,
22    created, or maintained for the benefit of and covering
23    members, employees or customers, subject to the Director's
24    permitting the use of a trust and the State's premium tax
25    provisions, of one or more associations meeting the
26    requirements of paragraph (7) of this definition;

 

 

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1        (9) any entertainment production company covering any
2    group of participants, volunteers, audience members,
3    contestants, or workers;
4        (10) any volunteer fire department, ambulance, rescue,
5    police, court, or any first aid, civil defense, or other
6    such volunteer group;
7        (11) preschools, child day care institutions for
8    children or adults, and senior citizen clubs;
9        (12) any automobile or truck rental or leasing company
10    covering a group of individuals who may become renters,
11    lessees, or passengers defined by their travel status on
12    the rented or leased vehicles. The common carrier, the
13    operator, owner or lessor of a means of transportation, or
14    the automobile or truck rental or leasing company, is the
15    policyholder under a policy to which this Section applies;
16    or
17        (13) any other group where the Director has determined
18    that the members are engaged in a common enterprise, or
19    have an economic, educational, or social affinity or
20    relationship, and that issuance of the policy would not be
21    contrary to the public interest.
22    "Fulfillment materials" means documentation sent to the
23purchaser of a travel protection plan confirming the purchase
24and providing the travel protection plan's coverage and
25assistance details.
26    "Group travel insurance" means travel insurance issued to

 

 

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1any eligible group.
2    "Limited lines travel insurance producer" means one of the
3following:
4        (1) a licensed managing general agent or third-party
5    administrator;
6        (2) a licensed insurance producer, including a limited
7    lines producer; or
8        (3) a travel administrator.
9    "Offering and disseminating" means the following:
10        (1) Providing information to a prospective or current
11    policyholder on behalf of a limited lines travel insurance
12    entity, including brochures, buyer guides, descriptions of
13    coverage, and price.
14        (2) Referring specific questions regarding coverage
15    features and benefits from a prospective or current
16    policyholder to a limited lines travel insurance entity.
17        (3) Disseminating and processing applications for
18    coverage, coverage selection forms, or other similar forms
19    in response to a request from a prospective or current
20    policyholder.
21        (4) Collecting premiums from a prospective or current
22    policyholder on behalf of a limited lines travel insurance
23    entity.
24        (5) Receiving and recording information from a
25    policyholder to share with a limited lines travel
26    insurance entity.

 

 

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1    "Primary policyholder" means an individual person who
2elects and purchases individual travel insurance.
3    "Travel administrator" means a person who directly or
4indirectly underwrites, collects charges, collateral, or
5premiums from, or adjusts or settles claims on residents of
6this State in connection with travel insurance, except that a
7person shall not be considered a travel administrator if that
8person's only actions that would otherwise cause the person to
9be considered a travel administrator are among the following:
10        (1) a person working for a travel administrator to the
11    extent that the person's activities are subject to the
12    supervision and control of the travel administrator;
13        (2) an insurance producer selling insurance or engaged
14    in administrative and claims-related activities within the
15    scope of the producer's license;
16        (3) a travel retailer offering and disseminating
17    travel insurance and registered under the license of a
18    limited lines travel insurance producer in accordance with
19    Section 1635;
20        (4) an individual adjusting or settling claims in the
21    normal course of that individual's practice or employment
22    as an attorney-at-law and who does not collect charges or
23    premiums in connection with insurance coverage; or
24        (5) a business entity that is affiliated with a
25    licensed insurer while acting as a travel administrator
26    for the direct and assumed insurance business of an

 

 

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1    affiliated insurer.
2    "Travel assistance services" means noninsurance services
3for which the consumer is not indemnified based on a
4fortuitous event, and where providing the service does not
5result in transfer or shifting of risk that would constitute
6the business of insurance. "Travel assistance services"
7include, but are not limited to: security advisories;
8destination information; vaccination and immunization
9information services; travel reservation services;
10entertainment; activity and event planning; translation
11assistance; emergency messaging; international legal and
12medical referrals; medical case monitoring; coordination of
13transportation arrangements; emergency cash transfer
14assistance; medical prescription replacement assistance;
15passport and travel document replacement assistance; lost
16luggage assistance; concierge services; and any other service
17that is furnished in connection with planned travel. "Travel
18assistance services" are not insurance and are not related to
19insurance.
20    "Travel insurance" means insurance coverage for personal
21risks incident to planned travel, including, but not limited
22to:
23        (1) the interruption or cancellation of a trip or
24    event;
25        (2) the loss of baggage or personal effects;
26        (3) damages to accommodations or rental vehicles;

 

 

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1        (4) sickness, accident, disability, or death occurring
2    during travel;
3        (5) emergency evacuation;
4        (6) repatriation of remains; or
5        (7) any other contractual obligations to indemnify or
6    pay a specified amount to the traveler upon determinable
7    contingencies related to travel as approved by the
8    Director.
9    "Travel insurance" does not include major medical plans
10that provide comprehensive medical protection for travelers
11with trips lasting 6 months or longer, including those working
12overseas as expatriates or as military personnel on
13deployment.
14    "Travel insurance business entity" means a licensed
15insurance producer designated by an insurer as set forth in
16subsection (h) of Section 1635.
17    "Travel protection plans" means plans that provide one or
18more of the following: travel insurance, travel assistance
19services, and cancellation fee waivers.
20    "Travel retailer" means a business organization that
21makes, arranges, or offers travel services and, with respect
22to travel insurance, is limited to offering and disseminating
23as defined in this Section, unless otherwise licensed under
24subsection (b) of Section 1635.
25(Source: P.A. 102-212, eff. 10-28-21.)
 

 

 

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1    Section 175. The Public Utilities Act is amended by
2changing Section 8-103B as follows:
 
3    (220 ILCS 5/8-103B)
4    (Text of Section before amendment by P.A. 104-458)
5    Sec. 8-103B. Energy efficiency and demand-response
6measures.
7    (a) It is the policy of the State that electric utilities
8are required to use cost-effective energy efficiency and
9demand-response measures to reduce delivery load. Requiring
10investment in cost-effective energy efficiency and
11demand-response measures will reduce direct and indirect costs
12to consumers by decreasing environmental impacts and by
13avoiding or delaying the need for new generation,
14transmission, and distribution infrastructure. It serves the
15public interest to allow electric utilities to recover costs
16for reasonably and prudently incurred expenditures for energy
17efficiency and demand-response measures. As used in this
18Section, "cost-effective" means that the measures satisfy the
19total resource cost test. The low-income measures described in
20subsection (c) of this Section shall not be required to meet
21the total resource cost test. For purposes of this Section,
22the terms "energy-efficiency", "demand-response", "electric
23utility", and "total resource cost test" have the meanings set
24forth in the Illinois Power Agency Act. "Black, indigenous,
25and people of color" and "BIPOC" means people who are members

 

 

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1of the groups described in subparagraphs (a) through (e) of
2paragraph (A) of subsection (1) of Section 2 of the Business
3Enterprise for Minorities, Women, and Persons with
4Disabilities Act.
5    (a-5) This Section applies to electric utilities serving
6more than 500,000 retail customers in the State for those
7multi-year plans commencing after December 31, 2017.
8    (b) For purposes of this Section, electric utilities
9subject to this Section that serve more than 3,000,000 retail
10customers in the State shall be deemed to have achieved a
11cumulative persisting annual savings of 6.6% from energy
12efficiency measures and programs implemented during the period
13beginning January 1, 2012 and ending December 31, 2017, which
14percent is based on the deemed average weather normalized
15sales of electric power and energy during calendar years 2014,
162015, and 2016 of 88,000,000 MWhs. For the purposes of this
17subsection (b) and subsection (b-5), the 88,000,000 MWhs of
18deemed electric power and energy sales shall be reduced by the
19number of MWhs equal to the sum of the annual consumption of
20customers that have opted out of subsections (a) through (j)
21of this Section under paragraph (1) of subsection (l) of this
22Section, as averaged across the calendar years 2014, 2015, and
232016. After 2017, the deemed value of cumulative persisting
24annual savings from energy efficiency measures and programs
25implemented during the period beginning January 1, 2012 and
26ending December 31, 2017, shall be reduced each year, as

 

 

HB5373- 437 -LRB104 20029 AAS 33480 b

1follows, and the applicable value shall be applied to and
2count toward the utility's achievement of the cumulative
3persisting annual savings goals set forth in subsection (b-5):
4        (1) 5.8% deemed cumulative persisting annual savings
5    for the year ending December 31, 2018;
6        (2) 5.2% deemed cumulative persisting annual savings
7    for the year ending December 31, 2019;
8        (3) 4.5% deemed cumulative persisting annual savings
9    for the year ending December 31, 2020;
10        (4) 4.0% deemed cumulative persisting annual savings
11    for the year ending December 31, 2021;
12        (5) 3.5% deemed cumulative persisting annual savings
13    for the year ending December 31, 2022;
14        (6) 3.1% deemed cumulative persisting annual savings
15    for the year ending December 31, 2023;
16        (7) 2.8% deemed cumulative persisting annual savings
17    for the year ending December 31, 2024;
18        (8) 2.5% deemed cumulative persisting annual savings
19    for the year ending December 31, 2025;
20        (9) 2.3% deemed cumulative persisting annual savings
21    for the year ending December 31, 2026;
22        (10) 2.1% deemed cumulative persisting annual savings
23    for the year ending December 31, 2027;
24        (11) 1.8% deemed cumulative persisting annual savings
25    for the year ending December 31, 2028;
26        (12) 1.7% deemed cumulative persisting annual savings

 

 

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1    for the year ending December 31, 2029;
2        (13) 1.5% deemed cumulative persisting annual savings
3    for the year ending December 31, 2030;
4        (14) 1.3% deemed cumulative persisting annual savings
5    for the year ending December 31, 2031;
6        (15) 1.1% deemed cumulative persisting annual savings
7    for the year ending December 31, 2032;
8        (16) 0.9% deemed cumulative persisting annual savings
9    for the year ending December 31, 2033;
10        (17) 0.7% deemed cumulative persisting annual savings
11    for the year ending December 31, 2034;
12        (18) 0.5% deemed cumulative persisting annual savings
13    for the year ending December 31, 2035;
14        (19) 0.4% deemed cumulative persisting annual savings
15    for the year ending December 31, 2036;
16        (20) 0.3% deemed cumulative persisting annual savings
17    for the year ending December 31, 2037;
18        (21) 0.2% deemed cumulative persisting annual savings
19    for the year ending December 31, 2038;
20        (22) 0.1% deemed cumulative persisting annual savings
21    for the year ending December 31, 2039; and
22        (23) 0.0% deemed cumulative persisting annual savings
23    for the year ending December 31, 2040 and all subsequent
24    years.
25    For purposes of this Section, "cumulative persisting
26annual savings" means the total electric energy savings in a

 

 

HB5373- 439 -LRB104 20029 AAS 33480 b

1given year from measures installed in that year or in previous
2years, but no earlier than January 1, 2012, that are still
3operational and providing savings in that year because the
4measures have not yet reached the end of their useful lives.
5    (b-5) Beginning in 2018, electric utilities subject to
6this Section that serve more than 3,000,000 retail customers
7in the State shall achieve the following cumulative persisting
8annual savings goals, as modified by subsection (f) of this
9Section and as compared to the deemed baseline of 88,000,000
10MWhs of electric power and energy sales set forth in
11subsection (b), as reduced by the number of MWhs equal to the
12sum of the annual consumption of customers that have opted out
13of subsections (a) through (j) of this Section under paragraph
14(1) of subsection (l) of this Section as averaged across the
15calendar years 2014, 2015, and 2016, through the
16implementation of energy efficiency measures during the
17applicable year and in prior years, but no earlier than
18January 1, 2012:
19        (1) 7.8% cumulative persisting annual savings for the
20    year ending December 31, 2018;
21        (2) 9.1% cumulative persisting annual savings for the
22    year ending December 31, 2019;
23        (3) 10.4% cumulative persisting annual savings for the
24    year ending December 31, 2020;
25        (4) 11.8% cumulative persisting annual savings for the
26    year ending December 31, 2021;

 

 

HB5373- 440 -LRB104 20029 AAS 33480 b

1        (5) 13.1% cumulative persisting annual savings for the
2    year ending December 31, 2022;
3        (6) 14.4% cumulative persisting annual savings for the
4    year ending December 31, 2023;
5        (7) 15.7% cumulative persisting annual savings for the
6    year ending December 31, 2024;
7        (8) 17% cumulative persisting annual savings for the
8    year ending December 31, 2025;
9        (9) 17.9% cumulative persisting annual savings for the
10    year ending December 31, 2026;
11        (10) 18.8% cumulative persisting annual savings for
12    the year ending December 31, 2027;
13        (11) 19.7% cumulative persisting annual savings for
14    the year ending December 31, 2028;
15        (12) 20.6% cumulative persisting annual savings for
16    the year ending December 31, 2029; and
17        (13) 21.5% cumulative persisting annual savings for
18    the year ending December 31, 2030.
19    No later than December 31, 2021, the Illinois Commerce
20Commission shall establish additional cumulative persisting
21annual savings goals for the years 2031 through 2035. No later
22than December 31, 2024, the Illinois Commerce Commission shall
23establish additional cumulative persisting annual savings
24goals for the years 2036 through 2040. The Commission shall
25also establish additional cumulative persisting annual savings
26goals every 5 years thereafter to ensure that utilities always

 

 

HB5373- 441 -LRB104 20029 AAS 33480 b

1have goals that extend at least 11 years into the future. The
2cumulative persisting annual savings goals beyond the year
32030 shall increase by 0.9 percentage points per year, absent
4a Commission decision to initiate a proceeding to consider
5establishing goals that increase by more or less than that
6amount. Such a proceeding must be conducted in accordance with
7the procedures described in subsection (f) of this Section. If
8such a proceeding is initiated, the cumulative persisting
9annual savings goals established by the Commission through
10that proceeding shall reflect the Commission's best estimate
11of the maximum amount of additional savings that are forecast
12to be cost-effectively achievable unless such best estimates
13would result in goals that represent less than 0.5 percentage
14point annual increases in total cumulative persisting annual
15savings. The Commission may only establish goals that
16represent less than 0.5 percentage point annual increases in
17cumulative persisting annual savings if it can demonstrate,
18based on clear and convincing evidence and through independent
19analysis, that 0.5 percentage point increases are not
20cost-effectively achievable. The Commission shall inform its
21decision based on an energy efficiency potential study that
22conforms to the requirements of this Section.
23    (b-10) For purposes of this Section, electric utilities
24subject to this Section that serve less than 3,000,000 retail
25customers but more than 500,000 retail customers in the State
26shall be deemed to have achieved a cumulative persisting

 

 

HB5373- 442 -LRB104 20029 AAS 33480 b

1annual savings of 6.6% from energy efficiency measures and
2programs implemented during the period beginning January 1,
32012 and ending December 31, 2017, which is based on the deemed
4average weather normalized sales of electric power and energy
5during calendar years 2014, 2015, and 2016 of 36,900,000 MWhs.
6For the purposes of this subsection (b-10) and subsection
7(b-15), the 36,900,000 MWhs of deemed electric power and
8energy sales shall be reduced by the number of MWhs equal to
9the sum of the annual consumption of customers that have opted
10out of subsections (a) through (j) of this Section under
11paragraph (1) of subsection (l) of this Section, as averaged
12across the calendar years 2014, 2015, and 2016. After 2017,
13the deemed value of cumulative persisting annual savings from
14energy efficiency measures and programs implemented during the
15period beginning January 1, 2012 and ending December 31, 2017,
16shall be reduced each year, as follows, and the applicable
17value shall be applied to and count toward the utility's
18achievement of the cumulative persisting annual savings goals
19set forth in subsection (b-15):
20        (1) 5.8% deemed cumulative persisting annual savings
21    for the year ending December 31, 2018;
22        (2) 5.2% deemed cumulative persisting annual savings
23    for the year ending December 31, 2019;
24        (3) 4.5% deemed cumulative persisting annual savings
25    for the year ending December 31, 2020;
26        (4) 4.0% deemed cumulative persisting annual savings

 

 

HB5373- 443 -LRB104 20029 AAS 33480 b

1    for the year ending December 31, 2021;
2        (5) 3.5% deemed cumulative persisting annual savings
3    for the year ending December 31, 2022;
4        (6) 3.1% deemed cumulative persisting annual savings
5    for the year ending December 31, 2023;
6        (7) 2.8% deemed cumulative persisting annual savings
7    for the year ending December 31, 2024;
8        (8) 2.5% deemed cumulative persisting annual savings
9    for the year ending December 31, 2025;
10        (9) 2.3% deemed cumulative persisting annual savings
11    for the year ending December 31, 2026;
12        (10) 2.1% deemed cumulative persisting annual savings
13    for the year ending December 31, 2027;
14        (11) 1.8% deemed cumulative persisting annual savings
15    for the year ending December 31, 2028;
16        (12) 1.7% deemed cumulative persisting annual savings
17    for the year ending December 31, 2029;
18        (13) 1.5% deemed cumulative persisting annual savings
19    for the year ending December 31, 2030;
20        (14) 1.3% deemed cumulative persisting annual savings
21    for the year ending December 31, 2031;
22        (15) 1.1% deemed cumulative persisting annual savings
23    for the year ending December 31, 2032;
24        (16) 0.9% deemed cumulative persisting annual savings
25    for the year ending December 31, 2033;
26        (17) 0.7% deemed cumulative persisting annual savings

 

 

HB5373- 444 -LRB104 20029 AAS 33480 b

1    for the year ending December 31, 2034;
2        (18) 0.5% deemed cumulative persisting annual savings
3    for the year ending December 31, 2035;
4        (19) 0.4% deemed cumulative persisting annual savings
5    for the year ending December 31, 2036;
6        (20) 0.3% deemed cumulative persisting annual savings
7    for the year ending December 31, 2037;
8        (21) 0.2% deemed cumulative persisting annual savings
9    for the year ending December 31, 2038;
10        (22) 0.1% deemed cumulative persisting annual savings
11    for the year ending December 31, 2039; and
12        (23) 0.0% deemed cumulative persisting annual savings
13    for the year ending December 31, 2040 and all subsequent
14    years.
15    (b-15) Beginning in 2018, electric utilities subject to
16this Section that serve less than 3,000,000 retail customers
17but more than 500,000 retail customers in the State shall
18achieve the following cumulative persisting annual savings
19goals, as modified by subsection (b-20) and subsection (f) of
20this Section and as compared to the deemed baseline as reduced
21by the number of MWhs equal to the sum of the annual
22consumption of customers that have opted out of subsections
23(a) through (j) of this Section under paragraph (1) of
24subsection (l) of this Section as averaged across the calendar
25years 2014, 2015, and 2016, through the implementation of
26energy efficiency measures during the applicable year and in

 

 

HB5373- 445 -LRB104 20029 AAS 33480 b

1prior years, but no earlier than January 1, 2012:
2        (1) 7.4% cumulative persisting annual savings for the
3    year ending December 31, 2018;
4        (2) 8.2% cumulative persisting annual savings for the
5    year ending December 31, 2019;
6        (3) 9.0% cumulative persisting annual savings for the
7    year ending December 31, 2020;
8        (4) 9.8% cumulative persisting annual savings for the
9    year ending December 31, 2021;
10        (5) 10.6% cumulative persisting annual savings for the
11    year ending December 31, 2022;
12        (6) 11.4% cumulative persisting annual savings for the
13    year ending December 31, 2023;
14        (7) 12.2% cumulative persisting annual savings for the
15    year ending December 31, 2024;
16        (8) 13% cumulative persisting annual savings for the
17    year ending December 31, 2025;
18        (9) 13.6% cumulative persisting annual savings for the
19    year ending December 31, 2026;
20        (10) 14.2% cumulative persisting annual savings for
21    the year ending December 31, 2027;
22        (11) 14.8% cumulative persisting annual savings for
23    the year ending December 31, 2028;
24        (12) 15.4% cumulative persisting annual savings for
25    the year ending December 31, 2029; and
26        (13) 16% cumulative persisting annual savings for the

 

 

HB5373- 446 -LRB104 20029 AAS 33480 b

1    year ending December 31, 2030.
2    No later than December 31, 2021, the Illinois Commerce
3Commission shall establish additional cumulative persisting
4annual savings goals for the years 2031 through 2035. No later
5than December 31, 2024, the Illinois Commerce Commission shall
6establish additional cumulative persisting annual savings
7goals for the years 2036 through 2040. The Commission shall
8also establish additional cumulative persisting annual savings
9goals every 5 years thereafter to ensure that utilities always
10have goals that extend at least 11 years into the future. The
11cumulative persisting annual savings goals beyond the year
122030 shall increase by 0.6 percentage points per year, absent
13a Commission decision to initiate a proceeding to consider
14establishing goals that increase by more or less than that
15amount. Such a proceeding must be conducted in accordance with
16the procedures described in subsection (f) of this Section. If
17such a proceeding is initiated, the cumulative persisting
18annual savings goals established by the Commission through
19that proceeding shall reflect the Commission's best estimate
20of the maximum amount of additional savings that are forecast
21to be cost-effectively achievable unless such best estimates
22would result in goals that represent less than 0.4 percentage
23point annual increases in total cumulative persisting annual
24savings. The Commission may only establish goals that
25represent less than 0.4 percentage point annual increases in
26cumulative persisting annual savings if it can demonstrate,

 

 

HB5373- 447 -LRB104 20029 AAS 33480 b

1based on clear and convincing evidence and through independent
2analysis, that 0.4 percentage point increases are not
3cost-effectively achievable. The Commission shall inform its
4decision based on an energy efficiency potential study that
5conforms to the requirements of this Section.
6    (b-20) Each electric utility subject to this Section may
7include cost-effective voltage optimization measures in its
8plans submitted under subsections (f) and (g) of this Section,
9and the costs incurred by a utility to implement the measures
10under a Commission-approved plan shall be recovered under the
11provisions of Article IX or Section 16-108.5 of this Act. For
12purposes of this Section, the measure life of voltage
13optimization measures shall be 15 years. The measure life
14period is independent of the depreciation rate of the voltage
15optimization assets deployed. Utilities may claim savings from
16voltage optimization on circuits for more than 15 years if
17they can demonstrate that they have made additional
18investments necessary to enable voltage optimization savings
19to continue beyond 15 years. Such demonstrations must be
20subject to the review of independent evaluation.
21    Within 270 days after June 1, 2017 (the effective date of
22Public Act 99-906), an electric utility that serves less than
233,000,000 retail customers but more than 500,000 retail
24customers in the State shall file a plan with the Commission
25that identifies the cost-effective voltage optimization
26investment the electric utility plans to undertake through

 

 

HB5373- 448 -LRB104 20029 AAS 33480 b

1December 31, 2024. The Commission, after notice and hearing,
2shall approve or approve with modification the plan within 120
3days after the plan's filing and, in the order approving or
4approving with modification the plan, the Commission shall
5adjust the applicable cumulative persisting annual savings
6goals set forth in subsection (b-15) to reflect any amount of
7cost-effective energy savings approved by the Commission that
8is greater than or less than the following cumulative
9persisting annual savings values attributable to voltage
10optimization for the applicable year:
11        (1) 0.0% of cumulative persisting annual savings for
12    the year ending December 31, 2018;
13        (2) 0.17% of cumulative persisting annual savings for
14    the year ending December 31, 2019;
15        (3) 0.17% of cumulative persisting annual savings for
16    the year ending December 31, 2020;
17        (4) 0.33% of cumulative persisting annual savings for
18    the year ending December 31, 2021;
19        (5) 0.5% of cumulative persisting annual savings for
20    the year ending December 31, 2022;
21        (6) 0.67% of cumulative persisting annual savings for
22    the year ending December 31, 2023;
23        (7) 0.83% of cumulative persisting annual savings for
24    the year ending December 31, 2024; and
25        (8) 1.0% of cumulative persisting annual savings for
26    the year ending December 31, 2025 and all subsequent

 

 

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1    years.
2    (b-25) In the event an electric utility jointly offers an
3energy efficiency measure or program with a gas utility under
4plans approved under this Section and Section 8-104 of this
5Act, the electric utility may continue offering the program,
6including the gas energy efficiency measures, in the event the
7gas utility discontinues funding the program. In that event,
8the energy savings value associated with such other fuels
9shall be converted to electric energy savings on an equivalent
10Btu basis for the premises. However, the electric utility
11shall prioritize programs for low-income residential customers
12to the extent practicable. An electric utility may recover the
13costs of offering the gas energy efficiency measures under
14this subsection (b-25).
15    For those energy efficiency measures or programs that save
16both electricity and other fuels but are not jointly offered
17with a gas utility under plans approved under this Section and
18Section 8-104 or not offered with an affiliated gas utility
19under paragraph (6) of subsection (f) of Section 8-104 of this
20Act, the electric utility may count savings of fuels other
21than electricity toward the achievement of its annual savings
22goal, and the energy savings value associated with such other
23fuels shall be converted to electric energy savings on an
24equivalent Btu basis at the premises.
25    In no event shall more than 10% of each year's applicable
26annual total savings requirement as defined in paragraph (7.5)

 

 

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1of subsection (g) of this Section be met through savings of
2fuels other than electricity.
3    (b-27) Beginning in 2022, an electric utility may offer
4and promote measures that electrify space heating, water
5heating, cooling, drying, cooking, industrial processes, and
6other building and industrial end uses that would otherwise be
7served by combustion of fossil fuel at the premises, provided
8that the electrification measures reduce total energy
9consumption at the premises. The electric utility may count
10the reduction in energy consumption at the premises toward
11achievement of its annual savings goals. The reduction in
12energy consumption at the premises shall be calculated as the
13difference between: (A) the reduction in Btu consumption of
14fossil fuels as a result of electrification, converted to
15kilowatt-hour equivalents by dividing by 3,412 Btus per
16kilowatt hour; and (B) the increase in kilowatt hours of
17electricity consumption resulting from the displacement of
18fossil fuel consumption as a result of electrification. An
19electric utility may recover the costs of offering and
20promoting electrification measures under this subsection
21(b-27).
22    In no event shall electrification savings counted toward
23each year's applicable annual total savings requirement, as
24defined in paragraph (7.5) of subsection (g) of this Section,
25be greater than:
26        (1) 5% per year for each year from 2022 through 2025;

 

 

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1        (2) 10% per year for each year from 2026 through 2029;
2    and
3        (3) 15% per year for 2030 and all subsequent years.
4In addition, a minimum of 25% of all electrification savings
5counted toward a utility's applicable annual total savings
6requirement must be from electrification of end uses in
7low-income housing. The limitations on electrification savings
8that may be counted toward a utility's annual savings goals
9are separate from and in addition to the subsection (b-25)
10limitations governing the counting of the other fuel savings
11resulting from efficiency measures and programs.
12    As part of the annual informational filing to the
13Commission that is required under paragraph (9) of subsection
14(g) of this Section, each utility shall identify the specific
15electrification measures offered under this subsection (b-27);
16the quantity of each electrification measure that was
17installed by its customers; the average total cost, average
18utility cost, average reduction in fossil fuel consumption,
19and average increase in electricity consumption associated
20with each electrification measure; the portion of
21installations of each electrification measure that were in
22low-income single-family housing, low-income multifamily
23housing, non-low-income single-family housing, non-low-income
24multifamily housing, commercial buildings, and industrial
25facilities; and the quantity of savings associated with each
26measure category in each customer category that are being

 

 

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1counted toward the utility's applicable annual total savings
2requirement. Prior to installing an electrification measure,
3the utility shall provide a customer with an estimate of the
4impact of the new measure on the customer's average monthly
5electric bill and total annual energy expenses.
6    (c) Electric utilities shall be responsible for overseeing
7the design, development, and filing of energy efficiency plans
8with the Commission and may, as part of that implementation,
9outsource various aspects of program development and
10implementation. A minimum of 10%, for electric utilities that
11serve more than 3,000,000 retail customers in the State, and a
12minimum of 7%, for electric utilities that serve less than
133,000,000 retail customers but more than 500,000 retail
14customers in the State, of the utility's entire portfolio
15funding level for a given year shall be used to procure
16cost-effective energy efficiency measures from units of local
17government, municipal corporations, school districts, public
18housing, public institutions of higher education, and
19community college districts, provided that a minimum
20percentage of available funds shall be used to procure energy
21efficiency from public housing, which percentage shall be
22equal to public housing's share of public building energy
23consumption.
24    The utilities shall also implement energy efficiency
25measures targeted at low-income households, which, for
26purposes of this Section, shall be defined as households at or

 

 

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1below 80% of area median income, and expenditures to implement
2the measures shall be no less than $40,000,000 per year for
3electric utilities that serve more than 3,000,000 retail
4customers in the State and no less than $13,000,000 per year
5for electric utilities that serve less than 3,000,000 retail
6customers but more than 500,000 retail customers in the State.
7The ratio of spending on efficiency programs targeted at
8low-income multifamily buildings to spending on efficiency
9programs targeted at low-income single-family buildings shall
10be designed to achieve levels of savings from each building
11type that are approximately proportional to the magnitude of
12cost-effective lifetime savings potential in each building
13type. Investment in low-income whole-building weatherization
14programs shall constitute a minimum of 80% of a utility's
15total budget specifically dedicated to serving low-income
16customers.
17    The utilities shall work to bundle low-income energy
18efficiency offerings with other programs that serve low-income
19households to maximize the benefits going to these households.
20The utilities shall market and implement low-income energy
21efficiency programs in coordination with low-income assistance
22programs, the Illinois Solar for All Program, and
23weatherization whenever practicable. The program implementer
24shall walk the customer through the enrollment process for any
25programs for which the customer is eligible. The utilities
26shall also pilot targeting customers with high arrearages,

 

 

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1high energy intensity (ratio of energy usage divided by home
2or unit square footage), or energy assistance programs with
3energy efficiency offerings, and then track reduction in
4arrearages as a result of the targeting. This targeting and
5bundling of low-income energy programs shall be offered to
6both low-income single-family and multifamily customers
7(owners and residents).
8    The utilities shall invest in health and safety measures
9appropriate and necessary for comprehensively weatherizing a
10home or multifamily building, and shall implement a health and
11safety fund of at least 15% of the total income-qualified
12weatherization budget that shall be used for the purpose of
13making grants for technical assistance, construction,
14reconstruction, improvement, or repair of buildings to
15facilitate their participation in the energy efficiency
16programs targeted at low-income single-family and multifamily
17households. These funds may also be used for the purpose of
18making grants for technical assistance, construction,
19reconstruction, improvement, or repair of the following
20buildings to facilitate their participation in the energy
21efficiency programs created by this Section: (1) buildings
22that are owned or operated by registered 501(c)(3) public
23charities; and (2) day care centers, day care homes, or group
24day care homes, as defined under 89 Ill. Adm. Code Part 406,
25407, or 408, respectively.
26    Each electric utility shall assess opportunities to

 

 

HB5373- 455 -LRB104 20029 AAS 33480 b

1implement cost-effective energy efficiency measures and
2programs through a public housing authority or authorities
3located in its service territory. If such opportunities are
4identified, the utility shall propose such measures and
5programs to address the opportunities. Expenditures to address
6such opportunities shall be credited toward the minimum
7procurement and expenditure requirements set forth in this
8subsection (c).
9    Implementation of energy efficiency measures and programs
10targeted at low-income households should be contracted, when
11it is practicable, to independent third parties that have
12demonstrated capabilities to serve such households, with a
13preference for not-for-profit entities and government agencies
14that have existing relationships with or experience serving
15low-income communities in the State.
16    Each electric utility shall develop and implement
17reporting procedures that address and assist in determining
18the amount of energy savings that can be applied to the
19low-income procurement and expenditure requirements set forth
20in this subsection (c). Each electric utility shall also track
21the types and quantities or volumes of insulation and air
22sealing materials, and their associated energy saving
23benefits, installed in energy efficiency programs targeted at
24low-income single-family and multifamily households.
25    The electric utilities shall participate in a low-income
26energy efficiency accountability committee ("the committee"),

 

 

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1which will directly inform the design, implementation, and
2evaluation of the low-income and public-housing energy
3efficiency programs. The committee shall be comprised of the
4electric utilities subject to the requirements of this
5Section, the gas utilities subject to the requirements of
6Section 8-104 of this Act, the utilities' low-income energy
7efficiency implementation contractors, nonprofit
8organizations, community action agencies, advocacy groups,
9State and local governmental agencies, public-housing
10organizations, and representatives of community-based
11organizations, especially those living in or working with
12environmental justice communities and BIPOC communities. The
13committee shall be composed of 2 geographically differentiated
14subcommittees: one for stakeholders in northern Illinois and
15one for stakeholders in central and southern Illinois. The
16subcommittees shall meet together at least twice per year.
17    There shall be one statewide leadership committee led by
18and composed of community-based organizations that are
19representative of BIPOC and environmental justice communities
20and that includes equitable representation from BIPOC
21communities. The leadership committee shall be composed of an
22equal number of representatives from the 2 subcommittees. The
23subcommittees shall address specific programs and issues, with
24the leadership committee convening targeted workgroups as
25needed. The leadership committee may elect to work with an
26independent facilitator to solicit and organize feedback,

 

 

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1recommendations and meeting participation from a wide variety
2of community-based stakeholders. If a facilitator is used,
3they shall be fair and responsive to the needs of all
4stakeholders involved in the committee.
5     All committee meetings must be accessible, with rotating
6locations if meetings are held in-person, virtual
7participation options, and materials and agendas circulated in
8advance.
9    There shall also be opportunities for direct input by
10committee members outside of committee meetings, such as via
11individual meetings, surveys, emails and calls, to ensure
12robust participation by stakeholders with limited capacity and
13ability to attend committee meetings. Committee meetings shall
14emphasize opportunities to bundle and coordinate delivery of
15low-income energy efficiency with other programs that serve
16low-income communities, such as the Illinois Solar for All
17Program and bill payment assistance programs. Meetings shall
18include educational opportunities for stakeholders to learn
19more about these additional offerings, and the committee shall
20assist in figuring out the best methods for coordinated
21delivery and implementation of offerings when serving
22low-income communities. The committee shall directly and
23equitably influence and inform utility low-income and
24public-housing energy efficiency programs and priorities.
25Participating utilities shall implement recommendations from
26the committee whenever possible.

 

 

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1    Participating utilities shall track and report how input
2from the committee has led to new approaches and changes in
3their energy efficiency portfolios. This reporting shall occur
4at committee meetings and in quarterly energy efficiency
5reports to the Stakeholder Advisory Group and Illinois
6Commerce Commission, and other relevant reporting mechanisms.
7Participating utilities shall also report on relevant equity
8data and metrics requested by the committee, such as energy
9burden data, geographic, racial, and other relevant
10demographic data on where programs are being delivered and
11what populations programs are serving.
12    The Illinois Commerce Commission shall oversee and have
13relevant staff participate in the committee. The committee
14shall have a budget of 0.25% of each utility's entire
15efficiency portfolio funding for a given year. The budget
16shall be overseen by the Commission. The budget shall be used
17to provide grants for community-based organizations serving on
18the leadership committee, stipends for community-based
19organizations participating in the committee, grants for
20community-based organizations to do energy efficiency outreach
21and education, and relevant meeting needs as determined by the
22leadership committee. The education and outreach shall
23include, but is not limited to, basic energy efficiency
24education, information about low-income energy efficiency
25programs, and information on the committee's purpose,
26structure, and activities.

 

 

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1    (d) Notwithstanding any other provision of law to the
2contrary, a utility providing approved energy efficiency
3measures and, if applicable, demand-response measures in the
4State shall be permitted to recover all reasonable and
5prudently incurred costs of those measures from all retail
6customers, except as provided in subsection (l) of this
7Section, as follows, provided that nothing in this subsection
8(d) permits the double recovery of such costs from customers:
9        (1) The utility may recover its costs through an
10    automatic adjustment clause tariff filed with and approved
11    by the Commission. The tariff shall be established outside
12    the context of a general rate case. Each year the
13    Commission shall initiate a review to reconcile any
14    amounts collected with the actual costs and to determine
15    the required adjustment to the annual tariff factor to
16    match annual expenditures. To enable the financing of the
17    incremental capital expenditures, including regulatory
18    assets, for electric utilities that serve less than
19    3,000,000 retail customers but more than 500,000 retail
20    customers in the State, the utility's actual year-end
21    capital structure that includes a common equity ratio,
22    excluding goodwill, of up to and including 50% of the
23    total capital structure shall be deemed reasonable and
24    used to set rates.
25        (2) A utility may recover its costs through an energy
26    efficiency formula rate approved by the Commission under a

 

 

HB5373- 460 -LRB104 20029 AAS 33480 b

1    filing under subsections (f) and (g) of this Section,
2    which shall specify the cost components that form the
3    basis of the rate charged to customers with sufficient
4    specificity to operate in a standardized manner and be
5    updated annually with transparent information that
6    reflects the utility's actual costs to be recovered during
7    the applicable rate year, which is the period beginning
8    with the first billing day of January and extending
9    through the last billing day of the following December.
10    The energy efficiency formula rate shall be implemented
11    through a tariff filed with the Commission under
12    subsections (f) and (g) of this Section that is consistent
13    with the provisions of this paragraph (2) and that shall
14    be applicable to all delivery services customers. The
15    Commission shall conduct an investigation of the tariff in
16    a manner consistent with the provisions of this paragraph
17    (2), subsections (f) and (g) of this Section, and the
18    provisions of Article IX of this Act to the extent they do
19    not conflict with this paragraph (2). The energy
20    efficiency formula rate approved by the Commission shall
21    remain in effect at the discretion of the utility and
22    shall do the following:
23            (A) Provide for the recovery of the utility's
24        actual costs incurred under this Section that are
25        prudently incurred and reasonable in amount consistent
26        with Commission practice and law. The sole fact that a

 

 

HB5373- 461 -LRB104 20029 AAS 33480 b

1        cost differs from that incurred in a prior calendar
2        year or that an investment is different from that made
3        in a prior calendar year shall not imply the
4        imprudence or unreasonableness of that cost or
5        investment.
6            (B) Reflect the utility's actual year-end capital
7        structure for the applicable calendar year, excluding
8        goodwill, subject to a determination of prudence and
9        reasonableness consistent with Commission practice and
10        law. To enable the financing of the incremental
11        capital expenditures, including regulatory assets, for
12        electric utilities that serve less than 3,000,000
13        retail customers but more than 500,000 retail
14        customers in the State, a participating electric
15        utility's actual year-end capital structure that
16        includes a common equity ratio, excluding goodwill, of
17        up to and including 50% of the total capital structure
18        shall be deemed reasonable and used to set rates.
19            (C) Include a cost of equity, which shall be
20        calculated as the sum of the following:
21                (i) the average for the applicable calendar
22            year of the monthly average yields of 30-year U.S.
23            Treasury bonds published by the Board of Governors
24            of the Federal Reserve System in its weekly H.15
25            Statistical Release or successor publication; and
26                (ii) 580 basis points.

 

 

HB5373- 462 -LRB104 20029 AAS 33480 b

1            At such time as the Board of Governors of the
2        Federal Reserve System ceases to include the monthly
3        average yields of 30-year U.S. Treasury bonds in its
4        weekly H.15 Statistical Release or successor
5        publication, the monthly average yields of the U.S.
6        Treasury bonds then having the longest duration
7        published by the Board of Governors in its weekly H.15
8        Statistical Release or successor publication shall
9        instead be used for purposes of this paragraph (2).
10            (D) Permit and set forth protocols, subject to a
11        determination of prudence and reasonableness
12        consistent with Commission practice and law, for the
13        following:
14                (i) recovery of incentive compensation expense
15            that is based on the achievement of operational
16            metrics, including metrics related to budget
17            controls, outage duration and frequency, safety,
18            customer service, efficiency and productivity, and
19            environmental compliance; however, this protocol
20            shall not apply if such expense related to costs
21            incurred under this Section is recovered under
22            Article IX or Section 16-108.5 of this Act;
23            incentive compensation expense that is based on
24            net income or an affiliate's earnings per share
25            shall not be recoverable under the energy
26            efficiency formula rate;

 

 

HB5373- 463 -LRB104 20029 AAS 33480 b

1                (ii) recovery of pension and other
2            post-employment benefits expense, provided that
3            such costs are supported by an actuarial study;
4            however, this protocol shall not apply if such
5            expense related to costs incurred under this
6            Section is recovered under Article IX or Section
7            16-108.5 of this Act;
8                (iii) recovery of existing regulatory assets
9            over the periods previously authorized by the
10            Commission;
11                (iv) as described in subsection (e),
12            amortization of costs incurred under this Section;
13            and
14                (v) projected, weather normalized billing
15            determinants for the applicable rate year.
16            (E) Provide for an annual reconciliation, as
17        described in paragraph (3) of this subsection (d),
18        less any deferred taxes related to the reconciliation,
19        with interest at an annual rate of return equal to the
20        utility's weighted average cost of capital, including
21        a revenue conversion factor calculated to recover or
22        refund all additional income taxes that may be payable
23        or receivable as a result of that return, of the energy
24        efficiency revenue requirement reflected in rates for
25        each calendar year, beginning with the calendar year
26        in which the utility files its energy efficiency

 

 

HB5373- 464 -LRB104 20029 AAS 33480 b

1        formula rate tariff under this paragraph (2), with
2        what the revenue requirement would have been had the
3        actual cost information for the applicable calendar
4        year been available at the filing date.
5        The utility shall file, together with its tariff, the
6    projected costs to be incurred by the utility during the
7    rate year under the utility's multi-year plan approved
8    under subsections (f) and (g) of this Section, including,
9    but not limited to, the projected capital investment costs
10    and projected regulatory asset balances with
11    correspondingly updated depreciation and amortization
12    reserves and expense, that shall populate the energy
13    efficiency formula rate and set the initial rates under
14    the formula.
15        The Commission shall review the proposed tariff in
16    conjunction with its review of a proposed multi-year plan,
17    as specified in paragraph (5) of subsection (g) of this
18    Section. The review shall be based on the same evidentiary
19    standards, including, but not limited to, those concerning
20    the prudence and reasonableness of the costs incurred by
21    the utility, the Commission applies in a hearing to review
22    a filing for a general increase in rates under Article IX
23    of this Act. The initial rates shall take effect beginning
24    with the January monthly billing period following the
25    Commission's approval.
26        The tariff's rate design and cost allocation across

 

 

HB5373- 465 -LRB104 20029 AAS 33480 b

1    customer classes shall be consistent with the utility's
2    automatic adjustment clause tariff in effect on June 1,
3    2017 (the effective date of Public Act 99-906); however,
4    the Commission may revise the tariff's rate design and
5    cost allocation in subsequent proceedings under paragraph
6    (3) of this subsection (d).
7        If the energy efficiency formula rate is terminated,
8    the then current rates shall remain in effect until such
9    time as the energy efficiency costs are incorporated into
10    new rates that are set under this subsection (d) or
11    Article IX of this Act, subject to retroactive rate
12    adjustment, with interest, to reconcile rates charged with
13    actual costs.
14        (3) The provisions of this paragraph (3) shall only
15    apply to an electric utility that has elected to file an
16    energy efficiency formula rate under paragraph (2) of this
17    subsection (d). Subsequent to the Commission's issuance of
18    an order approving the utility's energy efficiency formula
19    rate structure and protocols, and initial rates under
20    paragraph (2) of this subsection (d), the utility shall
21    file, on or before June 1 of each year, with the Chief
22    Clerk of the Commission its updated cost inputs to the
23    energy efficiency formula rate for the applicable rate
24    year and the corresponding new charges, as well as the
25    information described in paragraph (9) of subsection (g)
26    of this Section. Each such filing shall conform to the

 

 

HB5373- 466 -LRB104 20029 AAS 33480 b

1    following requirements and include the following
2    information:
3            (A) The inputs to the energy efficiency formula
4        rate for the applicable rate year shall be based on the
5        projected costs to be incurred by the utility during
6        the rate year under the utility's multi-year plan
7        approved under subsections (f) and (g) of this
8        Section, including, but not limited to, projected
9        capital investment costs and projected regulatory
10        asset balances with correspondingly updated
11        depreciation and amortization reserves and expense.
12        The filing shall also include a reconciliation of the
13        energy efficiency revenue requirement that was in
14        effect for the prior rate year (as set by the cost
15        inputs for the prior rate year) with the actual
16        revenue requirement for the prior rate year
17        (determined using a year-end rate base) that uses
18        amounts reflected in the applicable FERC Form 1 that
19        reports the actual costs for the prior rate year. Any
20        over-collection or under-collection indicated by such
21        reconciliation shall be reflected as a credit against,
22        or recovered as an additional charge to, respectively,
23        with interest calculated at a rate equal to the
24        utility's weighted average cost of capital approved by
25        the Commission for the prior rate year, the charges
26        for the applicable rate year. Such over-collection or

 

 

HB5373- 467 -LRB104 20029 AAS 33480 b

1        under-collection shall be adjusted to remove any
2        deferred taxes related to the reconciliation, for
3        purposes of calculating interest at an annual rate of
4        return equal to the utility's weighted average cost of
5        capital approved by the Commission for the prior rate
6        year, including a revenue conversion factor calculated
7        to recover or refund all additional income taxes that
8        may be payable or receivable as a result of that
9        return. Each reconciliation shall be certified by the
10        participating utility in the same manner that FERC
11        Form 1 is certified. The filing shall also include the
12        charge or credit, if any, resulting from the
13        calculation required by subparagraph (E) of paragraph
14        (2) of this subsection (d).
15            Notwithstanding any other provision of law to the
16        contrary, the intent of the reconciliation is to
17        ultimately reconcile both the revenue requirement
18        reflected in rates for each calendar year, beginning
19        with the calendar year in which the utility files its
20        energy efficiency formula rate tariff under paragraph
21        (2) of this subsection (d), with what the revenue
22        requirement determined using a year-end rate base for
23        the applicable calendar year would have been had the
24        actual cost information for the applicable calendar
25        year been available at the filing date.
26            For purposes of this Section, "FERC Form 1" means

 

 

HB5373- 468 -LRB104 20029 AAS 33480 b

1        the Annual Report of Major Electric Utilities,
2        Licensees and Others that electric utilities are
3        required to file with the Federal Energy Regulatory
4        Commission under the Federal Power Act, Sections 3,
5        4(a), 304 and 209, modified as necessary to be
6        consistent with 83 Ill. Adm. Code Part 415 as of May 1,
7        2011. Nothing in this Section is intended to allow
8        costs that are not otherwise recoverable to be
9        recoverable by virtue of inclusion in FERC Form 1.
10            (B) The new charges shall take effect beginning on
11        the first billing day of the following January billing
12        period and remain in effect through the last billing
13        day of the next December billing period regardless of
14        whether the Commission enters upon a hearing under
15        this paragraph (3).
16            (C) The filing shall include relevant and
17        necessary data and documentation for the applicable
18        rate year. Normalization adjustments shall not be
19        required.
20        Within 45 days after the utility files its annual
21    update of cost inputs to the energy efficiency formula
22    rate, the Commission shall with reasonable notice,
23    initiate a proceeding concerning whether the projected
24    costs to be incurred by the utility and recovered during
25    the applicable rate year, and that are reflected in the
26    inputs to the energy efficiency formula rate, are

 

 

HB5373- 469 -LRB104 20029 AAS 33480 b

1    consistent with the utility's approved multi-year plan
2    under subsections (f) and (g) of this Section and whether
3    the costs incurred by the utility during the prior rate
4    year were prudent and reasonable. The Commission shall
5    also have the authority to investigate the information and
6    data described in paragraph (9) of subsection (g) of this
7    Section, including the proposed adjustment to the
8    utility's return on equity component of its weighted
9    average cost of capital. During the course of the
10    proceeding, each objection shall be stated with
11    particularity and evidence provided in support thereof,
12    after which the utility shall have the opportunity to
13    rebut the evidence. Discovery shall be allowed consistent
14    with the Commission's Rules of Practice, which Rules of
15    Practice shall be enforced by the Commission or the
16    assigned administrative law judge. The Commission shall
17    apply the same evidentiary standards, including, but not
18    limited to, those concerning the prudence and
19    reasonableness of the costs incurred by the utility,
20    during the proceeding as it would apply in a proceeding to
21    review a filing for a general increase in rates under
22    Article IX of this Act. The Commission shall not, however,
23    have the authority in a proceeding under this paragraph
24    (3) to consider or order any changes to the structure or
25    protocols of the energy efficiency formula rate approved
26    under paragraph (2) of this subsection (d). In a

 

 

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1    proceeding under this paragraph (3), the Commission shall
2    enter its order no later than the earlier of 195 days after
3    the utility's filing of its annual update of cost inputs
4    to the energy efficiency formula rate or December 15. The
5    utility's proposed return on equity calculation, as
6    described in paragraphs (7) through (9) of subsection (g)
7    of this Section, shall be deemed the final, approved
8    calculation on December 15 of the year in which it is filed
9    unless the Commission enters an order on or before
10    December 15, after notice and hearing, that modifies such
11    calculation consistent with this Section. The Commission's
12    determinations of the prudence and reasonableness of the
13    costs incurred, and determination of such return on equity
14    calculation, for the applicable calendar year shall be
15    final upon entry of the Commission's order and shall not
16    be subject to reopening, reexamination, or collateral
17    attack in any other Commission proceeding, case, docket,
18    order, rule, or regulation; however, nothing in this
19    paragraph (3) shall prohibit a party from petitioning the
20    Commission to rehear or appeal to the courts the order
21    under the provisions of this Act.
22    (e) Beginning on June 1, 2017 (the effective date of
23Public Act 99-906), a utility subject to the requirements of
24this Section may elect to defer, as a regulatory asset, up to
25the full amount of its expenditures incurred under this
26Section for each annual period, including, but not limited to,

 

 

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1any expenditures incurred above the funding level set by
2subsection (f) of this Section for a given year. The total
3expenditures deferred as a regulatory asset in a given year
4shall be amortized and recovered over a period that is equal to
5the weighted average of the energy efficiency measure lives
6implemented for that year that are reflected in the regulatory
7asset. The unamortized balance shall be recognized as of
8December 31 for a given year. The utility shall also earn a
9return on the total of the unamortized balances of all of the
10energy efficiency regulatory assets, less any deferred taxes
11related to those unamortized balances, at an annual rate equal
12to the utility's weighted average cost of capital that
13includes, based on a year-end capital structure, the utility's
14actual cost of debt for the applicable calendar year and a cost
15of equity, which shall be calculated as the sum of the (i) the
16average for the applicable calendar year of the monthly
17average yields of 30-year U.S. Treasury bonds published by the
18Board of Governors of the Federal Reserve System in its weekly
19H.15 Statistical Release or successor publication; and (ii)
20580 basis points, including a revenue conversion factor
21calculated to recover or refund all additional income taxes
22that may be payable or receivable as a result of that return.
23Capital investment costs shall be depreciated and recovered
24over their useful lives consistent with generally accepted
25accounting principles. The weighted average cost of capital
26shall be applied to the capital investment cost balance, less

 

 

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1any accumulated depreciation and accumulated deferred income
2taxes, as of December 31 for a given year.
3    When an electric utility creates a regulatory asset under
4the provisions of this Section, the costs are recovered over a
5period during which customers also receive a benefit which is
6in the public interest. Accordingly, it is the intent of the
7General Assembly that an electric utility that elects to
8create a regulatory asset under the provisions of this Section
9shall recover all of the associated costs as set forth in this
10Section. After the Commission has approved the prudence and
11reasonableness of the costs that comprise the regulatory
12asset, the electric utility shall be permitted to recover all
13such costs, and the value and recoverability through rates of
14the associated regulatory asset shall not be limited, altered,
15impaired, or reduced.
16    (f) Beginning in 2017, each electric utility shall file an
17energy efficiency plan with the Commission to meet the energy
18efficiency standards for the next applicable multi-year period
19beginning January 1 of the year following the filing,
20according to the schedule set forth in paragraphs (1) through
21(3) of this subsection (f). If a utility does not file such a
22plan on or before the applicable filing deadline for the plan,
23it shall face a penalty of $100,000 per day until the plan is
24filed.
25        (1) No later than 30 days after June 1, 2017 (the
26    effective date of Public Act 99-906), each electric

 

 

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1    utility shall file a 4-year energy efficiency plan
2    commencing on January 1, 2018 that is designed to achieve
3    the cumulative persisting annual savings goals specified
4    in paragraphs (1) through (4) of subsection (b-5) of this
5    Section or in paragraphs (1) through (4) of subsection
6    (b-15) of this Section, as applicable, through
7    implementation of energy efficiency measures; however, the
8    goals may be reduced if the utility's expenditures are
9    limited pursuant to subsection (m) of this Section or, for
10    a utility that serves less than 3,000,000 retail
11    customers, if each of the following conditions are met:
12    (A) the plan's analysis and forecasts of the utility's
13    ability to acquire energy savings demonstrate that
14    achievement of such goals is not cost effective; and (B)
15    the amount of energy savings achieved by the utility as
16    determined by the independent evaluator for the most
17    recent year for which savings have been evaluated
18    preceding the plan filing was less than the average annual
19    amount of savings required to achieve the goals for the
20    applicable 4-year plan period. Except as provided in
21    subsection (m) of this Section, annual increases in
22    cumulative persisting annual savings goals during the
23    applicable 4-year plan period shall not be reduced to
24    amounts that are less than the maximum amount of
25    cumulative persisting annual savings that is forecast to
26    be cost-effectively achievable during the 4-year plan

 

 

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1    period. The Commission shall review any proposed goal
2    reduction as part of its review and approval of the
3    utility's proposed plan.
4        (2) No later than March 1, 2021, each electric utility
5    shall file a 4-year energy efficiency plan commencing on
6    January 1, 2022 that is designed to achieve the cumulative
7    persisting annual savings goals specified in paragraphs
8    (5) through (8) of subsection (b-5) of this Section or in
9    paragraphs (5) through (8) of subsection (b-15) of this
10    Section, as applicable, through implementation of energy
11    efficiency measures; however, the goals may be reduced if
12    either (1) clear and convincing evidence demonstrates,
13    through independent analysis, that the expenditure limits
14    in subsection (m) of this Section preclude full
15    achievement of the goals or (2) each of the following
16    conditions are met: (A) the plan's analysis and forecasts
17    of the utility's ability to acquire energy savings
18    demonstrate by clear and convincing evidence and through
19    independent analysis that achievement of such goals is not
20    cost effective; and (B) the amount of energy savings
21    achieved by the utility as determined by the independent
22    evaluator for the most recent year for which savings have
23    been evaluated preceding the plan filing was less than the
24    average annual amount of savings required to achieve the
25    goals for the applicable 4-year plan period. If there is
26    not clear and convincing evidence that achieving the

 

 

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1    savings goals specified in paragraph (b-5) or (b-15) of
2    this Section is possible both cost-effectively and within
3    the expenditure limits in subsection (m), such savings
4    goals shall not be reduced. Except as provided in
5    subsection (m) of this Section, annual increases in
6    cumulative persisting annual savings goals during the
7    applicable 4-year plan period shall not be reduced to
8    amounts that are less than the maximum amount of
9    cumulative persisting annual savings that is forecast to
10    be cost-effectively achievable during the 4-year plan
11    period. The Commission shall review any proposed goal
12    reduction as part of its review and approval of the
13    utility's proposed plan.
14        (3) No later than March 1, 2025, each electric utility
15    shall file a 4-year energy efficiency plan commencing on
16    January 1, 2026 that is designed to achieve the cumulative
17    persisting annual savings goals specified in paragraphs
18    (9) through (12) of subsection (b-5) of this Section or in
19    paragraphs (9) through (12) of subsection (b-15) of this
20    Section, as applicable, through implementation of energy
21    efficiency measures; however, the goals may be reduced if
22    either (1) clear and convincing evidence demonstrates,
23    through independent analysis, that the expenditure limits
24    in subsection (m) of this Section preclude full
25    achievement of the goals or (2) each of the following
26    conditions are met: (A) the plan's analysis and forecasts

 

 

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1    of the utility's ability to acquire energy savings
2    demonstrate by clear and convincing evidence and through
3    independent analysis that achievement of such goals is not
4    cost effective; and (B) the amount of energy savings
5    achieved by the utility as determined by the independent
6    evaluator for the most recent year for which savings have
7    been evaluated preceding the plan filing was less than the
8    average annual amount of savings required to achieve the
9    goals for the applicable 4-year plan period. If there is
10    not clear and convincing evidence that achieving the
11    savings goals specified in paragraphs (b-5) or (b-15) of
12    this Section is possible both cost-effectively and within
13    the expenditure limits in subsection (m), such savings
14    goals shall not be reduced. Except as provided in
15    subsection (m) of this Section, annual increases in
16    cumulative persisting annual savings goals during the
17    applicable 4-year plan period shall not be reduced to
18    amounts that are less than the maximum amount of
19    cumulative persisting annual savings that is forecast to
20    be cost-effectively achievable during the 4-year plan
21    period. The Commission shall review any proposed goal
22    reduction as part of its review and approval of the
23    utility's proposed plan.
24        (4) No later than March 1, 2029, and every 4 years
25    thereafter, each electric utility shall file a 4-year
26    energy efficiency plan commencing on January 1, 2030, and

 

 

HB5373- 477 -LRB104 20029 AAS 33480 b

1    every 4 years thereafter, respectively, that is designed
2    to achieve the cumulative persisting annual savings goals
3    established by the Illinois Commerce Commission pursuant
4    to direction of subsections (b-5) and (b-15) of this
5    Section, as applicable, through implementation of energy
6    efficiency measures; however, the goals may be reduced if
7    either (1) clear and convincing evidence and independent
8    analysis demonstrates that the expenditure limits in
9    subsection (m) of this Section preclude full achievement
10    of the goals or (2) each of the following conditions are
11    met: (A) the plan's analysis and forecasts of the
12    utility's ability to acquire energy savings demonstrate by
13    clear and convincing evidence and through independent
14    analysis that achievement of such goals is not
15    cost-effective; and (B) the amount of energy savings
16    achieved by the utility as determined by the independent
17    evaluator for the most recent year for which savings have
18    been evaluated preceding the plan filing was less than the
19    average annual amount of savings required to achieve the
20    goals for the applicable 4-year plan period. If there is
21    not clear and convincing evidence that achieving the
22    savings goals specified in paragraphs (b-5) or (b-15) of
23    this Section is possible both cost-effectively and within
24    the expenditure limits in subsection (m), such savings
25    goals shall not be reduced. Except as provided in
26    subsection (m) of this Section, annual increases in

 

 

HB5373- 478 -LRB104 20029 AAS 33480 b

1    cumulative persisting annual savings goals during the
2    applicable 4-year plan period shall not be reduced to
3    amounts that are less than the maximum amount of
4    cumulative persisting annual savings that is forecast to
5    be cost-effectively achievable during the 4-year plan
6    period. The Commission shall review any proposed goal
7    reduction as part of its review and approval of the
8    utility's proposed plan.
9    Each utility's plan shall set forth the utility's
10proposals to meet the energy efficiency standards identified
11in subsection (b-5) or (b-15), as applicable and as such
12standards may have been modified under this subsection (f),
13taking into account the unique circumstances of the utility's
14service territory. For those plans commencing on January 1,
152018, the Commission shall seek public comment on the
16utility's plan and shall issue an order approving or
17disapproving each plan no later than 105 days after June 1,
182017 (the effective date of Public Act 99-906). For those
19plans commencing after December 31, 2021, the Commission shall
20seek public comment on the utility's plan and shall issue an
21order approving or disapproving each plan within 6 months
22after its submission. If the Commission disapproves a plan,
23the Commission shall, within 30 days, describe in detail the
24reasons for the disapproval and describe a path by which the
25utility may file a revised draft of the plan to address the
26Commission's concerns satisfactorily. If the utility does not

 

 

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1refile with the Commission within 60 days, the utility shall
2be subject to penalties at a rate of $100,000 per day until the
3plan is filed. This process shall continue, and penalties
4shall accrue, until the utility has successfully filed a
5portfolio of energy efficiency and demand-response measures.
6Penalties shall be deposited into the Energy Efficiency Trust
7Fund.
8    (g) In submitting proposed plans and funding levels under
9subsection (f) of this Section to meet the savings goals
10identified in subsection (b-5) or (b-15) of this Section, as
11applicable, the utility shall:
12        (1) Demonstrate that its proposed energy efficiency
13    measures will achieve the applicable requirements that are
14    identified in subsection (b-5) or (b-15) of this Section,
15    as modified by subsection (f) of this Section.
16        (2) (Blank).
17        (2.5) Demonstrate consideration of program options for
18    (A) advancing new building codes, appliance standards, and
19    municipal regulations governing existing and new building
20    efficiency improvements and (B) supporting efforts to
21    improve compliance with new building codes, appliance
22    standards and municipal regulations, as potentially
23    cost-effective means of acquiring energy savings to count
24    toward savings goals.
25        (3) Demonstrate that its overall portfolio of
26    measures, not including low-income programs described in

 

 

HB5373- 480 -LRB104 20029 AAS 33480 b

1    subsection (c) of this Section, is cost-effective using
2    the total resource cost test or complies with paragraphs
3    (1) through (3) of subsection (f) of this Section and
4    represents a diverse cross-section of opportunities for
5    customers of all rate classes, other than those customers
6    described in subsection (l) of this Section, to
7    participate in the programs. Individual measures need not
8    be cost effective.
9        (3.5) Demonstrate that the utility's plan integrates
10    the delivery of energy efficiency programs with natural
11    gas efficiency programs, programs promoting distributed
12    solar, programs promoting demand response and other
13    efforts to address bill payment issues, including, but not
14    limited to, LIHEAP and the Percentage of Income Payment
15    Plan, to the extent such integration is practical and has
16    the potential to enhance customer engagement, minimize
17    market confusion, or reduce administrative costs.
18        (4) Present a third-party energy efficiency
19    implementation program subject to the following
20    requirements:
21            (A) beginning with the year commencing January 1,
22        2019, electric utilities that serve more than
23        3,000,000 retail customers in the State shall fund
24        third-party energy efficiency programs in an amount
25        that is no less than $25,000,000 per year, and
26        electric utilities that serve less than 3,000,000

 

 

HB5373- 481 -LRB104 20029 AAS 33480 b

1        retail customers but more than 500,000 retail
2        customers in the State shall fund third-party energy
3        efficiency programs in an amount that is no less than
4        $8,350,000 per year;
5            (B) during 2018, the utility shall conduct a
6        solicitation process for purposes of requesting
7        proposals from third-party vendors for those
8        third-party energy efficiency programs to be offered
9        during one or more of the years commencing January 1,
10        2019, January 1, 2020, and January 1, 2021; for those
11        multi-year plans commencing on January 1, 2022 and
12        January 1, 2026, the utility shall conduct a
13        solicitation process during 2021 and 2025,
14        respectively, for purposes of requesting proposals
15        from third-party vendors for those third-party energy
16        efficiency programs to be offered during one or more
17        years of the respective multi-year plan period; for
18        each solicitation process, the utility shall identify
19        the sector, technology, or geographical area for which
20        it is seeking requests for proposals; the solicitation
21        process must be either for programs that fill gaps in
22        the utility's program portfolio and for programs that
23        target low-income customers, business sectors,
24        building types, geographies, or other specific parts
25        of its customer base with initiatives that would be
26        more effective at reaching these customer segments

 

 

HB5373- 482 -LRB104 20029 AAS 33480 b

1        than the utilities' programs filed in its energy
2        efficiency plans;
3            (C) the utility shall propose the bidder
4        qualifications, performance measurement process, and
5        contract structure, which must include a performance
6        payment mechanism and general terms and conditions;
7        the proposed qualifications, process, and structure
8        shall be subject to Commission approval; and
9            (D) the utility shall retain an independent third
10        party to score the proposals received through the
11        solicitation process described in this paragraph (4),
12        rank them according to their cost per lifetime
13        kilowatt-hours saved, and assemble the portfolio of
14        third-party programs.
15        The electric utility shall recover all costs
16    associated with Commission-approved, third-party
17    administered programs regardless of the success of those
18    programs.
19        (4.5) Implement cost-effective demand-response
20    measures to reduce peak demand by 0.1% over the prior year
21    for eligible retail customers, as defined in Section
22    16-111.5 of this Act, and for customers that elect hourly
23    service from the utility pursuant to Section 16-107 of
24    this Act, provided those customers have not been declared
25    competitive. This requirement continues until December 31,
26    2026.

 

 

HB5373- 483 -LRB104 20029 AAS 33480 b

1        (5) Include a proposed or revised cost-recovery tariff
2    mechanism, as provided for under subsection (d) of this
3    Section, to fund the proposed energy efficiency and
4    demand-response measures and to ensure the recovery of the
5    prudently and reasonably incurred costs of
6    Commission-approved programs.
7        (6) Provide for an annual independent evaluation of
8    the performance of the cost-effectiveness of the utility's
9    portfolio of measures, as well as a full review of the
10    multi-year plan results of the broader net program impacts
11    and, to the extent practical, for adjustment of the
12    measures on a going-forward basis as a result of the
13    evaluations. The resources dedicated to evaluation shall
14    not exceed 3% of portfolio resources in any given year.
15        (7) For electric utilities that serve more than
16    3,000,000 retail customers in the State:
17            (A) Through December 31, 2025, provide for an
18        adjustment to the return on equity component of the
19        utility's weighted average cost of capital calculated
20        under subsection (d) of this Section:
21                (i) If the independent evaluator determines
22            that the utility achieved a cumulative persisting
23            annual savings that is less than the applicable
24            annual incremental goal, then the return on equity
25            component shall be reduced by a maximum of 200
26            basis points in the event that the utility

 

 

HB5373- 484 -LRB104 20029 AAS 33480 b

1            achieved no more than 75% of such goal. If the
2            utility achieved more than 75% of the applicable
3            annual incremental goal but less than 100% of such
4            goal, then the return on equity component shall be
5            reduced by 8 basis points for each percent by
6            which the utility failed to achieve the goal.
7                (ii) If the independent evaluator determines
8            that the utility achieved a cumulative persisting
9            annual savings that is more than the applicable
10            annual incremental goal, then the return on equity
11            component shall be increased by a maximum of 200
12            basis points in the event that the utility
13            achieved at least 125% of such goal. If the
14            utility achieved more than 100% of the applicable
15            annual incremental goal but less than 125% of such
16            goal, then the return on equity component shall be
17            increased by 8 basis points for each percent by
18            which the utility achieved above the goal. If the
19            applicable annual incremental goal was reduced
20            under paragraph (1) or (2) of subsection (f) of
21            this Section, then the following adjustments shall
22            be made to the calculations described in this item
23            (ii):
24                    (aa) the calculation for determining
25                achievement that is at least 125% of the
26                applicable annual incremental goal shall use

 

 

HB5373- 485 -LRB104 20029 AAS 33480 b

1                the unreduced applicable annual incremental
2                goal to set the value; and
3                    (bb) the calculation for determining
4                achievement that is less than 125% but more
5                than 100% of the applicable annual incremental
6                goal shall use the reduced applicable annual
7                incremental goal to set the value for 100%
8                achievement of the goal and shall use the
9                unreduced goal to set the value for 125%
10                achievement. The 8 basis point value shall
11                also be modified, as necessary, so that the
12                200 basis points are evenly apportioned among
13                each percentage point value between 100% and
14                125% achievement.
15            (B) For the period January 1, 2026 through
16        December 31, 2029 and in all subsequent 4-year
17        periods, provide for an adjustment to the return on
18        equity component of the utility's weighted average
19        cost of capital calculated under subsection (d) of
20        this Section:
21                (i) If the independent evaluator determines
22            that the utility achieved a cumulative persisting
23            annual savings that is less than the applicable
24            annual incremental goal, then the return on equity
25            component shall be reduced by a maximum of 200
26            basis points in the event that the utility

 

 

HB5373- 486 -LRB104 20029 AAS 33480 b

1            achieved no more than 66% of such goal. If the
2            utility achieved more than 66% of the applicable
3            annual incremental goal but less than 100% of such
4            goal, then the return on equity component shall be
5            reduced by 6 basis points for each percent by
6            which the utility failed to achieve the goal.
7                (ii) If the independent evaluator determines
8            that the utility achieved a cumulative persisting
9            annual savings that is more than the applicable
10            annual incremental goal, then the return on equity
11            component shall be increased by a maximum of 200
12            basis points in the event that the utility
13            achieved at least 134% of such goal. If the
14            utility achieved more than 100% of the applicable
15            annual incremental goal but less than 134% of such
16            goal, then the return on equity component shall be
17            increased by 6 basis points for each percent by
18            which the utility achieved above the goal. If the
19            applicable annual incremental goal was reduced
20            under paragraph (3) of subsection (f) of this
21            Section, then the following adjustments shall be
22            made to the calculations described in this item
23            (ii):
24                    (aa) the calculation for determining
25                achievement that is at least 134% of the
26                applicable annual incremental goal shall use

 

 

HB5373- 487 -LRB104 20029 AAS 33480 b

1                the unreduced applicable annual incremental
2                goal to set the value; and
3                    (bb) the calculation for determining
4                achievement that is less than 134% but more
5                than 100% of the applicable annual incremental
6                goal shall use the reduced applicable annual
7                incremental goal to set the value for 100%
8                achievement of the goal and shall use the
9                unreduced goal to set the value for 134%
10                achievement. The 6 basis point value shall
11                also be modified, as necessary, so that the
12                200 basis points are evenly apportioned among
13                each percentage point value between 100% and
14                134% achievement.
15            (C) Notwithstanding the provisions of
16        subparagraphs (A) and (B) of this paragraph (7), if
17        the applicable annual incremental goal for an electric
18        utility is ever less than 0.6% of deemed average
19        weather normalized sales of electric power and energy
20        during calendar years 2014, 2015, and 2016, an
21        adjustment to the return on equity component of the
22        utility's weighted average cost of capital calculated
23        under subsection (d) of this Section shall be made as
24        follows:
25                (i) If the independent evaluator determines
26            that the utility achieved a cumulative persisting

 

 

HB5373- 488 -LRB104 20029 AAS 33480 b

1            annual savings that is less than would have been
2            achieved had the applicable annual incremental
3            goal been achieved, then the return on equity
4            component shall be reduced by a maximum of 200
5            basis points if the utility achieved no more than
6            75% of its applicable annual total savings
7            requirement as defined in paragraph (7.5) of this
8            subsection. If the utility achieved more than 75%
9            of the applicable annual total savings requirement
10            but less than 100% of such goal, then the return on
11            equity component shall be reduced by 8 basis
12            points for each percent by which the utility
13            failed to achieve the goal.
14                (ii) If the independent evaluator determines
15            that the utility achieved a cumulative persisting
16            annual savings that is more than would have been
17            achieved had the applicable annual incremental
18            goal been achieved, then the return on equity
19            component shall be increased by a maximum of 200
20            basis points if the utility achieved at least 125%
21            of its applicable annual total savings
22            requirement. If the utility achieved more than
23            100% of the applicable annual total savings
24            requirement but less than 125% of such goal, then
25            the return on equity component shall be increased
26            by 8 basis points for each percent by which the

 

 

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1            utility achieved above the applicable annual total
2            savings requirement. If the applicable annual
3            incremental goal was reduced under paragraph (1)
4            or (2) of subsection (f) of this Section, then the
5            following adjustments shall be made to the
6            calculations described in this item (ii):
7                    (aa) the calculation for determining
8                achievement that is at least 125% of the
9                applicable annual total savings requirement
10                shall use the unreduced applicable annual
11                incremental goal to set the value; and
12                    (bb) the calculation for determining
13                achievement that is less than 125% but more
14                than 100% of the applicable annual total
15                savings requirement shall use the reduced
16                applicable annual incremental goal to set the
17                value for 100% achievement of the goal and
18                shall use the unreduced goal to set the value
19                for 125% achievement. The 8 basis point value
20                shall also be modified, as necessary, so that
21                the 200 basis points are evenly apportioned
22                among each percentage point value between 100%
23                and 125% achievement.
24        (7.5) For purposes of this Section, the term
25    "applicable annual incremental goal" means the difference
26    between the cumulative persisting annual savings goal for

 

 

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1    the calendar year that is the subject of the independent
2    evaluator's determination and the cumulative persisting
3    annual savings goal for the immediately preceding calendar
4    year, as such goals are defined in subsections (b-5) and
5    (b-15) of this Section and as these goals may have been
6    modified as provided for under subsection (b-20) and
7    paragraphs (1) through (3) of subsection (f) of this
8    Section. Under subsections (b), (b-5), (b-10), and (b-15)
9    of this Section, a utility must first replace energy
10    savings from measures that have expired before any
11    progress towards achievement of its applicable annual
12    incremental goal may be counted. Savings may expire
13    because measures installed in previous years have reached
14    the end of their lives, because measures installed in
15    previous years are producing lower savings in the current
16    year than in the previous year, or for other reasons
17    identified by independent evaluators. Notwithstanding
18    anything else set forth in this Section, the difference
19    between the actual annual incremental savings achieved in
20    any given year, including the replacement of energy
21    savings that have expired, and the applicable annual
22    incremental goal shall not affect adjustments to the
23    return on equity for subsequent calendar years under this
24    subsection (g).
25        In this Section, "applicable annual total savings
26    requirement" means the total amount of new annual savings

 

 

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1    that the utility must achieve in any given year to achieve
2    the applicable annual incremental goal. This is equal to
3    the applicable annual incremental goal plus the total new
4    annual savings that are required to replace savings that
5    expired in or at the end of the previous year.
6        (8) For electric utilities that serve less than
7    3,000,000 retail customers but more than 500,000 retail
8    customers in the State:
9            (A) Through December 31, 2025, the applicable
10        annual incremental goal shall be compared to the
11        annual incremental savings as determined by the
12        independent evaluator.
13                (i) The return on equity component shall be
14            reduced by 8 basis points for each percent by
15            which the utility did not achieve 84.4% of the
16            applicable annual incremental goal.
17                (ii) The return on equity component shall be
18            increased by 8 basis points for each percent by
19            which the utility exceeded 100% of the applicable
20            annual incremental goal.
21                (iii) The return on equity component shall not
22            be increased or decreased if the annual
23            incremental savings as determined by the
24            independent evaluator is greater than 84.4% of the
25            applicable annual incremental goal and less than
26            100% of the applicable annual incremental goal.

 

 

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1                (iv) The return on equity component shall not
2            be increased or decreased by an amount greater
3            than 200 basis points pursuant to this
4            subparagraph (A).
5            (B) For the period of January 1, 2026 through
6        December 31, 2029 and in all subsequent 4-year
7        periods, the applicable annual incremental goal shall
8        be compared to the annual incremental savings as
9        determined by the independent evaluator.
10                (i) The return on equity component shall be
11            reduced by 6 basis points for each percent by
12            which the utility did not achieve 100% of the
13            applicable annual incremental goal.
14                (ii) The return on equity component shall be
15            increased by 6 basis points for each percent by
16            which the utility exceeded 100% of the applicable
17            annual incremental goal.
18                (iii) The return on equity component shall not
19            be increased or decreased by an amount greater
20            than 200 basis points pursuant to this
21            subparagraph (B).
22            (C) Notwithstanding provisions in subparagraphs
23        (A) and (B) of paragraph (7) of this subsection, if the
24        applicable annual incremental goal for an electric
25        utility is ever less than 0.6% of deemed average
26        weather normalized sales of electric power and energy

 

 

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1        during calendar years 2014, 2015 and 2016, an
2        adjustment to the return on equity component of the
3        utility's weighted average cost of capital calculated
4        under subsection (d) of this Section shall be made as
5        follows:
6                (i) The return on equity component shall be
7            reduced by 8 basis points for each percent by
8            which the utility did not achieve 100% of the
9            applicable annual total savings requirement.
10                (ii) The return on equity component shall be
11            increased by 8 basis points for each percent by
12            which the utility exceeded 100% of the applicable
13            annual total savings requirement.
14                (iii) The return on equity component shall not
15            be increased or decreased by an amount greater
16            than 200 basis points pursuant to this
17            subparagraph (C).
18            (D) If the applicable annual incremental goal was
19        reduced under paragraph (1), (2), (3), or (4) of
20        subsection (f) of this Section, then the following
21        adjustments shall be made to the calculations
22        described in subparagraphs (A), (B), and (C) of this
23        paragraph (8):
24                (i) The calculation for determining
25            achievement that is at least 125% or 134%, as
26            applicable, of the applicable annual incremental

 

 

HB5373- 494 -LRB104 20029 AAS 33480 b

1            goal or the applicable annual total savings
2            requirement, as applicable, shall use the
3            unreduced applicable annual incremental goal to
4            set the value.
5                (ii) For the period through December 31, 2025,
6            the calculation for determining achievement that
7            is less than 125% but more than 100% of the
8            applicable annual incremental goal or the
9            applicable annual total savings requirement, as
10            applicable, shall use the reduced applicable
11            annual incremental goal to set the value for 100%
12            achievement of the goal and shall use the
13            unreduced goal to set the value for 125%
14            achievement. The 8 basis point value shall also be
15            modified, as necessary, so that the 200 basis
16            points are evenly apportioned among each
17            percentage point value between 100% and 125%
18            achievement.
19                (iii) For the period of January 1, 2026
20            through December 31, 2029 and all subsequent
21            4-year periods, the calculation for determining
22            achievement that is less than 125% or 134%, as
23            applicable, but more than 100% of the applicable
24            annual incremental goal or the applicable annual
25            total savings requirement, as applicable, shall
26            use the reduced applicable annual incremental goal

 

 

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1            to set the value for 100% achievement of the goal
2            and shall use the unreduced goal to set the value
3            for 125% achievement. The 6 basis-point value or 8
4            basis-point value, as applicable, shall also be
5            modified, as necessary, so that the 200 basis
6            points are evenly apportioned among each
7            percentage point value between 100% and 125% or
8            between 100% and 134% achievement, as applicable.
9        (9) The utility shall submit the energy savings data
10    to the independent evaluator no later than 30 days after
11    the close of the plan year. The independent evaluator
12    shall determine the cumulative persisting annual savings
13    for a given plan year, as well as an estimate of job
14    impacts and other macroeconomic impacts of the efficiency
15    programs for that year, no later than 120 days after the
16    close of the plan year. The utility shall submit an
17    informational filing to the Commission no later than 160
18    days after the close of the plan year that attaches the
19    independent evaluator's final report identifying the
20    cumulative persisting annual savings for the year and
21    calculates, under paragraph (7) or (8) of this subsection
22    (g), as applicable, any resulting change to the utility's
23    return on equity component of the weighted average cost of
24    capital applicable to the next plan year beginning with
25    the January monthly billing period and extending through
26    the December monthly billing period. However, if the

 

 

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1    utility recovers the costs incurred under this Section
2    under paragraphs (2) and (3) of subsection (d) of this
3    Section, then the utility shall not be required to submit
4    such informational filing, and shall instead submit the
5    information that would otherwise be included in the
6    informational filing as part of its filing under paragraph
7    (3) of such subsection (d) that is due on or before June 1
8    of each year.
9        For those utilities that must submit the informational
10    filing, the Commission may, on its own motion or by
11    petition, initiate an investigation of such filing,
12    provided, however, that the utility's proposed return on
13    equity calculation shall be deemed the final, approved
14    calculation on December 15 of the year in which it is filed
15    unless the Commission enters an order on or before
16    December 15, after notice and hearing, that modifies such
17    calculation consistent with this Section.
18        The adjustments to the return on equity component
19    described in paragraphs (7) and (8) of this subsection (g)
20    shall be applied as described in such paragraphs through a
21    separate tariff mechanism, which shall be filed by the
22    utility under subsections (f) and (g) of this Section.
23        (9.5) The utility must demonstrate how it will ensure
24    that program implementation contractors and energy
25    efficiency installation vendors will promote workforce
26    equity and quality jobs.

 

 

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1        (9.6) Utilities shall collect data necessary to ensure
2    compliance with paragraph (9.5) no less than quarterly and
3    shall communicate progress toward compliance with
4    paragraph (9.5) to program implementation contractors and
5    energy efficiency installation vendors no less than
6    quarterly. Utilities shall work with relevant vendors,
7    providing education, training, and other resources needed
8    to ensure compliance and, where necessary, adjusting or
9    terminating work with vendors that cannot assist with
10    compliance.
11        (10) Utilities required to implement efficiency
12    programs under subsections (b-5) and (b-10) shall report
13    annually to the Illinois Commerce Commission and the
14    General Assembly on how hiring, contracting, job training,
15    and other practices related to its energy efficiency
16    programs enhance the diversity of vendors working on such
17    programs. These reports must include data on vendor and
18    employee diversity, including data on the implementation
19    of paragraphs (9.5) and (9.6). If the utility is not
20    meeting the requirements of paragraphs (9.5) and (9.6),
21    the utility shall submit a plan to adjust their activities
22    so that they meet the requirements of paragraphs (9.5) and
23    (9.6) within the following year.
24    (h) No more than 4% of energy efficiency and
25demand-response program revenue may be allocated for research,
26development, or pilot deployment of new equipment or measures.

 

 

HB5373- 498 -LRB104 20029 AAS 33480 b

1Electric utilities shall work with interested stakeholders to
2formulate a plan for how these funds should be spent,
3incorporate statewide approaches for these allocations, and
4file a 4-year plan that demonstrates that collaboration. If a
5utility files a request for modified annual energy savings
6goals with the Commission, then a utility shall forgo spending
7portfolio dollars on research and development proposals.
8    (i) When practicable, electric utilities shall incorporate
9advanced metering infrastructure data into the planning,
10implementation, and evaluation of energy efficiency measures
11and programs, subject to the data privacy and confidentiality
12protections of applicable law.
13    (j) The independent evaluator shall follow the guidelines
14and use the savings set forth in Commission-approved energy
15efficiency policy manuals and technical reference manuals, as
16each may be updated from time to time. Until such time as
17measure life values for energy efficiency measures implemented
18for low-income households under subsection (c) of this Section
19are incorporated into such Commission-approved manuals, the
20low-income measures shall have the same measure life values
21that are established for same measures implemented in
22households that are not low-income households.
23    (k) Notwithstanding any provision of law to the contrary,
24an electric utility subject to the requirements of this
25Section may file a tariff cancelling an automatic adjustment
26clause tariff in effect under this Section or Section 8-103,

 

 

HB5373- 499 -LRB104 20029 AAS 33480 b

1which shall take effect no later than one business day after
2the date such tariff is filed. Thereafter, the utility shall
3be authorized to defer and recover its expenditures incurred
4under this Section through a new tariff authorized under
5subsection (d) of this Section or in the utility's next rate
6case under Article IX or Section 16-108.5 of this Act, with
7interest at an annual rate equal to the utility's weighted
8average cost of capital as approved by the Commission in such
9case. If the utility elects to file a new tariff under
10subsection (d) of this Section, the utility may file the
11tariff within 10 days after June 1, 2017 (the effective date of
12Public Act 99-906), and the cost inputs to such tariff shall be
13based on the projected costs to be incurred by the utility
14during the calendar year in which the new tariff is filed and
15that were not recovered under the tariff that was cancelled as
16provided for in this subsection. Such costs shall include
17those incurred or to be incurred by the utility under its
18multi-year plan approved under subsections (f) and (g) of this
19Section, including, but not limited to, projected capital
20investment costs and projected regulatory asset balances with
21correspondingly updated depreciation and amortization reserves
22and expense. The Commission shall, after notice and hearing,
23approve, or approve with modification, such tariff and cost
24inputs no later than 75 days after the utility filed the
25tariff, provided that such approval, or approval with
26modification, shall be consistent with the provisions of this

 

 

HB5373- 500 -LRB104 20029 AAS 33480 b

1Section to the extent they do not conflict with this
2subsection (k). The tariff approved by the Commission shall
3take effect no later than 5 days after the Commission enters
4its order approving the tariff.
5    No later than 60 days after the effective date of the
6tariff cancelling the utility's automatic adjustment clause
7tariff, the utility shall file a reconciliation that
8reconciles the moneys collected under its automatic adjustment
9clause tariff with the costs incurred during the period
10beginning June 1, 2016 and ending on the date that the electric
11utility's automatic adjustment clause tariff was cancelled. In
12the event the reconciliation reflects an under-collection, the
13utility shall recover the costs as specified in this
14subsection (k). If the reconciliation reflects an
15over-collection, the utility shall apply the amount of such
16over-collection as a one-time credit to retail customers'
17bills.
18    (l) For the calendar years covered by a multi-year plan
19commencing after December 31, 2017, subsections (a) through
20(j) of this Section do not apply to eligible large private
21energy customers that have chosen to opt out of multi-year
22plans consistent with this subsection (1).
23        (1) For purposes of this subsection (l), "eligible
24    large private energy customer" means any retail customers,
25    except for federal, State, municipal, and other public
26    customers, of an electric utility that serves more than

 

 

HB5373- 501 -LRB104 20029 AAS 33480 b

1    3,000,000 retail customers, except for federal, State,
2    municipal and other public customers, in the State and
3    whose total highest 30 minute demand was more than 10,000
4    kilowatts, or any retail customers of an electric utility
5    that serves less than 3,000,000 retail customers but more
6    than 500,000 retail customers in the State and whose total
7    highest 15 minute demand was more than 10,000 kilowatts.
8    For purposes of this subsection (l), "retail customer" has
9    the meaning set forth in Section 16-102 of this Act.
10    However, for a business entity with multiple sites located
11    in the State, where at least one of those sites qualifies
12    as an eligible large private energy customer, then any of
13    that business entity's sites, properly identified on a
14    form for notice, shall be considered eligible large
15    private energy customers for the purposes of this
16    subsection (l). A determination of whether this subsection
17    is applicable to a customer shall be made for each
18    multi-year plan beginning after December 31, 2017. The
19    criteria for determining whether this subsection (l) is
20    applicable to a retail customer shall be based on the 12
21    consecutive billing periods prior to the start of the
22    first year of each such multi-year plan.
23        (2) Within 45 days after September 15, 2021 (the
24    effective date of Public Act 102-662), the Commission
25    shall prescribe the form for notice required for opting
26    out of energy efficiency programs. The notice must be

 

 

HB5373- 502 -LRB104 20029 AAS 33480 b

1    submitted to the retail electric utility 12 months before
2    the next energy efficiency planning cycle. However, within
3    120 days after the Commission's initial issuance of the
4    form for notice, eligible large private energy customers
5    may submit a form for notice to an electric utility. The
6    form for notice for opting out of energy efficiency
7    programs shall include all of the following:
8            (A) a statement indicating that the customer has
9        elected to opt out;
10            (B) the account numbers for the customer accounts
11        to which the opt out shall apply;
12            (C) the mailing address associated with the
13        customer accounts identified under subparagraph (B);
14            (D) an American Society of Heating, Refrigerating,
15        and Air-Conditioning Engineers (ASHRAE) level 2 or
16        higher audit report conducted by an independent
17        third-party expert identifying cost-effective energy
18        efficiency project opportunities that could be
19        invested in over the next 10 years. A retail customer
20        with specialized processes may utilize a self-audit
21        process in lieu of the ASHRAE audit;
22            (E) a description of the customer's plans to
23        reallocate the funds toward internal energy efficiency
24        efforts identified in the subparagraph (D) report,
25        including, but not limited to: (i) strategic energy
26        management or other programs, including descriptions

 

 

HB5373- 503 -LRB104 20029 AAS 33480 b

1        of targeted buildings, equipment and operations; (ii)
2        eligible energy efficiency measures; and (iii)
3        expected energy savings, itemized by technology. If
4        the subparagraph (D) audit report identifies that the
5        customer currently utilizes the best available energy
6        efficient technology, equipment, programs, and
7        operations, the customer may provide a statement that
8        more efficient technology, equipment, programs, and
9        operations are not reasonably available as a means of
10        satisfying this subparagraph (E); and
11            (F) the effective date of the opt out, which will
12        be the next January 1 following notice of the opt out.
13        (3) Upon receipt of a properly and timely noticed
14    request for opt out submitted by an eligible large private
15    energy customer, the retail electric utility shall grant
16    the request, file the request with the Commission and,
17    beginning January 1 of the following year, the opted out
18    customer shall no longer be assessed the costs of the plan
19    and shall be prohibited from participating in that 4-year
20    plan cycle to give the retail utility the certainty to
21    design program plan proposals.
22        (4) Upon a customer's election to opt out under
23    paragraphs (1) and (2) of this subsection (l) and
24    commencing on the effective date of said opt out, the
25    account properly identified in the customer's notice under
26    paragraph (2) shall not be subject to any cost recovery

 

 

HB5373- 504 -LRB104 20029 AAS 33480 b

1    and shall not be eligible to participate in, or directly
2    benefit from, compliance with energy efficiency cumulative
3    persisting savings requirements under subsections (a)
4    through (j).
5        (5) A utility's cumulative persisting annual savings
6    targets will exclude any opted out load.
7        (6) The request to opt out is only valid for the
8    requested plan cycle. An eligible large private energy
9    customer must also request to opt out for future energy
10    plan cycles, otherwise the customer will be included in
11    the future energy plan cycle.
12    (m) Notwithstanding the requirements of this Section, as
13part of a proceeding to approve a multi-year plan under
14subsections (f) and (g) of this Section if the multi-year plan
15has been designed to maximize savings, but does not meet the
16cost cap limitations of this Section, the Commission shall
17reduce the amount of energy efficiency measures implemented
18for any single year, and whose costs are recovered under
19subsection (d) of this Section, by an amount necessary to
20limit the estimated average net increase due to the cost of the
21measures to no more than
22        (1) 3.5% for each of the 4 years beginning January 1,
23    2018,
24        (2) (blank),
25        (3) 4% for each of the 4 years beginning January 1,
26    2022,

 

 

HB5373- 505 -LRB104 20029 AAS 33480 b

1        (4) 4.25% for the 4 years beginning January 1, 2026,
2    and
3        (5) 4.25% plus an increase sufficient to account for
4    the rate of inflation between January 1, 2026 and January
5    1 of the first year of each subsequent 4-year plan cycle,
6of the average amount paid per kilowatthour by residential
7eligible retail customers during calendar year 2015. An
8electric utility may plan to spend up to 10% more in any year
9during an applicable multi-year plan period to
10cost-effectively achieve additional savings so long as the
11average over the applicable multi-year plan period does not
12exceed the percentages defined in items (1) through (5). To
13determine the total amount that may be spent by an electric
14utility in any single year, the applicable percentage of the
15average amount paid per kilowatthour shall be multiplied by
16the total amount of energy delivered by such electric utility
17in the calendar year 2015, adjusted to reflect the proportion
18of the utility's load attributable to customers that have
19opted out of subsections (a) through (j) of this Section under
20subsection (l) of this Section. For purposes of this
21subsection (m), the amount paid per kilowatthour includes,
22without limitation, estimated amounts paid for supply,
23transmission, distribution, surcharges, and add-on taxes. For
24purposes of this Section, "eligible retail customers" shall
25have the meaning set forth in Section 16-111.5 of this Act.
26Once the Commission has approved a plan under subsections (f)

 

 

HB5373- 506 -LRB104 20029 AAS 33480 b

1and (g) of this Section, no subsequent rate impact
2determinations shall be made.
3    (n) A utility shall take advantage of the efficiencies
4available through existing Illinois Home Weatherization
5Assistance Program infrastructure and services, such as
6enrollment, marketing, quality assurance and implementation,
7which can reduce the need for similar services at a lower cost
8than utility-only programs, subject to capacity constraints at
9community action agencies, for both single-family and
10multifamily weatherization services, to the extent Illinois
11Home Weatherization Assistance Program community action
12agencies provide multifamily services. A utility's plan shall
13demonstrate that in formulating annual weatherization budgets,
14it has sought input and coordination with community action
15agencies regarding agencies' capacity to expand and maximize
16Illinois Home Weatherization Assistance Program delivery using
17the ratepayer dollars collected under this Section.
18(Source: P.A. 102-662, eff. 9-15-21; 103-154, eff. 6-30-23;
19103-613, eff. 7-1-24.)
 
20    (Text of Section after amendment by P.A. 104-458)
21    Sec. 8-103B. Energy efficiency and demand-response
22measures.
23    (a) It is the policy of the State that electric utilities
24are required to use cost-effective energy efficiency and
25demand-response measures to reduce delivery load. Requiring

 

 

HB5373- 507 -LRB104 20029 AAS 33480 b

1investment in cost-effective energy efficiency and
2demand-response measures will reduce direct and indirect costs
3to consumers by decreasing environmental impacts and by
4avoiding or delaying the need for new generation,
5transmission, and distribution infrastructure. It serves the
6public interest to allow electric utilities to recover costs
7for reasonably and prudently incurred expenditures for energy
8efficiency and demand-response measures. As used in this
9Section, "cost-effective" means that the measures satisfy the
10total resource cost test. The low-income measures described in
11subsection (c) of this Section shall not be required to meet
12the total resource cost test. For purposes of this Section,
13the terms "energy-efficiency", "demand-response", "electric
14utility", and "total resource cost test" have the meanings set
15forth in the Illinois Power Agency Act. "Black, indigenous,
16and people of color" and "BIPOC" means people who are members
17of the groups described in subparagraphs (a) through (e) of
18paragraph (A) of subsection (1) of Section 2 of the Business
19Enterprise for Minorities, Women, and Persons with
20Disabilities Act.
21    (a-5) This Section applies to electric utilities serving
22more than 500,000 retail customers in the State for those
23multi-year plans commencing after December 31, 2017.
24    (b) For purposes of this Section, through calendar year
252026, electric utilities subject to this Section that serve
26more than 3,000,000 retail customers in the State shall be

 

 

HB5373- 508 -LRB104 20029 AAS 33480 b

1deemed to have achieved a cumulative persisting annual savings
2of 6.6% from energy efficiency measures and programs
3implemented during the period beginning January 1, 2012 and
4ending December 31, 2017, which percent is based on the deemed
5average weather normalized sales of electric power and energy
6during calendar years 2014, 2015, and 2016 of 88,000,000 MWhs.
7For the purposes of this subsection (b) and subsection (b-5),
8the 88,000,000 MWhs of deemed electric power and energy sales
9shall be reduced by the number of MWhs equal to the sum of the
10annual consumption of customers that have opted out of
11subsections (a) through (j) of this Section under paragraph
12(1) of subsection (l) of this Section, as averaged across the
13calendar years 2014, 2015, and 2016. After 2017, the deemed
14value of cumulative persisting annual savings from energy
15efficiency measures and programs implemented during the period
16beginning January 1, 2012 and ending December 31, 2017, shall
17be reduced each year, as follows, and the applicable value
18shall be applied to and count toward the utility's achievement
19of the cumulative persisting annual savings goals set forth in
20subsection (b-5):
21        (1) 5.8% deemed cumulative persisting annual savings
22    for the year ending December 31, 2018;
23        (2) 5.2% deemed cumulative persisting annual savings
24    for the year ending December 31, 2019;
25        (3) 4.5% deemed cumulative persisting annual savings
26    for the year ending December 31, 2020;

 

 

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1        (4) 4.0% deemed cumulative persisting annual savings
2    for the year ending December 31, 2021;
3        (5) 3.5% deemed cumulative persisting annual savings
4    for the year ending December 31, 2022;
5        (6) 3.1% deemed cumulative persisting annual savings
6    for the year ending December 31, 2023;
7        (7) 2.8% deemed cumulative persisting annual savings
8    for the year ending December 31, 2024;
9        (8) 2.5% deemed cumulative persisting annual savings
10    for the year ending December 31, 2025; and
11        (9) 2.3% deemed cumulative persisting annual savings
12    for the year ending December 31, 2026.
13    For purposes of this Section, "cumulative persisting
14annual savings" means the total electric energy savings in a
15given year from measures installed in that year or in previous
16years, but no earlier than January 1, 2012, that are still
17operational and providing savings in that year because the
18measures have not yet reached the end of their useful lives.
19    (b-5) Beginning in 2018 and through calendar year 2026,
20electric utilities subject to this Section that serve more
21than 3,000,000 retail customers in the State shall achieve the
22following cumulative persisting annual savings goals, as
23modified by subsection (f) of this Section and as compared to
24the deemed baseline of 88,000,000 MWhs of electric power and
25energy sales set forth in subsection (b), as reduced by the
26number of MWhs equal to the sum of the annual consumption of

 

 

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1customers that have opted out of subsections (a) through (j)
2of this Section under paragraph (1) of subsection (l) of this
3Section as averaged across the calendar years 2014, 2015, and
42016, through the implementation of energy efficiency measures
5during the applicable year and in prior years, but no earlier
6than January 1, 2012:
7        (1) 7.8% cumulative persisting annual savings for the
8    year ending December 31, 2018;
9        (2) 9.1% cumulative persisting annual savings for the
10    year ending December 31, 2019;
11        (3) 10.4% cumulative persisting annual savings for the
12    year ending December 31, 2020;
13        (4) 11.8% cumulative persisting annual savings for the
14    year ending December 31, 2021;
15        (5) 13.1% cumulative persisting annual savings for the
16    year ending December 31, 2022;
17        (6) 14.4% cumulative persisting annual savings for the
18    year ending December 31, 2023;
19        (7) 15.7% cumulative persisting annual savings for the
20    year ending December 31, 2024;
21        (8) 17% cumulative persisting annual savings for the
22    year ending December 31, 2025; and
23        (9) 17.9% cumulative persisting annual savings for the
24    year ending December 31, 2026.
25    (b-10) For purposes of this Section, through calendar year
262026, electric utilities subject to this Section that serve

 

 

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1less than 3,000,000 retail customers but more than 500,000
2retail customers in the State shall be deemed to have achieved
3a cumulative persisting annual savings of 6.6% from energy
4efficiency measures and programs implemented during the period
5beginning January 1, 2012 and ending December 31, 2017, which
6is based on the deemed average weather normalized sales of
7electric power and energy during calendar years 2014, 2015,
8and 2016 of 36,900,000 MWhs. For the purposes of this
9subsection (b-10) and subsection (b-15), the 36,900,000 MWhs
10of deemed electric power and energy sales shall be reduced by
11the number of MWhs equal to the sum of the annual consumption
12of customers that have opted out of subsections (a) through
13(j) of this Section under paragraph (1) of subsection (l) of
14this Section, as averaged across the calendar years 2014,
152015, and 2016. After 2017, the deemed value of cumulative
16persisting annual savings from energy efficiency measures and
17programs implemented during the period beginning January 1,
182012 and ending December 31, 2017, shall be reduced each year,
19as follows, and the applicable value shall be applied to and
20count toward the utility's achievement of the cumulative
21persisting annual savings goals set forth in subsection
22(b-15):
23        (1) 5.8% deemed cumulative persisting annual savings
24    for the year ending December 31, 2018;
25        (2) 5.2% deemed cumulative persisting annual savings
26    for the year ending December 31, 2019;

 

 

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1        (3) 4.5% deemed cumulative persisting annual savings
2    for the year ending December 31, 2020;
3        (4) 4.0% deemed cumulative persisting annual savings
4    for the year ending December 31, 2021;
5        (5) 3.5% deemed cumulative persisting annual savings
6    for the year ending December 31, 2022;
7        (6) 3.1% deemed cumulative persisting annual savings
8    for the year ending December 31, 2023;
9        (7) 2.8% deemed cumulative persisting annual savings
10    for the year ending December 31, 2024;
11        (8) 2.5% deemed cumulative persisting annual savings
12    for the year ending December 31, 2025; and
13        (9) 2.3% deemed cumulative persisting annual savings
14    for the year ending December 31, 2026.
15    (b-15) Beginning in 2018 and through calendar year 2026,
16electric utilities subject to this Section that serve less
17than 3,000,000 retail customers but more than 500,000 retail
18customers in the State shall achieve the following cumulative
19persisting annual savings goals, as modified by subsection
20(b-20) and subsection (f) of this Section and as compared to
21the deemed baseline as reduced by the number of MWhs equal to
22the sum of the annual consumption of customers that have opted
23out of subsections (a) through (j) of this Section under
24paragraph (1) of subsection (l) of this Section as averaged
25across the calendar years 2014, 2015, and 2016, through the
26implementation of energy efficiency measures during the

 

 

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1applicable year and in prior years, but no earlier than
2January 1, 2012:
3        (1) 7.4% cumulative persisting annual savings for the
4    year ending December 31, 2018;
5        (2) 8.2% cumulative persisting annual savings for the
6    year ending December 31, 2019;
7        (3) 9.0% cumulative persisting annual savings for the
8    year ending December 31, 2020;
9        (4) 9.8% cumulative persisting annual savings for the
10    year ending December 31, 2021;
11        (5) 10.6% cumulative persisting annual savings for the
12    year ending December 31, 2022;
13        (6) 11.4% cumulative persisting annual savings for the
14    year ending December 31, 2023;
15        (7) 12.2% cumulative persisting annual savings for the
16    year ending December 31, 2024;
17        (8) 13% cumulative persisting annual savings for the
18    year ending December 31, 2025; and
19        (9) 13.6% cumulative persisting annual savings for the
20    year ending December 31, 2026.
21    (b-16) In 2027 and each year thereafter, each electric
22utility subject to this Section shall achieve the following
23savings goals:
24        (1) A utility that serves more than 3,000,000 retail
25    customers in the State must achieve incremental annual
26    energy savings for customers in an amount that is equal to

 

 

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1    2% of the utility's average annual electricity sales from
2    2021 through 2023 to customers. A utility that serves less
3    than 3,000,000 retail customers but more than 500,000
4    retail customers in the State must achieve incremental
5    annual energy savings for customers in an amount that is
6    equal to 1.4% in 2027, 1.7% in 2028, and 2% in 2029 and
7    every year thereafter of the utility's average annual
8    electricity sales from 2021 through 2023 to customers. The
9    incremental annual energy savings requirements set forth
10    in this paragraph (1) may be reduced by 0.025 percentage
11    points for every percentage point increase, above the 25%
12    minimum to be targeted at low-income households as
13    specified in paragraph (c) of this Section, in the portion
14    of total efficiency program spending that is on low-income
15    or moderate-income efficiency programs. The incremental
16    annual savings requirement shall not be reduced to a level
17    less than 0.25 percentage points less than the energy
18    savings requirement applicable to the calendar year, even
19    if the sum of low-income spending and moderate-income
20    spending is greater than 35% of total spending.
21        (2) A utility that serves less than 3,000,000 retail
22    customers but more than 500,000 retail customers in the
23    State must achieve an incremental annual coincident peak
24    demand savings goal from energy efficiency measures
25    installed as a result of the utility's programs by
26    customers in an amount that is equal to the energy savings

 

 

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1    goal from paragraph (1) of this Section divided by the
2    actual average ratio of kilowatt-hour savings to
3    coincident peak demand reduction achieved by the utility
4    through its energy efficiency programs in 2023. If the
5    season in which coincident peak demands are experienced,
6    the hours of the day that peak demands are experienced,
7    and the methods by which peak demand impacts from
8    efficiency measures are estimated are different in the
9    future than when 2023 peak demand impacts were originally
10    estimated, the 2023 peak demand impacts shall be
11    recomputed using such updated peak definitions and
12    estimation methods for the purpose of establishing future
13    coincident peak demand savings goals. To the extent that a
14    utility counts either improvements to the efficiency of
15    the use of gas and other fuels or the electrification of
16    gas and other fuels toward its energy savings goal, as
17    permitted under paragraphs (b-25) and (b-27) of this
18    Section, it must estimate the actual impacts on coincident
19    peak demand from such measures and count them, whether
20    positive or negative, toward its coincident peak demand
21    savings goal. Only coincident peak demand savings from
22    efficiency measures shall count toward this goal. To the
23    extent that some efficiency measures enable demand
24    response, only the peak demand savings from the energy
25    efficiency upgrade shall count toward the goal. Nothing in
26    this Section shall limit the ability of peak demand

 

 

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1    savings from such enabled demand-response initiatives to
2    count for other, non-energy efficiency performance
3    standard performance metrics established for the utility.
4        (3) Each utility's incremental annual energy savings,
5    and coincident peak demand savings if a utility serves
6    less than 3,000,000 retail customers but more than 500,000
7    retail customers in the State, must be achieved with an
8    average savings life of at least 12 years. In no event can
9    more than one-fifth of the incremental annual savings or
10    the coincident peak demand savings counted toward a
11    utility's annual savings goal in any given year be derived
12    from efficiency measures with average savings lives of
13    less than 5 years. Average savings lives may be shorter
14    than the average operational lives of measures installed
15    if the measures do not produce savings in every year in
16    which the measures operate or if the savings that measures
17    produce decline during the measures' operational lives.
18         For the purposes of this Section, "incremental annual
19    energy savings" means the total electric energy savings
20    from all measures installed in a calendar year that will
21    be realized within 12 months of each measure's
22    installation; "moderate-income" means income between 80%
23    of area median income and 300% of the federal poverty
24    limit; "incremental annual coincident peak demand savings"
25    means the total coincident peak reduction from all energy
26    efficiency measures installed in a calendar year that will

 

 

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1    be realized within 12 months of each measure's
2    installation; "average savings life" means the lifetime
3    savings that would be realized as a result of a utility's
4    efficiency programs divided by the incremental annual
5    savings such programs produce.
6    (b-20) Each electric utility subject to this Section may
7include cost-effective voltage optimization measures in its
8plans submitted under subsections (f) and (g) of this Section,
9and the costs incurred by a utility to implement the measures
10under a Commission-approved plan shall be recovered under the
11provisions of Article IX or Section 16-108.5 of this Act. For
12purposes of this Section, the measure life of voltage
13optimization measures shall be 15 years. The measure life
14period is independent of the depreciation rate of the voltage
15optimization assets deployed. Utilities may claim savings from
16voltage optimization on circuits for more than 15 years if
17they can demonstrate that they have made additional
18investments necessary to enable voltage optimization savings
19to continue beyond 15 years. Such demonstrations must be
20subject to the review of independent evaluation.
21    Within 270 days after June 1, 2017 (the effective date of
22Public Act 99-906), an electric utility that serves less than
233,000,000 retail customers but more than 500,000 retail
24customers in the State shall file a plan with the Commission
25that identifies the cost-effective voltage optimization
26investment the electric utility plans to undertake through

 

 

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1December 31, 2024. The Commission, after notice and hearing,
2shall approve or approve with modification the plan within 120
3days after the plan's filing and, in the order approving or
4approving with modification the plan, the Commission shall
5adjust the applicable cumulative persisting annual savings
6goals set forth in subsection (b-15) to reflect any amount of
7cost-effective energy savings approved by the Commission that
8is greater than or less than the following cumulative
9persisting annual savings values attributable to voltage
10optimization for the applicable year:
11        (1) 0.0% of cumulative persisting annual savings for
12    the year ending December 31, 2018;
13        (2) 0.17% of cumulative persisting annual savings for
14    the year ending December 31, 2019;
15        (3) 0.17% of cumulative persisting annual savings for
16    the year ending December 31, 2020;
17        (4) 0.33% of cumulative persisting annual savings for
18    the year ending December 31, 2021;
19        (5) 0.5% of cumulative persisting annual savings for
20    the year ending December 31, 2022;
21        (6) 0.67% of cumulative persisting annual savings for
22    the year ending December 31, 2023;
23        (7) 0.83% of cumulative persisting annual savings for
24    the year ending December 31, 2024; and
25        (8) 1.0% of cumulative persisting annual savings for
26    the year ending December 31, 2025 and all subsequent

 

 

HB5373- 519 -LRB104 20029 AAS 33480 b

1    years.
2    (b-25) In the event an electric utility jointly offers an
3energy efficiency measure or program with a gas utility under
4plans approved under this Section and Section 8-104 of this
5Act, the electric utility may continue offering the program,
6including the gas energy efficiency measures, in the event the
7gas utility discontinues funding the program. In that event,
8the energy savings value associated with such other fuels
9shall be converted to electric energy savings on an equivalent
10Btu basis for the premises. However, the electric utility
11shall prioritize programs for low-income residential customers
12to the extent practicable. An electric utility may recover the
13costs of offering the gas energy efficiency measures under
14this subsection (b-25).
15    For those energy efficiency measures or programs that save
16both electricity and other fuels but are not jointly offered
17with a gas utility under plans approved under this Section and
18Section 8-104 or not offered with an affiliated gas utility
19under paragraph (6) of subsection (f) of Section 8-104 of this
20Act, the electric utility may count savings of fuels other
21than electricity toward the achievement of its annual savings
22goal, and the energy savings value associated with such other
23fuels shall be converted to electric energy savings on an
24equivalent Btu basis at the premises.
25    For an electric utility that serves more than 3,000,000
26retail customers in the State, on and after January 1, 2027,

 

 

HB5373- 520 -LRB104 20029 AAS 33480 b

1the electric utility may only count savings of other fuels
2under this subsection (b-25) toward the achievement of its
3annual electric energy savings goal when such other fuel
4savings are from weatherization measures that reduce heat loss
5through the building envelope, insulating mechanical systems,
6or the heating distribution system, including, but not limited
7to, air sealing and building shell measures. This limitation
8on counting other fuel savings from efficiency measures toward
9a utility's energy savings goal shall not affect the utility's
10ability to claim savings from electrification measures
11installed pursuant to the requirements in subsection (b-27).
12    In no event shall more than 10% of each year's applicable
13annual total savings requirement, as defined in paragraph
14(7.5) of subsection (g) of this Section be met through savings
15of fuels other than electricity. For an electric utility that
16serves more than 3,000,000 retail customers in the State, in
17no event shall more than 30% of each year's incremental annual
18energy savings requirement, as defined in subsection (b-16) of
19this Section, be met through savings of fuels other than
20electricity. For an electric utility that serves less than
213,000,000 retail customers but more than 500,000 retail
22customers in the State, in no event shall more than 20% of each
23year's incremental annual energy savings requirement, as
24defined in subsection (b-16) of this Section, be met through
25savings of fuels other than electricity.
26    (b-27) Beginning in 2022, an electric utility may offer

 

 

HB5373- 521 -LRB104 20029 AAS 33480 b

1and promote measures that electrify space heating, water
2heating, cooling, drying, cooking, industrial processes, and
3other building and industrial end uses that would otherwise be
4served by combustion of fossil fuel at the premises, provided
5that the electrification measures reduce total energy
6consumption at the premises. The electric utility may count
7the reduction in energy consumption at the premises toward
8achievement of its annual savings goals. The reduction in
9energy consumption at the premises shall be calculated as the
10difference between: (A) the reduction in Btu consumption of
11fossil fuels as a result of electrification, converted to
12kilowatt-hour equivalents by dividing by 3,412 Btus per
13kilowatt hour; and (B) the increase in kilowatt hours of
14electricity consumption resulting from the displacement of
15fossil fuel consumption as a result of electrification. An
16electric utility may recover the costs of offering and
17promoting electrification measures under this subsection
18(b-27).
19    At least 33% of all costs of offering and promoting
20electrification measures under this subsection (b-27) must be
21for supporting installation of electrification measures
22through programs exclusively targeted to low-income
23households. The percentage requirement may be reduced if the
24utility can demonstrate that it is not possible to achieve the
25level of low-income electrification spending, while supporting
26programs for non-low-income residential and business

 

 

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1electrification, because of limitations regarding the number
2of low-income households in its service territory that would
3be able to meet program eligibility requirements set forth in
4the multi-year energy efficiency plan. If the 33% low-income
5electrification spending requirement is reduced, the utility
6must prioritize support of low-income electrification in
7housing that meets program eligibility requirements over
8electrification spending on non-low-income residential or
9business customers.
10    The ratio of spending on electrification measures targeted
11to low-income, multifamily buildings to spending on
12electrification measures targeted to low-income, single-family
13buildings shall be designed to achieve levels of
14electrification savings from each building type that are
15approximately proportional to the magnitude of cost-effective
16electrification savings potential in each building type.
17    In no event shall electrification savings counted toward
18each year's applicable annual total savings requirement, as
19defined in paragraph (7.5) of subsection (g) of this Section,
20or counted toward each year's incremental annual savings, as
21defined in paragraph (b-16) of this Section, be greater than:
22        (1) 5% per year for each year from 2022 through 2025;
23        (2) 20% per year for 2026 and all subsequent years;
24    and
25        (3) (blank).
26The limitations on electrification savings that may be counted

 

 

HB5373- 523 -LRB104 20029 AAS 33480 b

1toward a utility's annual savings goals are separate from and
2in addition to the subsection (b-25) limitations governing the
3counting of the other fuel savings resulting from efficiency
4measures and programs.
5    As part of the annual informational filing to the
6Commission that is required under paragraph (9) of subsection
7(g) of this Section, each utility shall identify the specific
8electrification measures offered under this subsection (b-27);
9the quantity of each electrification measure that was
10installed by its customers; the average total cost, average
11utility cost, average reduction in fossil fuel consumption,
12and average increase in electricity consumption associated
13with each electrification measure; the portion of
14installations of each electrification measure that were in
15low-income single-family housing, low-income multifamily
16housing, non-low-income single-family housing, non-low-income
17multifamily housing, commercial buildings, and industrial
18facilities; and the quantity of savings associated with each
19measure category in each customer category that are being
20counted toward the utility's applicable annual total savings
21requirement or counted toward each year's incremental annual
22savings, as defined in paragraph (b-16) of this Section. Prior
23to installing or promoting electrification measures, the
24utility shall provide customers with estimates of the impact
25of the new measures on the customer's average monthly electric
26bill and total annual energy expenses.

 

 

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1    (c) Electric utilities shall be responsible for overseeing
2the design, development, and filing of energy efficiency plans
3with the Commission and may, as part of that implementation,
4outsource various aspects of program development and
5implementation. A minimum of 10%, for electric utilities that
6serve more than 3,000,000 retail customers in the State, and a
7minimum of 7%, for electric utilities that serve less than
83,000,000 retail customers but more than 500,000 retail
9customers in the State, of the utility's entire portfolio
10funding level for a given year shall be used to procure
11cost-effective energy efficiency measures from units of local
12government, municipal corporations, school districts, public
13housing, public institutions of higher education, and
14community college districts, provided that a minimum
15percentage of available funds shall be used to procure energy
16efficiency from public housing, which percentage shall be
17equal to public housing's share of public building energy
18consumption.
19    The utilities shall also implement energy efficiency
20measures targeted at low-income households, which, for
21purposes of this Section, shall be defined as households at or
22below 80% of area median income, and expenditures to implement
23the measures shall be no less than 25% of total energy
24efficiency program spending approved by the Commission
25pursuant to review of plans filed under subsection (f) of this
26Section The ratio of spending on efficiency programs targeted

 

 

HB5373- 525 -LRB104 20029 AAS 33480 b

1at low-income multifamily buildings to spending on efficiency
2programs targeted at low-income single-family buildings shall
3be designed to achieve levels of savings from each building
4type that are approximately proportional to the magnitude of
5cost-effective lifetime savings potential in each building
6type. Investment in low-income whole-building weatherization
7programs shall constitute a minimum of 80% of a utility's
8total budget specifically dedicated to serving low-income
9customers.
10    The utilities shall work to bundle low-income energy
11efficiency offerings with other programs that serve low-income
12households to maximize the benefits going to these households.
13The utilities shall market and implement low-income energy
14efficiency programs in coordination with low-income assistance
15programs, the Illinois Solar for All Program, and
16weatherization whenever practicable. The program implementer
17shall walk the customer through the enrollment process for any
18programs for which the customer is eligible. The utilities
19shall also pilot targeting customers with high arrearages,
20high energy intensity (ratio of energy usage divided by home
21or unit square footage), or energy assistance programs with
22energy efficiency offerings, and then track reduction in
23arrearages as a result of the targeting. This targeting and
24bundling of low-income energy programs shall be offered to
25both low-income single-family and multifamily customers
26(owners and residents).

 

 

HB5373- 526 -LRB104 20029 AAS 33480 b

1    The utilities shall invest in health and safety measures
2appropriate and necessary for comprehensively weatherizing a
3home or multifamily building, and shall implement a health and
4safety fund of at least 15% of the total income-qualified
5weatherization budget that shall be used for the purpose of
6making grants for technical assistance, construction,
7reconstruction, improvement, or repair of buildings to
8facilitate their participation in the energy efficiency
9programs targeted at low-income single-family and multifamily
10households. These funds may also be used for the purpose of
11making grants for technical assistance, construction,
12reconstruction, improvement, or repair of the following
13buildings to facilitate their participation in the energy
14efficiency programs created by this Section: (1) buildings
15that are owned or operated by registered 501(c)(3) public
16charities; and (2) child day care centers, child day care
17homes, or group child day care homes, as defined under 89 Ill.
18Adm. Code Part 406, 407, or 408, respectively.
19    Each electric utility shall assess opportunities to
20implement cost-effective energy efficiency measures and
21programs through a public housing authority or authorities
22located in its service territory. If such opportunities are
23identified, the utility shall propose such measures and
24programs to address the opportunities. Expenditures to address
25such opportunities shall be credited toward the minimum
26procurement and expenditure requirements set forth in this

 

 

HB5373- 527 -LRB104 20029 AAS 33480 b

1subsection (c).
2    Implementation of energy efficiency measures and programs
3targeted at low-income households should be contracted, when
4it is practicable, to independent third parties that have
5demonstrated capabilities to serve such households, with a
6preference for not-for-profit entities and government agencies
7that have existing relationships with or experience serving
8low-income communities in the State.
9    Each electric utility shall develop and implement
10reporting procedures that address and assist in determining
11the amount of energy savings that can be applied to the
12low-income procurement and expenditure requirements set forth
13in this subsection (c). Each electric utility shall also track
14the types and quantities or volumes of insulation and air
15sealing materials, and their associated energy saving
16benefits, installed in energy efficiency programs targeted at
17low-income single-family and multifamily households.
18    The electric utilities shall participate in a low-income
19energy efficiency accountability committee ("the committee"),
20which will directly inform the design, implementation, and
21evaluation of the low-income and public-housing energy
22efficiency programs. The committee shall be comprised of the
23electric utilities subject to the requirements of this
24Section, the gas utilities subject to the requirements of
25Section 8-104 of this Act, the utilities' low-income energy
26efficiency implementation contractors, nonprofit

 

 

HB5373- 528 -LRB104 20029 AAS 33480 b

1organizations, community action agencies, advocacy groups,
2State and local governmental agencies, public-housing
3organizations, and representatives of community-based
4organizations, especially those living in or working with
5environmental justice communities and BIPOC communities. The
6committee shall be composed of 2 geographically differentiated
7subcommittees: one for stakeholders in northern Illinois and
8one for stakeholders in central and southern Illinois. The
9subcommittees shall meet together at least twice per year.
10    There shall be one statewide leadership committee led by
11and composed of community-based organizations that are
12representative of BIPOC and environmental justice communities
13and that includes equitable representation from BIPOC
14communities. The leadership committee shall be composed of an
15equal number of representatives from the 2 subcommittees. The
16subcommittees shall address specific programs and issues, with
17the leadership committee convening targeted workgroups as
18needed. The leadership committee may elect to work with an
19independent facilitator to solicit and organize feedback,
20recommendations and meeting participation from a wide variety
21of community-based stakeholders. If a facilitator is used,
22they shall be fair and responsive to the needs of all
23stakeholders involved in the committee. For a utility that
24serves more than 3,000,000 retail customers in the State, if a
25facilitator is used, they shall be retained by Commission
26staff.

 

 

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1     All committee meetings must be accessible, with rotating
2locations if meetings are held in-person, virtual
3participation options, and materials and agendas circulated in
4advance.
5    There shall also be opportunities for direct input by
6committee members outside of committee meetings, such as via
7individual meetings, surveys, emails and calls, to ensure
8robust participation by stakeholders with limited capacity and
9ability to attend committee meetings. Committee meetings shall
10emphasize opportunities to bundle and coordinate delivery of
11low-income energy efficiency with other programs that serve
12low-income communities, such as the Illinois Solar for All
13Program and bill payment assistance programs. Meetings shall
14include educational opportunities for stakeholders to learn
15more about these additional offerings, and the committee shall
16assist in figuring out the best methods for coordinated
17delivery and implementation of offerings when serving
18low-income communities. The committee shall directly and
19equitably influence and inform utility low-income and
20public-housing energy efficiency programs and priorities.
21Participating utilities shall implement recommendations from
22the committee whenever possible.
23    Participating utilities shall track and report how input
24from the committee has led to new approaches and changes in
25their energy efficiency portfolios. This reporting shall occur
26at committee meetings and in quarterly energy efficiency

 

 

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1reports to the Stakeholder Advisory Group and Illinois
2Commerce Commission, and other relevant reporting mechanisms.
3Participating utilities shall also report on relevant equity
4data and metrics requested by the committee, such as energy
5burden data, geographic, racial, and other relevant
6demographic data on where programs are being delivered and
7what populations programs are serving.
8    The Illinois Commerce Commission shall oversee and have
9relevant staff participate in the committee. The committee
10shall have a budget of 0.25% of each utility's entire
11efficiency portfolio funding for a given year. The budget
12shall be overseen by the Commission. The budget shall be used
13to provide grants for community-based organizations serving on
14the leadership committee, stipends for community-based
15organizations participating in the committee, grants for
16community-based organizations to do energy efficiency outreach
17and education, and relevant meeting needs as determined by the
18leadership committee. The education and outreach shall
19include, but is not limited to, basic energy efficiency
20education, information about low-income energy efficiency
21programs, and information on the committee's purpose,
22structure, and activities.
23    (d) Notwithstanding any other provision of law to the
24contrary, a utility providing approved energy efficiency
25measures and, if applicable, demand-response measures in the
26State shall be permitted to recover all reasonable and

 

 

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1prudently incurred costs of those measures from all retail
2customers, except as provided in subsection (l) of this
3Section, as follows, provided that nothing in this subsection
4(d) permits the double recovery of such costs from customers:
5        (1) The utility may recover its costs through an
6    automatic adjustment clause tariff filed with and approved
7    by the Commission. The tariff shall be established outside
8    the context of a general rate case. Each year the
9    Commission shall initiate a review to reconcile any
10    amounts collected with the actual costs and to determine
11    the required adjustment to the annual tariff factor to
12    match annual expenditures. To enable the financing of the
13    incremental capital expenditures, including regulatory
14    assets, for electric utilities that serve less than
15    3,000,000 retail customers but more than 500,000 retail
16    customers in the State, the utility's actual year-end
17    capital structure that includes a common equity ratio,
18    excluding goodwill, of up to and including 50% of the
19    total capital structure shall be deemed reasonable and
20    used to set rates.
21        (2) A utility may recover its costs through an energy
22    efficiency formula rate approved by the Commission under a
23    filing under subsections (f) and (g) of this Section,
24    which shall specify the cost components that form the
25    basis of the rate charged to customers with sufficient
26    specificity to operate in a standardized manner and be

 

 

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1    updated annually with transparent information that
2    reflects the utility's actual costs to be recovered during
3    the applicable rate year, which is the period beginning
4    with the first billing day of January and extending
5    through the last billing day of the following December.
6    The energy efficiency formula rate shall be implemented
7    through a tariff filed with the Commission under
8    subsections (f) and (g) of this Section that is consistent
9    with the provisions of this paragraph (2) and that shall
10    be applicable to all delivery services customers. The
11    Commission shall conduct an investigation of the tariff in
12    a manner consistent with the provisions of this paragraph
13    (2), subsections (f) and (g) of this Section, and the
14    provisions of Article IX of this Act to the extent they do
15    not conflict with this paragraph (2). The energy
16    efficiency formula rate approved by the Commission shall
17    remain in effect at the discretion of the utility and
18    shall do the following:
19            (A) Provide for the recovery of the utility's
20        actual costs incurred under this Section that are
21        prudently incurred and reasonable in amount consistent
22        with Commission practice and law. The sole fact that a
23        cost differs from that incurred in a prior calendar
24        year or that an investment is different from that made
25        in a prior calendar year shall not imply the
26        imprudence or unreasonableness of that cost or

 

 

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1        investment.
2            (B) Reflect the utility's actual year-end capital
3        structure for the applicable calendar year, excluding
4        goodwill, subject to a determination of prudence and
5        reasonableness consistent with Commission practice and
6        law. To enable the financing of the incremental
7        capital expenditures, including regulatory assets, for
8        electric utilities that serve less than 3,000,000
9        retail customers but more than 500,000 retail
10        customers in the State, a participating electric
11        utility's actual year-end capital structure that
12        includes a common equity ratio, excluding goodwill, of
13        up to and including 50% of the total capital structure
14        shall be deemed reasonable and used to set rates.
15            (C) Include a cost of equity that shall be equal to
16        the baseline cost of equity approved by the Commission
17        for the utility's electric distribution rates
18        effective during the applicable year, whether those
19        rates are set pursuant to Section 9-201, subparagraph
20        (B) of paragraph (3) of subsection (d) of Section
21        16-108.18, or any successor electric distribution
22        ratemaking paradigm.
23            (D) Permit and set forth protocols, subject to a
24        determination of prudence and reasonableness
25        consistent with Commission practice and law, for the
26        following:

 

 

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1                (i) recovery of incentive compensation expense
2            that is based on the achievement of operational
3            metrics, including metrics related to budget
4            controls, outage duration and frequency, safety,
5            customer service, efficiency and productivity, and
6            environmental compliance; however, this protocol
7            shall not apply if such expense related to costs
8            incurred under this Section is recovered under
9            Article IX or Section 16-108.5 of this Act;
10            incentive compensation expense that is based on
11            net income or an affiliate's earnings per share
12            shall not be recoverable under the energy
13            efficiency formula rate;
14                (ii) recovery of pension and other
15            post-employment benefits expense, provided that
16            such costs are supported by an actuarial study;
17            however, this protocol shall not apply if such
18            expense related to costs incurred under this
19            Section is recovered under Article IX or Section
20            16-108.5 of this Act;
21                (iii) recovery of existing regulatory assets
22            over the periods previously authorized by the
23            Commission;
24                (iv) as described in subsection (e),
25            amortization of costs incurred under this Section;
26            and

 

 

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1                (v) projected, weather normalized billing
2            determinants for the applicable rate year.
3            (E) Provide for an annual reconciliation, as
4        described in paragraph (3) of this subsection (d),
5        less any deferred taxes related to the reconciliation,
6        with interest at an annual rate of return equal to the
7        utility's weighted average cost of capital, including
8        a revenue conversion factor calculated to recover or
9        refund all additional income taxes that may be payable
10        or receivable as a result of that return, of the energy
11        efficiency revenue requirement reflected in rates for
12        each calendar year, beginning with the calendar year
13        in which the utility files its energy efficiency
14        formula rate tariff under this paragraph (2), with
15        what the revenue requirement would have been had the
16        actual cost information for the applicable calendar
17        year been available at the filing date.
18        The utility shall file, together with its tariff, the
19    projected costs to be incurred by the utility during the
20    rate year under the utility's multi-year plan approved
21    under subsections (f) and (g) of this Section, including,
22    but not limited to, the projected capital investment costs
23    and projected regulatory asset balances with
24    correspondingly updated depreciation and amortization
25    reserves and expense, that shall populate the energy
26    efficiency formula rate and set the initial rates under

 

 

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1    the formula.
2        The Commission shall review the proposed tariff in
3    conjunction with its review of a proposed multi-year plan,
4    as specified in paragraph (5) of subsection (g) of this
5    Section. The review shall be based on the same evidentiary
6    standards, including, but not limited to, those concerning
7    the prudence and reasonableness of the costs incurred by
8    the utility, the Commission applies in a hearing to review
9    a filing for a general increase in rates under Article IX
10    of this Act. The initial rates shall take effect beginning
11    with the January monthly billing period following the
12    Commission's approval.
13        The tariff's rate design and cost allocation across
14    customer classes shall be consistent with the utility's
15    automatic adjustment clause tariff in effect on June 1,
16    2017 (the effective date of Public Act 99-906); however,
17    the Commission may revise the tariff's rate design and
18    cost allocation in subsequent proceedings under paragraph
19    (3) of this subsection (d).
20        If the energy efficiency formula rate is terminated,
21    the then current rates shall remain in effect until such
22    time as the energy efficiency costs are incorporated into
23    new rates that are set under this subsection (d) or
24    Article IX of this Act, subject to retroactive rate
25    adjustment, with interest, to reconcile rates charged with
26    actual costs.

 

 

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1        (3) The provisions of this paragraph (3) shall only
2    apply to an electric utility that has elected to file an
3    energy efficiency formula rate under paragraph (2) of this
4    subsection (d). Subsequent to the Commission's issuance of
5    an order approving the utility's energy efficiency formula
6    rate structure and protocols, and initial rates under
7    paragraph (2) of this subsection (d), the utility shall
8    file, on or before June 1 of each year, with the Chief
9    Clerk of the Commission its updated cost inputs to the
10    energy efficiency formula rate for the applicable rate
11    year and the corresponding new charges, as well as the
12    information described in paragraph (9) of subsection (g)
13    of this Section. Each such filing shall conform to the
14    following requirements and include the following
15    information:
16            (A) The inputs to the energy efficiency formula
17        rate for the applicable rate year shall be based on the
18        projected costs to be incurred by the utility during
19        the rate year under the utility's multi-year plan
20        approved under subsections (f) and (g) of this
21        Section, including, but not limited to, projected
22        capital investment costs and projected regulatory
23        asset balances with correspondingly updated
24        depreciation and amortization reserves and expense.
25        The filing shall also include a reconciliation of the
26        energy efficiency revenue requirement that was in

 

 

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1        effect for the prior rate year (as set by the cost
2        inputs for the prior rate year) with the actual
3        revenue requirement for the prior rate year
4        (determined using a year-end rate base) that uses
5        amounts reflected in the applicable FERC Form 1 that
6        reports the actual costs for the prior rate year. Any
7        over-collection or under-collection indicated by such
8        reconciliation shall be reflected as a credit against,
9        or recovered as an additional charge to, respectively,
10        with interest calculated at a rate equal to the
11        utility's weighted average cost of capital approved by
12        the Commission for the prior rate year, the charges
13        for the applicable rate year. Such over-collection or
14        under-collection shall be adjusted to remove any
15        deferred taxes related to the reconciliation, for
16        purposes of calculating interest at an annual rate of
17        return equal to the utility's weighted average cost of
18        capital approved by the Commission for the prior rate
19        year, including a revenue conversion factor calculated
20        to recover or refund all additional income taxes that
21        may be payable or receivable as a result of that
22        return. Each reconciliation shall be certified by the
23        participating utility in the same manner that FERC
24        Form 1 is certified. The filing shall also include the
25        charge or credit, if any, resulting from the
26        calculation required by subparagraph (E) of paragraph

 

 

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1        (2) of this subsection (d).
2            Notwithstanding any other provision of law to the
3        contrary, the intent of the reconciliation is to
4        ultimately reconcile both the revenue requirement
5        reflected in rates for each calendar year, beginning
6        with the calendar year in which the utility files its
7        energy efficiency formula rate tariff under paragraph
8        (2) of this subsection (d), with what the revenue
9        requirement determined using a year-end rate base for
10        the applicable calendar year would have been had the
11        actual cost information for the applicable calendar
12        year been available at the filing date.
13            For purposes of this Section, "FERC Form 1" means
14        the Annual Report of Major Electric Utilities,
15        Licensees and Others that electric utilities are
16        required to file with the Federal Energy Regulatory
17        Commission under the Federal Power Act, Sections 3,
18        4(a), 304 and 209, modified as necessary to be
19        consistent with 83 Ill. Adm. Code Part 415 as of May 1,
20        2011. Nothing in this Section is intended to allow
21        costs that are not otherwise recoverable to be
22        recoverable by virtue of inclusion in FERC Form 1.
23            (B) The new charges shall take effect beginning on
24        the first billing day of the following January billing
25        period and remain in effect through the last billing
26        day of the next December billing period regardless of

 

 

HB5373- 540 -LRB104 20029 AAS 33480 b

1        whether the Commission enters upon a hearing under
2        this paragraph (3).
3            (C) The filing shall include relevant and
4        necessary data and documentation for the applicable
5        rate year. Normalization adjustments shall not be
6        required.
7        Within 45 days after the utility files its annual
8    update of cost inputs to the energy efficiency formula
9    rate, the Commission shall with reasonable notice,
10    initiate a proceeding concerning whether the projected
11    costs to be incurred by the utility and recovered during
12    the applicable rate year, and that are reflected in the
13    inputs to the energy efficiency formula rate, are
14    consistent with the utility's approved multi-year plan
15    under subsections (f) and (g) of this Section and whether
16    the costs incurred by the utility during the prior rate
17    year were prudent and reasonable. The Commission shall
18    also have the authority to investigate the information and
19    data described in paragraph (9) of subsection (g) of this
20    Section, including the proposed adjustment to the
21    utility's return on equity component of its weighted
22    average cost of capital. During the course of the
23    proceeding, each objection shall be stated with
24    particularity and evidence provided in support thereof,
25    after which the utility shall have the opportunity to
26    rebut the evidence. Discovery shall be allowed consistent

 

 

HB5373- 541 -LRB104 20029 AAS 33480 b

1    with the Commission's Rules of Practice, which Rules of
2    Practice shall be enforced by the Commission or the
3    assigned administrative law judge. The Commission shall
4    apply the same evidentiary standards, including, but not
5    limited to, those concerning the prudence and
6    reasonableness of the costs incurred by the utility,
7    during the proceeding as it would apply in a proceeding to
8    review a filing for a general increase in rates under
9    Article IX of this Act. The Commission shall not, however,
10    have the authority in a proceeding under this paragraph
11    (3) to consider or order any changes to the structure or
12    protocols of the energy efficiency formula rate approved
13    under paragraph (2) of this subsection (d). In a
14    proceeding under this paragraph (3), the Commission shall
15    enter its order no later than the earlier of 195 days after
16    the utility's filing of its annual update of cost inputs
17    to the energy efficiency formula rate or December 15. The
18    utility's proposed return on equity calculation, as
19    described in paragraphs (7) through (9) of subsection (g)
20    of this Section, shall be deemed the final, approved
21    calculation on December 15 of the year in which it is filed
22    unless the Commission enters an order on or before
23    December 15, after notice and hearing, that modifies such
24    calculation consistent with this Section. The Commission's
25    determinations of the prudence and reasonableness of the
26    costs incurred, and determination of such return on equity

 

 

HB5373- 542 -LRB104 20029 AAS 33480 b

1    calculation, for the applicable calendar year shall be
2    final upon entry of the Commission's order and shall not
3    be subject to reopening, reexamination, or collateral
4    attack in any other Commission proceeding, case, docket,
5    order, rule, or regulation; however, nothing in this
6    paragraph (3) shall prohibit a party from petitioning the
7    Commission to rehear or appeal to the courts the order
8    under the provisions of this Act.
9    (e) Beginning on June 1, 2017 (the effective date of
10Public Act 99-906), a utility subject to the requirements of
11this Section may elect to defer, as a regulatory asset, up to
12the full amount of its expenditures incurred under this
13Section for each annual period, including, but not limited to,
14any expenditures incurred above the funding level set by
15subsection (f) of this Section for a given year. The total
16expenditures deferred as a regulatory asset in a given year
17shall be amortized and recovered over a period that is equal to
18the weighted average of the energy efficiency measure lives
19implemented for that year that are reflected in the regulatory
20asset. The unamortized balance shall be recognized as of
21December 31 for a given year. The utility shall also earn a
22return on the total of the unamortized balances of all of the
23energy efficiency regulatory assets, less any deferred taxes
24related to those unamortized balances, at an annual rate equal
25to the utility's weighted average cost of capital that
26includes, based on a year-end capital structure, the utility's

 

 

HB5373- 543 -LRB104 20029 AAS 33480 b

1actual cost of debt for the applicable calendar year and a cost
2of equity, which shall be determined as set forth in
3subparagraph (C) of paragraph (2) of subsection of this
4Section, including a revenue conversion factor calculated to
5recover or refund all additional income taxes that may be
6payable or receivable as a result of that return. Capital
7investment costs shall be depreciated and recovered over their
8useful lives consistent with generally accepted accounting
9principles. The weighted average cost of capital shall be
10applied to the capital investment cost balance, less any
11accumulated depreciation and accumulated deferred income
12taxes, as of December 31 for a given year.
13    When an electric utility creates a regulatory asset under
14the provisions of this Section, the costs are recovered over a
15period during which customers also receive a benefit which is
16in the public interest. Accordingly, it is the intent of the
17General Assembly that an electric utility that elects to
18create a regulatory asset under the provisions of this Section
19shall recover all of the associated costs as set forth in this
20Section. After the Commission has approved the prudence and
21reasonableness of the costs that comprise the regulatory
22asset, the electric utility shall be permitted to recover all
23such costs, and the value and recoverability through rates of
24the associated regulatory asset shall not be limited, altered,
25impaired, or reduced.
26    (f) Beginning in 2017, each electric utility shall file an

 

 

HB5373- 544 -LRB104 20029 AAS 33480 b

1energy efficiency plan with the Commission to meet the energy
2efficiency standards for the next applicable multi-year period
3beginning January 1 of the year following the filing,
4according to the schedule set forth in paragraphs (1) through
5(3) of this subsection (f). If a utility does not file such a
6plan on or before the applicable filing deadline for the plan,
7it shall face a penalty of $100,000 per day until the plan is
8filed.
9        (1) No later than 30 days after June 1, 2017 (the
10    effective date of Public Act 99-906), each electric
11    utility shall file a 4-year energy efficiency plan
12    commencing on January 1, 2018 that is designed to achieve
13    the cumulative persisting annual savings goals specified
14    in paragraphs (1) through (4) of subsection (b-5) of this
15    Section or in paragraphs (1) through (4) of subsection
16    (b-15) of this Section, as applicable, through
17    implementation of energy efficiency measures; however, the
18    goals may be reduced if the utility's expenditures are
19    limited pursuant to subsection (m) of this Section or, for
20    a utility that serves less than 3,000,000 retail
21    customers, if each of the following conditions are met:
22    (A) the plan's analysis and forecasts of the utility's
23    ability to acquire energy savings demonstrate that
24    achievement of such goals is not cost effective; and (B)
25    the amount of energy savings achieved by the utility as
26    determined by the independent evaluator for the most

 

 

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1    recent year for which savings have been evaluated
2    preceding the plan filing was less than the average annual
3    amount of savings required to achieve the goals for the
4    applicable 4-year plan period. Except as provided in
5    subsection (m) of this Section, annual increases in
6    cumulative persisting annual savings goals during the
7    applicable 4-year plan period shall not be reduced to
8    amounts that are less than the maximum amount of
9    cumulative persisting annual savings that is forecast to
10    be cost-effectively achievable during the 4-year plan
11    period. The Commission shall review any proposed goal
12    reduction as part of its review and approval of the
13    utility's proposed plan.
14        (2) No later than March 1, 2021, each electric utility
15    shall file a 4-year energy efficiency plan commencing on
16    January 1, 2022 that is designed to achieve the cumulative
17    persisting annual savings goals specified in paragraphs
18    (5) through (8) of subsection (b-5) of this Section or in
19    paragraphs (5) through (8) of subsection (b-15) of this
20    Section, as applicable, through implementation of energy
21    efficiency measures; however, the goals may be reduced if
22    either (1) clear and convincing evidence demonstrates,
23    through independent analysis, that the expenditure limits
24    in subsection (m) of this Section preclude full
25    achievement of the goals or (2) each of the following
26    conditions are met: (A) the plan's analysis and forecasts

 

 

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1    of the utility's ability to acquire energy savings
2    demonstrate by clear and convincing evidence and through
3    independent analysis that achievement of such goals is not
4    cost effective; and (B) the amount of energy savings
5    achieved by the utility as determined by the independent
6    evaluator for the most recent year for which savings have
7    been evaluated preceding the plan filing was less than the
8    average annual amount of savings required to achieve the
9    goals for the applicable 4-year plan period. If there is
10    not clear and convincing evidence that achieving the
11    savings goals specified in paragraph (b-5) or (b-15) of
12    this Section is possible both cost-effectively and within
13    the expenditure limits in subsection (m), such savings
14    goals shall not be reduced. Except as provided in
15    subsection (m) of this Section, annual increases in
16    cumulative persisting annual savings goals during the
17    applicable 4-year plan period shall not be reduced to
18    amounts that are less than the maximum amount of
19    cumulative persisting annual savings that is forecast to
20    be cost-effectively achievable during the 4-year plan
21    period. The Commission shall review any proposed goal
22    reduction as part of its review and approval of the
23    utility's proposed plan.
24        (2.5) Provisions of the multi-year plans for calendar
25    years 2026 through 2029 that relate to calendar year 2026
26    and that were filed by the electric utilities on February

 

 

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1    28, 2025 shall remain in effect through calendar year
2    2026. Provisions of the plans for calendar years 2027
3    through 2029 shall be modified and resubmitted to the
4    Commission by the electric utilities pursuant to paragraph
5    (3) of this subsection (f).
6        (3) No later than the effective date of this
7    amendatory Act of the 104th General Assembly, each
8    electric utility shall file a 3-year energy efficiency
9    plan commencing on January 1, 2027 that is designed to
10    achieve, through implementation of energy efficiency
11    measures, lifetime energy equal to the product of the
12    incremental annual savings goals defined by paragraph (1)
13    of subsection (b-16) and the minimum average savings life
14    defined by paragraph (3) of subsection (b-16). The 3-year
15    energy efficiency plan of a utility that serves less than
16    3,000,000 retail customers but more than 500,000 retail
17    customers in the State must also be designed to achieve
18    lifetime peak demand savings equal to the product of the
19    incremental annual savings goals defined by paragraph (2)
20    of subsection (b-16) and the minimum average savings life
21    defined by paragraph (3) of subsection (b-16) through
22    implementation of energy efficiency measures. The savings
23    goals may be reduced if: (i) clear and convincing evidence
24    and independent analysis demonstrates that the expenditure
25    limits in subsection (m) of this Section preclude full
26    achievement of the goals, (ii) each of the following

 

 

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1    conditions are met: (A) the plan's analysis and forecasts
2    of the utility's ability to acquire energy savings
3    demonstrate by clear and convincing evidence and through
4    independent analysis that achievement of such goals is not
5    cost-effective; and (B) the amount of energy savings
6    achieved by the utility, as determined by the independent
7    evaluator, for the most recent year for which savings have
8    been evaluated preceding the plan filing was less than the
9    average annual amount of savings required to achieve the
10    goals for the applicable multi-year plan period, or (iii)
11    changes in federal law, programs, or tariffs have a
12    significant and demonstrable impact on the cost of
13    delivering measures and programs. If there is not clear
14    and convincing evidence that achieving the savings goals
15    specified in subsection (b-16) is not possible both
16    cost-effectively and within the expenditure limits in
17    subsection (m), such savings goals shall not be reduced.
18    Except as provided in subsection (m), annual savings goals
19    during the applicable multi-year plan period shall not be
20    reduced to amounts that are less than the maximum amount
21    of annual savings that is forecasted to be
22    cost-effectively achievable during the applicable
23    multi-year plan period. The Commission shall review any
24    proposed goal reduction as part of its review and approval
25    of the utility's proposed plan.
26        (4) No later than March 1, 2029, and every 4 years

 

 

HB5373- 549 -LRB104 20029 AAS 33480 b

1    thereafter, each electric utility shall file a 4-year
2    energy efficiency plan commencing on January 1, 2030, and
3    every 4 years thereafter, respectively, that is designed
4    to achieve, through implementation of energy efficiency
5    measures, lifetime energy equal to the product of the
6    incremental annual savings goals defined by paragraph (1)
7    of subsection (b-16) and the minimum average savings life
8    described in paragraph (C) of subsection (b-16) of this
9    Section. The multi-year energy efficiency plan of a
10    utility that serves less than 3,000,000 retail customers
11    but more than 500,000 retail customers in the State must
12    also be designed to achieve lifetime peak demand savings
13    equal to the product of the incremental annual savings
14    goals defined by paragraph (2) of subsection (b-16) and
15    the minimum average savings life defined by paragraph (3)
16    of subsection (b-16) through implementation of energy
17    efficiency measures. However, the goals may be reduced if:
18    (1) clear and convincing evidence and independent analysis
19    demonstrates that the expenditure limits in subsection (m)
20    of this Section preclude full achievement of the goals;
21    (2) each of the following conditions are met: (A) the
22    plan's analysis and forecasts of the utility's ability to
23    acquire energy savings demonstrate by clear and convincing
24    evidence and through independent analysis that achievement
25    of such goals is not cost-effective; and (B) the amount of
26    energy savings achieved by the utility as determined by

 

 

HB5373- 550 -LRB104 20029 AAS 33480 b

1    the independent evaluator for the most recent year for
2    which savings have been evaluated preceding the plan
3    filing was less than the average annual amount of savings
4    required to achieve the goals for the applicable
5    multi-year plan period; or (3) changes in federal law,
6    programs, or tariffs have a significant and demonstrable
7    impact on the cost of delivering measures and programs. If
8    there is not clear and convincing evidence that achieving
9    the savings goals specified in paragraph (b-16) of this
10    Section is possible both cost-effectively and within the
11    expenditure limits in subsection (m), such savings goals
12    shall not be reduced. Except as provided in subsection (m)
13    of this Section, annual savings goals during the
14    applicable multi-year plan period shall not be reduced to
15    amounts that are less than the maximum amount of annual
16    savings that is forecast to be cost-effectively achievable
17    during the applicable multi-year plan period. The
18    Commission shall review any proposed goal reduction as
19    part of its review and approval of the utility's proposed
20    plan.
21    Each utility's plan shall set forth the utility's
22proposals to meet the energy efficiency standards identified
23in subsection (b-5), (b-15), or (b-16), as applicable and as
24such standards may have been modified under this subsection
25(f), taking into account the unique circumstances of the
26utility's service territory. For those plans commencing on

 

 

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1January 1, 2018, the Commission shall seek public comment on
2the utility's plan and shall issue an order approving or
3disapproving each plan no later than 105 days after June 1,
42017 (the effective date of Public Act 99-906). For those
5plans commencing after December 31, 2021, the Commission shall
6seek public comment on the utility's plan and shall issue an
7order approving or disapproving each plan within 6 months
8after its submission. If the Commission disapproves a plan,
9the Commission shall, within 30 days, describe in detail the
10reasons for the disapproval and describe a path by which the
11utility may file a revised draft of the plan to address the
12Commission's concerns satisfactorily. If the utility does not
13refile with the Commission within 60 days, the utility shall
14be subject to penalties at a rate of $100,000 per day until the
15plan is filed. This process shall continue, and penalties
16shall accrue, until the utility has successfully filed a
17portfolio of energy efficiency and demand-response measures.
18Penalties shall be deposited into the Energy Efficiency Trust
19Fund.
20    (g) In submitting proposed plans and funding levels under
21subsection (f) of this Section to meet the savings goals
22identified in subsection (b-5), (b-15), or (b-16) of this
23Section, as applicable, the utility shall:
24        (1) Demonstrate that its proposed energy efficiency
25    measures will achieve the applicable requirements that are
26    identified in subsection (b-5), (b-15), or (b-16) of this

 

 

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1    Section, as modified by subsection (f) of this Section.
2        (2) (Blank).
3        (2.5) Demonstrate consideration of program options for
4    (A) advancing new building codes, appliance standards, and
5    municipal regulations governing existing and new building
6    efficiency improvements and (B) supporting efforts to
7    improve compliance with new building codes, appliance
8    standards and municipal regulations, as potentially
9    cost-effective means of acquiring energy savings to count
10    toward savings goals.
11        (3) Demonstrate that its overall portfolio of
12    measures, not including low-income programs described in
13    subsection (c) of this Section, is cost-effective using
14    the total resource cost test or complies with paragraphs
15    (1) through (3) of subsection (f) of this Section and
16    represents a diverse cross-section of opportunities for
17    customers of all rate classes, other than those customers
18    described in subsection (l) of this Section, to
19    participate in the programs. Individual measures need not
20    be cost effective.
21        (3.5) Demonstrate that the utility's plan integrates
22    the delivery of energy efficiency programs with natural
23    gas efficiency programs, programs promoting distributed
24    solar, programs promoting demand response and other
25    efforts to address bill payment issues, including, but not
26    limited to, LIHEAP and the Percentage of Income Payment

 

 

HB5373- 553 -LRB104 20029 AAS 33480 b

1    Plan, to the extent such integration is practical and has
2    the potential to enhance customer engagement, minimize
3    market confusion, or reduce administrative costs.
4        (4) If the utility chooses, present a third-party
5    energy efficiency implementation program subject to the
6    following requirements:
7            (A) (blank);
8            (B) during 2018, the utility shall conduct a
9        solicitation process for purposes of requesting
10        proposals from third-party vendors for those
11        third-party energy efficiency programs to be offered
12        during one or more of the years commencing January 1,
13        2019, January 1, 2020, and January 1, 2021; for those
14        multi-year plans commencing on January 1, 2022 and
15        January 1, 2026, the utility shall conduct a
16        solicitation process during 2021 and 2025,
17        respectively, for purposes of requesting proposals
18        from third-party vendors for those third-party energy
19        efficiency programs to be offered during one or more
20        years of the respective multi-year plan period; for
21        each solicitation process, the utility shall identify
22        the sector, technology, or geographical area for which
23        it is seeking requests for proposals; the solicitation
24        process must be either for programs that fill gaps in
25        the utility's program portfolio and for programs that
26        target low-income customers, business sectors,

 

 

HB5373- 554 -LRB104 20029 AAS 33480 b

1        building types, geographies, or other specific parts
2        of its customer base with initiatives that would be
3        more effective at reaching these customer segments
4        than the utilities' programs filed in its energy
5        efficiency plans;
6            (C) the utility shall propose the bidder
7        qualifications, performance measurement process, and
8        contract structure, which must include a performance
9        payment mechanism and general terms and conditions;
10        the proposed qualifications, process, and structure
11        shall be subject to Commission approval; and
12            (D) the utility shall retain an independent third
13        party to score the proposals received through the
14        solicitation process described in this paragraph (4),
15        rank them according to their cost per lifetime
16        kilowatt-hours saved, and assemble the portfolio of
17        third-party programs.
18        The electric utility shall recover all costs
19    associated with Commission-approved, third-party
20    administered programs regardless of the success of those
21    programs.
22        (4.5) Implement cost-effective demand-response
23    measures to reduce peak demand by 0.1% over the prior year
24    for eligible retail customers, as defined in Section
25    16-111.5 of this Act, and for customers that elect hourly
26    service from the utility pursuant to Section 16-107 of

 

 

HB5373- 555 -LRB104 20029 AAS 33480 b

1    this Act, provided those customers have not been declared
2    competitive. This requirement continues until December 31,
3    2026.
4        (5) Include a proposed or revised cost-recovery tariff
5    mechanism, as provided for under subsection (d) of this
6    Section, to fund the proposed energy efficiency and
7    demand-response measures and to ensure the recovery of the
8    prudently and reasonably incurred costs of
9    Commission-approved programs.
10        (6) Provide for an annual independent evaluation of
11    the performance of the cost-effectiveness of the utility's
12    portfolio of measures, as well as a full review of the
13    multi-year plan results of the broader net program impacts
14    and, to the extent practical, for adjustment of the
15    measures on a going-forward basis as a result of the
16    evaluations. The resources dedicated to evaluation shall
17    not exceed 3% of portfolio resources in any given year.
18        (7) For electric utilities that serve more than
19    3,000,000 retail customers in the State:
20            (A) Through December 31, 2026, provide for an
21        adjustment to the return on equity component of the
22        utility's weighted average cost of capital calculated
23        under subsection (d) of this Section:
24                (i) If the independent evaluator determines
25            that the utility achieved a cumulative persisting
26            annual savings that is less than the applicable

 

 

HB5373- 556 -LRB104 20029 AAS 33480 b

1            annual incremental goal, then the return on equity
2            component shall be reduced by a maximum of 200
3            basis points in the event that the utility
4            achieved no more than 75% of such goal. If the
5            utility achieved more than 75% of the applicable
6            annual incremental goal but less than 100% of such
7            goal, then the return on equity component shall be
8            reduced by 8 basis points for each percent by
9            which the utility failed to achieve the goal.
10                (ii) If the independent evaluator determines
11            that the utility achieved a cumulative persisting
12            annual savings that is more than the applicable
13            annual incremental goal, then the return on equity
14            component shall be increased by a maximum of 200
15            basis points in the event that the utility
16            achieved at least 125% of such goal. If the
17            utility achieved more than 100% of the applicable
18            annual incremental goal but less than 125% of such
19            goal, then the return on equity component shall be
20            increased by 8 basis points for each percent by
21            which the utility achieved above the goal. If the
22            applicable annual incremental goal was reduced
23            under paragraph (1) or (2) of subsection (f) of
24            this Section, then the following adjustments shall
25            be made to the calculations described in this item
26            (ii):

 

 

HB5373- 557 -LRB104 20029 AAS 33480 b

1                    (aa) the calculation for determining
2                achievement that is at least 125% of the
3                applicable annual incremental goal shall use
4                the unreduced applicable annual incremental
5                goal to set the value; and
6                    (bb) the calculation for determining
7                achievement that is less than 125% but more
8                than 100% of the applicable annual incremental
9                goal shall use the reduced applicable annual
10                incremental goal to set the value for 100%
11                achievement of the goal and shall use the
12                unreduced goal to set the value for 125%
13                achievement. The 8 basis point value shall
14                also be modified, as necessary, so that the
15                200 basis points are evenly apportioned among
16                each percentage point value between 100% and
17                125% achievement.
18            (B) (Blank).
19            (C) (Blank).
20        (7.5) For purposes of this Section, the term
21    "applicable annual incremental goal" means the difference
22    between the cumulative persisting annual savings goal for
23    the calendar year that is the subject of the independent
24    evaluator's determination and the cumulative persisting
25    annual savings goal for the immediately preceding calendar
26    year, as such goals are defined in subsections (b-5) and

 

 

HB5373- 558 -LRB104 20029 AAS 33480 b

1    (b-15) of this Section and as these goals may have been
2    modified as provided for under subsection (b-20) and
3    paragraphs (1) and (2) of subsection (f) of this Section.
4    Under subsections (b), (b-5), (b-10), and (b-15) of this
5    Section, a utility must first replace energy savings from
6    measures that have expired before any progress towards
7    achievement of its applicable annual incremental goal may
8    be counted. Savings may expire because measures installed
9    in previous years have reached the end of their lives,
10    because measures installed in previous years are producing
11    lower savings in the current year than in the previous
12    year, or for other reasons identified by independent
13    evaluators. Notwithstanding anything else set forth in
14    this Section, the difference between the actual annual
15    incremental savings achieved in any given year, including
16    the replacement of energy savings that have expired, and
17    the applicable annual incremental goal shall not affect
18    adjustments to the return on equity for subsequent
19    calendar years under this subsection (g).
20        In this Section, "applicable annual total savings
21    requirement" means the total amount of new annual savings
22    that the utility must achieve in any given year to achieve
23    the applicable annual incremental goal. This is equal to
24    the applicable annual incremental goal plus the total new
25    annual savings that are required to replace savings that
26    expired in or at the end of the previous year.

 

 

HB5373- 559 -LRB104 20029 AAS 33480 b

1        (8) For electric utilities that serve less than
2    3,000,000 retail customers but more than 500,000 retail
3    customers in the State:
4            (A) Through December 31, 2026, the applicable
5        annual incremental goal shall be compared to the
6        annual incremental savings as determined by the
7        independent evaluator.
8                (i) The return on equity component shall be
9            reduced by 8 basis points for each percent by
10            which the utility did not achieve 84.4% of the
11            applicable annual incremental goal.
12                (ii) The return on equity component shall be
13            increased by 8 basis points for each percent by
14            which the utility exceeded 100% of the applicable
15            annual incremental goal.
16                (iii) The return on equity component shall not
17            be increased or decreased if the annual
18            incremental savings as determined by the
19            independent evaluator is greater than 84.4% of the
20            applicable annual incremental goal and less than
21            100% of the applicable annual incremental goal.
22                (iv) The return on equity component shall not
23            be increased or decreased by an amount greater
24            than 200 basis points pursuant to this
25            subparagraph (A).
26            (B) (Blank).

 

 

HB5373- 560 -LRB104 20029 AAS 33480 b

1            (C) (Blank).
2            (D) (Blank).
3        (8.5) Beginning January 1, 2027, a utility that serves
4    greater than 500,000 retail customers in the State shall
5    have the utility's return on equity modified for
6    performance on the utility's energy savings and peak
7    demand savings goals as follows:
8            (A) The return on equity for a utility that serves
9        more than 3,000,000 retail customers in the State may
10        be adjusted up or down by a maximum of 200 basis points
11        for its performance relative to its incremental annual
12        energy savings goal. The return on equity for a
13        utility that serves less than 3,000,000 retail
14        customers but more than 500,000 retail customers in
15        the State may be adjusted up or down by a maximum of
16        100 basis points for its performance relative to its
17        incremental annual energy savings goal and a maximum
18        of 100 basis points for its performance relative to
19        its incremental annual coincident peak demand savings
20        goal.
21            (B) A utility's performance on its savings goals
22        shall be established by comparing the actual lifetime
23        energy, and coincident peak demand savings if a
24        utility serves less than 3,000,000 retail customers
25        but more than 500,000 retail customers in the State,
26        achieved from efficiency measures installed in a given

 

 

HB5373- 561 -LRB104 20029 AAS 33480 b

1        year to the product of the incremental annual goals
2        established in paragraphs (1) and (2) of subsection
3        (b-16) and the minimum average savings lives
4        established in paragraph (3) of subsection (b-16), as
5        modified, if applicable, by the Commission under
6        paragraph (4) of subsection (f) of this Section. For
7        the purposes of this paragraph (8.5), "lifetime
8        savings" means the total incremental savings that
9        installed efficiency measures are projected to
10        produce, relative to what would have occurred absent
11        to the utility's efficiency programs, over the useful
12        lives of the measures. Performance on the energy
13        savings goal, and coincident peak demand savings if a
14        utility serves less than 3,000,000 retail customers
15        but more than 500,000 retail customers in the State,
16        shall be assessed separately, such that it is possible
17        to earn penalties on both, earn bonuses on both, or
18        earn a bonus for performance on one goal and a penalty
19        on the other.
20            (C) No bonus shall be earned if a utility does not
21        achieve greater than 100% of an approved goal. The
22        maximum bonus for a goal shall be earned if the utility
23        achieves 125% of the unmodified goal. For a utility
24        that serves less than 3,000,000 retail customers but
25        more than 500,000 retail customers in the State, the
26        bonus earned for achieving more than 100% of an

 

 

HB5373- 562 -LRB104 20029 AAS 33480 b

1        approved goal but less than 125% of the unmodified
2        goal shall be linearly interpolated. For a utility
3        with more than 3,000,000 retail customers, the maximum
4        bonus for a goal shall be earned if the utility
5        achieves 125% of the unmodified goal. For a utility
6        with more than 3,000,000 retail customers, the bonus
7        earned for achieving more than 100% of an approved
8        goal but less than 125% of the unmodified goal shall be
9        linearly interpolated.
10            (D) For utilities with greater than 3,000,000
11        retail customers, the return on equity shall be
12        unmodified due to performance on an individual goal
13        only if the utility achieves exactly 100% of the goal.
14        For utilities with more than 500,000 but fewer than
15        3,000,000 retail customers, the return on equity shall
16        be unmodified for achieving between 85% and 100% of
17        the goal.
18            (E) Penalties may be earned for falling short of
19        goals, with the magnitude of any penalty being a
20        function of both the size of the utility and whether
21        goals established in subsection (b-16) are modified by
22        the Commission under paragraph (4) of subsection (f)
23        of this Section, as follows:
24                (i) If the savings goals specified in
25            subsection (b-16) of this Section are unmodified,
26            a utility with more than 3,000,000 retail

 

 

HB5373- 563 -LRB104 20029 AAS 33480 b

1            customers shall earn the maximum penalty allocated
2            to a goal for achieving 75% or less of the goal.
3            The penalty for achieving greater than 75% but
4            less than 100% of the goal shall be linearly
5            interpolated.
6                (ii) If the savings goals specified in
7            subsection (b-16) of this Section are unmodified,
8            a utility with more than 500,000 but fewer than
9            3,000,000 retail customers shall earn the maximum
10            penalty allocated to a goal for achieving at least
11            33.3 percentage points less than the bottom end of
12            the deadband specified in subparagraph (D) of this
13            paragraph (8.5). The penalty for achieving less
14            than the bottom end of the deadband and greater
15            than 33.3 percentage points less than the bottom
16            end of the deadband shall be linearly
17            interpolated.
18                (iii) If either the energy or peak demand
19            savings goals specified in subsection (b-16) are
20            reduced under paragraph (3) or (4) of subsection
21            (f) of this Section, the maximum penalty allocated
22            to a goal shall be earned if the utility achieves
23            80% or less of the modified goal. The penalty for
24            achieving more than 80% but less than 100% of a
25            modified goal shall be linearly interpolated.
26        (9) The utility shall submit the energy savings data

 

 

HB5373- 564 -LRB104 20029 AAS 33480 b

1    to the independent evaluator no later than 30 days after
2    the close of the plan year. The independent evaluator
3    shall determine the cumulative persisting annual savings
4    and annual incremental savings for a given plan year, as
5    well as an estimate of job impacts and other macroeconomic
6    impacts of the efficiency programs for that year, no later
7    than 120 days after the close of the plan year. The utility
8    shall submit an informational filing to the Commission no
9    later than 160 days after the close of the plan year that
10    attaches the independent evaluator's final report
11    identifying the cumulative persisting annual savings for
12    the year and calculates, under paragraph (7) or (8) of
13    this subsection (g), as applicable, any resulting change
14    to the utility's return on equity component of the
15    weighted average cost of capital applicable to the next
16    plan year beginning with the January monthly billing
17    period and extending through the December monthly billing
18    period. However, if the utility recovers the costs
19    incurred under this Section under paragraphs (2) and (3)
20    of subsection (d) of this Section, then the utility shall
21    not be required to submit such informational filing, and
22    shall instead submit the information that would otherwise
23    be included in the informational filing as part of its
24    filing under paragraph (3) of such subsection (d) that is
25    due on or before June 1 of each year.
26        For those utilities that must submit the informational

 

 

HB5373- 565 -LRB104 20029 AAS 33480 b

1    filing, the Commission may, on its own motion or by
2    petition, initiate an investigation of such filing,
3    provided, however, that the utility's proposed return on
4    equity calculation shall be deemed the final, approved
5    calculation on December 15 of the year in which it is filed
6    unless the Commission enters an order on or before
7    December 15, after notice and hearing, that modifies such
8    calculation consistent with this Section.
9        The adjustments to the return on equity component
10    described in paragraphs (7) and (8) of this subsection (g)
11    shall be applied as described in such paragraphs through a
12    separate tariff mechanism, which shall be filed by the
13    utility under subsections (f) and (g) of this Section.
14        (9.5) The utility must demonstrate how it will ensure
15    that program implementation contractors and energy
16    efficiency installation vendors will promote workforce
17    equity and quality jobs. For all construction,
18    installation, or other related services procured under
19    this Section, an electric utility must:
20            (A) award a bid preference of 2% to a contractor if
21        the contractor certifies under oath that the
22        contractor's primary place of business is located
23        within the utility's service area; and
24            (B) award a bid preference of 2% to a contractor if
25        the contractor certifies under oath that at least 85%
26        of the workforce to be utilized for such construction,

 

 

HB5373- 566 -LRB104 20029 AAS 33480 b

1        installation, or other related services reside in the
2        utility's service area.
3        (9.6) Utilities shall collect data necessary to ensure
4    compliance with paragraph (9.5) no less than quarterly and
5    shall communicate progress toward compliance with
6    paragraph (9.5) to program implementation contractors and
7    energy efficiency installation vendors no less than
8    quarterly. Utilities shall work with relevant vendors,
9    providing education, training, and other resources needed
10    to ensure compliance and, where necessary, adjusting or
11    terminating work with vendors that cannot assist with
12    compliance.
13        (10) Utilities required to implement efficiency
14    programs under subsections (b-5), (b-10), and (b-16) shall
15    report annually to the Illinois Commerce Commission and
16    the General Assembly on how hiring, contracting, job
17    training, and other practices related to its energy
18    efficiency programs enhance the diversity of vendors
19    working on such programs. These reports must include data
20    on vendor and employee diversity, including data on the
21    implementation of paragraphs (9.5) and (9.6) and the
22    proportion of total program dollars awarded to firms that
23    meet the criteria of subparagraphs (A) and (B) of
24    paragraph (9.5). If the utility is not meeting the
25    requirements of paragraphs (9.5) and (9.6), the utility
26    shall submit a plan to adjust their activities so that

 

 

HB5373- 567 -LRB104 20029 AAS 33480 b

1    they meet the requirements of paragraphs (9.5) and (9.6)
2    within the following year.
3    (h) No more than 4% of energy efficiency and
4demand-response program revenue may be allocated for research,
5development, or pilot deployment of new equipment or measures.
6Electric utilities shall work with interested stakeholders to
7formulate a plan for how these funds should be spent,
8incorporate statewide approaches for these allocations, and
9file a 4-year plan that demonstrates that collaboration. If a
10utility files a request for modified annual energy savings
11goals with the Commission, then a utility shall forgo spending
12portfolio dollars on research and development proposals.
13    (i) When practicable, electric utilities shall incorporate
14advanced metering infrastructure data into the planning,
15implementation, and evaluation of energy efficiency measures
16and programs, subject to the data privacy and confidentiality
17protections of applicable law.
18    (j) The independent evaluator shall follow the guidelines
19and use the savings set forth in Commission-approved energy
20efficiency policy manuals and technical reference manuals, as
21each may be updated from time to time. Until such time as
22measure life values for energy efficiency measures implemented
23for low-income households under subsection (c) of this Section
24are incorporated into such Commission-approved manuals, the
25low-income measures shall have the same measure life values
26that are established for same measures implemented in

 

 

HB5373- 568 -LRB104 20029 AAS 33480 b

1households that are not low-income households.
2    (k) Notwithstanding any provision of law to the contrary,
3an electric utility subject to the requirements of this
4Section may file a tariff cancelling an automatic adjustment
5clause tariff in effect under this Section or Section 8-103,
6which shall take effect no later than one business day after
7the date such tariff is filed. Thereafter, the utility shall
8be authorized to defer and recover its expenditures incurred
9under this Section through a new tariff authorized under
10subsection (d) of this Section or in the utility's next rate
11case under Article IX or Section 16-108.5 of this Act, with
12interest at an annual rate equal to the utility's weighted
13average cost of capital as approved by the Commission in such
14case. If the utility elects to file a new tariff under
15subsection (d) of this Section, the utility may file the
16tariff within 10 days after June 1, 2017 (the effective date of
17Public Act 99-906), and the cost inputs to such tariff shall be
18based on the projected costs to be incurred by the utility
19during the calendar year in which the new tariff is filed and
20that were not recovered under the tariff that was cancelled as
21provided for in this subsection. Such costs shall include
22those incurred or to be incurred by the utility under its
23multi-year plan approved under subsections (f) and (g) of this
24Section, including, but not limited to, projected capital
25investment costs and projected regulatory asset balances with
26correspondingly updated depreciation and amortization reserves

 

 

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1and expense. The Commission shall, after notice and hearing,
2approve, or approve with modification, such tariff and cost
3inputs no later than 75 days after the utility filed the
4tariff, provided that such approval, or approval with
5modification, shall be consistent with the provisions of this
6Section to the extent they do not conflict with this
7subsection (k). The tariff approved by the Commission shall
8take effect no later than 5 days after the Commission enters
9its order approving the tariff.
10    No later than 60 days after the effective date of the
11tariff cancelling the utility's automatic adjustment clause
12tariff, the utility shall file a reconciliation that
13reconciles the moneys collected under its automatic adjustment
14clause tariff with the costs incurred during the period
15beginning June 1, 2016 and ending on the date that the electric
16utility's automatic adjustment clause tariff was cancelled. In
17the event the reconciliation reflects an under-collection, the
18utility shall recover the costs as specified in this
19subsection (k). If the reconciliation reflects an
20over-collection, the utility shall apply the amount of such
21over-collection as a one-time credit to retail customers'
22bills.
23    (l) For the calendar years covered by a multi-year plan
24commencing after December 31, 2017, subsections (a) through
25(j) of this Section do not apply to eligible large private
26energy customers that have chosen to opt out of multi-year

 

 

HB5373- 570 -LRB104 20029 AAS 33480 b

1plans consistent with this subsection (1).
2        (1) For purposes of this subsection (l), "eligible
3    large private energy customer" means any retail customers,
4    except for federal, State, municipal, and other public
5    customers, of an electric utility that serves more than
6    3,000,000 retail customers, except for federal, State,
7    municipal and other public customers, in the State and
8    whose total highest 30 minute demand was more than 10,000
9    kilowatts, or any retail customers of an electric utility
10    that serves less than 3,000,000 retail customers but more
11    than 500,000 retail customers in the State and whose total
12    highest 15 minute demand was more than 10,000 kilowatts.
13    For purposes of this subsection (l), "retail customer" has
14    the meaning set forth in Section 16-102 of this Act.
15    However, for a business entity with multiple sites located
16    in the State, where at least one of those sites qualifies
17    as an eligible large private energy customer, then any of
18    that business entity's sites, properly identified on a
19    form for notice, shall be considered eligible large
20    private energy customers for the purposes of this
21    subsection (l). A determination of whether this subsection
22    is applicable to a customer shall be made for each
23    multi-year plan beginning after December 31, 2017. The
24    criteria for determining whether this subsection (l) is
25    applicable to a retail customer shall be based on the 12
26    consecutive billing periods prior to the start of the

 

 

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1    first year of each such multi-year plan.
2        (2) Within 45 days after September 15, 2021 (the
3    effective date of Public Act 102-662), the Commission
4    shall prescribe the form for notice required for opting
5    out of energy efficiency programs. The notice must be
6    submitted to the retail electric utility 12 months before
7    the next energy efficiency planning cycle. However, within
8    120 days after the Commission's initial issuance of the
9    form for notice, eligible large private energy customers
10    may submit a form for notice to an electric utility. The
11    form for notice for opting out of energy efficiency
12    programs shall include all of the following:
13            (A) a statement indicating that the customer has
14        elected to opt out;
15            (B) the account numbers for the customer accounts
16        to which the opt out shall apply;
17            (C) the mailing address associated with the
18        customer accounts identified under subparagraph (B);
19            (D) an American Society of Heating, Refrigerating,
20        and Air-Conditioning Engineers (ASHRAE) level 2 or
21        higher audit report conducted by an independent
22        third-party expert identifying cost-effective energy
23        efficiency project opportunities that could be
24        invested in over the next 10 years. A retail customer
25        with specialized processes may utilize a self-audit
26        process in lieu of the ASHRAE audit;

 

 

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1            (E) a description of the customer's plans to
2        reallocate the funds toward internal energy efficiency
3        efforts identified in the subparagraph (D) report,
4        including, but not limited to: (i) strategic energy
5        management or other programs, including descriptions
6        of targeted buildings, equipment and operations; (ii)
7        eligible energy efficiency measures; and (iii)
8        expected energy savings, itemized by technology. If
9        the subparagraph (D) audit report identifies that the
10        customer currently utilizes the best available energy
11        efficient technology, equipment, programs, and
12        operations, the customer may provide a statement that
13        more efficient technology, equipment, programs, and
14        operations are not reasonably available as a means of
15        satisfying this subparagraph (E); and
16            (F) the effective date of the opt out, which will
17        be the next January 1 following notice of the opt out.
18        (3) Upon receipt of a properly and timely noticed
19    request for opt out submitted by an eligible large private
20    energy customer, the retail electric utility shall grant
21    the request, file the request with the Commission and,
22    beginning January 1 of the following year, the opted out
23    customer shall no longer be assessed the costs of the plan
24    and shall be prohibited from participating in that 4-year
25    plan cycle to give the retail utility the certainty to
26    design program plan proposals.

 

 

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1        (4) Upon a customer's election to opt out under
2    paragraphs (1) and (2) of this subsection (l) and
3    commencing on the effective date of said opt out, the
4    account properly identified in the customer's notice under
5    paragraph (2) shall not be subject to any cost recovery
6    and shall not be eligible to participate in, or directly
7    benefit from, compliance with energy efficiency cumulative
8    persisting savings requirements under subsections (a)
9    through (j).
10        (5) A utility's cumulative persisting annual savings
11    targets will exclude any opted out load.
12        (6) The request to opt out is only valid for the
13    requested plan cycle. An eligible large private energy
14    customer must also request to opt out for future energy
15    plan cycles, otherwise the customer will be included in
16    the future energy plan cycle.
17    (m) Notwithstanding the requirements of this Section, as
18part of a proceeding to approve a multi-year plan under
19subsections (f) and (g) of this Section if the multi-year plan
20has been designed to maximize savings, but does not meet the
21cost cap limitations of this Section, the Commission shall
22reduce the amount of energy efficiency measures implemented
23for any single year, and whose costs are recovered under
24subsection (d) of this Section, by an amount necessary to
25limit the estimated average net increase due to the cost of the
26measures to no more than

 

 

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1        (1) 3.5% for each of the 4 years beginning January 1,
2    2018,
3        (2) (blank),
4        (3) 4% for each of the 4 years beginning January 1,
5    2022,
6        (3.5) 4.25% for 2026,
7        (4) 4.25% for electric utilities that serve more than
8    3,000,000 retail customers in the State, and 4.21% for
9    2027, 5.25% for 2028, and 6.06% for 2029 for electric
10    utilities with less than 3,000,000 retail customers but
11    more than 500,000 retail customers in the State, for the 3
12    years beginning January 1, 2027, and
13        (5) the percentage specified in paragraph (4)
14    applicable to 2029 plus an increase sufficient to account
15    for the rate of inflation between January 1, 2027 and
16    January 1 of the first year of each subsequent 4-year plan
17    cycle,
18of the average amount paid per kilowatthour by residential
19eligible retail customers during calendar year 2015 for plans
20in effect through 2026 and during calendar year 2023 for plans
21commencing in 2027 and thereafter. An electric utility may
22plan to spend up to 10% more in any year during an applicable
23multi-year plan period, including any transition period
24authorized under paragraph (2.5) of subsection (f), to
25cost-effectively achieve additional savings so long as the
26average over the applicable multi-year plan period, which

 

 

HB5373- 575 -LRB104 20029 AAS 33480 b

1shall include any transition period, does not exceed the
2percentages defined in items (1) through (5). To determine the
3total amount that may be spent by an electric utility in any
4single year, the applicable percentage of the average amount
5paid per kilowatthour shall be multiplied by the total amount
6of energy delivered by such electric utility in the calendar
7year 2015 for plans in effect through 2026 and during calendar
8year 2023 for plans commencing in 2027 and thereafter,
9adjusted to reflect the proportion of the utility's load
10attributable to customers that have opted out of subsections
11(a) through (j) of this Section under subsection (l) of this
12Section. For purposes of this subsection (m), the amount paid
13per kilowatthour includes, without limitation, estimated
14amounts paid for supply, transmission, distribution,
15surcharges, and add-on taxes. For purposes of this Section,
16"eligible retail customers" shall have the meaning set forth
17in Section 16-111.5 of this Act. Once the Commission has
18approved a plan under subsections (f) and (g) of this Section,
19no subsequent rate impact determinations shall be made.
20    (n) A utility shall take advantage of the efficiencies
21available through existing Illinois Home Weatherization
22Assistance Program infrastructure and services, such as
23enrollment, marketing, quality assurance and implementation,
24which can reduce the need for similar services at a lower cost
25than utility-only programs, subject to capacity constraints at
26community action agencies, for both single-family and

 

 

HB5373- 576 -LRB104 20029 AAS 33480 b

1multifamily weatherization services, to the extent Illinois
2Home Weatherization Assistance Program community action
3agencies provide multifamily services. A utility's plan shall
4demonstrate that in formulating annual weatherization budgets,
5it has sought input and coordination with community action
6agencies regarding agencies' capacity to expand and maximize
7Illinois Home Weatherization Assistance Program delivery using
8the ratepayer dollars collected under this Section.
9(Source: P.A. 103-154, eff. 6-30-23; 103-613, eff. 7-1-24;
10104-458, eff. 6-1-26.)
 
11    Section 180. The Child Care Act of 1969 is amended by
12changing Sections 2.09, 2.10, 2.11, 2.18, 2.20, 3, 3.01, 3.7,
133.8, 4, 4.01, 4.1, 4.2, 4.2a, 4.3, 4.3a, 4.4, 4.4a, 4.5, 5,
145.01, 5.1, 5.1a, 5.2, 5.2a, 5.3, 5.5, 5.6, 5.8, 5.9, 5.10,
155.11, 5.12, 6, 6.1, 7, 7.01, 7.10, 8, 8.1, 8.2, 8.5, 8a, 8.1a,
168.2a, 8.6, 9, 9.01, 9.1c, 9.2, 10, 11.2, 11.3, 12, 12.1, 15,
1715.1, 16.1, 18, and 18.1 as follows:
 
18    (225 ILCS 10/2.09)
19    (Text of Section before amendment by P.A. 103-594)
20    Sec. 2.09. "Day care center" means any child care facility
21which regularly provides day care for less than 24 hours per
22day, except as provided for in Section 5.12, for (1) more than
238 children in a family home, or (2) more than 3 children in a
24facility other than a family home, including senior citizen

 

 

HB5373- 577 -LRB104 20029 AAS 33480 b

1buildings.
2    The term does not include:
3        (a) programs operated by (i) public or private
4    elementary school systems or secondary level school units
5    or institutions of higher learning that serve children who
6    shall have attained the age of 3 years or (ii) private
7    entities on the grounds of public or private elementary or
8    secondary schools and that serve children who have
9    attained the age of 3 years, except that this exception
10    applies only to the facility and not to the private
11    entities' personnel operating the program;
12        (b) programs or that portion of the program which
13    serves children who shall have attained the age of 3 years
14    and which are recognized by the State Board of Education;
15        (c) educational program or programs serving children
16    who shall have attained the age of 3 years and which are
17    operated by a school which is registered with the State
18    Board of Education and which is recognized or accredited
19    by a recognized national or multistate educational
20    organization or association which regularly recognizes or
21    accredits schools;
22        (d) programs which exclusively serve or that portion
23    of the program which serves children with disabilities who
24    shall have attained the age of 3 years but are less than 21
25    years of age and which are registered and approved as
26    meeting standards of the State Board of Education and

 

 

HB5373- 578 -LRB104 20029 AAS 33480 b

1    applicable fire marshal standards;
2        (e) facilities operated in connection with a shopping
3    center or service, religious services, or other similar
4    facility, where transient children are cared for
5    temporarily while parents or custodians of the children
6    are occupied on the premises and readily available;
7        (f) any type of day care center that is conducted on
8    federal government premises;
9        (g) special activities programs, including athletics,
10    recreation, crafts instruction, and similar activities
11    conducted on a periodic basis by civic, charitable, or
12    governmental organizations, including, but not limited to,
13    programs offered by arboretums or park districts organized
14    under the Park District Code to children who shall have
15    attained the age of 3 years old if the program meets no
16    more than 3.5 continuous hours at a time or less and no
17    more than 25 hours during any week, and the park district
18    conducts background investigations on employees of the
19    program pursuant to Section 8-23 of the Park District Code
20    or the arboretum conducts background investigations on
21    employees of the program pursuant to this Act;
22        (h) part day child care facilities, as defined in
23    Section 2.10 of this Act;
24        (i) programs or that portion of the program which:
25            (1) serves children who shall have attained the
26        age of 3 years;

 

 

HB5373- 579 -LRB104 20029 AAS 33480 b

1            (2) is operated by churches or religious
2        institutions as described in Section 501(c)(3) of the
3        federal Internal Revenue Code;
4            (3) receives no governmental aid;
5            (4) is operated as a component of a religious,
6        nonprofit elementary school;
7            (5) operates primarily to provide religious
8        education; and
9            (6) meets appropriate State or local health and
10        fire safety standards; or
11        (j) programs or portions of programs that:
12            (1) serve only school-age children and youth
13        (defined as full-time kindergarten children, as
14        defined in 89 Ill. Adm. Code 407.45, or older);
15            (2) are organized to promote childhood learning,
16        child and youth development, educational or
17        recreational activities, or character-building;
18            (3) operate primarily during out-of-school time or
19        at times when school is not normally in session;
20            (4) comply with the standards of the Illinois
21        Department of Public Health (77 Ill. Adm. Code 750) or
22        the local health department, the Illinois State Fire
23        Marshal (41 Ill. Adm. Code 100), and the following
24        additional health and safety requirements: procedures
25        for employee and volunteer emergency preparedness and
26        practice drills; procedures to ensure that first aid

 

 

HB5373- 580 -LRB104 20029 AAS 33480 b

1        kits are maintained and ready to use; the placement of
2        a minimum level of liability insurance as determined
3        by the Department; procedures for the availability of
4        a working telephone that is onsite and accessible at
5        all times; procedures to ensure that emergency phone
6        numbers are posted onsite; and a restriction on
7        handgun or weapon possession onsite, except if
8        possessed by a peace officer;
9            (5) perform and maintain authorization and results
10        of criminal history checks through the Illinois State
11        Police and FBI and checks of the Illinois Sex Offender
12        Registry, the National Sex Offender Registry, and
13        Child Abuse and Neglect Tracking System for employees
14        and volunteers who work directly with children;
15            (6) make hiring decisions in accordance with the
16        prohibitions against barrier crimes as specified in
17        Section 4.2 of this Act or in Section 21B-80 of the
18        School Code;
19            (7) provide parents with written disclosure that
20        the operations of the program are not regulated by
21        licensing requirements; and
22            (8) obtain and maintain records showing the first
23        and last name and date of birth of the child, name,
24        address, and telephone number of each parent,
25        emergency contact information, and written
26        authorization for medical care.

 

 

HB5373- 581 -LRB104 20029 AAS 33480 b

1    Programs or portions of programs requesting Child Care
2Assistance Program (CCAP) funding and otherwise meeting the
3requirements under item (j) shall request exemption from the
4Department and be determined exempt prior to receiving funding
5and must annually meet the eligibility requirements and be
6appropriate for payment under the CCAP.
7    Programs or portions of programs under item (j) that do
8not receive State or federal funds must comply with staff
9qualification and training standards established by rule by
10the Department of Human Services. The Department of Human
11Services shall set such standards after review of Afterschool
12for Children and Teens Now (ACT Now) evidence-based quality
13standards developed for school-age out-of-school time
14programs, feedback from the school-age out-of-school time
15program professionals, and review of out-of-school time
16professional development frameworks and quality tools.
17    Out-of-school time programs for school-age youth that
18receive State or federal funds must comply with only those
19staff qualifications and training standards set for the
20program by the State or federal entity issuing the funds.
21    For purposes of items (a), (b), (c), (d), and (i) of this
22Section, "children who shall have attained the age of 3 years"
23shall mean children who are 3 years of age, but less than 4
24years of age, at the time of enrollment in the program.
25(Source: P.A. 103-153, eff. 6-30-23; 103-952, eff. 1-1-25;
26104-45, eff. 1-1-26; 104-417, eff. 8-15-25.)
 

 

 

HB5373- 582 -LRB104 20029 AAS 33480 b

1    (Text of Section after amendment by P.A. 103-594)
2    Sec. 2.09. "Child Day care center" means any child care
3facility which regularly provides child day care for less than
424 hours per day, except as provided for in Section 5.12, for
5(1) more than 8 children in a family home, or (2) more than 3
6children in a facility other than a family home, including
7senior citizen buildings.
8    The term does not include:
9        (a) programs operated by (i) public or private
10    elementary school systems or secondary level school units
11    or institutions of higher learning that serve children who
12    shall have attained the age of 3 years or (ii) private
13    entities on the grounds of public or private elementary or
14    secondary schools and that serve children who have
15    attained the age of 3 years, except that this exception
16    applies only to the facility and not to the private
17    entities' personnel operating the program;
18        (b) programs or that portion of the program which
19    serves children who shall have attained the age of 3 years
20    and which are recognized by the State Board of Education;
21        (c) educational program or programs serving children
22    who shall have attained the age of 3 years and which are
23    operated by a school which is registered with the State
24    Board of Education and which is recognized or accredited
25    by a recognized national or multistate educational

 

 

HB5373- 583 -LRB104 20029 AAS 33480 b

1    organization or association which regularly recognizes or
2    accredits schools;
3        (d) programs which exclusively serve or that portion
4    of the program which serves children with disabilities who
5    shall have attained the age of 3 years but are less than 21
6    years of age and which are registered and approved as
7    meeting standards of the State Board of Education and
8    applicable fire marshal standards;
9        (e) facilities operated in connection with a shopping
10    center or service, religious services, or other similar
11    facility, where transient children are cared for
12    temporarily while parents or custodians of the children
13    are occupied on the premises and readily available;
14        (f) any type of day care center that is conducted on
15    federal government premises;
16        (g) special activities programs, including athletics,
17    recreation, crafts instruction, and similar activities
18    conducted on a periodic basis by civic, charitable, or
19    governmental organizations, including, but not limited to,
20    programs offered by arboretums or park districts organized
21    under the Park District Code to children who shall have
22    attained the age of 3 years old if the program meets no
23    more than 3.5 continuous hours at a time or less and no
24    more than 25 hours during any week, and the park district
25    conducts background investigations on employees of the
26    program pursuant to Section 8-23 of the Park District Code

 

 

HB5373- 584 -LRB104 20029 AAS 33480 b

1    or the arboretum conducts background investigations on
2    employees of the program pursuant to this Act;
3        (h) part day child care facilities, as defined in
4    Section 2.10 of this Act;
5        (i) programs or that portion of the program which:
6            (1) serves children who shall have attained the
7        age of 3 years;
8            (2) is operated by churches or religious
9        institutions as described in Section 501(c)(3) of the
10        federal Internal Revenue Code;
11            (3) receives no governmental aid;
12            (4) is operated as a component of a religious,
13        nonprofit elementary school;
14            (5) operates primarily to provide religious
15        education; and
16            (6) meets appropriate State or local health and
17        fire safety standards; or
18        (j) programs or portions of programs that:
19            (1) serve only school-age children and youth
20        (defined as full-time kindergarten children, as
21        defined in 89 Ill. Adm. Code 407.45, or older);
22            (2) are organized to promote childhood learning,
23        child and youth development, educational or
24        recreational activities, or character-building;
25            (3) operate primarily during out-of-school time or
26        at times when school is not normally in session;

 

 

HB5373- 585 -LRB104 20029 AAS 33480 b

1            (4) comply with the standards of the Illinois
2        Department of Public Health (77 Ill. Adm. Code 750) or
3        the local health department, the Illinois State Fire
4        Marshal (41 Ill. Adm. Code 100), and the following
5        additional health and safety requirements: procedures
6        for employee and volunteer emergency preparedness and
7        practice drills; procedures to ensure that first aid
8        kits are maintained and ready to use; the placement of
9        a minimum level of liability insurance as determined
10        by the Department; procedures for the availability of
11        a working telephone that is onsite and accessible at
12        all times; procedures to ensure that emergency phone
13        numbers are posted onsite; and a restriction on
14        handgun or weapon possession onsite, except if
15        possessed by a peace officer;
16            (5) perform and maintain authorization and results
17        of criminal history checks through the Illinois State
18        Police and FBI and checks of the Illinois Sex Offender
19        Registry, the National Sex Offender Registry, and
20        Child Abuse and Neglect Tracking System for employees
21        and volunteers who work directly with children;
22            (6) make hiring decisions in accordance with the
23        prohibitions against barrier crimes as specified in
24        Section 4.2 of this Act or in Section 21B-80 of the
25        School Code;
26            (7) provide parents with written disclosure that

 

 

HB5373- 586 -LRB104 20029 AAS 33480 b

1        the operations of the program are not regulated by
2        licensing requirements; and
3            (8) obtain and maintain records showing the first
4        and last name and date of birth of the child, name,
5        address, and telephone number of each parent,
6        emergency contact information, and written
7        authorization for medical care.
8    Out-of-school time programs for school-age youth that
9receive State or federal funds must comply with only those
10staff qualifications and training standards set for the
11program by the State or federal entity issuing the funds.
12    For purposes of items (a), (b), (c), (d), and (i) of this
13Section, "children who shall have attained the age of 3 years"
14shall mean children who are 3 years of age, but less than 4
15years of age, at the time of enrollment in the program.
16(Source: P.A. 103-153, eff. 6-30-23; 103-594, eff. 7-1-26;
17103-952, eff. 1-1-25; 104-45, eff. 1-1-26; 104-417, eff.
188-15-25.)
 
19    (225 ILCS 10/2.10)  (from Ch. 23, par. 2212.10)
20    Sec. 2.10. "Part day child care facility" means a
21nonresidential program for children ages 3 and above, where
22the child is present for a maximum of 3 hours per day and the
23parent or guardian of the child is not on site. Providers must
24obtain emergency contact information for the parents or
25guardians of children at the facility.

 

 

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1Part day child care facilities are subject to the requirements
2outlined in Section 3 of this Act. facility for which written
3notification has been filed pursuant to subsection (b) of
4Section 3 of this Act and which is conducted by a church,
5religious organization or social service agency in which
6individual children are provided care, on an intermittent
7basis, for up to 10 hours per seven day week. Any facility
8which provides intermittent care for up to 10 hours per 7 day
9week shall not provide such care for more than 8 hours in any
10given day during the 7 day week. Any facility which provides
11intermittent care for up to 10 hours per 7 day week shall
12provide at least one caregiver per 20 children. Any facility
13which operates for more than 10 hours per 7 day week or charges
14a fee for its services shall maintain written records
15indicating the parent's name, emergency phone numbers and the
16number of hours each child is served in order to verify that
17the facility is operating within the bounds set by this
18definition.
19(Source: P.A. 87-724.)
 
20    (225 ILCS 10/2.11)  (from Ch. 23, par. 2212.11)
21    (Section scheduled to be repealed on July 1, 2026)
22    Sec. 2.11. "Child Day care agency" means any person, group
23of persons, public or private agency, association or
24organization which undertakes to provide one or more child day
25care homes with administrative services including, but not

 

 

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1limited to, consultation, technical assistance, training,
2supervision, evaluation and provision of or referral to health
3and social services under contractual arrangement.
4(Source: P.A. 83-126. Repealed by P.A. 103-594, eff. 7-1-26.)
 
5    (225 ILCS 10/2.18)  (from Ch. 23, par. 2212.18)
6    Sec. 2.18. "Child Day care homes" means family homes which
7receive more than 3 up to a maximum of 12 children for less
8than 24 hours per day. The number counted includes the
9family's natural or adopted children and all other persons
10under the age of 12. The term does not include facilities which
11receive only children from a single household.
12(Source: P.A. 87-674.)
 
13    (225 ILCS 10/2.20)  (from Ch. 23, par. 2212.20)
14    Sec. 2.20. "Group child day care home" means a family home
15which receives more than 3 up to a maximum of 16 children for
16less than 24 hours per day. The number counted includes the
17family's natural or adopted children and all other persons
18under the age of 12.
19(Source: P.A. 87-675)
 
20    (225 ILCS 10/3)
21    (Text of Section before amendment by P.A. 103-594)
22    Sec. 3. (a) No person, group of persons or corporation may
23operate or conduct any facility for child care, as defined in

 

 

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1this Act, without a license or permit issued by the Department
2or without being approved by the Department as meeting the
3standards established for such licensing, with the exception
4of facilities for whom standards are established by the
5Department of Corrections under Section 3-15-2 of the Unified
6Code of Corrections, with the exception of facilities defined
7in Section 2.10 of this Act, and with the exception of programs
8or facilities licensed by the Department of Human Services
9under the Substance Use Disorder Act.
10    (b) No part day child care facility as described in
11Section 2.10 may operate without written notification to the
12Department or without complying with Section 7.1. Notification
13shall include a notarized statement by the facility that the
14facility complies with State or local health standards and
15State fire safety standards and shall be filed with the
16department every 2 years.
17    (c) The Director of the Department shall establish
18policies and coordinate activities relating to child care
19licensing, licensing of day care homes and day care centers.
20    (d) Any facility or agency which is exempt from licensing
21may apply for licensing if licensing is required for some
22government benefit.
23    (e) A provider of day care described in items (a) through
24(j) of Section 2.09 of this Act is exempt from licensure. The
25Department shall provide written verification of exemption and
26description of compliance with standards for the health,

 

 

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1safety, and development of the children who receive the
2services upon submission by the provider of, in addition to
3any other documentation required by the Department, a
4notarized statement that the facility complies with: (1) the
5standards of the Department of Public Health or local health
6department, (2) the fire safety standards of the State Fire
7Marshal, and (3) if operated in a public school building, the
8health and safety standards of the State Board of Education.
9    (f) Through June 30, 2029, either a qualified child care
10director, as described in 89 Ill. Adm. Code 407.130, or a
11qualified early childhood teacher, as described in 89 Ill.
12Adm. Code 407.140, with a minimum of 2,880 hours of experience
13as an early childhood teacher at the early childhood teacher's
14current facility must be present for the first and last hour of
15the workday and at the open or close of the facility. The
16Department shall adopt rules to implement this subsection.
17Such rules must be filed with the Joint Committee on
18Administrative Rules no later than January 1, 2025.
19(Source: P.A. 103-821, eff. 8-9-24; 104-417, eff. 8-15-25.)
 
20    (Text of Section after amendment by P.A. 103-594)
21    Sec. 3. (a) No person, group of persons or corporation may
22operate or conduct any facility for child care, as defined in
23this Act, without a license or permit issued by the Department
24or without being approved by the Department as meeting the
25standards established for such licensing, except child care

 

 

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1settings with the exception of facilities for whom standards
2are established by the Department of Corrections under Section
33-15-2 of the Unified Code of Corrections, with the exception
4of facilities defined in Section 2.10 of this Act, with the
5exception of programs or facilities licensed by the Department
6of Human Services under the Substance Use Disorder Act, and
7with the exception of day care centers, day care homes, and
8group day care homes.
9    (a-5) No part day child care facility as described in
10Section 2.10 may operate without written notification to the
11Department or without complying with Section 7.1. Part day
12child care facilities must comply with building and physical
13safety requirements, health and safety requirements, and
14background check requirements adopted by the Department of
15Early Childhood that may meet but not exceed the requirements
16for the child care assistance program under Section 9A-11 of
17the Illinois Public Aid Code.
18    (a-10) The Secretary of Early Childhood shall establish
19policies and coordinate activities relating to licensing of
20child care homes, group child care homes, and child care
21centers.
22    (b) (Blank).
23    (c) (Blank).
24    (d) Any child care provider facility or agency which is
25not required to be licensed exempt from licensing may apply
26for a license licensing if a license licensing is required for

 

 

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1some government benefit or if the child care provider wishes
2to be licensed.
3    (d-5) A provider of child care under the circumstances
4described in this subsection (d-5) is not required to obtain a
5license. The Department of Early Childhood shall provide a
6written verification of alternate license and a description of
7compliance with standards for the health, safety, and
8development of the children who receive child care services
9upon submission by the child care provider of, in addition to
10any other documentation required by the Department of Early
11Childhood, a notarized statement that the child care
12provider's facility complies with rules promulgated by the
13Department of Early Childhood on building safety, health, and
14safety and background checks. These requirements may meet but
15not exceed the requirements for the child care assistance
16program under Section 9A-11 of the Illinois Public Aid Code.
17        (1) In-home child care that is provided to no more
18    than 3 children under the age of 12, including the
19    provider's natural or adopted children and any other
20    persons under the age of 12 whether related or unrelated
21    to the provider of the child care home, is not required to
22    obtain a license as a child care facility. A provider may
23    care for up to 6 children if all such children are children
24    from the same household. Providers must notify the parent
25    or guardian of a child that the program is operating
26    pursuant to an exemption from licensure. For the purposes

 

 

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1    of this paragraph (1), "children from the same household"
2    includes children that are blood-related, adopted,
3    stepchildren, and children placed in a home through foster
4    care that are under the age of 12 years and living in the
5    same home.
6        (2) Supplementary child care operations for facilities
7    that provide activities including, without limitation,
8    retail shopping, exercise, or religious activities, are
9    not required to obtain a license as a child care facility
10    as long as children are in care for no longer than 2 hours
11    per day and the facility does not refer to itself as a
12    child care center. The parent or guardian of the child
13    must remain on the same premises as the child and be
14    readily available. Providers must obtain emergency contact
15    information for a child's parent or guardian. Providers
16    must notify the parent or guardian that the program is
17    operating pursuant to an exemption from licensure.
18        (3) For children 5 years of age or older,
19    extracurricular programs outside of school hours in music,
20    dance, drama or art, library programs, scouting programs,
21    academic tutoring programs, sports programs, or other
22    classes that teach a single skill are not required to
23    obtain a license as a child care facility as long as
24    children are not participating in such programs for a
25    cumulative total of greater than 2 hours per day.
26        (4) programs operated by (i) public or private

 

 

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1    elementary school systems or secondary level school units
2    or institutions of higher learning that serve children who
3    shall have attained the age of 3 years or (ii) private
4    entities on the grounds of public or private elementary or
5    secondary schools and that serve children who have
6    attained the age of 3 years are not required to obtain a
7    license as a child care facility, except that this
8    paragraph (4) applies only to the facility and not to the
9    private entities' personnel operating the program.
10    Programs or the portion of a program that serves children
11    who shall have attained the age of 3 years and that are
12    recognized by the State Board of Education and educational
13    program or programs serving children who shall have
14    attained the age of 3 years, that are operated by a school,
15    at the same location as the school is operated, that are
16    registered with the State Board of Education, and that are
17    recognized or accredited by a recognized national or
18    multistate educational organization or association which
19    regularly recognizes or accredits schools are not required
20    to obtain a license as a child care facility.
21        (5) any type of child care that is conducted on
22    federal government premises, including child care centers,
23    child care homes, and group child care homes serving
24    children of military personnel, are not required to obtain
25    a license as a child care facility. Notwithstanding any
26    other provision to the contrary, a child care home or

 

 

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1    group child care home that would otherwise be subject to
2    licensure may be exempt from licensure if it meets all of
3    the following requirements: (i) it serves dependent
4    children of military personnel, (ii) it is located on a
5    military base or federal or government property, and (iii)
6    it is certified as a child development program by a branch
7    of the U.S. Department of Defense or the U.S. Coast Guard.
8    The U.S. Department of Defense, the U.S. Coast Guard, or
9    their agents, including an installation commander of a
10    military base on which a child care home or group child
11    care home is located, may assume responsibility for
12    monitoring the child care homes or group child care homes
13    that are exempt from licensure under this Section.
14    (d-10) Providers of child care under the circumstances
15described in this subsection (d-10) are exempt from full
16licensure requirements under this Act, as long as the provider
17meets some of the eligibility requirements applicable for
18participation in the child care assistance program under
19Section 9A-11 of the Illinois Public Aid Code, including,
20without limitation, education, training, CPR and first aid,
21and background checks for applicable individuals and the
22premises for child care facilities must meet applicable health
23and safety standards. Such providers must also meet certain
24staffing ratios and provide certain business records. The
25Department of Early Childhood shall adopt rules for
26alternatively licensed child care providers that may meet, but

 

 

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1not exceed eligibility requirements for participation in the
2child care assistance program under Section 9A-11 of the
3Illinois Public Aid Code.
4        (i) Nonresidential programs for children age 5 and
5    above that provide care or supervision when school is not
6    in session, that operate no more than 75 days in any
7    12-month period are not required to obtain a license as a
8    child care facility.
9        (ii) Nonresidential programs for children age 5 and
10    above, where the child is present for a maximum of 2.5
11    hours per day and the parent or guardian of the child is
12    not on site are not required to obtain a license as a child
13    care facility.
14        (iii) Programs that provide care to children age 5 and
15    above before or after school hours are not required to
16    obtain a license as a child care facility. Children may
17    not be on the premises for more than 2 hours before school
18    or 4 hours after school, for a cumulative total of no more
19    than 6 hours per day, and children may only be on the
20    premises between the hours of 6:00AM and 6:30PM.
21    (e) (Blank).
22    (f) Through June 30, 2029, either a qualified child care
23director, as described in 89 Ill. Adm. Code 407.130, or a
24qualified early childhood teacher, as described in 89 Ill.
25Adm. Code 407.140, with a minimum of 2,880 hours of experience
26as an early childhood teacher at the early childhood teacher's

 

 

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1current facility must be present for the first and last hour of
2the workday and at the open or close of the facility. The
3Department shall adopt rules to implement this subsection.
4Such rules must be filed with the Joint Committee on
5Administrative Rules no later than January 1, 2025.
6(Source: P.A. 103-594, eff. 7-1-26; 103-821, eff. 8-9-24;
7104-417, eff. 8-15-25.)
 
8    (225 ILCS 10/3.01)
9    (This Section may contain text from a Public Act with a
10delayed effective date)
11    Sec. 3.01. License or permit; Department of Early
12Childhood.
13    (a) No person, group of persons or corporation may operate
14or conduct any child day care center, child day care home, or
15group child day care home without a license or permit issued by
16the Department of Early Childhood or without being approved by
17the Department of Early Childhood meeting the standards
18established for such licensing, with the exception of
19facilities for whom standards are established by the
20Department of Corrections under Section 3-15-2 of the Unified
21Code of Corrections and with the exception of facilities
22defined in Section 2.10 of this Act, and with the exception of
23programs or facilities licensed by the Department of Human
24Services under the Substance Use Disorder Act.
25    (b) No part day child care facility as described in

 

 

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1Section 2.10 may operate without written notification to the
2Department of Early Childhood or without complying with
3Section 7.1. Notification shall include a notarized statement
4by the facility that the facility complies with state or local
5health standards and state fire safety standards, and shall be
6filed with the Department every 2 years.
7    (c) The Secretary of Early Childhood shall establish
8policies and coordinate activities relating to licensing of
9child day care centers, group child day care homes, and child
10day care homes.
11    (d) Any facility or agency which is exempt from licensing
12may apply for licensing if licensing is required for some
13government benefit.
14    (e) A provider of child day care described in items (a)
15through (j) of Section 2.09 of this Act is exempt from
16licensure. The Department of Early Childhood shall provide
17written verification of exemption and description of
18compliance with standards for the health, safety, and
19development of the children who receive the services upon
20submission by the provider of, in addition to any other
21documentation required by the Department of Early Childhood, a
22notarized statement that the facility complies with: (1) the
23standards of the Department of Public Health or local health
24department, (2) the fire safety standards of the State Fire
25Marshal, and (3) if operated in a public school building, the
26health and safety standards of the State Board of Education.

 

 

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1(Source: P.A. 103-594, eff. 7-1-26.)
 
2    (225 ILCS 10/3.8)
3    Sec. 3.8. Licensed child day care centers; immigration
4enforcement.
5    (a) As used in this Section:
6    "Immigration enforcement action" includes any arrests or
7detentions conducted by agents or officers of the United
8States Department of Homeland Security, United States
9Immigration and Customs Enforcement, or United States Customs
10and Border Protection or any other individual or entity with
11the power to arrest or detain individuals or manage custody of
12detained individuals for the purposes of civil immigration
13enforcement.
14    "Law enforcement agent" means an agent of federal, State,
15or local law enforcement authorized with the power to arrest
16or detain individuals, or manage the custody of detained
17individuals, for civil immigration enforcement.
18    (b) A licensed child day care center shall not disclose or
19threaten to disclose to any other person, entity, or agency
20information regarding or relating to the actual or perceived
21citizenship or immigration status of a child or an associated
22person, unless disclosure is required by State or federal law.
23    Nothing in this Section shall be construed to prohibit or
24restrict an entity from sending to or receiving from the
25United States Department of Homeland Security or any other

 

 

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1federal, State, or local governmental entity information
2regarding the citizenship or immigration status of an
3individual under 8 U.S.C. 1373 and 8 U.S.C. 1644.
4    (c) This Section does not affect a licensed child day care
5center's obligation as a mandated reporter or to otherwise
6respond to instances of suspected crime on the premises. This
7Section does not prohibit licensed child day care centers from
8interacting with law enforcement agents for the purposes of
9hotline emergency calls or incidents arising out of mandated
10reporting.
11    (d) The Department of Children and Family Services or the
12Department of Early Childhood, whichever is applicable, shall
13make available on its website resources for families,
14including, but not limited to, resources regarding the
15constitutional rights of families, family preparedness plans,
16and a copy of the Department of Children and Family Services'
17appointment of short-term guardian form (Form CFS 444-2 or its
18predecessor or successor form).
19    (e) If a child's parent or guardian directly faces
20immigration enforcement action, a licensed child day care
21center shall use the child's emergency contact information and
22release the child to the persons designated as the child's
23emergency contacts or into the custody of an individual who
24presents a properly executed appointment of short-term
25guardian form on behalf of the child.
26    (f) A licensed child day care center shall adopt policies

 

 

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1by January 1, 2026 to comply with this Section and shall ensure
2that all staff members are trained on the adopted policies.
3The policies shall not have the effect of excluding or
4discouraging a child from any program at the licensed child
5day care center because of the child's or the child's parent or
6guardian's actual or perceived immigration status shall
7require the following:
8        (1) a written plan of action for interacting with law
9    enforcement agents that shall be shared with a child's
10    parent or guardian and includes the following:
11            (A) designation of spaces deemed to be private
12        within the facility;
13            (B) designation of the licensed child day care
14        center director or the center director's designee to
15        serve as the primary point of contact for interacting
16        with law enforcement agents; and
17            (C) procedures that a licensed child day care
18        center's primary point of contact shall follow to
19        respond and review any request for entry by law
20        enforcement, including judicial warrants, orders, and
21        subpoenas; .
22        (2) procedures for notifying and seeking written
23    consent from a child's parents or guardian if a law
24    enforcement agent requests access to personally
25    identifiable information from the child's records, unless
26    such access is in compliance with a judicial warrant or

 

 

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1    order or a subpoena that restricts the disclosure of the
2    information to the child's parents or guardian;
3        (3) families enrolled at the licensed child day care
4    center to update their emergency contact list biannually;
5    and
6        (4) notification to be given, within a reasonable time
7    period, to parents or guardians and the Department if
8    immigration enforcement action occurs at the licensed
9    child day care center or its environs.
10    A licensed child day care center's late pick-up policy
11shall be updated to include the degree of diligence the
12licensed child day care center will use to reach a child's
13emergency contacts, including the number of attempted phone
14calls to parents and emergency contacts and any requests for
15police assistance in finding a child's emergency contact.
16    (g) Failure to comply with subsection (b) of this Section
17shall result in a formal licensing violation. Failure to
18comply with any other provision of this Section may result in a
19licensing violation.
20(Source: P.A. 104-440, eff. 12-9-25; revised 12-12-25.)
 
21    (225 ILCS 10/4)  (from Ch. 23, par. 2214)
22    (Text of Section before amendment by P.A. 103-594)
23    Sec. 4. License requirement; application; notice.
24    (a) Any person, group of persons or corporation who or
25which receives children or arranges for care or placement of

 

 

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1one or more children unrelated to the operator must apply for a
2license to operate one of the types of facilities defined in
3Sections 2.05 through 2.19 and in Section 2.22 of this Act. Any
4relative, as defined in Section 2.38 of this Act, who receives
5a child or children for placement by the Department on a
6full-time basis may apply for a license to operate a foster
7family home as defined in Section 2.17 of this Act or may apply
8to be a certified relative caregiver home as defined in
9Section 2.37 of this Act.
10    (a-5) Any agency, person, group of persons, association,
11organization, corporation, institution, center, or group
12providing adoption services must be licensed by the Department
13as a child welfare agency as defined in Section 2.08 of this
14Act. "Providing adoption services", as used in this Act,
15includes facilitating or engaging in adoption services.
16    (b) Application for a license to operate a child care
17facility must be made to the Department in the manner and on
18forms prescribed by it. An application to operate a foster
19family home shall include, at a minimum: a completed written
20form; written authorization by the applicant and all adult
21members of the applicant's household to conduct a criminal
22background investigation; medical evidence in the form of a
23medical report, on forms prescribed by the Department, that
24the applicant and all members of the household are free from
25communicable diseases or physical and mental conditions that
26affect their ability to provide care for the child or

 

 

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1children; the names and addresses of at least 3 persons not
2related to the applicant who can attest to the applicant's
3moral character; the name and address of at least one relative
4who can attest to the applicant's capability to care for the
5child or children; and fingerprints submitted by the applicant
6and all adult members of the applicant's household.
7    (b-5) Prior to submitting an application for a foster
8family home license, a quality of care concerns applicant as
9defined in Section 2.22a of this Act must submit a preliminary
10application to the Department in the manner and on forms
11prescribed by it. The Department shall explain to the quality
12of care concerns applicant the grounds for requiring a
13preliminary application. The preliminary application shall
14include a list of (i) all children placed in the home by the
15Department who were removed by the Department for reasons
16other than returning to a parent and the circumstances under
17which they were removed and (ii) all children placed by the
18Department who were subsequently adopted by or placed in the
19private guardianship of the quality of care concerns applicant
20who are currently under 18 and who no longer reside in the home
21and the reasons why they no longer reside in the home. The
22preliminary application shall also include, if the quality of
23care concerns applicant chooses to submit, (1) a response to
24the quality of care concerns, including any reason the
25concerns are invalid, have been addressed or ameliorated, or
26no longer apply and (2) affirmative documentation

 

 

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1demonstrating that the quality of care concerns applicant's
2home does not pose a risk to children and that the family will
3be able to meet the physical and emotional needs of children.
4The Department shall verify the information in the preliminary
5application and review (i) information regarding any prior
6licensing complaints, (ii) information regarding any prior
7child abuse or neglect investigations, (iii) information
8regarding any involuntary foster home holds placed on the home
9by the Department, and (iv) information regarding all child
10exit interviews, as provided in Section 5.26 of the Children
11and Family Services Act, regarding the home. Foster home
12applicants with quality of care concerns are presumed
13unsuitable for future licensure.
14    Notwithstanding the provisions of this subsection (b-5),
15the Department may make an exception and issue a foster family
16license to a quality of care concerns applicant if the
17Department is satisfied that the foster family home does not
18pose a risk to children and that the foster family will be able
19to meet the physical and emotional needs of children. In
20making this determination, the Department must obtain and
21carefully review all relevant documents and shall obtain
22consultation from its Clinical Division as appropriate and as
23prescribed by Department rule and procedure. The Department
24has the authority to deny a preliminary application based on
25the record of quality of care concerns of the foster family
26home. In the alternative, the Department may (i) approve the

 

 

HB5373- 606 -LRB104 20029 AAS 33480 b

1preliminary application, (ii) approve the preliminary
2application subject to obtaining additional information or
3assessments, or (iii) approve the preliminary application for
4purposes of placing a particular child or children only in the
5foster family home. If the Department approves a preliminary
6application, the foster family shall submit an application for
7licensure as described in subsection (b) of this Section. The
8Department shall notify the quality of care concerns applicant
9of its decision and the basis for its decision in writing.
10    (c) The Department shall notify the public when a child
11care institution, maternity center, or group home licensed by
12the Department undergoes a change in (i) the range of care or
13services offered at the facility or (ii) the type of children
14served. The Department shall notify the public of the change
15in a newspaper of general circulation in the county or
16municipality in which the applicant's facility is or is
17proposed to be located.
18    (c-5) When a child care institution, maternity center, or
19a group home licensed by the Department undergoes a change in
20(i) the age of children served or (ii) the area within the
21facility used by children, the Department shall post
22information regarding proposed changes on its website as
23required by rule.
24    (d) If, upon examination of the facility and investigation
25of persons responsible for care of children and, in the case of
26a foster home, taking into account information obtained for

 

 

HB5373- 607 -LRB104 20029 AAS 33480 b

1purposes of evaluating a preliminary application, if
2applicable, the Department is satisfied that the facility and
3responsible persons reasonably meet standards prescribed for
4the type of facility for which application is made, it shall
5issue a license in proper form, designating on that license
6the type of child care facility and, except for a child welfare
7agency, the number of children to be served at any one time.
8    (e) The Department shall not issue or renew the license of
9any child welfare agency providing adoption services, unless
10the agency (i) is officially recognized by the United States
11Internal Revenue Service as a tax-exempt organization
12described in Section 501(c)(3) of the Internal Revenue Code of
131986 (or any successor provision of federal tax law) and (ii)
14is in compliance with all of the standards necessary to
15maintain its status as an organization described in Section
16501(c)(3) of the Internal Revenue Code of 1986 (or any
17successor provision of federal tax law). The Department shall
18grant a grace period of 24 months from August 15, 2005 (the
19effective date of Public Act 94-586) for existing child
20welfare agencies providing adoption services to obtain
21501(c)(3) status. The Department shall permit an existing
22child welfare agency that converts from its current structure
23in order to be recognized as a 501(c)(3) organization as
24required by this Section to either retain its current license
25or transfer its current license to a newly formed entity, if
26the creation of a new entity is required in order to comply

 

 

HB5373- 608 -LRB104 20029 AAS 33480 b

1with this Section, provided that the child welfare agency
2demonstrates that it continues to meet all other licensing
3requirements and that the principal officers and directors and
4programs of the converted child welfare agency or newly
5organized child welfare agency are substantially the same as
6the original. The Department shall have the sole discretion to
7grant a one-year extension to any agency unable to obtain
8501(c)(3) status within the timeframe specified in this
9subsection (e), provided that such agency has filed an
10application for 501(c)(3) status with the Internal Revenue
11Service within the 2-year timeframe specified in this
12subsection (e).
13    (f) The Department shall adopt rules to implement the
14changes to this Section made by Public Act 103-770 no later
15than January 1, 2025.
16(Source: P.A. 103-770, eff. 1-1-25; 103-1061, eff. 7-1-25;
17104-417, eff. 8-15-25.)
 
18    (Text of Section after amendment by P.A. 103-594)
19    Sec. 4. License requirement; application; notice;
20Department of Children and Family Services.
21    (a) Any person, group of persons or corporation who or
22which receives children or arranges for care or placement of
23one or more children unrelated to the operator must apply for a
24license to operate one of the types of facilities defined in
25Sections 2.05 through 2.19 (other than a child day care center

 

 

HB5373- 609 -LRB104 20029 AAS 33480 b

1or child day care home) and in Section 2.22 of this Act. Any
2relative, as defined in Section 2.38 of this Act, who receives
3a child or children for placement by the Department on a
4full-time basis may apply for a license to operate a foster
5family home as defined in Section 2.17 of this Act or may apply
6to be a certified relative caregiver home as defined in
7Section 2.37 of this Act.
8    (a-5) Any agency, person, group of persons, association,
9organization, corporation, institution, center, or group
10providing adoption services must be licensed by the Department
11as a child welfare agency as defined in Section 2.08 of this
12Act. "Providing adoption services", as used in this Act,
13includes facilitating or engaging in adoption services.
14    (b) Application for a license to operate a child care
15facility (other than a child day care center, child day care
16home, or group child day care home) must be made to the
17Department in the manner and on forms prescribed by it. An
18application to operate a foster family home shall include, at
19a minimum: a completed written form; written authorization by
20the applicant and all adult members of the applicant's
21household to conduct a criminal background investigation;
22medical evidence in the form of a medical report, on forms
23prescribed by the Department, that the applicant and all
24members of the household are free from communicable diseases
25or physical and mental conditions that affect their ability to
26provide care for the child or children; the names and

 

 

HB5373- 610 -LRB104 20029 AAS 33480 b

1addresses of at least 3 persons not related to the applicant
2who can attest to the applicant's moral character; the name
3and address of at least one relative who can attest to the
4applicant's capability to care for the child or children; and
5fingerprints submitted by the applicant and all adult members
6of the applicant's household.
7    (b-5) Prior to submitting an application for a foster
8family home license, a quality of care concerns applicant as
9defined in Section 2.22a of this Act must submit a preliminary
10application to the Department in the manner and on forms
11prescribed by it. The Department shall explain to the quality
12of care concerns applicant the grounds for requiring a
13preliminary application. The preliminary application shall
14include a list of (i) all children placed in the home by the
15Department who were removed by the Department for reasons
16other than returning to a parent and the circumstances under
17which they were removed and (ii) all children placed by the
18Department who were subsequently adopted by or placed in the
19private guardianship of the quality of care concerns applicant
20who are currently under 18 and who no longer reside in the home
21and the reasons why they no longer reside in the home. The
22preliminary application shall also include, if the quality of
23care concerns applicant chooses to submit, (1) a response to
24the quality of care concerns, including any reason the
25concerns are invalid, have been addressed or ameliorated, or
26no longer apply and (2) affirmative documentation

 

 

HB5373- 611 -LRB104 20029 AAS 33480 b

1demonstrating that the quality of care concerns applicant's
2home does not pose a risk to children and that the family will
3be able to meet the physical and emotional needs of children.
4The Department shall verify the information in the preliminary
5application and review (i) information regarding any prior
6licensing complaints, (ii) information regarding any prior
7child abuse or neglect investigations, (iii) information
8regarding any involuntary foster home holds placed on the home
9by the Department, and (iv) information regarding all child
10exit interviews, as provided in Section 5.26 of the Children
11and Family Services Act, regarding the home. Foster home
12applicants with quality of care concerns are presumed
13unsuitable for future licensure.
14    Notwithstanding the provisions of this subsection (b-5),
15the Department may make an exception and issue a foster family
16license to a quality of care concerns applicant if the
17Department is satisfied that the foster family home does not
18pose a risk to children and that the foster family will be able
19to meet the physical and emotional needs of children. In
20making this determination, the Department must obtain and
21carefully review all relevant documents and shall obtain
22consultation from its Clinical Division as appropriate and as
23prescribed by Department rule and procedure. The Department
24has the authority to deny a preliminary application based on
25the record of quality of care concerns of the foster family
26home. In the alternative, the Department may (i) approve the

 

 

HB5373- 612 -LRB104 20029 AAS 33480 b

1preliminary application, (ii) approve the preliminary
2application subject to obtaining additional information or
3assessments, or (iii) approve the preliminary application for
4purposes of placing a particular child or children only in the
5foster family home. If the Department approves a preliminary
6application, the foster family shall submit an application for
7licensure as described in subsection (b) of this Section. The
8Department shall notify the quality of care concerns applicant
9of its decision and the basis for its decision in writing.
10    (c) The Department shall notify the public when a child
11care institution, maternity center, or group home licensed by
12the Department undergoes a change in (i) the range of care or
13services offered at the facility or (ii) the type of children
14served. The Department shall notify the public of the change
15in a newspaper of general circulation in the county or
16municipality in which the applicant's facility is or is
17proposed to be located.
18    (c-5) When a child care institution, maternity center, or
19a group home licensed by the Department undergoes a change in
20(i) the age of children served or (ii) the area within the
21facility used by children, the Department shall post
22information regarding proposed changes on its website as
23required by rule.
24    (d) If, upon examination of the facility and investigation
25of persons responsible for care of children and, in the case of
26a foster home, taking into account information obtained for

 

 

HB5373- 613 -LRB104 20029 AAS 33480 b

1purposes of evaluating a preliminary application, if
2applicable, the Department is satisfied that the facility and
3responsible persons reasonably meet standards prescribed for
4the type of facility for which application is made, it shall
5issue a license in proper form, designating on that license
6the type of child care facility and, except for a child welfare
7agency, the number of children to be served at any one time.
8    (e) The Department shall not issue or renew the license of
9any child welfare agency providing adoption services, unless
10the agency (i) is officially recognized by the United States
11Internal Revenue Service as a tax-exempt organization
12described in Section 501(c)(3) of the Internal Revenue Code of
131986 (or any successor provision of federal tax law) and (ii)
14is in compliance with all of the standards necessary to
15maintain its status as an organization described in Section
16501(c)(3) of the Internal Revenue Code of 1986 (or any
17successor provision of federal tax law). The Department shall
18grant a grace period of 24 months from August 15, 2005 (the
19effective date of Public Act 94-586) for existing child
20welfare agencies providing adoption services to obtain
21501(c)(3) status. The Department shall permit an existing
22child welfare agency that converts from its current structure
23in order to be recognized as a 501(c)(3) organization as
24required by this Section to either retain its current license
25or transfer its current license to a newly formed entity, if
26the creation of a new entity is required in order to comply

 

 

HB5373- 614 -LRB104 20029 AAS 33480 b

1with this Section, provided that the child welfare agency
2demonstrates that it continues to meet all other licensing
3requirements and that the principal officers and directors and
4programs of the converted child welfare agency or newly
5organized child welfare agency are substantially the same as
6the original. The Department shall have the sole discretion to
7grant a one-year extension to any agency unable to obtain
8501(c)(3) status within the timeframe specified in this
9subsection (e), provided that such agency has filed an
10application for 501(c)(3) status with the Internal Revenue
11Service within the 2-year timeframe specified in this
12subsection (e).
13    (f) The Department shall adopt rules to implement the
14changes to this Section made by Public Act 103-770 no later
15than January 1, 2025.
16(Source: P.A. 103-594, eff. 7-1-26; 103-770, eff. 1-1-25;
17103-1061, eff. 7-1-25; 104-417, eff. 8-15-25.)
 
18    (225 ILCS 10/4.01)
19    (This Section may contain text from a Public Act with a
20delayed effective date)
21    Sec. 4.01. License requirement; application; notice;
22Department of Early Childhood.
23    (a) Any person, group of persons or corporation who or
24which receives children or arranges for care of one or more
25children unrelated to the operator must apply for a license to

 

 

HB5373- 615 -LRB104 20029 AAS 33480 b

1operate one of the types of facilities defined in Sections
22.09, 2.18, and 2.20.
3    (b) Application for a license to operate a child day care
4center, child day care home, or group child day care home must
5be made to the Department of Early Childhood in the manner and
6on forms prescribed by it.
7    (c) If, upon examination of the facility and investigation
8of persons responsible for care of children, the Department of
9Early Childhood is satisfied that the facility and responsible
10persons reasonably meet standards prescribed for the type of
11facility for which application is made, it shall issue a
12license in proper form, designating on that license the type
13of child care facility and the number of children to be served
14at any one time.
15(Source: P.A. 103-594, eff. 7-1-26.)
 
16    (225 ILCS 10/4.1)  (from Ch. 23, par. 2214.1)
17    (Text of Section before amendment by P.A. 103-594)
18    Sec. 4.1. Criminal background investigations.
19    (a) In this Section, "third-party vendor" means a
20third-party fingerprinting vendor who is licensed by the
21Department of Financial and Professional Regulation and
22regulated by 68 Ill. Adm. Code 1240.600.
23    (b) The Department shall require that each child care
24facility license applicant as part of the application process,
25and each employee and volunteer of a child care facility or

 

 

HB5373- 616 -LRB104 20029 AAS 33480 b

1non-licensed service provider, as a condition of employment,
2authorize an investigation to determine if such applicant,
3employee, or volunteer has ever been charged with a crime and
4if so, the disposition of those charges; this authorization
5shall indicate the scope of the inquiry and the agencies which
6may be contacted. An employee or volunteer of a day care
7center, day care home, or group day care home shall authorize
8an investigation every 5 years, as required under the Child
9Care and Development Block Grant. A child care facility,
10non-licensed service provider, day care center, group day care
11home, or day care home may authorize the Department or a
12third-party vendor to collect fingerprints for the
13investigation. If a third-party vendor is used for
14fingerprinting, then the child care facility, non-licensed
15service provider, day care center, group day care home, or day
16care home shall pay the third-party vendor for that service
17directly. If a child care facility, non-licensed service
18provider, day care center, group day care home, or day care
19home authorizes the Department or a third-party vendor to
20collect fingerprints for the investigation, the Director shall
21request and receive information and assistance from any
22federal, State, or local governmental agency as part of the
23authorized investigation. Each applicant, employee, or
24volunteer of a child care facility or non-licensed service
25provider shall submit the applicant's, employee's, or
26volunteer's fingerprints to the Illinois State Police in the

 

 

HB5373- 617 -LRB104 20029 AAS 33480 b

1form and manner prescribed by the Illinois State Police. These
2fingerprints shall be checked against the fingerprint records
3now and hereafter filed in the Illinois State Police and
4Federal Bureau of Investigation criminal history records
5databases. The Illinois State Police shall charge a fee for
6conducting the criminal history records check, which shall be
7deposited into in the State Police Services Fund and shall not
8exceed the actual cost of the records check. The Illinois
9State Police shall provide information concerning any criminal
10charges, and their disposition, now or hereafter filed,
11against an applicant, employee, or volunteer of a child care
12facility or non-licensed service provider upon request of the
13Department of Children and Family Services when the request is
14made in the form and manner required by the Illinois State
15Police.
16    Information concerning convictions of a license applicant,
17employee, or volunteer of a child care facility or
18non-licensed service provider investigated under this Section,
19including the source of the information and any conclusions or
20recommendations derived from the information, shall be
21provided, upon request, to such applicant, employee, or
22volunteer of a child care facility or non-licensed service
23provider prior to final action by the Department on the
24application. State conviction information provided by the
25Illinois State Police regarding employees, prospective
26employees, or volunteers of non-licensed service providers and

 

 

HB5373- 618 -LRB104 20029 AAS 33480 b

1child care facilities licensed under this Act shall be
2provided to the operator of such facility, and, upon request,
3to the employee, prospective employee, or volunteer of a child
4care facility or non-licensed service provider. Any
5information concerning criminal charges and the disposition of
6such charges obtained by the Department shall be confidential
7and may not be transmitted outside the Department, except as
8required herein, and may not be transmitted to anyone within
9the Department except as needed for the purpose of evaluating
10an application or an employee or volunteer of a child care
11facility or non-licensed service provider. Only information
12and standards which bear a reasonable and rational relation to
13the performance of a child care facility shall be used by the
14Department or any licensee. Any employee of the Department of
15Children and Family Services, Illinois State Police, or a
16child care facility receiving confidential information under
17this Section who gives or causes to be given any confidential
18information concerning any criminal convictions of an
19applicant, employee, or volunteer of a child care facility or
20non-licensed service provider, shall be guilty of a Class A
21misdemeanor unless release of such information is authorized
22by this Section.
23    The Department of Children and Family Services, through
24June 30, 2026, or the Department of Early Childhood, on and
25after July 1, 2026, shall allow day care centers, day care
26homes, and group day care homes to hire, on a probationary

 

 

HB5373- 619 -LRB104 20029 AAS 33480 b

1basis, any employee or volunteer authorizing a criminal
2background investigation under this Section after receiving a
3qualifying result, as determined by the Department of Children
4and Family Services or the Department of Early Childhood,
5whichever is applicable, pursuant to this Act, from either:
6        (1) the Federal Bureau of Investigation fingerprint
7    criminal background check; or
8        (2) the Illinois State Police fingerprint criminal
9    background check and a criminal record check of the
10    criminal repository of each state in which the employee or
11    volunteer resided during the preceding 5 years.
12    Pending full clearance of all background check
13requirements, the prospective employee or volunteer must be
14supervised at all times by an individual who received a
15qualifying result on all background check components.
16Employees and volunteers of a day care center, day care home,
17or group day care home shall be notified prior to hiring that
18such employment may be terminated on the basis of criminal
19background information obtained by the facility.
20(Source: P.A. 103-22, eff. 8-8-23; 103-1072, eff. 1-1-26;
21104-307, eff. 1-1-26; revised 10-27-25.)
 
22    (Text of Section after amendment by P.A. 103-594)
23    Sec. 4.1. Criminal background investigations.
24    (a) In this Section, "third-party vendor" means a
25third-party fingerprinting vendor who is licensed by the

 

 

HB5373- 620 -LRB104 20029 AAS 33480 b

1Department of Financial and Professional Regulation and
2regulated by 68 Ill. Adm. Code 1240.600.
3    (b) Except as provided in Section 3, the The Department of
4Children and Family Services or the Department of Early
5Childhood shall require that each child care provider facility
6license applicant under the agencies' respective authority as
7part of the application process, and each employee and
8volunteer of a child care center, child care home, or group
9child care home facility or non-licensed service provider, as
10a condition of employment, authorize an investigation to
11determine if such applicant, employee, or volunteer has ever
12been charged with a crime and if so, the disposition of those
13charges; this authorization shall indicate the scope of the
14inquiry and the agencies which may be contacted. An employee
15or volunteer of a child day care center, child day care home,
16or group child day care home shall authorize an investigation
17every 5 years, as required under the Child Care and
18Development Block Grant. A child care facility, non-licensed
19service provider, child day care center, group child day care
20home, or child day care home may authorize the Department of
21Children and Family Services, the Department of Early
22Childhood, or a third-party vendor to collect fingerprints for
23the investigation. If a third-party vendor is used for
24fingerprinting, then the child care facility, non-licensed
25service provider, child day care center, group child day care
26home, or child day care home shall pay the third-party vendor

 

 

HB5373- 621 -LRB104 20029 AAS 33480 b

1for that service directly. If a child care facility,
2non-licensed service provider, child day care center, group
3child day care home, or child day care home authorizes the
4Department of Children and Family Services, the Department of
5Early Childhood, or a third-party vendor to collect
6fingerprints for the investigation, the Secretary of Children
7and Family Services or the Secretary of Early Childhood
8Director shall request and receive information and assistance
9from any federal, State, or local governmental agency as part
10of the authorized investigation. Each applicant, employee, or
11volunteer of a child care facility or non-licensed service
12provider shall submit the applicant's, employee's, or
13volunteer's fingerprints to the Illinois State Police in the
14form and manner prescribed by the Illinois State Police. These
15fingerprints shall be checked against the fingerprint records
16now and hereafter filed in the Illinois State Police and
17Federal Bureau of Investigation criminal history records
18databases. The Illinois State Police shall charge a fee for
19conducting the criminal history records check, which shall be
20deposited into in the State Police Services Fund and shall not
21exceed the actual cost of the records check. The Illinois
22State Police shall provide information concerning any criminal
23charges, and their disposition, now or hereafter filed,
24against an applicant, employee, or volunteer of a child care
25center, child care home, or group child care home facility or
26non-licensed service provider upon request of the Department

 

 

HB5373- 622 -LRB104 20029 AAS 33480 b

1of Children and Family Services or the Department of Early
2Childhood when the request is made in the form and manner
3required by the Illinois State Police.
4    Information concerning convictions of a license applicant,
5employee, or volunteer of a child care center, child care
6home, or group child care home facility or non-licensed
7service provider investigated under this Section, including
8the source of the information and any conclusions or
9recommendations derived from the information, shall be
10provided, upon request, to such applicant, employee, or
11volunteer of a child care center, child care home, or group
12child care home facility or non-licensed service provider
13prior to final action by the Department of Children and Family
14Services or the Department of Early Childhood under the
15agencies' respective authority on the application. State
16conviction information provided by the Illinois State Police
17regarding employees, prospective employees, or volunteers of
18non-licensed service providers and child care center, child
19care home, or group child care home facilities licensed under
20this Act shall be provided to the operator of such facility,
21and, upon request, to the employee, prospective employee, or
22volunteer of a child care center, child care home, or group
23child care home facility or non-licensed service provider. Any
24information concerning criminal charges and the disposition of
25such charges obtained by the Department of Children and Family
26Services or the Department of Early Childhood shall be

 

 

HB5373- 623 -LRB104 20029 AAS 33480 b

1confidential and may not be transmitted outside the Department
2of Children and Family Services or the Department of Early
3Childhood, except as required herein, and may not be
4transmitted to anyone within the Department of Children and
5Family Services or the Department of Early Childhood except as
6needed for the purpose of evaluating an application or an
7employee or volunteer of a child care center, child care home,
8or group child care home facility or non-licensed service
9provider. Only information and standards which bear a
10reasonable and rational relation to the performance of a child
11care facility shall be used by the Department of Children and
12Family Services or the Department of Early Childhood or any
13licensee. Any employee of the Department of Children and
14Family Services, Department of Early Childhood, Illinois State
15Police, or a child care center, child care home, or group child
16care home facility receiving confidential information under
17this Section who gives or causes to be given any confidential
18information concerning any criminal convictions of an
19applicant, employee, or volunteer of a child care center,
20child care home, or group child care home facility or
21non-licensed service provider, shall be guilty of a Class A
22misdemeanor unless release of such information is authorized
23by this Section.
24    Effective July 1, 2026, the authority and responsibility
25to conduct a fingerprint-based criminal history check for
26child care center providers under Section 2.09, part day child

 

 

HB5373- 624 -LRB104 20029 AAS 33480 b

1care facility providers under Section 2.10, child care home
2providers under Section 2.18, and group child care home
3providers under Section 2.20 shall transfer to the Department
4of Early Childhood pursuant to Section 80-5 of the Department
5of Early Childhood Act.
6    The Department of Children and Family Services, through
7June 30, 2026, or the Department of Early Childhood, on and
8after July 1, 2026, shall allow child day care centers, child
9day care homes, and group child day care homes to hire, on a
10probationary basis, any employee or volunteer authorizing a
11criminal background investigation under this Section after
12receiving a qualifying result, as determined by the Department
13of Children and Family Services or the Department of Early
14Childhood, whichever is applicable, pursuant to this Act, from
15either:
16        (1) the Federal Bureau of Investigation fingerprint
17    criminal background check; or
18        (2) the Illinois State Police fingerprint criminal
19    background check and a criminal record check of the
20    criminal repository of each state in which the employee or
21    volunteer resided during the preceding 5 years.
22    Pending full clearance of all background check
23requirements, the prospective employee or volunteer must be
24supervised at all times by an individual who received a
25qualifying result on all background check components.
26Employees and volunteers of a child day care center, child day

 

 

HB5373- 625 -LRB104 20029 AAS 33480 b

1care home, or group child day care home shall be notified prior
2to hiring that such employment may be terminated on the basis
3of criminal background information obtained by the facility.
4(Source: P.A. 103-22, eff. 8-8-23; 103-594, eff. 7-1-26;
5103-1072, eff. 1-1-26; 104-307, eff. 1-1-26; revised
610-27-25.)
 
7    (225 ILCS 10/4.2)  (from Ch. 23, par. 2214.2)
8    Sec. 4.2. (a) No applicant may receive a license from the
9Department and no person may be employed by a licensed child
10care facility who refuses to authorize an investigation as
11required by Section 4.1.
12    (b) In addition to the other provisions of this Section,
13no applicant may receive a license from the Department and no
14person may be employed by a child care facility licensed by the
15Department who has been declared a sexually dangerous person
16under the Sexually Dangerous Persons Act, or convicted of
17committing or attempting to commit any of the following
18offenses stipulated under the Criminal Code of 1961 or the
19Criminal Code of 2012:
20        (1) murder;
21        (1.1) solicitation of murder;
22        (1.2) solicitation of murder for hire;
23        (1.3) intentional homicide of an unborn child;
24        (1.4) voluntary manslaughter of an unborn child;
25        (1.5) involuntary manslaughter;

 

 

HB5373- 626 -LRB104 20029 AAS 33480 b

1        (1.6) reckless homicide;
2        (1.7) concealment of a homicidal death;
3        (1.8) involuntary manslaughter of an unborn child;
4        (1.9) reckless homicide of an unborn child;
5        (1.10) drug-induced homicide;
6        (2) a sex offense under Article 11, except offenses
7    described in Sections 11-7, 11-8, 11-12, 11-13, 11-35,
8    11-40, and 11-45;
9        (3) kidnapping;
10        (3.1) aggravated unlawful restraint;
11        (3.2) forcible detention;
12        (3.3) harboring a runaway;
13        (3.4) aiding and abetting child abduction;
14        (4) aggravated kidnapping;
15        (5) child abduction;
16        (6) aggravated battery of a child as described in
17    Section 12-4.3 or subdivision (b)(1) of Section 12-3.05;
18        (7) criminal sexual assault;
19        (8) aggravated criminal sexual assault;
20        (8.1) predatory criminal sexual assault of a child;
21        (9) criminal sexual abuse;
22        (10) aggravated sexual abuse;
23        (11) heinous battery as described in Section 12-4.1 or
24    subdivision (a)(2) of Section 12-3.05;
25        (12) aggravated battery with a firearm as described in
26    Section 12-4.2 or subdivision (e)(1), (e)(2), (e)(3), or

 

 

HB5373- 627 -LRB104 20029 AAS 33480 b

1    (e)(4) of Section 12-3.05;
2        (13) tampering with food, drugs, or cosmetics;
3        (14) drug induced infliction of great bodily harm as
4    described in Section 12-4.7 or subdivision (g)(1) of
5    Section 12-3.05;
6        (15) hate crime;
7        (16) stalking;
8        (17) aggravated stalking;
9        (18) threatening public officials;
10        (19) home invasion;
11        (20) vehicular invasion;
12        (21) criminal transmission of HIV;
13        (22) criminal abuse or neglect of an elderly person or
14    person with a disability as described in Section 12-21 or
15    subsection (e) of Section 12-4.4a;
16        (23) child abandonment;
17        (24) endangering the life or health of a child;
18        (25) ritual mutilation;
19        (26) ritualized abuse of a child;
20        (27) an offense in any other jurisdiction the elements
21    of which are similar and bear a substantial relationship
22    to any of the foregoing offenses.
23    (b-1) In addition to the other provisions of this Section,
24beginning January 1, 2004, no new applicant and, on the date of
25licensure renewal, no current licensee may operate or receive
26a license from the Department to operate, no person may be

 

 

HB5373- 628 -LRB104 20029 AAS 33480 b

1employed by, and no adult person may reside in a child care
2facility licensed by the Department who has been convicted of
3committing or attempting to commit any of the following
4offenses or an offense in any other jurisdiction the elements
5of which are similar and bear a substantial relationship to
6any of the following offenses:
 
7
(I) BODILY HARM

 
8        (1) Felony aggravated assault.
9        (2) Vehicular endangerment.
10        (3) Felony domestic battery.
11        (4) Aggravated battery.
12        (5) Heinous battery.
13        (6) Aggravated battery with a firearm.
14        (7) Aggravated battery of an unborn child.
15        (8) Aggravated battery of a senior citizen.
16        (9) Intimidation.
17        (10) Compelling organization membership of persons.
18        (11) Abuse and criminal neglect of a long term care
19    facility resident.
20        (12) Felony violation of an order of protection.
 
21
(II) OFFENSES AFFECTING PUBLIC HEALTH, SAFETY, AND DECENCY

 
22        (1) Felony unlawful possession of weapons.

 

 

HB5373- 629 -LRB104 20029 AAS 33480 b

1        (2) Aggravated discharge of a firearm.
2        (3) Reckless discharge of a firearm.
3        (4) Unlawful use of metal piercing bullets.
4        (5) Unlawful sale or delivery of firearms on the
5    premises of any school.
6        (6) Disarming a police officer.
7        (7) Obstructing justice.
8        (8) Concealing or aiding a fugitive.
9        (9) Armed violence.
10        (10) Felony contributing to the criminal delinquency
11    of a juvenile.
 
12
(III) DRUG OFFENSES

 
13        (1) Possession of more than 30 grams of cannabis.
14        (2) Manufacture of more than 10 grams of cannabis.
15        (3) Cannabis trafficking.
16        (4) Delivery of cannabis on school grounds.
17        (5) Unauthorized production of more than 5 cannabis
18    sativa plants.
19        (6) Calculated criminal cannabis conspiracy.
20        (7) Unauthorized manufacture or delivery of controlled
21    substances.
22        (8) Controlled substance trafficking.
23        (9) Manufacture, distribution, or advertisement of
24    look-alike substances.

 

 

HB5373- 630 -LRB104 20029 AAS 33480 b

1        (10) Calculated criminal drug conspiracy.
2        (11) Street gang criminal drug conspiracy.
3        (12) Permitting unlawful use of a building.
4        (13) Delivery of controlled, counterfeit, or
5    look-alike substances to persons under age 18, or at truck
6    stops, rest stops, or safety rest areas, or on school
7    property.
8        (14) Using, engaging, or employing persons under 18 to
9    deliver controlled, counterfeit, or look-alike substances.
10        (15) Delivery of controlled substances.
11        (16) Sale or delivery of drug paraphernalia.
12        (17) Felony possession, sale, or exchange of
13    instruments adapted for use of a controlled substance,
14    methamphetamine, or cannabis by subcutaneous injection.
15        (18) Felony possession of a controlled substance.
16        (19) Any violation of the Methamphetamine Control and
17    Community Protection Act.
18    (b-1.5) In addition to any other provision of this
19Section, for applicants with access to confidential financial
20information or who submit documentation to support billing,
21the Department may, in its discretion, deny or refuse to renew
22a license to an applicant who has been convicted of committing
23or attempting to commit any of the following felony offenses:
24        (1) financial institution fraud under Section 17-10.6
25    of the Criminal Code of 1961 or the Criminal Code of 2012;
26        (2) identity theft under Section 16-30 of the Criminal

 

 

HB5373- 631 -LRB104 20029 AAS 33480 b

1    Code of 1961 or the Criminal Code of 2012;
2        (3) financial exploitation of an elderly person or a
3    person with a disability under Section 17-56 of the
4    Criminal Code of 1961 or the Criminal Code of 2012;
5        (4) computer tampering under Section 17-51 of the
6    Criminal Code of 1961 or the Criminal Code of 2012;
7        (5) aggravated computer tampering under Section 17-52
8    of the Criminal Code of 1961 or the Criminal Code of 2012;
9        (6) computer fraud under Section 17-50 of the Criminal
10    Code of 1961 or the Criminal Code of 2012;
11        (7) deceptive practices under Section 17-1 of the
12    Criminal Code of 1961 or the Criminal Code of 2012;
13        (8) forgery under Section 17-3 of the Criminal Code of
14    1961 or the Criminal Code of 2012;
15        (9) State benefits fraud under Section 17-6 of the
16    Criminal Code of 1961 or the Criminal Code of 2012;
17        (10) mail fraud and wire fraud under Section 17-24 of
18    the Criminal Code of 1961 or the Criminal Code of 2012;
19        (11) theft under paragraphs (1.1) through (11) of
20    subsection (b) of Section 16-1 of the Criminal Code of
21    1961 or the Criminal Code of 2012.
22    (b-2) Notwithstanding subsection (b-1), the Department may
23make an exception and, for child care facilities other than
24foster family homes, issue a new child care facility license
25to or renew the existing child care facility license of an
26applicant, a person employed by a child care facility, or an

 

 

HB5373- 632 -LRB104 20029 AAS 33480 b

1applicant who has an adult residing in a home child care
2facility who was convicted of an offense described in
3subsection (b-1), provided that all of the following
4requirements are met:
5        (1) The relevant criminal offense occurred more than 5
6    years prior to the date of application or renewal, except
7    for drug offenses. The relevant drug offense must have
8    occurred more than 10 years prior to the date of
9    application or renewal, unless the applicant passed a drug
10    test, arranged and paid for by the child care facility, no
11    less than 5 years after the offense.
12        (2) The Department must conduct a background check and
13    assess all convictions and recommendations of the child
14    care facility to determine if hiring or licensing the
15    applicant is in accordance with Department administrative
16    rules and procedures.
17        (3) The applicant meets all other requirements and
18    qualifications to be licensed as the pertinent type of
19    child care facility under this Act and the Department's
20    administrative rules.
21    (c) In addition to the other provisions of this Section,
22no applicant may receive a license from the Department to
23operate a foster family home, and no adult person may reside in
24a foster family home licensed by the Department, who has been
25convicted of committing or attempting to commit any of the
26following offenses stipulated under the Criminal Code of 1961,

 

 

HB5373- 633 -LRB104 20029 AAS 33480 b

1the Criminal Code of 2012, the Cannabis Control Act, the
2Methamphetamine Control and Community Protection Act, and the
3Illinois Controlled Substances Act:
 
4
(I) OFFENSES DIRECTED AGAINST THE PERSON

 
5    (A) KIDNAPPING AND RELATED OFFENSES
6        (1) Unlawful restraint.
 
7    (B) BODILY HARM
8        (2) Felony aggravated assault.
9        (3) Vehicular endangerment.
10        (4) Felony domestic battery.
11        (5) Aggravated battery.
12        (6) Heinous battery.
13        (7) Aggravated battery with a firearm.
14        (8) Aggravated battery of an unborn child.
15        (9) Aggravated battery of a senior citizen.
16        (10) Intimidation.
17        (11) Compelling organization membership of persons.
18        (12) Abuse and criminal neglect of a long term care
19    facility resident.
20        (13) Felony violation of an order of protection.
 
21
(II) OFFENSES DIRECTED AGAINST PROPERTY

 

 

 

HB5373- 634 -LRB104 20029 AAS 33480 b

1        (14) Felony theft.
2        (15) Robbery.
3        (16) Armed robbery.
4        (17) Aggravated robbery.
5        (18) Vehicular hijacking.
6        (19) Aggravated vehicular hijacking.
7        (20) Burglary.
8        (21) Possession of burglary tools.
9        (22) Residential burglary.
10        (23) Criminal fortification of a residence or
11    building.
12        (24) Arson.
13        (25) Aggravated arson.
14        (26) Possession of explosive or explosive incendiary
15    devices.
 
16
(III) OFFENSES AFFECTING PUBLIC HEALTH, SAFETY, AND DECENCY

 
17        (27) Felony unlawful possession of weapons.
18        (28) Aggravated discharge of a firearm.
19        (29) Reckless discharge of a firearm.
20        (30) Unlawful use of metal piercing bullets.
21        (31) Unlawful sale or delivery of firearms on the
22    premises of any school.
23        (32) Disarming a police officer.
24        (33) Obstructing justice.

 

 

HB5373- 635 -LRB104 20029 AAS 33480 b

1        (34) Concealing or aiding a fugitive.
2        (35) Armed violence.
3        (36) Felony contributing to the criminal delinquency
4    of a juvenile.
 
5
(IV) DRUG OFFENSES

 
6        (37) Possession of more than 30 grams of cannabis.
7        (38) Manufacture of more than 10 grams of cannabis.
8        (39) Cannabis trafficking.
9        (40) Delivery of cannabis on school grounds.
10        (41) Unauthorized production of more than 5 cannabis
11    sativa plants.
12        (42) Calculated criminal cannabis conspiracy.
13        (43) Unauthorized manufacture or delivery of
14    controlled substances.
15        (44) Controlled substance trafficking.
16        (45) Manufacture, distribution, or advertisement of
17    look-alike substances.
18        (46) Calculated criminal drug conspiracy.
19        (46.5) Streetgang criminal drug conspiracy.
20        (47) Permitting unlawful use of a building.
21        (48) Delivery of controlled, counterfeit, or
22    look-alike substances to persons under age 18, or at truck
23    stops, rest stops, or safety rest areas, or on school
24    property.

 

 

HB5373- 636 -LRB104 20029 AAS 33480 b

1        (49) Using, engaging, or employing persons under 18 to
2    deliver controlled, counterfeit, or look-alike substances.
3        (50) Delivery of controlled substances.
4        (51) Sale or delivery of drug paraphernalia.
5        (52) Felony possession, sale, or exchange of
6    instruments adapted for use of a controlled substance,
7    methamphetamine, or cannabis by subcutaneous injection.
8        (53) Any violation of the Methamphetamine Control and
9    Community Protection Act.
10    (d) Notwithstanding subsection (c), the Department may
11make an exception and issue a new foster family home license or
12may renew an existing foster family home license of an
13applicant who was convicted of an offense described in
14subsection (c), provided all of the following requirements are
15met:
16        (1) The relevant criminal offense or offenses occurred
17    more than 10 years prior to the date of application or
18    renewal.
19        (2) The applicant had previously disclosed the
20    conviction or convictions to the Department for purposes
21    of a background check.
22        (3) After the disclosure, the Department either placed
23    a child in the home or the foster family home license was
24    issued.
25        (4) During the background check, the Department had
26    assessed and waived the conviction in compliance with the

 

 

HB5373- 637 -LRB104 20029 AAS 33480 b

1    existing statutes and rules in effect at the time of the
2    hire or licensure.
3        (5) The applicant meets all other requirements and
4    qualifications to be licensed as a foster family home
5    under this Act and the Department's administrative rules.
6        (6) The applicant has a history of providing a safe,
7    stable home environment and appears able to continue to
8    provide a safe, stable home environment.
9    (e) In evaluating the exception pursuant to subsections
10(b-2) and (d), the Department must carefully review any
11relevant documents to determine whether the applicant, despite
12the disqualifying convictions, poses a substantial risk to
13State resources or clients. In making such a determination,
14the following guidelines shall be used:
15        (1) the age of the applicant when the offense was
16    committed;
17        (2) the circumstances surrounding the offense;
18        (3) the length of time since the conviction;
19        (4) the specific duties and responsibilities
20    necessarily related to the license being applied for and
21    the bearing, if any, that the applicant's conviction
22    history may have on the applicant's fitness to perform
23    these duties and responsibilities;
24        (5) the applicant's employment references;
25        (6) the applicant's character references and any
26    certificates of achievement;

 

 

HB5373- 638 -LRB104 20029 AAS 33480 b

1        (7) an academic transcript showing educational
2    attainment since the disqualifying conviction;
3        (8) a Certificate of Relief from Disabilities or
4    Certificate of Good Conduct; and
5        (9) anything else that speaks to the applicant's
6    character.
7(Source: P.A. 103-22, eff. 8-8-23; 103-822, eff. 1-1-25.)
 
8    (225 ILCS 10/4.2a)
9    (This Section may contain text from a Public Act with a
10delayed effective date)
11    Sec. 4.2a. License eligibility; Department of Early
12Childhood.
13    (a) No applicant may receive a license from the Department
14of Early Childhood and no person may be employed by a licensed
15child care facility who refuses to authorize an investigation
16as required by Section 4.1.
17    (b) In addition to the other provisions of this Section,
18no applicant may receive a license from the Department of
19Early Childhood and no person may be employed by a child care
20facility licensed by the Department of Early Childhood who has
21been declared a sexually dangerous person under the Sexually
22Dangerous Persons Act, or convicted of committing or
23attempting to commit any of the following offenses stipulated
24under the Criminal Code of 1961 or the Criminal Code of 2012:
25        (1) murder;

 

 

HB5373- 639 -LRB104 20029 AAS 33480 b

1        (1.1) solicitation of murder;
2        (1.2) solicitation of murder for hire;
3        (1.3) intentional homicide of an unborn child;
4        (1.4) voluntary manslaughter of an unborn child;
5        (1.5) involuntary manslaughter;
6        (1.6) reckless homicide;
7        (1.7) concealment of a homicidal death;
8        (1.8) involuntary manslaughter of an unborn child;
9        (1.9) reckless homicide of an unborn child;
10        (1.10) drug-induced homicide;
11        (2) a sex offense under Article 11, except offenses
12    described in Sections 11-7, 11-8, 11-12, 11-13, 11-35,
13    11-40, and 11-45;
14        (3) kidnapping;
15        (3.1) aggravated unlawful restraint;
16        (3.2) forcible detention;
17        (3.3) harboring a runaway;
18        (3.4) aiding and abetting child abduction;
19        (4) aggravated kidnapping;
20        (5) child abduction;
21        (6) aggravated battery of a child as described in
22    Section 12-4.3 or subdivision (b)(1) of Section 12-3.05;
23        (7) criminal sexual assault;
24        (8) aggravated criminal sexual assault;
25        (8.1) predatory criminal sexual assault of a child;
26        (9) criminal sexual abuse;

 

 

HB5373- 640 -LRB104 20029 AAS 33480 b

1        (10) aggravated sexual abuse;
2        (11) heinous battery as described in Section 12-4.1 or
3    subdivision (a)(2) of Section 12-3.05;
4        (12) aggravated battery with a firearm as described in
5    Section 12-4.2 or subdivision (e)(1), (e)(2), (e)(3), or
6    (e)(4) of Section 12-3.05;
7        (13) tampering with food, drugs, or cosmetics;
8        (14) drug induced infliction of great bodily harm as
9    described in Section 12-4.7 or subdivision (g)(1) of
10    Section 12-3.05;
11        (15) hate crime;
12        (16) stalking;
13        (17) aggravated stalking;
14        (18) threatening public officials;
15        (19) home invasion;
16        (20) vehicular invasion;
17        (21) criminal transmission of HIV;
18        (22) criminal abuse or neglect of an elderly person or
19    person with a disability as described in Section 12-21 or
20    subsection (e) of Section 12-4.4a;
21        (23) child abandonment;
22        (24) endangering the life or health of a child;
23        (25) ritual mutilation;
24        (26) ritualized abuse of a child;
25        (27) an offense in any other jurisdiction the elements
26    of which are similar and bear a substantial relationship

 

 

HB5373- 641 -LRB104 20029 AAS 33480 b

1    to any of the foregoing offenses.
2    (b-1) In addition to the other provisions of this Section,
3beginning January 1, 2004, no new applicant and, on the date of
4licensure renewal, no current licensee may operate or receive
5a license from the Department of Early Childhood to operate,
6no person may be employed by, and no adult person may reside in
7a child care facility licensed by the Department of Early
8Childhood who has been convicted of committing or attempting
9to commit any of the following offenses or an offense in any
10other jurisdiction the elements of which are similar and bear
11a substantial relationship to any of the following offenses:
 
12    (I) BODILY HARM
13        (1) Felony aggravated assault.
14        (2) Vehicular endangerment.
15        (3) Felony domestic battery.
16        (4) Aggravated battery.
17        (5) Heinous battery.
18        (6) Aggravated battery with a firearm.
19        (7) Aggravated battery of an unborn child.
20        (8) Aggravated battery of a senior citizen.
21        (9) Intimidation.
22        (10) Compelling organization membership of persons.
23        (11) Abuse and criminal neglect of a long term care
24    facility resident.
25        (12) Felony violation of an order of protection.
 

 

 

HB5373- 642 -LRB104 20029 AAS 33480 b

1    (II) OFFENSES AFFECTING PUBLIC HEALTH, SAFETY, AND DECENCY
2        (1) Felony unlawful use of weapons.
3        (2) Aggravated discharge of a firearm.
4        (3) Reckless discharge of a firearm.
5        (4) Unlawful use of metal piercing bullets.
6        (5) Unlawful sale or delivery of firearms on the
7    premises of any school.
8        (6) Disarming a police officer.
9        (7) Obstructing justice.
10        (8) Concealing or aiding a fugitive.
11        (9) Armed violence.
12        (10) Felony contributing to the criminal delinquency
13    of a juvenile.
 
14    (III) DRUG OFFENSES
15        (1) Possession of more than 30 grams of cannabis.
16        (2) Manufacture of more than 10 grams of cannabis.
17        (3) Cannabis trafficking.
18        (4) Delivery of cannabis on school grounds.
19        (5) Unauthorized production of more than 5 cannabis
20    sativa plants.
21        (6) Calculated criminal cannabis conspiracy.
22        (7) Unauthorized manufacture or delivery of controlled
23    substances.
24        (8) Controlled substance trafficking.

 

 

HB5373- 643 -LRB104 20029 AAS 33480 b

1        (9) Manufacture, distribution, or advertisement of
2    look-alike substances.
3        (10) Calculated criminal drug conspiracy.
4        (11) Street gang criminal drug conspiracy.
5        (12) Permitting unlawful use of a building.
6        (13) Delivery of controlled, counterfeit, or
7    look-alike substances to persons under age 18, or at truck
8    stops, rest stops, or safety rest areas, or on school
9    property.
10        (14) Using, engaging, or employing persons under 18 to
11    deliver controlled, counterfeit, or look-alike substances.
12        (15) Delivery of controlled substances.
13        (16) Sale or delivery of drug paraphernalia.
14        (17) Felony possession, sale, or exchange of
15    instruments adapted for use of a controlled substance,
16    methamphetamine, or cannabis by subcutaneous injection.
17        (18) Felony possession of a controlled substance.
18        (19) Any violation of the Methamphetamine Control and
19    Community Protection Act.
20    (b-1.5) In addition to any other provision of this
21Section, for applicants with access to confidential financial
22information or who submit documentation to support billing,
23the Department of Early Childhood may, in its discretion, deny
24or refuse to renew a license to an applicant who has been
25convicted of committing or attempting to commit any of the
26following felony offenses:

 

 

HB5373- 644 -LRB104 20029 AAS 33480 b

1        (1) financial institution fraud under Section 17-10.6
2    of the Criminal Code of 1961 or the Criminal Code of 2012;
3        (2) identity theft under Section 16-30 of the Criminal
4    Code of 1961 or the Criminal Code of 2012;
5        (3) financial exploitation of an elderly person or a
6    person with a disability under Section 17-56 of the
7    Criminal Code of 1961 or the Criminal Code of 2012;
8        (4) computer tampering under Section 17-51 of the
9    Criminal Code of 1961 or the Criminal Code of 2012;
10        (5) aggravated computer tampering under Section 17-52
11    of the Criminal Code of 1961 or the Criminal Code of 2012;
12        (6) computer fraud under Section 17-50 of the Criminal
13    Code of 1961 or the Criminal Code of 2012;
14        (7) deceptive practices under Section 17-1 of the
15    Criminal Code of 1961 or the Criminal Code of 2012;
16        (8) forgery under Section 17-3 of the Criminal Code of
17    1961 or the Criminal Code of 2012;
18        (9) State benefits fraud under Section 17-6 of the
19    Criminal Code of 1961 or the Criminal Code of 2012;
20        (10) mail fraud and wire fraud under Section 17-24 of
21    the Criminal Code of 1961 or the Criminal Code of 2012;
22        (11) theft under paragraphs (1.1) through (11) of
23    subsection (b) of Section 16-1 of the Criminal Code of
24    1961 or the Criminal Code of 2012.
25    (b-2) Notwithstanding subsection (b-1), the Department of
26Early Childhood may make an exception and, for a child day care

 

 

HB5373- 645 -LRB104 20029 AAS 33480 b

1center, child day care home, or group child day care home,
2issue a new child care facility license to or renew the
3existing child care facility license of an applicant, a person
4employed by a child care facility, or an applicant who has an
5adult residing in a home child care facility who was convicted
6of an offense described in subsection (b-1), provided that all
7of the following requirements are met:
8        (1) The relevant criminal offense occurred more than 5
9    years prior to the date of application or renewal, except
10    for drug offenses. The relevant drug offense must have
11    occurred more than 10 years prior to the date of
12    application or renewal, unless the applicant passed a drug
13    test, arranged and paid for by the child care facility, no
14    less than 5 years after the offense.
15        (2) The Department of Early Childhood must conduct a
16    background check and assess all convictions and
17    recommendations of the child care facility to determine if
18    hiring or licensing the applicant is in accordance with
19    Department of Early Childhood administrative rules and
20    procedures.
21        (3) The applicant meets all other requirements and
22    qualifications to be licensed as the pertinent type of
23    child care facility under this Act and the Department of
24    Early Childhood administrative rules.
25    (c) In evaluating the exception pursuant to subsection
26(b-2), the Department of Early Childhood must carefully review

 

 

HB5373- 646 -LRB104 20029 AAS 33480 b

1any relevant documents to determine whether the applicant,
2despite the disqualifying convictions, poses a substantial
3risk to State resources or clients. In making such a
4determination, the following guidelines shall be used:
5        (1) the age of the applicant when the offense was
6    committed;
7        (2) the circumstances surrounding the offense;
8        (3) the length of time since the conviction;
9        (4) the specific duties and responsibilities
10    necessarily related to the license being applied for and
11    the bearing, if any, that the applicant's conviction
12    history may have on the applicant's fitness to perform
13    these duties and responsibilities;
14        (5) the applicant's employment references;
15        (6) the applicant's character references and any
16    certificates of achievement;
17        (7) an academic transcript showing educational
18    attainment since the disqualifying conviction;
19        (8) a Certificate of Relief from Disabilities or
20    Certificate of Good Conduct; and
21        (9) anything else that speaks to the applicant's
22    character.
23(Source: P.A. 103-594, eff. 7-1-26.)
 
24    (225 ILCS 10/4.3)  (from Ch. 23, par. 2214.3)
25    (Text of Section before amendment by P.A. 103-594)

 

 

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1    Sec. 4.3. Child abuse and neglect reports. All child care
2facility license applicants and all current and prospective
3employees of a child care facility who have any possible
4contact with children in the course of their duties, as a
5condition of such licensure or employment, shall authorize in
6writing on a form prescribed by the Department an
7investigation of the Central Register, as defined in the
8Abused and Neglected Child Reporting Act, to ascertain if such
9applicant or employee has been determined to be a perpetrator
10in an indicated report of child abuse or neglect.
11    All child care facilities as a condition of licensure
12pursuant to this Act shall maintain such information which
13demonstrates that all current employees and other applicants
14for employment who have any possible contact with children in
15the course of their duties have authorized an investigation of
16the Central Register as hereinabove required. Only those
17current or prospective employees who will have no possible
18contact with children as part of their present or prospective
19employment may be excluded from provisions requiring
20authorization of an investigation.
21    Such information concerning a license applicant, employee
22or prospective employee obtained by the Department shall be
23confidential and exempt from public inspection and copying as
24provided under Section 7 of The Freedom of Information Act,
25and such information shall not be transmitted outside the
26Department, except as provided in the Abused and Neglected

 

 

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1Child Reporting Act, and shall not be transmitted to anyone
2within the Department except as provided in the Abused and
3Neglected Child Reporting Act, and shall not be transmitted to
4anyone within the Department except as needed for the purposes
5of evaluation of an application for licensure or for
6consideration by a child care facility of an employee. Any
7employee of the Department of Children and Family Services
8under this Section who gives or causes to be given any
9confidential information concerning any child abuse or neglect
10reports about a child care facility applicant, child care
11facility employee, shall be guilty of a Class A misdemeanor,
12unless release of such information is authorized by Section
1311.1 of the Abused and Neglected Child Reporting Act.
14    Additionally, any licensee who is informed by the
15Department of Children and Family Services, pursuant to
16Section 7.4 of the Abused and Neglected Child Reporting Act,
17approved June 26, 1975, as amended, that a formal
18investigation has commenced relating to an employee of the
19child care facility or any other person in frequent contact
20with children at the facility, shall take reasonable action
21necessary to insure that the employee or other person is
22restricted during the pendency of the investigation from
23contact with children whose care has been entrusted to the
24facility.
25    When a foster family home is the subject of an indicated
26report under the Abused and Neglected Child Reporting Act, the

 

 

HB5373- 649 -LRB104 20029 AAS 33480 b

1Department of Children and Family Services must immediately
2conduct a re-examination of the foster family home to evaluate
3whether it continues to meet the minimum standards for
4licensure. The re-examination is separate and apart from the
5formal investigation of the report. The Department must
6establish a schedule for re-examination of the foster family
7home mentioned in the report at least once a year.
8    When a certified relative caregiver home is the subject of
9an indicated report under the Abused and Neglected Child
10Reporting Act, the Department shall immediately conduct a
11re-examination of the certified relative caregiver home to
12evaluate whether the home remains an appropriate placement or
13the certified relative caregiver home continues to meet the
14minimum standards for certification required under Section 3.4
15of this Act. The re-examination is separate and apart from the
16formal investigation of the report and shall be completed in
17the timeframes established by rule.
18(Source: P.A. 103-1061, eff. 7-1-25.)
 
19    (Text of Section after amendment by P.A. 103-594)
20    Sec. 4.3. Child abuse and neglect reports. All child care
21facility license applicants (other than a child day care
22center, child day care home, or group child day care home) and
23all current and prospective employees of a child care facility
24(other than a child day care center, child day care home, or
25group child day care home) who have any possible contact with

 

 

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1children in the course of their duties, as a condition of such
2licensure or employment, shall authorize in writing on a form
3prescribed by the Department an investigation of the Central
4Register, as defined in the Abused and Neglected Child
5Reporting Act, to ascertain if such applicant or employee has
6been determined to be a perpetrator in an indicated report of
7child abuse or neglect.
8    All child care facilities (other than a child day care
9center, child day care home, or group child day care home) as a
10condition of licensure pursuant to this Act shall maintain
11such information which demonstrates that all current employees
12and other applicants for employment who have any possible
13contact with children in the course of their duties have
14authorized an investigation of the Central Register as
15hereinabove required. Only those current or prospective
16employees who will have no possible contact with children as
17part of their present or prospective employment may be
18excluded from provisions requiring authorization of an
19investigation.
20    Such information concerning a license applicant, employee
21or prospective employee obtained by the Department shall be
22confidential and exempt from public inspection and copying as
23provided under Section 7 of The Freedom of Information Act,
24and such information shall not be transmitted outside the
25Department, except as provided in the Abused and Neglected
26Child Reporting Act, and shall not be transmitted to anyone

 

 

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1within the Department except as provided in the Abused and
2Neglected Child Reporting Act, and shall not be transmitted to
3anyone within the Department except as needed for the purposes
4of evaluation of an application for licensure or for
5consideration by a child care facility of an employee. Any
6employee of the Department of Children and Family Services
7under this Section who gives or causes to be given any
8confidential information concerning any child abuse or neglect
9reports about a child care facility applicant, child care
10facility employee, shall be guilty of a Class A misdemeanor,
11unless release of such information is authorized by Section
1211.1 of the Abused and Neglected Child Reporting Act.
13    Additionally, any licensee who is informed by the
14Department of Children and Family Services, pursuant to
15Section 7.4 of the Abused and Neglected Child Reporting Act,
16approved June 26, 1975, as amended, that a formal
17investigation has commenced relating to an employee of the
18child care facility or any other person in frequent contact
19with children at the facility, shall take reasonable action
20necessary to insure that the employee or other person is
21restricted during the pendency of the investigation from
22contact with children whose care has been entrusted to the
23facility.
24    When a foster family home is the subject of an indicated
25report under the Abused and Neglected Child Reporting Act, the
26Department of Children and Family Services must immediately

 

 

HB5373- 652 -LRB104 20029 AAS 33480 b

1conduct a re-examination of the foster family home to evaluate
2whether it continues to meet the minimum standards for
3licensure. The re-examination is separate and apart from the
4formal investigation of the report. The Department must
5establish a schedule for re-examination of the foster family
6home mentioned in the report at least once a year.
7    When a certified relative caregiver home is the subject of
8an indicated report under the Abused and Neglected Child
9Reporting Act, the Department shall immediately conduct a
10re-examination of the certified relative caregiver home to
11evaluate whether the home remains an appropriate placement or
12the certified relative caregiver home continues to meet the
13minimum standards for certification required under Section 3.4
14of this Act. The re-examination is separate and apart from the
15formal investigation of the report and shall be completed in
16the timeframes established by rule.
17(Source: P.A. 103-594, eff. 7-1-26; 103-1061, eff. 7-1-25.)
 
18    (225 ILCS 10/4.3a)
19    (This Section may contain text from a Public Act with a
20delayed effective date)
21    Sec. 4.3a. Child Abuse and Neglect Reports; Department of
22Early Childhood. All child care facility license applicants
23and all current and prospective employees of a child day care
24center, child day care home, or group child day care home who
25have any possible contact with children in the course of their

 

 

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1duties, as a condition of such licensure or employment, shall
2authorize in writing on a form prescribed by the Department of
3Early Childhood an investigation of the Central Register, as
4defined in the Abused and Neglected Child Reporting Act, to
5ascertain if such applicant or employee has been determined to
6be a perpetrator in an indicated report of child abuse or
7neglect. All child care facilities as a condition of licensure
8pursuant to this Act shall maintain such information which
9demonstrates that all current employees and other applicants
10for employment who have any possible contact with children in
11the course of their duties have authorized an investigation of
12the Central Register as hereinabove required. Only those
13current or prospective employees who will have no possible
14contact with children as part of their present or prospective
15employment may be excluded from provisions requiring
16authorization of an investigation. Such information concerning
17a license applicant, employee or prospective employee obtained
18by the Department of Early Childhood shall be confidential and
19exempt from public inspection and copying as provided under
20Section 7 of The Freedom of Information Act, and such
21information shall not be transmitted outside the Department of
22Early Childhood, except as provided in the Abused and
23Neglected Child Reporting Act, and shall not be transmitted to
24anyone within the Department of Early Childhood except as
25provided in the Abused and Neglected Child Reporting Act, and
26shall not be transmitted to anyone within the Department of

 

 

HB5373- 654 -LRB104 20029 AAS 33480 b

1Early Childhood except as needed for the purposes of
2evaluation of an application for licensure or for
3consideration by a child care facility of an employee. Any
4employee of the Department of Early Childhood under this
5Section who gives or causes to be given any confidential
6information concerning any child abuse or neglect reports
7about a child care facility applicant or child care facility
8employee shall be guilty of a Class A misdemeanor, unless
9release of such information is authorized by Section 11.1 of
10the Abused and Neglected Child Reporting Act. Additionally,
11any licensee who is informed by the Department of Children and
12Family Services, pursuant to Section 7.4 of the Abused and
13Neglected Child Reporting Act that a formal investigation has
14commenced relating to an employee of the child care facility
15or any other person in frequent contact with children at the
16facility shall take reasonable action necessary to ensure that
17the employee or other person is restricted during the pendency
18of the investigation from contact with children whose care has
19been entrusted to the facility.
20(Source: P.A. 103-594, eff. 7-1-26.)
 
21    (225 ILCS 10/4.4)  (from Ch. 23, par. 2214.4)
22    (Text of Section before amendment by P.A. 103-594)
23    Sec. 4.4. For the purposes of background investigations
24authorized in this Act, "license applicant" means the operator
25or person with direct responsibility for daily operation of

 

 

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1the facility to be licensed. In the case of facilities to be
2operated in a family home, the Department may, by rule,
3require that other adult residents of that home also authorize
4such investigations.
5(Source: P.A. 84-158.)
 
6    (Text of Section after amendment by P.A. 103-594)
7    Sec. 4.4. This Section does not apply to any child day care
8center, child day care home, or group child day care home. For
9the purposes of background investigations authorized in this
10Act, "license applicant" means the operator or person with
11direct responsibility for daily operation of the facility to
12be licensed. In the case of facilities to be operated in a
13family home, the Department may, by rule, require that other
14adult residents of that home also authorize such
15investigations with the exception of child day care homes and
16group child day care homes.
17(Source: P.A. 103-594, eff. 7-1-26.)
 
18    (225 ILCS 10/4.4a)
19    (This Section may contain text from a Public Act with a
20delayed effective date)
21    Sec. 4.4a. Background investigations; Department of Early
22Childhood. For the purposes of background investigations
23authorized in this Act, "license applicant" means the operator
24or person with direct responsibility for daily operation of

 

 

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1the child day care center, child day care home, or group child
2day care home to be licensed. In the case of facilities to be
3operated in a family home, as related to child day care homes
4and group child day care homes, the Department of Early
5Childhood may, by rule, require that other adult residents of
6that home also authorize such investigations.
7(Source: P.A. 103-594, eff. 7-1-26.)
 
8    (225 ILCS 10/4.5)
9    (Text of Section before amendment by P.A. 103-594)
10    Sec. 4.5. Children with disabilities; training.
11    (a) An owner or operator of a licensed day care home or
12group day care home or the onsite executive director of a
13licensed day care center must successfully complete a basic
14training course in providing care to children with
15disabilities. The basic training course will also be made
16available on a voluntary basis to those providers who are
17exempt from the licensure requirements of this Act.
18    (b) The Department of Children and Family Services shall
19promulgate rules establishing the requirements for basic
20training in providing care to children with disabilities.
21(Source: P.A. 92-164, eff. 1-1-02.)
 
22    (Text of Section after amendment by P.A. 103-594)
23    Sec. 4.5. Children with disabilities; training.
24    (a) An owner or operator of a licensed child day care home

 

 

HB5373- 657 -LRB104 20029 AAS 33480 b

1or group child day care home or the onsite executive director
2of a licensed child day care center must successfully complete
3a basic training course in providing care to children with
4disabilities. The basic training course will also be made
5available on a voluntary basis to those providers who are
6exempt from the licensure requirements of this Act.
7    (b) The Department of Early Childhood shall promulgate
8rules establishing the requirements for basic training in
9providing care to children with disabilities.
10(Source: P.A. 103-594, eff. 7-1-26.)
 
11    (225 ILCS 10/5)  (from Ch. 23, par. 2215)
12    (Text of Section before amendment by P.A. 103-594)
13    Sec. 5. (a) In respect to child care institutions,
14maternity centers, child welfare agencies, day care centers,
15day care agencies and group homes, the Department, upon
16receiving application filed in proper order, shall examine the
17facilities and persons responsible for care of children
18therein.
19    (b) In respect to foster family and day care homes,
20applications may be filed on behalf of such homes by a licensed
21child welfare agency, by a State agency authorized to place
22children in foster care or by out-of-State agencies approved
23by the Department to place children in this State. In respect
24to day care homes, applications may be filed on behalf of such
25homes by a licensed day care agency or licensed child welfare

 

 

HB5373- 658 -LRB104 20029 AAS 33480 b

1agency. In applying for license in behalf of a home in which
2children are placed by and remain under supervision of the
3applicant agency, such agency shall certify that the home and
4persons responsible for care of unrelated children therein, or
5the home and relatives, as defined in Section 2.36 of this Act,
6responsible for the care of related children therein, were
7found to be in reasonable compliance with standards prescribed
8by the Department for the type of care indicated.
9    (c) The Department shall not allow any person to examine
10facilities under a provision of this Act who has not passed an
11examination demonstrating that such person is familiar with
12this Act and with the appropriate standards and regulations of
13the Department.
14    (d) With the exception of day care centers, day care
15homes, and group day care homes, licenses shall be issued in
16such form and manner as prescribed by the Department and are
17valid for 4 years from the date issued, unless revoked by the
18Department or voluntarily surrendered by the licensee.
19Licenses issued for day care centers, day care homes, and
20group day care homes shall be valid for 3 years from the date
21issued, unless revoked by the Department or voluntarily
22surrendered by the licensee. When a licensee has made timely
23and sufficient application for the renewal of a license or a
24new license with reference to any activity of a continuing
25nature, the existing license shall continue in full force and
26effect for up to 30 days until the final agency decision on the

 

 

HB5373- 659 -LRB104 20029 AAS 33480 b

1application has been made. The Department may further extend
2the period in which such decision must be made in individual
3cases for up to 30 days, but such extensions shall be only upon
4good cause shown.
5    (e) The Department may issue one 6-month permit to a newly
6established facility for child care to allow that facility
7reasonable time to become eligible for a full license. If the
8facility for child care is a foster family home, or day care
9home the Department may issue one 2-month permit only.
10    (f) The Department may issue an emergency permit to a
11child care facility taking in children as a result of the
12temporary closure for more than 2 weeks of a licensed child
13care facility due to a natural disaster. An emergency permit
14under this subsection shall be issued to a facility only if the
15persons providing child care services at the facility were
16employees of the temporarily closed day care center at the
17time it was closed. No investigation of an employee of a child
18care facility receiving an emergency permit under this
19subsection shall be required if that employee has previously
20been investigated at another child care facility. No emergency
21permit issued under this subsection shall be valid for more
22than 90 days after the date of issuance.
23    (g) During the hours of operation of any licensed child
24care facility, authorized representatives of the Department
25may without notice visit the facility for the purpose of
26determining its continuing compliance with this Act or

 

 

HB5373- 660 -LRB104 20029 AAS 33480 b

1regulations adopted pursuant thereto.
2    (h) Day care centers, day care homes, and group day care
3homes shall be monitored at least annually by a licensing
4representative from the Department or the agency that
5recommended licensure.
6(Source: P.A. 103-1061, eff. 7-1-25.)
 
7    (Text of Section after amendment by P.A. 103-594)
8    Sec. 5. (a) This Section does not apply to any child day
9care center, child day care home, or group child day care home.
10    In respect to child care institutions, maternity centers,
11child welfare agencies, and group homes, the Department, upon
12receiving application filed in proper order, shall examine the
13facilities and persons responsible for care of children
14therein.
15    (b) In respect to foster family homes, applications may be
16filed on behalf of such homes by a licensed child welfare
17agency, by a State agency authorized to place children in
18foster care or by out-of-State agencies approved by the
19Department to place children in this State. In applying for
20license in behalf of a home in which children are placed by and
21remain under supervision of the applicant agency, such agency
22shall certify that the home and persons responsible for care
23of unrelated children therein, or the home and relatives, as
24defined in Section 2.36 of this Act, responsible for the care
25of related children therein, were found to be in reasonable

 

 

HB5373- 661 -LRB104 20029 AAS 33480 b

1compliance with standards prescribed by the Department for the
2type of care indicated.
3    (c) The Department shall not allow any person to examine
4facilities under a provision of this Act who has not passed an
5examination demonstrating that such person is familiar with
6this Act and with the appropriate standards and regulations of
7the Department.
8    (d) Licenses shall be issued in such form and manner as
9prescribed by the Department and are valid for 4 years from the
10date issued, unless revoked by the Department or voluntarily
11surrendered by the licensee. When a licensee has made timely
12and sufficient application for the renewal of a license or a
13new license with reference to any activity of a continuing
14nature, the existing license shall continue in full force and
15effect for up to 30 days until the final agency decision on the
16application has been made. The Department may further extend
17the period in which such decision must be made in individual
18cases for up to 30 days, but such extensions shall be only upon
19good cause shown.
20    (e) The Department may issue one 6-month permit to a newly
21established facility for child care to allow that facility
22reasonable time to become eligible for a full license. If the
23facility for child care is a foster family home, the
24Department may issue one 2-month permit only.
25    (f) The Department may issue an emergency permit to a
26child care facility taking in children as a result of the

 

 

HB5373- 662 -LRB104 20029 AAS 33480 b

1temporary closure for more than 2 weeks of a licensed child
2care facility due to a natural disaster. An emergency permit
3under this subsection shall be issued to a facility only if the
4persons providing child care services at the facility were
5employees of the temporarily closed facility at the time it
6was closed. No investigation of an employee of a child care
7facility receiving an emergency permit under this subsection
8shall be required if that employee has previously been
9investigated at another child care facility. No emergency
10permit issued under this subsection shall be valid for more
11than 90 days after the date of issuance.
12    (g) During the hours of operation of any licensed child
13care facility, authorized representatives of the Department
14may without notice visit the facility for the purpose of
15determining its continuing compliance with this Act or
16regulations adopted pursuant thereto.
17    (h) (Blank).
18(Source: P.A. 103-594, eff. 7-1-26; 103-1061, eff. 7-1-25.)
 
19    (225 ILCS 10/5.01)
20    (This Section may contain text from a Public Act with a
21delayed effective date)
22    Sec. 5.01. Licenses; permits; Department of Early
23Childhood.
24    (a) In respect to child day care centers, the Department
25of Early Childhood, upon receiving application filed in proper

 

 

HB5373- 663 -LRB104 20029 AAS 33480 b

1order, shall examine the facilities and persons responsible
2for care of children therein.
3    (b) In respect to child day care homes, applications may
4be filed on behalf of such homes by the Department of Early
5Childhood.
6    (c) The Department of Early Childhood shall not allow any
7person to examine facilities under a provision of this Act who
8has not passed an examination demonstrating that such person
9is familiar with this Act and with the appropriate standards
10and regulations of the Department of Early Childhood.
11    (d) Licenses issued for child day care centers, child day
12care homes, and group child day care homes shall be valid for 3
13years from the date issued, unless revoked by the Department
14of Early Childhood or voluntarily surrendered by the licensee.
15When a licensee has made timely and sufficient application for
16the renewal of a license or a new license with reference to any
17activity of a continuing nature, the existing license shall
18continue in full force and effect for up to 30 days until the
19final agency decision on the application has been made. The
20Department of Early Childhood may further extend the period in
21which such decision must be made in individual cases for up to
2230 days, but such extensions shall be only upon good cause
23shown.
24    (e) The Department of Early Childhood may issue one
256-month permit to a newly established facility for child care
26to allow that facility reasonable time to become eligible for

 

 

HB5373- 664 -LRB104 20029 AAS 33480 b

1a full license. If the facility for child care is a child day
2care home the Department of Early Childhood may issue one
32-month permit only.
4    (f) The Department of Early Childhood may issue an
5emergency permit to a child day care center taking in children
6as a result of the temporary closure for more than 2 weeks of a
7licensed child care facility due to a natural disaster. An
8emergency permit under this subsection shall be issued to a
9facility only if the persons providing child care services at
10the facility were employees of the temporarily closed child
11day care center at the time it was closed. No investigation of
12an employee of a child care facility receiving an emergency
13permit under this subsection shall be required if that
14employee has previously been investigated at another child
15care facility. No emergency permit issued under this
16subsection shall be valid for more than 90 days after the date
17of issuance.
18    (g) During the hours of operation of any licensed child
19day care center, child day care home, or group child day care
20home, authorized representatives of the Department of Early
21Childhood may without notice visit the facility for the
22purpose of determining its continuing compliance with this Act
23or rules adopted pursuant thereto.
24    (h) Child Day care centers, child day care homes, and
25group child day care homes shall be monitored at least
26annually by a licensing representative from the Department of

 

 

HB5373- 665 -LRB104 20029 AAS 33480 b

1Early Childhood that recommended licensure.
2(Source: P.A. 103-594, eff. 7-1-26; 104-417, eff. 8-15-25.)
 
3    (225 ILCS 10/5.1)
4    (Text of Section before amendment by P.A. 103-594)
5    Sec. 5.1. (a) The Department shall ensure that no day care
6center, group home, or child care institution as defined in
7this Act shall on a regular basis transport a child or children
8with any motor vehicle unless such vehicle is operated by a
9person who complies with the following requirements:
10        1. is 21 years of age or older;
11        2. currently holds a valid driver's license, which has
12    not been revoked or suspended for one or more traffic
13    violations during the 3 years immediately prior to the
14    date of application;
15        3. demonstrates physical fitness to operate vehicles
16    by submitting the results of a medical examination
17    conducted by a licensed physician;
18        4. has not been convicted of more than 2 offenses
19    against traffic regulations governing the movement of
20    vehicles within a 12-month period;
21        5. has not been convicted of reckless driving or
22    driving under the influence or manslaughter or reckless
23    homicide resulting from the operation of a motor vehicle
24    within the past 3 years;
25        6. has signed and submitted a written statement

 

 

HB5373- 666 -LRB104 20029 AAS 33480 b

1    certifying that the person has not, through the unlawful
2    operation of a motor vehicle, caused a crash which
3    resulted in the death of any person within the 5 years
4    immediately prior to the date of application.
5    However, such day care centers, group homes, and child
6care institutions may provide for transportation of a child or
7children for special outings, functions, or purposes that are
8not scheduled on a regular basis without verification that
9drivers for such purposes meet the requirements of this
10Section.
11    (a-5) As a means of ensuring compliance with the
12requirements set forth in subsection (a), the Department shall
13implement appropriate measures to verify that every individual
14who is employed at a group home or child care institution meets
15those requirements.
16    For every person employed at a group home or child care
17institution who regularly transports children in the course of
18performing the person's duties, the Department must make the
19verification every 2 years. Upon the Department's request, the
20Secretary of State shall provide the Department with the
21information necessary to enable the Department to make the
22verifications required under subsection (a).
23    In the case of an individual employed at a group home or
24child care institution who becomes subject to subsection (a)
25for the first time after January 1, 2007 (the effective date of
26Public Act 94-943), the Department must make that verification

 

 

HB5373- 667 -LRB104 20029 AAS 33480 b

1with the Secretary of State before the individual operates a
2motor vehicle to transport a child or children under the
3circumstances described in subsection (a).
4    In the case of an individual employed at a group home or
5child care institution who is subject to subsection (a) on
6January 1, 2007 (the effective date of Public Act 94-943), the
7Department must make that verification with the Secretary of
8State within 30 days after January 1, 2007.
9    If the Department discovers that an individual fails to
10meet the requirements set forth in subsection (a), the
11Department shall promptly notify the appropriate group home or
12child care institution.
13    (b) Any individual who holds a valid Illinois school bus
14driver permit issued by the Secretary of State pursuant to the
15Illinois Vehicle Code, and who is currently employed by a
16school district or parochial school, or by a contractor with a
17school district or parochial school, to drive a school bus
18transporting children to and from school, shall be deemed in
19compliance with the requirements of subsection (a).
20    (c) The Department may, pursuant to Section 8 of this Act,
21revoke the license of any day care center, group home, or child
22care institution that fails to meet the requirements of this
23Section.
24    (d) A group home or child care institution that fails to
25meet the requirements of this Section is guilty of a petty
26offense and is subject to a fine of not more than $1,000. Each

 

 

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1day that a group home or child care institution fails to meet
2the requirements of this Section is a separate offense.
3(Source: P.A. 102-982, eff. 7-1-23; 103-22, eff. 8-8-23;
4103-605, eff. 7-1-24; 104-417, eff. 8-15-25.)
 
5    (Text of Section after amendment by P.A. 103-594)
6    Sec. 5.1. (a) The Department shall ensure that no group
7home or child care institution as defined in this Act shall on
8a regular basis transport a child or children with any motor
9vehicle unless such vehicle is operated by a person who
10complies with the following requirements:
11        1. is 21 years of age or older;
12        2. currently holds a valid driver's license, which has
13    not been revoked or suspended for one or more traffic
14    violations during the 3 years immediately prior to the
15    date of application;
16        3. demonstrates physical fitness to operate vehicles
17    by submitting the results of a medical examination
18    conducted by a licensed physician;
19        4. has not been convicted of more than 2 offenses
20    against traffic regulations governing the movement of
21    vehicles within a 12-month period;
22        5. has not been convicted of reckless driving or
23    driving under the influence or manslaughter or reckless
24    homicide resulting from the operation of a motor vehicle
25    within the past 3 years;

 

 

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1        6. has signed and submitted a written statement
2    certifying that the person has not, through the unlawful
3    operation of a motor vehicle, caused a crash which
4    resulted in the death of any person within the 5 years
5    immediately prior to the date of application.
6    However, such group homes and child care institutions may
7provide for transportation of a child or children for special
8outings, functions, or purposes that are not scheduled on a
9regular basis without verification that drivers for such
10purposes meet the requirements of this Section.
11    (a-5) As a means of ensuring compliance with the
12requirements set forth in subsection (a), the Department shall
13implement appropriate measures to verify that every individual
14who is employed at a group home or child care institution meets
15those requirements.
16    For every person employed at a group home or child care
17institution who regularly transports children in the course of
18performing the person's duties, the Department must make the
19verification every 2 years. Upon the Department's request, the
20Secretary of State shall provide the Department with the
21information necessary to enable the Department to make the
22verifications required under subsection (a).
23    In the case of an individual employed at a group home or
24child care institution who becomes subject to subsection (a)
25for the first time after January 1, 2007 (the effective date of
26Public Act 94-943), the Department must make that verification

 

 

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1with the Secretary of State before the individual operates a
2motor vehicle to transport a child or children under the
3circumstances described in subsection (a).
4    In the case of an individual employed at a group home or
5child care institution who is subject to subsection (a) on
6January 1, 2007 (the effective date of Public Act 94-943), the
7Department must make that verification with the Secretary of
8State within 30 days after January 1, 2007.
9    If the Department discovers that an individual fails to
10meet the requirements set forth in subsection (a), the
11Department shall promptly notify the appropriate group home or
12child care institution.
13    (b) Any individual who holds a valid Illinois school bus
14driver permit issued by the Secretary of State pursuant to the
15Illinois Vehicle Code, and who is currently employed by a
16school district or parochial school, or by a contractor with a
17school district or parochial school, to drive a school bus
18transporting children to and from school, shall be deemed in
19compliance with the requirements of subsection (a).
20    (c) The Department may, pursuant to Section 8 of this Act,
21revoke the license of any group home or child care institution
22that fails to meet the requirements of this Section.
23    (d) A group home or child care institution that fails to
24meet the requirements of this Section is guilty of a petty
25offense and is subject to a fine of not more than $1,000. Each
26day that a group home or child care institution fails to meet

 

 

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1the requirements of this Section is a separate offense.
2(Source: P.A. 103-22, eff. 8-8-23; 103-594, eff. 7-1-26;
3103-605, eff. 7-1-24; 104-417, eff. 8-15-25.)
 
4    (225 ILCS 10/5.1a)
5    (This Section may contain text from a Public Act with a
6delayed effective date)
7    Sec. 5.1a. Transportation of children; child day care
8centers. The Department of Early Childhood shall ensure that
9no child day care center shall on a regular basis transport a
10child or children with any motor vehicle unless such vehicle
11is operated by a person who complies with the following
12requirements:
13        (1) is 21 years of age or older;
14        (2) currently holds a valid driver's license, which
15    has not been revoked or suspended for one or more traffic
16    violations during the 3 years immediately prior to the
17    date of application;
18        (3) demonstrates physical fitness to operate vehicles
19    by submitting the results of a medical examination
20    conducted by a licensed physician;
21        (4) has not been convicted of more than 2 offenses
22    against traffic regulations governing the movement of
23    vehicles within a 12-month period;
24        (5) has not been convicted of reckless driving or
25    driving under the influence or manslaughter or reckless

 

 

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1    homicide resulting from the operation of a motor vehicle
2    within the past 3 years;
3        (6) has signed and submitted a written statement
4    certifying that the person has not, through the unlawful
5    operation of a motor vehicle, caused a crash which
6    resulted in the death of any person within the 5 years
7    immediately prior to the date of application.
8    However, such child day care centers may provide for
9transportation of a child or children for special outings,
10functions or purposes that are not scheduled on a regular
11basis without verification that drivers for such purposes meet
12the requirements of this Section.
13    (b) Any individual who holds a valid Illinois school bus
14driver permit issued by the Secretary of State pursuant to the
15Illinois Vehicle Code, and who is currently employed by a
16school district or parochial school, or by a contractor with a
17school district or parochial school, to drive a school bus
18transporting children to and from school, shall be deemed in
19compliance with the requirements of subsection (a).
20    (c) The Department of Early Childhood may, pursuant to
21Section 8a of this Act, revoke the license of any child day
22care center that fails to meet the requirements of this
23Section.
24(Source: P.A. 103-594, eff. 7-1-26.)
 
25    (225 ILCS 10/5.2)

 

 

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1    (Text of Section before amendment by P.A. 103-594)
2    Sec. 5.2. Unsafe children's products.
3    (a) A child care facility may not use or have on the
4premises, on or after July 1, 2000, an unsafe children's
5product as described in Section 15 of the Children's Product
6Safety Act. This subsection (a) does not apply to an antique or
7collectible children's product if it is not used by, or
8accessible to, any child in the child care facility.
9    (b) The Department of Children and Family Services shall
10notify child care facilities, on an ongoing basis, including
11during the license application facility examination and during
12annual license monitoring visits, of the provisions of this
13Section and the Children's Product Safety Act and of the
14comprehensive list of unsafe children's products as provided
15and maintained by the Department of Public Health available on
16the Internet, as determined in accordance with that Act, in
17plain, non-technical language that will enable each child care
18facility to effectively inspect children's products and
19identify unsafe children's products. Subject to availability
20of appropriations, the Department of Children and Family
21Services, in accordance with the requirements of this Section,
22shall establish and maintain a database on the safety of
23consumer products and other products or substances regulated
24by the Department that is: (i) publicly available; (ii)
25searchable; and (iii) accessible through the Internet website
26of the Department. Child care facilities must maintain all

 

 

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1written information provided pursuant to this subsection in a
2file accessible to both facility staff and parents of children
3attending the facility. Child care facilities must post in
4prominent locations regularly visited by parents written
5notification of the existence of the comprehensive list of
6unsafe children's products available on the Internet. The
7Department of Children and Family Services shall adopt rules
8to carry out this Section.
9(Source: P.A. 103-44, eff. 1-1-24.)
 
10    (Text of Section after amendment by P.A. 103-594)
11    Sec. 5.2. Unsafe children's products; Department of
12Children and Family Services.
13    (a) A child care facility may not use or have on the
14premises, on or after July 1, 2000, an unsafe children's
15product as described in Section 15 of the Children's Product
16Safety Act. This subsection (a) does not apply to an antique or
17collectible children's product if it is not used by, or
18accessible to, any child in the child care facility.
19    (b) The Department of Children and Family Services shall
20notify child care facilities (other than a child day care
21center, child day care home, or group child day care home), on
22an ongoing basis, including during the license application
23facility examination and during annual license monitoring
24visits, of the provisions of this Section and the Children's
25Product Safety Act and of the comprehensive list of unsafe

 

 

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1children's products as provided and maintained by the
2Department of Public Health available on the Internet, as
3determined in accordance with that Act, in plain,
4non-technical language that will enable each child care
5facility to effectively inspect children's products and
6identify unsafe children's products. Subject to availability
7of appropriations, the Department of Children and Family
8Services, in accordance with the requirements of this Section,
9shall establish and maintain a database on the safety of
10consumer products and other products or substances regulated
11by the Department that is: (i) publicly available; (ii)
12searchable; and (iii) accessible through the Internet website
13of the Department. Child care facilities must maintain all
14written information provided pursuant to this subsection in a
15file accessible to both facility staff and parents of children
16attending the facility. Child care facilities must post in
17prominent locations regularly visited by parents written
18notification of the existence of the comprehensive list of
19unsafe children's products available on the Internet. The
20Department of Children and Family Services shall adopt rules
21to carry out this Section.
22(Source: P.A. 103-44, eff. 1-1-24; 103-594, eff. 7-1-26.)
 
23    (225 ILCS 10/5.2a)
24    (This Section may contain text from a Public Act with a
25delayed effective date)

 

 

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1    Sec. 5.2a. Unsafe children's products; Department of Early
2Childhood.
3    (a) A child day care center, child day care home, or group
4child day care home may not use or have on the premises an
5unsafe children's product as described in Section 15 of the
6Children's Product Safety Act. This subsection (a) does not
7apply to an antique or collectible children's product if it is
8not used by, or accessible to, any child in the child day care
9center, child day care home, or group child day care home.
10    (b) The Department of Early Childhood shall notify child
11day care centers, child day care homes, and group child day
12care homes, on an ongoing basis, including during the license
13application facility examination and during annual license
14monitoring visits, of the provisions of this Section and the
15Children's Product Safety Act and of the comprehensive list of
16unsafe children's products as provided and maintained by the
17Department of Public Health available on the Internet, as
18determined in accordance with that Act, in plain,
19non-technical language that will enable each child care
20facility to effectively inspect children's products and
21identify unsafe children's products. Subject to availability
22of appropriations, the Department of Early Childhood, in
23accordance with the requirements of this Section, shall
24establish and maintain a database on the safety of consumer
25products and other products or substances regulated by the
26Department of Early Childhood that is: (i) publicly available;

 

 

HB5373- 677 -LRB104 20029 AAS 33480 b

1(ii) searchable; and (iii) accessible through the Internet
2website of the Department of Early Childhood. Child care
3facilities must maintain all written information provided
4pursuant to this subsection in a file accessible to both
5facility staff and parents of children attending the facility.
6Child Day care centers, child day care homes, and group child
7day care homes must post in prominent locations regularly
8visited by parents written notification of the existence of
9the comprehensive list of unsafe children's products available
10on the Internet. The Department of Early Childhood shall adopt
11rules to carry out this Section.
12(Source: P.A. 103-594, eff. 7-1-26.)
 
13    (225 ILCS 10/5.3)
14    Sec. 5.3. Lunches in child day care homes. In order to
15increase the affordability and availability of child day care,
16a child day care home licensed under this Act may allow any
17child it receives to bring the child's lunch for consumption
18instead of or in addition to the lunch provided by the child
19day care home.
20(Source: P.A. 103-22, eff. 8-8-23.)
 
21    (225 ILCS 10/5.5)
22    Sec. 5.5. Smoking in child day care facilities.
23    (a) The General Assembly finds and declares that:
24        (1) The U.S. government has determined that secondhand

 

 

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1    tobacco smoke is a major threat to public health for which
2    there is no safe level of exposure.
3        (2) The U.S. Environmental Protection Agency recently
4    classified secondhand tobacco smoke a Class A carcinogen,
5    ranking it with substances such as asbestos and benzene.
6        (3) According to U.S. government figures, secondhand
7    tobacco smoke is linked to the lung-cancer deaths of an
8    estimated 3,000 nonsmokers per year.
9        (4) Cigarette smoke is a special risk to children,
10    causing between 150,000 and 300,000 respiratory infections
11    each year in children under 18 months old, and endangering
12    between 200,000 and one million children with asthma.
13        (5) The health of the children of this State should
14    not be compromised by needless exposure to secondhand
15    tobacco smoke.
16    (b) It is a violation of this Act for any person to smoke
17tobacco in any area of a child day care center.
18    (c) It is a violation of this Act for any person to smoke
19tobacco in any area of a child day care home or group child day
20care home.
21    (d) It is a violation of this Act for any person
22responsible for the operation of a child day care center,
23child day care home, or group child day care home to knowingly
24allow or encourage any violation of subsection (b) or (c) of
25this Section.
26(Source: P.A. 99-343, eff. 8-11-15.)
 

 

 

HB5373- 679 -LRB104 20029 AAS 33480 b

1    (225 ILCS 10/5.6)
2    Sec. 5.6. Pesticide and lawn care product application at
3child day care centers.
4    (a) Licensed child day care centers shall abide by the
5requirements of Sections 10.2 and 10.3 of the Structural Pest
6Control Act.
7    (b) Notification required pursuant to Section 10.3 of the
8Structural Pest Control Act may not be given more than 30 days
9before the application of the pesticide.
10    (c) Each licensed child day care center, subject to the
11requirements of Section 10.3 of the Structural Pest Control
12Act, must ensure that pesticides will not be applied when
13children are present at the center. Toys and other items
14mouthed or handled by the children must be removed from the
15area before pesticides are applied. Children must not return
16to the treated area within 2 hours after a pesticide
17application or as specified on the pesticide label, whichever
18time is greater.
19    (d) The owners and operators of licensed child day care
20centers must ensure that lawn care products will not be
21applied to child day care center grounds when children are
22present at the center or on its grounds. For the purpose of
23this Section, "lawn care product" has the same meaning as that
24term is defined in the Lawn Care Products Application and
25Notice Act.

 

 

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1(Source: P.A. 96-424, eff. 8-13-09.)
 
2    (225 ILCS 10/5.8)
3    (Text of Section before amendment by P.A. 103-594)
4    Sec. 5.8. Radon testing of licensed day care centers,
5licensed day care homes, and licensed group day care homes.
6    (a) Effective January 1, 2013, licensed day care centers,
7licensed day care homes, and licensed group day care homes
8shall have the facility tested for radon at least once every 3
9years pursuant to rules established by the Illinois Emergency
10Management Agency.
11    (b) Effective January 1, 2014, as part of an initial
12application or application for renewal of a license for day
13care centers, day care homes, and group day care homes, the
14Department shall require proof the facility has been tested
15within the last 3 years for radon pursuant to rules
16established by the Illinois Emergency Management Agency.
17    (c) The report of the most current radon measurement shall
18be posted in the facility next to the license issued by the
19Department. Copies of the report shall be provided to parents
20or guardians upon request.
21    (d) Included with the report referenced in subsection (c)
22shall be the following statement:
23        "Every parent or guardian is notified that this
24    facility has performed radon measurements to ensure the
25    health and safety of the occupants. The Illinois Emergency

 

 

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1    Management Agency (IEMA) recommends that all residential
2    homes be tested and that corrective actions be taken at
3    levels equal to or greater than 4.0 pCi/L. Radon is a Class
4    A human carcinogen, the leading cause of lung cancer in
5    non-smokers, and the second leading cause of lung cancer
6    overall. For additional information about this facility
7    contact the licensee and for additional information
8    regarding radon contact the IEMA Radon Program at
9    800-325-1245 or on the Internet at
10    www.radon.illinois.gov.".
11(Source: P.A. 97-981, eff. 1-1-13.)
 
12    (Text of Section after amendment by P.A. 103-594)
13    Sec. 5.8. Radon testing of licensed child day care
14centers, licensed child day care homes, and licensed group
15child day care homes.
16    (a) Licensed child day care centers, licensed day care
17homes, and licensed group child day care homes shall have the
18facility tested for radon at least once every 3 years pursuant
19to rules established by the Illinois Emergency Management
20Agency.
21    (b) As part of an initial application or application for
22renewal of a license for child day care centers, child day care
23homes, and group child day care homes, the Department of Early
24Childhood shall require proof the facility has been tested
25within the last 3 years for radon pursuant to rules

 

 

HB5373- 682 -LRB104 20029 AAS 33480 b

1established by the Illinois Emergency Management Agency.
2    (c) The report of the most current radon measurement shall
3be posted in the facility next to the license issued by the
4Department of Early Childhood. Copies of the report shall be
5provided to parents or guardians upon request.
6    (d) Included with the report referenced in subsection (c)
7shall be the following statement:
8        "Every parent or guardian is notified that this
9    facility has performed radon measurements to ensure the
10    health and safety of the occupants. The Illinois Emergency
11    Management Agency (IEMA) recommends that all residential
12    homes be tested and that corrective actions be taken at
13    levels equal to or greater than 4.0 pCi/L. Radon is a Class
14    A human carcinogen, the leading cause of lung cancer in
15    non-smokers, and the second leading cause of lung cancer
16    overall. For additional information about this facility
17    contact the licensee and for additional information
18    regarding radon contact the IEMA Radon Program at
19    800-325-1245 or on the Internet at
20    www.radon.illinois.gov.".
21(Source: P.A. 103-594, eff. 7-1-26.)
 
22    (225 ILCS 10/5.9)
23    (Text of Section before amendment by P.A. 103-594)
24    Sec. 5.9. Lead testing of water in licensed day care
25centers, day care homes and group day care homes.

 

 

HB5373- 683 -LRB104 20029 AAS 33480 b

1    (a) On or before January 1, 2018, the Department, in
2consultation with the Department of Public Health, shall adopt
3rules that prescribe the procedures and standards to be used
4by the Department in assessing levels of lead in water in
5licensed day care centers, day care homes, and group day care
6homes constructed on or before January 1, 2000 that serve
7children under the age of 6. Such rules shall, at a minimum,
8include provisions regarding testing parameters, the
9notification of sampling results, training requirements for
10lead exposure and mitigation.
11    (b) After adoption of the rules required by subsection
12(a), and as part of an initial application or application for
13renewal of a license for day care centers, day care homes, and
14group day care homes, the Department shall require proof that
15the applicant has complied with all such rules.
16(Source: P.A. 99-922, eff. 1-17-17.)
 
17    (Text of Section after amendment by P.A. 103-594)
18    Sec. 5.9. Lead testing of water in licensed child day care
19centers, child day care homes and group child day care homes.
20    (a) The Department of Early Childhood, in consultation
21with the Department of Public Health, shall adopt rules that
22prescribe the procedures and standards to be used by the
23Department of Early Childhood in assessing levels of lead in
24water in licensed child day care centers, child day care
25homes, and group child day care homes constructed on or before

 

 

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1January 1, 2000 that serve children under the age of 6. Such
2rules shall, at a minimum, include provisions regarding
3testing parameters, the notification of sampling results,
4training requirements for lead exposure and mitigation.
5    (b) After adoption of the rules required by subsection
6(a), and as part of an initial application or application for
7renewal of a license for child day care centers, child day care
8homes, and group child day care homes, the Department shall
9require proof that the applicant has complied with all such
10rules.
11(Source: P.A. 103-594, eff. 7-1-26.)
 
12    (225 ILCS 10/5.10)
13    (Text of Section before amendment by P.A. 103-594)
14    Sec. 5.10. Child care limitation on expulsions. Consistent
15with the purposes of this amendatory Act of the 100th General
16Assembly and the requirements therein under paragraph (7) of
17subsection (a) of Section 2-3.71 of the School Code, the
18Department, in consultation with the Governor's Office of
19Early Childhood Development and the State Board of Education,
20shall adopt rules prohibiting the use of expulsion due to a
21child's persistent and serious challenging behaviors in
22licensed day care centers, day care homes, and group day care
23homes. The rulemaking shall address, at a minimum,
24requirements for licensees to establish intervention and
25transition policies, notify parents of policies, document

 

 

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1intervention steps, and collect and report data on children
2transitioning out of the program.
3(Source: P.A. 100-105, eff. 1-1-18.)
 
4    (Text of Section after amendment by P.A. 103-594)
5    Sec. 5.10. Child care limitation on expulsions. Consistent
6with the purposes of Public Act 100-105 and the requirements
7therein under paragraph (7) of subsection (a) of Section
82-3.71 of the School Code, the Department of Early Childhood,
9in consultation with the State Board of Education, shall adopt
10rules prohibiting the use of expulsion due to a child's
11persistent and serious challenging behaviors in licensed child
12day care centers, child day care homes, and group child day
13care homes. The rulemaking shall address, at a minimum,
14requirements for licensees to establish intervention and
15transition policies, notify parents of policies, document
16intervention steps, and collect and report data on children
17transitioning out of the program.
18(Source: P.A. 103-594, eff. 7-1-26.)
 
19    (225 ILCS 10/5.11)
20    (Text of Section before amendment by P.A. 103-594)
21    Sec. 5.11. Plan for anaphylactic shock. The Department
22shall require each licensed day care center, day care home,
23and group day care home to have a plan for anaphylactic shock
24to be followed for the prevention of anaphylaxis and during a

 

 

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1medical emergency resulting from anaphylaxis. The plan should
2be based on the guidance and recommendations provided by the
3American Academy of Pediatrics relating to the management of
4food allergies or other allergies. The plan should be shared
5with parents or guardians upon enrollment at each licensed day
6care center, day care home, and group day care home. If a child
7requires specific specialized treatment during an episode of
8anaphylaxis, that child's treatment plan should be kept by the
9staff of the day care center, day care home, or group day care
10home and followed in the event of an emergency. Each licensed
11day care center, day care home, and group day care home shall
12have at least one staff member present at all times who has
13taken a training course in recognizing and responding to
14anaphylaxis.
15(Source: P.A. 102-413, eff. 8-20-21.)
 
16    (Text of Section after amendment by P.A. 103-594)
17    Sec. 5.11. Plan for anaphylactic shock. The Department of
18Early Childhood shall require each licensed child day care
19center, child day care home, and group child day care home to
20have a plan for anaphylactic shock to be followed for the
21prevention of anaphylaxis and during a medical emergency
22resulting from anaphylaxis. The plan should be based on the
23guidance and recommendations provided by the American Academy
24of Pediatrics relating to the management of food allergies or
25other allergies. The plan should be shared with parents or

 

 

HB5373- 687 -LRB104 20029 AAS 33480 b

1guardians upon enrollment at each licensed child day care
2center, child day care home, and group child day care home. If
3a child requires specific specialized treatment during an
4episode of anaphylaxis, that child's treatment plan should be
5kept by the staff of the child day care center, child day care
6home, or group child day care home and followed in the event of
7an emergency. Each licensed child day care center, child day
8care home, and group child day care home shall have at least
9one staff member present at all times who has taken a training
10course in recognizing and responding to anaphylaxis.
11(Source: P.A. 102-413, eff. 8-20-21; 103-594, eff. 7-1-26.)
 
12    (225 ILCS 10/5.12)
13    Sec. 5.12. Child Day care centers operating hours. A child
14day care center may operate for 24 hours or longer and may
15provide care for a child for a period of up to 12 hours if the
16parent or guardian of the child is employed in a position that
17requires regularly scheduled shifts and an 8-hour a 10-hour
18period elapses between child day care visits. The Department
19shall adopt rules necessary to implement and administer this
20Section.
21(Source: P.A. 103-952, eff. 1-1-25.)
 
22    (225 ILCS 10/6)  (from Ch. 23, par. 2216)
23    (Text of Section before amendment by P.A. 103-594)
24    Sec. 6. (a) A licensed facility operating as a "child care

 

 

HB5373- 688 -LRB104 20029 AAS 33480 b

1institution", "maternity center", "child welfare agency", "day
2care agency" or "day care center" must apply for renewal of its
3license held, the application to be made to the Department on
4forms prescribed by it.
5    (b) The Department, a duly licensed child welfare agency
6or a suitable agency or person designated by the Department as
7its agent to do so, must re-examine every child care facility
8for renewal of license, including in that process the
9examination of the premises and records of the facility as the
10Department considers necessary to determine that minimum
11standards for licensing continue to be met, and random surveys
12of parents or legal guardians who are consumers of such
13facilities' services to assess the quality of care at such
14facilities. In the case of foster family homes, or day care
15homes under the supervision of or otherwise required to be
16licensed by the Department, or under supervision of a licensed
17child welfare agency or day care agency, the examination shall
18be made by the Department, or agency supervising such homes.
19If the Department is satisfied that the facility continues to
20maintain minimum standards which it prescribes and publishes,
21it shall renew the license to operate the facility.
22    (b-5) In the case of a quality of care concerns applicant
23as defined in Section 2.22a of this Act, in addition to the
24examination required in subsection (b) of this Section, the
25Department shall not renew the license of a quality of care
26concerns applicant unless the Department is satisfied that the

 

 

HB5373- 689 -LRB104 20029 AAS 33480 b

1foster family home does not pose a risk to children and that
2the foster family home will be able to meet the physical and
3emotional needs of children. In making this determination, the
4Department must obtain and carefully review all relevant
5documents and shall obtain consultation from its Clinical
6Division as appropriate and as prescribed by Department rule
7and procedure. The Department has the authority to deny an
8application for renewal based on a record of quality of care
9concerns. In the alternative, the Department may (i) approve
10the application for renewal subject to obtaining additional
11information or assessments, (ii) approve the application for
12renewal for purposes of placing or maintaining only a
13particular child or children only in the foster home, or (iii)
14approve the application for renewal. The Department shall
15notify the quality of care concerns applicant of its decision
16and the basis for its decision in writing.
17    (c) If a child care facility's license, other than a
18license for a foster family home, is revoked, or if the
19Department refuses to renew a facility's license, the facility
20may not reapply for a license before the expiration of 12
21months following the Department's action; provided, however,
22that the denial of a reapplication for a license pursuant to
23this subsection must be supported by evidence that the prior
24revocation renders the applicant unqualified or incapable of
25satisfying the standards and rules promulgated by the
26Department pursuant to this Act or maintaining a facility

 

 

HB5373- 690 -LRB104 20029 AAS 33480 b

1which adheres to such standards and rules.
2    (d) If a foster family home license (i) is revoked, (ii) is
3surrendered for cause, or (iii) expires or is surrendered with
4either certain types of involuntary placement holds in place
5or while a licensing or child abuse or neglect investigation
6is pending, or if the Department refuses to renew a foster home
7license, the foster home may not reapply for a license before
8the expiration of 5 years following the Department's action or
9following the expiration or surrender of the license.
10(Source: P.A. 99-779, eff. 1-1-17.)
 
11    (Text of Section after amendment by P.A. 103-594)
12    Sec. 6. (a) A licensed facility operating as a "child care
13institution", "maternity center", or "child welfare agency",
14must apply for renewal of its license held, the application to
15be made to the Department on forms prescribed by it.
16    (b) The Department, a duly licensed child welfare agency
17or a suitable agency or person designated by the Department as
18its agent to do so, must re-examine every child care facility
19for renewal of license, including in that process the
20examination of the premises and records of the facility as the
21Department considers necessary to determine that minimum
22standards for licensing continue to be met, and random surveys
23of parents or legal guardians who are consumers of such
24facilities' services to assess the quality of care at such
25facilities. In the case of foster family homes, the

 

 

HB5373- 691 -LRB104 20029 AAS 33480 b

1examination shall be made by the Department, or agency
2supervising such homes. If the Department is satisfied that
3the facility continues to maintain minimum standards which it
4prescribes and publishes, it shall renew the license to
5operate the facility.
6    (b-5) In the case of a quality of care concerns applicant
7as defined in Section 2.22a of this Act, in addition to the
8examination required in subsection (b) of this Section, the
9Department shall not renew the license of a quality of care
10concerns applicant unless the Department is satisfied that the
11foster family home does not pose a risk to children and that
12the foster family home will be able to meet the physical and
13emotional needs of children. In making this determination, the
14Department must obtain and carefully review all relevant
15documents and shall obtain consultation from its Clinical
16Division as appropriate and as prescribed by Department rule
17and procedure. The Department has the authority to deny an
18application for renewal based on a record of quality of care
19concerns. In the alternative, the Department may (i) approve
20the application for renewal subject to obtaining additional
21information or assessments, (ii) approve the application for
22renewal for purposes of placing or maintaining only a
23particular child or children only in the foster home, or (iii)
24approve the application for renewal. The Department shall
25notify the quality of care concerns applicant of its decision
26and the basis for its decision in writing.

 

 

HB5373- 692 -LRB104 20029 AAS 33480 b

1    (c) If a child care facility's (other than a child day care
2center, child day care home, or group child day care home)
3license, other than a license for a foster family home, is
4revoked, or if the Department refuses to renew a facility's
5license, the facility may not reapply for a license before the
6expiration of 12 months following the Department's action;
7provided, however, that the denial of a reapplication for a
8license pursuant to this subsection must be supported by
9evidence that the prior revocation renders the applicant
10unqualified or incapable of satisfying the standards and rules
11promulgated by the Department pursuant to this Act or
12maintaining a facility which adheres to such standards and
13rules.
14    (d) If a foster family home license (i) is revoked, (ii) is
15surrendered for cause, or (iii) expires or is surrendered with
16either certain types of involuntary placement holds in place
17or while a licensing or child abuse or neglect investigation
18is pending, or if the Department refuses to renew a foster home
19license, the foster home may not reapply for a license before
20the expiration of 5 years following the Department's action or
21following the expiration or surrender of the license.
22(Source: P.A. 103-594, eff. 7-1-26.)
 
23    (225 ILCS 10/7)  (from Ch. 23, par. 2217)
24    (Text of Section before amendment by P.A. 103-594)
25    Sec. 7. (a) The Department must prescribe and publish

 

 

HB5373- 693 -LRB104 20029 AAS 33480 b

1minimum standards for licensing that apply to the various
2types of facilities for child care defined in this Act and that
3are equally applicable to like institutions under the control
4of the Department and to foster family homes used by and under
5the direct supervision of the Department. The Department shall
6seek the advice and assistance of persons representative of
7the various types of child care facilities in establishing
8such standards. The standards prescribed and published under
9this Act take effect as provided in the Illinois
10Administrative Procedure Act, and are restricted to
11regulations pertaining to the following matters and to any
12rules and regulations required or permitted by any other
13Section of this Act:
14        (1) The operation and conduct of the facility and
15    responsibility it assumes for child care;
16        (2) The character, suitability and qualifications of
17    the applicant and other persons directly responsible for
18    the care and welfare of children served. All child day
19    care center licensees and employees who are required to
20    report child abuse or neglect under the Abused and
21    Neglected Child Reporting Act shall be required to attend
22    training on recognizing child abuse and neglect, as
23    prescribed by Department rules;
24        (3) The general financial ability and competence of
25    the applicant to provide necessary care for children and
26    to maintain prescribed standards;

 

 

HB5373- 694 -LRB104 20029 AAS 33480 b

1        (4) The number of individuals or staff required to
2    insure adequate supervision and care of the children
3    received. The standards shall provide that each child care
4    institution, maternity center, day care center, group
5    home, day care home, and group day care home shall have on
6    its premises during its hours of operation at least one
7    staff member certified in first aid, in the Heimlich
8    maneuver and in cardiopulmonary resuscitation by the
9    American Red Cross or other organization approved by rule
10    of the Department. Child welfare agencies shall not be
11    subject to such a staffing requirement. The Department may
12    offer, or arrange for the offering, on a periodic basis in
13    each community in this State in cooperation with the
14    American Red Cross, the American Heart Association or
15    other appropriate organization, voluntary programs to
16    train operators of foster family homes and day care homes
17    in first aid and cardiopulmonary resuscitation;
18        (5) The appropriateness, safety, cleanliness, and
19    general adequacy of the premises, including maintenance of
20    adequate fire prevention and health standards conforming
21    to State laws and municipal codes to provide for the
22    physical comfort, care, and well-being of children
23    received;
24        (6) Provisions for food, clothing, educational
25    opportunities, program, equipment and individual supplies
26    to assure the healthy physical, mental, and spiritual

 

 

HB5373- 695 -LRB104 20029 AAS 33480 b

1    development of children served;
2        (7) Provisions to safeguard the legal rights of
3    children served;
4        (8) Maintenance of records pertaining to the
5    admission, progress, health, and discharge of children,
6    including, for day care centers and day care homes,
7    records indicating each child has been immunized as
8    required by State regulations. The Department shall
9    require proof that children enrolled in a facility have
10    been immunized against Haemophilus Influenzae B (HIB);
11        (9) Filing of reports with the Department;
12        (10) Discipline of children;
13        (11) Protection and fostering of the particular
14    religious faith of the children served;
15        (12) Provisions prohibiting firearms on day care
16    center premises except in the possession of peace
17    officers;
18        (13) Provisions prohibiting handguns on day care home
19    premises except in the possession of peace officers or
20    other adults who must possess a handgun as a condition of
21    employment and who reside on the premises of a day care
22    home;
23        (14) Provisions requiring that any firearm permitted
24    on day care home premises, except handguns in the
25    possession of peace officers, shall be kept in a
26    disassembled state, without ammunition, in locked storage,

 

 

HB5373- 696 -LRB104 20029 AAS 33480 b

1    inaccessible to children and that ammunition permitted on
2    day care home premises shall be kept in locked storage
3    separate from that of disassembled firearms, inaccessible
4    to children;
5        (15) Provisions requiring notification of parents or
6    guardians enrolling children at a day care home of the
7    presence in the day care home of any firearms and
8    ammunition and of the arrangements for the separate,
9    locked storage of such firearms and ammunition;
10        (16) Provisions requiring all licensed child care
11    facility employees who care for newborns and infants to
12    complete training every 3 years on the nature of sudden
13    unexpected infant death (SUID), sudden infant death
14    syndrome (SIDS), and the safe sleep recommendations of the
15    American Academy of Pediatrics; and
16        (17) With respect to foster family homes, provisions
17    requiring the Department to review quality of care
18    concerns and to consider those concerns in determining
19    whether a foster family home is qualified to care for
20    children.
21    By July 1, 2022, all licensed day care home providers,
22licensed group day care home providers, and licensed day care
23center directors and classroom staff shall participate in at
24least one training that includes the topics of early childhood
25social emotional learning, infant and early childhood mental
26health, early childhood trauma, or adverse childhood

 

 

HB5373- 697 -LRB104 20029 AAS 33480 b

1experiences. Current licensed providers, directors, and
2classroom staff shall complete training by July 1, 2022 and
3shall participate in training that includes the above topics
4at least once every 3 years.
5    (b) If, in a facility for general child care, there are
6children diagnosed as mentally ill or children diagnosed as
7having an intellectual or physical disability, who are
8determined to be in need of special mental treatment or of
9nursing care, or both mental treatment and nursing care, the
10Department shall seek the advice and recommendation of the
11Department of Human Services, the Department of Public Health,
12or both Departments regarding the residential treatment and
13nursing care provided by the institution.
14    (c) The Department shall investigate any person applying
15to be licensed as a foster parent to determine whether there is
16any evidence of current drug or alcohol abuse in the
17prospective foster family. The Department shall not license a
18person as a foster parent if drug or alcohol abuse has been
19identified in the foster family or if a reasonable suspicion
20of such abuse exists, except that the Department may grant a
21foster parent license to an applicant identified with an
22alcohol or drug problem if the applicant has successfully
23participated in an alcohol or drug treatment program,
24self-help group, or other suitable activities and if the
25Department determines that the foster family home can provide
26a safe, appropriate environment and meet the physical and

 

 

HB5373- 698 -LRB104 20029 AAS 33480 b

1emotional needs of children.
2    (d) The Department, in applying standards prescribed and
3published, as herein provided, shall offer consultation
4through employed staff or other qualified persons to assist
5applicants and licensees in meeting and maintaining minimum
6requirements for a license and to help them otherwise to
7achieve programs of excellence related to the care of children
8served. Such consultation shall include providing information
9concerning education and training in early childhood
10development to providers of day care home services. The
11Department may provide or arrange for such education and
12training for those providers who request such assistance.
13    (e) The Department shall distribute copies of licensing
14standards to all licensees and applicants for a license. Each
15licensee or holder of a permit shall distribute copies of the
16appropriate licensing standards and any other information
17required by the Department to child care facilities under its
18supervision. Each licensee or holder of a permit shall
19maintain appropriate documentation of the distribution of the
20standards. Such documentation shall be part of the records of
21the facility and subject to inspection by authorized
22representatives of the Department.
23    (f) The Department shall prepare summaries of day care
24licensing standards. Each licensee or holder of a permit for a
25day care facility shall distribute a copy of the appropriate
26summary and any other information required by the Department,

 

 

HB5373- 699 -LRB104 20029 AAS 33480 b

1to the legal guardian of each child cared for in that facility
2at the time when the child is enrolled or initially placed in
3the facility. The licensee or holder of a permit for a day care
4facility shall secure appropriate documentation of the
5distribution of the summary and brochure. Such documentation
6shall be a part of the records of the facility and subject to
7inspection by an authorized representative of the Department.
8    (g) The Department shall distribute to each licensee and
9holder of a permit copies of the licensing or permit standards
10applicable to such person's facility. Each licensee or holder
11of a permit shall make available by posting at all times in a
12common or otherwise accessible area a complete and current set
13of licensing standards in order that all employees of the
14facility may have unrestricted access to such standards. All
15employees of the facility shall have reviewed the standards
16and any subsequent changes. Each licensee or holder of a
17permit shall maintain appropriate documentation of the current
18review of licensing standards by all employees. Such records
19shall be part of the records of the facility and subject to
20inspection by authorized representatives of the Department.
21    (h) Any standards involving physical examinations,
22immunization, or medical treatment shall include appropriate
23exemptions for children whose parents object thereto on the
24grounds that they conflict with the tenets and practices of a
25recognized church or religious organization, of which the
26parent is an adherent or member, and for children who should

 

 

HB5373- 700 -LRB104 20029 AAS 33480 b

1not be subjected to immunization for clinical reasons.
2    (i) The Department, in cooperation with the Department of
3Public Health, shall work to increase immunization awareness
4and participation among parents of children enrolled in day
5care centers and day care homes by publishing on the
6Department's website information about the benefits of
7immunization against vaccine preventable diseases, including
8influenza and pertussis. The information for vaccine
9preventable diseases shall include the incidence and severity
10of the diseases, the availability of vaccines, and the
11importance of immunizing children and persons who frequently
12have close contact with children. The website content shall be
13reviewed annually in collaboration with the Department of
14Public Health to reflect the most current recommendations of
15the Advisory Committee on Immunization Practices (ACIP). The
16Department shall work with day care centers and day care homes
17licensed under this Act to ensure that the information is
18annually distributed to parents in August or September.
19    (j) Any standard adopted by the Department that requires
20an applicant for a license to operate a day care home to
21include a copy of a high school diploma or equivalent
22certificate with the person's application shall be deemed to
23be satisfied if the applicant includes a copy of a high school
24diploma or equivalent certificate or a copy of a degree from an
25accredited institution of higher education or vocational
26institution or equivalent certificate.

 

 

HB5373- 701 -LRB104 20029 AAS 33480 b

1(Source: P.A. 102-4, eff. 4-27-21; 103-22, eff. 8-8-23.)
 
2    (Text of Section after amendment by P.A. 103-594)
3    Sec. 7. (a) The Department must prescribe and publish
4minimum standards for licensing that apply to the various
5types of facilities for child care defined in this Act (other
6than a child day care center, child day care home, or group
7child day care home) and that are equally applicable to like
8institutions under the control of the Department and to foster
9family homes used by and under the direct supervision of the
10Department. The Department shall seek the advice and
11assistance of persons representative of the various types of
12child care facilities in establishing such standards. The
13standards prescribed and published under this Act take effect
14as provided in the Illinois Administrative Procedure Act, and
15are restricted to regulations pertaining to the following
16matters and to any rules and regulations required or permitted
17by any other Section of this Act:
18        (1) The operation and conduct of the facility and
19    responsibility it assumes for child care;
20        (2) The character, suitability and qualifications of
21    the applicant and other persons directly responsible for
22    the care and welfare of children served.;
23        (3) The general financial ability and competence of
24    the applicant to provide necessary care for children and
25    to maintain prescribed standards;

 

 

HB5373- 702 -LRB104 20029 AAS 33480 b

1        (4) The number of individuals or staff required to
2    insure adequate supervision and care of the children
3    received. The standards shall provide that each child care
4    institution, maternity center, and group home shall have
5    on its premises during its hours of operation at least one
6    staff member certified in first aid, in the Heimlich
7    maneuver and in cardiopulmonary resuscitation by the
8    American Red Cross or other organization approved by rule
9    of the Department. Child welfare agencies shall not be
10    subject to such a staffing requirement. The Department may
11    offer, or arrange for the offering, on a periodic basis in
12    each community in this State in cooperation with the
13    American Red Cross, the American Heart Association or
14    other appropriate organization, voluntary programs to
15    train operators of foster family homes and child day care
16    homes in first aid and cardiopulmonary resuscitation;
17        (5) The appropriateness, safety, cleanliness, and
18    general adequacy of the premises, including maintenance of
19    adequate fire prevention and health standards conforming
20    to State laws and municipal codes to provide for the
21    physical comfort, care, and well-being of children
22    received;
23        (6) Provisions for food, clothing, educational
24    opportunities, program, equipment and individual supplies
25    to assure the healthy physical, mental, and spiritual
26    development of children served;

 

 

HB5373- 703 -LRB104 20029 AAS 33480 b

1        (7) Provisions to safeguard the legal rights of
2    children served;
3        (8) Maintenance of records pertaining to the
4    admission, progress, health, and discharge of children.
5    The Department shall require proof that children enrolled
6    in a facility (other than a child day care center, child
7    day care home, or group child day care home) have been
8    immunized against Haemophilus Influenzae B (HIB);
9        (9) Filing of reports with the Department;
10        (10) Discipline of children;
11        (11) Protection and fostering of the particular
12    religious faith of the children served;
13        (12) (Blank);
14        (13) (Blank);
15        (14) (Blank);
16        (15) (Blank);
17        (16) Provisions requiring all licensed child care
18    facility employees who care for newborns and infants to
19    complete training every 3 years on the nature of sudden
20    unexpected infant death (SUID), sudden infant death
21    syndrome (SIDS), and the safe sleep recommendations of the
22    American Academy of Pediatrics (other than employees of a
23    child day care center, child day care home, or group child
24    day care home); and
25        (17) With respect to foster family homes, provisions
26    requiring the Department to review quality of care

 

 

HB5373- 704 -LRB104 20029 AAS 33480 b

1    concerns and to consider those concerns in determining
2    whether a foster family home is qualified to care for
3    children.
4    (b) If, in a facility for general child care (other than a
5child day care center, child day care home, or group child day
6care home), there are children diagnosed as mentally ill or
7children diagnosed as having an intellectual or physical
8disability, who are determined to be in need of special mental
9treatment or of nursing care, or both mental treatment and
10nursing care, the Department shall seek the advice and
11recommendation of the Department of Human Services, the
12Department of Public Health, or both Departments regarding the
13residential treatment and nursing care provided by the
14institution.
15    (c) The Department shall investigate any person applying
16to be licensed as a foster parent to determine whether there is
17any evidence of current drug or alcohol abuse in the
18prospective foster family. The Department shall not license a
19person as a foster parent if drug or alcohol abuse has been
20identified in the foster family or if a reasonable suspicion
21of such abuse exists, except that the Department may grant a
22foster parent license to an applicant identified with an
23alcohol or drug problem if the applicant has successfully
24participated in an alcohol or drug treatment program,
25self-help group, or other suitable activities and if the
26Department determines that the foster family home can provide

 

 

HB5373- 705 -LRB104 20029 AAS 33480 b

1a safe, appropriate environment and meet the physical and
2emotional needs of children.
3    (d) The Department, in applying standards prescribed and
4published, as herein provided, shall offer consultation
5through employed staff or other qualified persons to assist
6applicants and licensees (other than applicants and licensees
7of a child day care center, child day care home, or group child
8day care home) in meeting and maintaining minimum requirements
9for a license and to help them otherwise to achieve programs of
10excellence related to the care of children served. Such
11consultation shall include providing information concerning
12education and training in early childhood development to
13providers of child day care home services. The Department may
14provide or arrange for such education and training for those
15providers who request such assistance (other than providers at
16a child day care center, child day care home, or group child
17day care home).
18    (e) The Department shall distribute copies of licensing
19standards to all licensees and applicants for a license (other
20than licensees and applicants of a child day care center,
21child day care home, or group child day care home). Each
22licensee or holder of a permit shall distribute copies of the
23appropriate licensing standards and any other information
24required by the Department to child care facilities under its
25supervision. Each licensee or holder of a permit shall
26maintain appropriate documentation of the distribution of the

 

 

HB5373- 706 -LRB104 20029 AAS 33480 b

1standards. Such documentation shall be part of the records of
2the facility and subject to inspection by authorized
3representatives of the Department.
4    (f) (Blank).
5    (g) The Department shall distribute to each licensee and
6holder of a permit copies of the licensing or permit standards
7applicable to such person's child care facility (other than a
8day care center, day care home, or group day care home). Each
9licensee or holder of a permit shall make available by posting
10at all times in a common or otherwise accessible area a
11complete and current set of licensing standards in order that
12all employees of the facility may have unrestricted access to
13such standards. All employees of the child care facility shall
14have reviewed the standards and any subsequent changes. Each
15licensee or holder of a permit shall maintain appropriate
16documentation of the current review of licensing standards by
17all employees. Such records shall be part of the records of the
18child care facility and subject to inspection by authorized
19representatives of the Department.
20    (h) Any standards (other than standards of a child day
21care center, child day care home, or group child day care home)
22involving physical examinations, immunization, or medical
23treatment shall include appropriate exemptions for children
24whose parents object thereto on the grounds that they conflict
25with the tenets and practices of a recognized church or
26religious organization, of which the parent is an adherent or

 

 

HB5373- 707 -LRB104 20029 AAS 33480 b

1member, and for children who should not be subjected to
2immunization for clinical reasons.
3    (i) (Blank).
4    (j) (Blank).
5(Source: P.A. 102-4, eff. 4-27-21; 103-22, eff. 8-8-23;
6103-594, eff. 7-1-26.)
 
7    (225 ILCS 10/7.10)
8    (Text of Section before amendment by P.A. 103-594)
9    Sec. 7.10. Licensing orientation program and progress
10report.
11    (a) For the purposes of this Section, "child day care
12licensing" or "day care licensing" means licensing of day care
13centers, day care homes, and group day care homes.
14    (a-5) In addition to current day care training and subject
15to appropriations, the Department or any State agency that
16assumes day care center licensing responsibilities shall host
17licensing orientation programs to help educate potential day
18care center, day care home, and group day care home providers
19about the child day care licensing process. The programs shall
20be made available in person and virtually. The Department or
21its successor shall offer to host licensing orientation
22programs at least twice annually in each Representative
23District in the State. Additionally, if one or more persons
24request that a program be offered in a language other than
25English, then the Department or its successor must accommodate

 

 

HB5373- 708 -LRB104 20029 AAS 33480 b

1the request.
2    (b) No later than September 30th of each year, the
3Department shall provide the General Assembly with a
4comprehensive report on its progress in meeting performance
5measures and goals related to child day care licensing.
6    (c) The report shall include:
7        (1) details on the funding for child day care
8    licensing, including:
9            (A) the total number of full-time employees
10        working on child day care licensing;
11            (B) the names of all sources of revenue used to
12        support child day care licensing;
13            (C) the amount of expenditures that is claimed
14        against federal funding sources;
15            (D) the identity of federal funding sources; and
16            (E) how funds are appropriated, including
17        appropriations for line staff, support staff,
18        supervisory staff, and training and other expenses and
19        the funding history of such licensing since fiscal
20        year 2010;
21        (2) current staffing qualifications of day care
22    licensing representatives and day care licensing
23    supervisors in comparison with staffing qualifications
24    specified in the job description;
25        (3) data history for fiscal year 2010 to the current
26    fiscal year on day care licensing representative caseloads

 

 

HB5373- 709 -LRB104 20029 AAS 33480 b

1    and staffing levels in all areas of the State;
2        (4) per the DCFS Child Day Care Licensing Advisory
3    Council's work plan, quarterly data on the following
4    measures:
5            (A) the number and percentage of new applications
6        disposed of within 90 days;
7            (B) the percentage of licenses renewed on time;
8            (C) the percentage of day care centers receiving
9        timely annual monitoring visits;
10            (D) the percentage of day care homes receiving
11        timely annual monitoring visits;
12            (E) the percentage of group day care homes
13        receiving timely annual monitoring visits;
14            (F) the percentage of provider requests for
15        supervisory review;
16            (G) the progress on adopting a key indicator
17        system;
18            (H) the percentage of complaints disposed of
19        within 30 days;
20            (I) the average number of days a day care center
21        applicant must wait to attend a licensing orientation;
22            (J) the number of licensing orientation sessions
23        available per region in the past year; and
24            (K) the number of Department trainings related to
25        licensing and child development available to providers
26        in the past year; and

 

 

HB5373- 710 -LRB104 20029 AAS 33480 b

1        (5) efforts to coordinate with the Department of Human
2    Services and the State Board of Education on professional
3    development, credentialing issues, and child developers,
4    including training registry, child developers, and Quality
5    Rating and Improvement Systems (QRIS).
6    (d) The Department shall work with the Governor's
7appointed Early Learning Council on issues related to and
8concerning child day care.
9(Source: P.A. 103-805, eff. 1-1-25; 104-307, eff. 1-1-26;
10104-417, eff. 8-15-25.)
 
11    (Text of Section after amendment by P.A. 103-594)
12    Sec. 7.10. Licensing orientation program and progress
13report.
14    (a) For the purposes of this Section, "child day care
15licensing" or " day care licensing" means licensing of child
16day care centers, child day care homes, and group child day
17care homes.
18    (a-5) In addition to current day care training and subject
19to appropriations, the Department or any State agency that
20assumes day care center licensing responsibilities shall host
21licensing orientation programs to help educate potential day
22care center, day care home, and group day care home providers
23about the child day care licensing process. The programs shall
24be made available in person and virtually. The Department or
25its successor shall offer to host licensing orientation

 

 

HB5373- 711 -LRB104 20029 AAS 33480 b

1programs at least twice annually in each Representative
2District in the State. Additionally, if one or more persons
3request that a program be offered in a language other than
4English, then the Department or its successor must accommodate
5the request.
6    (b) No later than September 30th of each year, the
7Department of Early Childhood shall provide the General
8Assembly with a comprehensive report on its progress in
9meeting performance measures and goals related to child day
10care licensing.
11    (c) The report shall include:
12        (1) details on the funding for child day care
13    licensing, including:
14            (A) the total number of full-time employees
15        working on child day care licensing;
16            (B) the names of all sources of revenue used to
17        support child day care licensing;
18            (C) the amount of expenditures that is claimed
19        against federal funding sources;
20            (D) the identity of federal funding sources; and
21            (E) how funds are appropriated, including
22        appropriations for line staff, support staff,
23        supervisory staff, and training and other expenses and
24        the funding history of such licensing since fiscal
25        year 2010;
26        (2) current staffing qualifications of child day care

 

 

HB5373- 712 -LRB104 20029 AAS 33480 b

1    licensing representatives and child day care licensing
2    supervisors in comparison with staffing qualifications
3    specified in the job description;
4        (3) data history for fiscal year 2010 to the current
5    fiscal year on child day care licensing representative
6    caseloads and staffing levels in all areas of the State;
7        (4) per the DCFS Child Day Care Licensing Advisory
8    Council's work plan, quarterly data on the following
9    measures:
10            (A) the number and percentage of new applications
11        disposed of within 90 days;
12            (B) the percentage of licenses renewed on time;
13            (C) the percentage of child day care centers
14        receiving timely annual monitoring visits;
15            (D) the percentage of child day care homes
16        receiving timely annual monitoring visits;
17            (E) the percentage of group child day care homes
18        receiving timely annual monitoring visits;
19            (F) the percentage of provider requests for
20        supervisory review;
21            (G) the progress on adopting a key indicator
22        system;
23            (H) the percentage of complaints disposed of
24        within 30 days;
25            (I) the average number of days a child day care
26        center applicant must wait to attend a licensing

 

 

HB5373- 713 -LRB104 20029 AAS 33480 b

1        orientation;
2            (J) the number of licensing orientation sessions
3        available per region in the past year; and
4            (K) the number of Department of Early Childhood
5        trainings related to licensing and child development
6        available to providers in the past year; and
7        (5) efforts to coordinate with the Department of Human
8    Services and the State Board of Education on professional
9    development, credentialing issues, and child developers,
10    including training registry, child developers, and Quality
11    Rating and Improvement Systems (QRIS).
12    (d) The Department of Early Childhood shall work with the
13Governor's appointed Early Learning Council on issues related
14to and concerning child day care.
15(Source: P.A. 103-594, eff. 7-1-26; 103-805, eff. 1-1-25;
16104-307, eff. 1-1-26; 104-417, eff. 8-15-25.)
 
17    (225 ILCS 10/8)  (from Ch. 23, par. 2218)
18    (Text of Section before amendment by P.A. 103-594)
19    Sec. 8. The Department may revoke or refuse to renew the
20license of any child care facility or child welfare agency or
21refuse to issue full license to the holder of a permit should
22the licensee or holder of a permit:
23        (1) fail to maintain standards prescribed and
24    published by the Department;
25        (2) violate any of the provisions of the license

 

 

HB5373- 714 -LRB104 20029 AAS 33480 b

1    issued;
2        (3) furnish or make any misleading or any false
3    statement or report to the Department;
4        (4) refuse to submit to the Department any reports or
5    refuse to make available to the Department any records
6    required by the Department in making investigation of the
7    facility for licensing purposes;
8        (5) fail or refuse to submit to an investigation by
9    the Department;
10        (6) fail or refuse to admit authorized representatives
11    of the Department at any reasonable time for the purpose
12    of investigation;
13        (7) fail to provide, maintain, equip and keep in safe
14    and sanitary condition premises established or used for
15    child care as required under standards prescribed by the
16    Department, or as otherwise required by any law,
17    regulation or ordinance applicable to the location of such
18    facility;
19        (8) refuse to display its license or permit;
20        (9) be the subject of an indicated report under
21    Section 3 of the Abused and Neglected Child Reporting Act
22    or fail to discharge or sever affiliation with the child
23    care facility of an employee or volunteer at the facility
24    with direct contact with children who is the subject of an
25    indicated report under Section 3 of that Act;
26        (10) fail to comply with the provisions of Section

 

 

HB5373- 715 -LRB104 20029 AAS 33480 b

1    7.1;
2        (11) fail to exercise reasonable care in the hiring,
3    training and supervision of facility personnel;
4        (12) fail to report suspected abuse or neglect of
5    children within the facility, as required by the Abused
6    and Neglected Child Reporting Act;
7        (12.5) fail to comply with subsection (c-5) of Section
8    7.4;
9        (13) fail to comply with Section 5.1 or 5.2 of this
10    Act; or
11        (14) be identified in an investigation by the
12    Department as a person with a substance use disorder, as
13    defined in the Substance Use Disorder Act, or be a person
14    whom the Department knows has abused alcohol or drugs, and
15    has not successfully participated in treatment, self-help
16    groups or other suitable activities, and the Department
17    determines that because of such abuse the licensee, holder
18    of the permit, or any other person directly responsible
19    for the care and welfare of the children served, does not
20    comply with standards relating to character, suitability
21    or other qualifications established under Section 7 of
22    this Act.
23(Source: P.A. 100-759, eff. 1-1-19.)
 
24    (Text of Section after amendment by P.A. 103-594)
25    Sec. 8. The Department may revoke or refuse to renew the

 

 

HB5373- 716 -LRB104 20029 AAS 33480 b

1license of any child care facility (other than a child day care
2center, child day care home, or group child day care home) or
3child welfare agency or refuse to issue full license to the
4holder of a permit should the licensee or holder of a permit:
5        (1) fail to maintain standards prescribed and
6    published by the Department;
7        (2) violate any of the provisions of the license
8    issued;
9        (3) furnish or make any misleading or any false
10    statement or report to the Department;
11        (4) refuse to submit to the Department any reports or
12    refuse to make available to the Department any records
13    required by the Department in making investigation of the
14    facility for licensing purposes;
15        (5) fail or refuse to submit to an investigation by
16    the Department;
17        (6) fail or refuse to admit authorized representatives
18    of the Department at any reasonable time for the purpose
19    of investigation;
20        (7) fail to provide, maintain, equip and keep in safe
21    and sanitary condition premises established or used for
22    child care as required under standards prescribed by the
23    Department, or as otherwise required by any law,
24    regulation or ordinance applicable to the location of such
25    facility;
26        (8) refuse to display its license or permit;

 

 

HB5373- 717 -LRB104 20029 AAS 33480 b

1        (9) be the subject of an indicated report under
2    Section 3 of the Abused and Neglected Child Reporting Act
3    or fail to discharge or sever affiliation with the child
4    care facility of an employee or volunteer at the facility
5    with direct contact with children who is the subject of an
6    indicated report under Section 3 of that Act;
7        (10) fail to comply with the provisions of Section
8    7.1;
9        (11) fail to exercise reasonable care in the hiring,
10    training and supervision of facility personnel;
11        (12) fail to report suspected abuse or neglect of
12    children within the facility, as required by the Abused
13    and Neglected Child Reporting Act;
14        (12.5) fail to comply with subsection (c-5) of Section
15    7.4;
16        (13) fail to comply with Section 5.1 or 5.2 of this
17    Act; or
18        (14) be identified in an investigation by the
19    Department as a person with a substance use disorder, as
20    defined in the Substance Use Disorder Act, or be a person
21    whom the Department knows has abused alcohol or drugs, and
22    has not successfully participated in treatment, self-help
23    groups or other suitable activities, and the Department
24    determines that because of such abuse the licensee, holder
25    of the permit, or any other person directly responsible
26    for the care and welfare of the children served, does not

 

 

HB5373- 718 -LRB104 20029 AAS 33480 b

1    comply with standards relating to character, suitability
2    or other qualifications established under Section 7 of
3    this Act.
4(Source: P.A. 103-594, eff. 7-1-26.)
 
5    (225 ILCS 10/8.1)  (from Ch. 23, par. 2218.1)
6    (Text of Section before amendment by P.A. 103-594)
7    Sec. 8.1. The Department shall revoke or refuse to renew
8the license of any child care facility or refuse to issue a
9full license to the holder of a permit should the licensee or
10holder of a permit:
11        (1) fail to correct any condition which jeopardizes
12    the health, safety, morals, or welfare of children served
13    by the facility;
14        (2) fail to correct any condition or occurrence
15    relating to the operation or maintenance of the facility
16    comprising a violation under Section 8 of this Act; or
17        (3) fail to maintain financial resources adequate for
18    the satisfactory care of children served in regard to
19    upkeep of premises, and provisions for personal care,
20    medical services, clothing, education and other essentials
21    in the proper care, rearing and training of children.
22(Source: P.A. 83-1362.)
 
23    (Text of Section after amendment by P.A. 103-594)
24    Sec. 8.1. The Department shall revoke or refuse to renew

 

 

HB5373- 719 -LRB104 20029 AAS 33480 b

1the license of any child care center, child care home, or group
2child care home facility (other than a day care center, day
3care home, or group day care home) or refuse to issue a full
4license to the holder of a permit should the licensee or holder
5of a permit:
6        (1) fail to correct any condition which jeopardizes
7    the health, safety, morals, or welfare of children served
8    by the child care provider facility;
9        (2) fail to correct any condition or occurrence
10    relating to the operation or maintenance of the facility
11    comprising a violation under Section 8 of this Act; or
12        (3) fail to maintain financial resources adequate for
13    the satisfactory care of children served in regard to
14    upkeep of premises, and provisions for personal care,
15    medical services, clothing, education and other essentials
16    in the proper care, rearing and training of children.
17(Source: P.A. 103-594, eff. 7-1-26.)
 
18    (225 ILCS 10/8.2)  (from Ch. 23, par. 2218.2)
19    (Text of Section before amendment by P.A. 103-594)
20    Sec. 8.2. The Department may issue a conditional license
21to any child care facility which currently is licensed under
22this Act. The conditional license shall be a nonrenewable
23license for a period of 6 months and the Department shall
24revoke any other license held by the conditionally licensed
25facility. Conditional licenses shall only be granted to

 

 

HB5373- 720 -LRB104 20029 AAS 33480 b

1facilities where no threat to the health, safety, morals or
2welfare of the children served exists. A complete listing of
3deficiencies and a corrective plan approved by the Department
4shall be in existence at the time a conditional license is
5issued. Failure by the facility to correct the deficiencies or
6meet all licensing standards at the end of the conditional
7license period shall result in immediate revocation of or
8refusal to renew the facility's license as provided in Section
98.1 of this Act.
10(Source: P.A. 85-216.)
 
11    (Text of Section after amendment by P.A. 103-594)
12    Sec. 8.2. The Department may issue a conditional license
13to any child care facility (other than a child day care center,
14child day care home, or group child day care home) which
15currently is licensed under this Act. The conditional license
16shall be a nonrenewable license for a period of 6 months and
17the Department shall revoke any other license held by the
18conditionally licensed child care facility. Conditional
19licenses shall only be granted to child cares facilities where
20no threat to the health, safety, morals or welfare of the
21children served exists. A complete listing of deficiencies and
22a corrective plan approved by the Department shall be in
23existence at the time a conditional license is issued. Failure
24by the facility to correct the deficiencies or meet all
25licensing standards at the end of the conditional license

 

 

HB5373- 721 -LRB104 20029 AAS 33480 b

1period shall result in immediate revocation of or refusal to
2renew the facility's license as provided in Section 8.1 of
3this Act.
4(Source: P.A. 103-594, eff. 7-1-26.)
 
5    (225 ILCS 10/8.5)
6    (Text of Section before amendment by P.A. 103-594)
7    Sec. 8.5. Reporting suspected abuse or neglect. The
8Department shall address through rules and procedures the
9failure of individual staff at child care facilities or child
10welfare agencies to report suspected abuse or neglect of
11children within the child care facility as required by the
12Abused and Neglected Child Reporting Act.
13    The rules and procedures shall include provisions for when
14the Department learns of the child care facility's staff's
15failure to report suspected abuse or neglect of children and
16the actions the Department will take to (i) ensure that the
17child care facility takes immediate action with the individual
18staff involved and (ii) investigate whether the failure to
19report suspected abuse and neglect was a single incident or
20part of a larger incident involving additional staff members
21who failed to report, or whether the failure to report
22suspected abuse and neglect is a system-wide problem within
23the child care facility or child welfare agency. The rules and
24procedures shall also include the use of corrective action
25plans and the use of supervisory teams to review staff and

 

 

HB5373- 722 -LRB104 20029 AAS 33480 b

1facility understanding of their reporting requirements.
2    The Department shall adopt rules by July 1, 2016.
3(Source: P.A. 99-350, eff. 1-1-16.)
 
4    (Text of Section after amendment by P.A. 103-594)
5    Sec. 8.5. Reporting suspected abuse or neglect; Department
6of Children and Family Services. The Department shall address
7through rules and procedures the failure of individual staff
8at child care facilities (other than a child day care center,
9child day care home, or group child day care home) or child
10welfare agencies to report suspected abuse or neglect of
11children within the child care facility as required by the
12Abused and Neglected Child Reporting Act.
13    The rules and procedures shall include provisions for when
14the Department learns of the child care facility's staff's
15failure to report suspected abuse or neglect of children and
16the actions the Department will take to (i) ensure that the
17child care facility takes immediate action with the individual
18staff involved and (ii) investigate whether the failure to
19report suspected abuse and neglect was a single incident or
20part of a larger incident involving additional staff members
21who failed to report, or whether the failure to report
22suspected abuse and neglect is a system-wide problem within
23the child care facility or child welfare agency. The rules and
24procedures shall also include the use of corrective action
25plans and the use of supervisory teams to review staff and

 

 

HB5373- 723 -LRB104 20029 AAS 33480 b

1facility understanding of their reporting requirements.
2    The Department shall adopt rules by July 1, 2016.
3(Source: P.A. 103-594, eff. 7-1-26.)
 
4    (225 ILCS 10/8a)
5    (This Section may contain text from a Public Act with a
6delayed effective date)
7    Sec. 8a. Grounds for revocation or refusal to renew
8license; Department of Early Childhood. The Department of
9Early Childhood may revoke or refuse to renew the license of
10any child day care center, child day care home, or group child
11day care home or refuse to issue full license to the holder of
12a permit should the licensee or holder of a permit:
13        (1) fail to maintain standards prescribed and
14    published by the Department of Early Childhood;
15        (2) violate any of the provisions of the license
16    issued;
17        (3) furnish or make any misleading or any false
18    statement or report to the Department of Early Childhood;
19        (4) refuse to submit Department of Early Childhood any
20    reports or refuse to make available Department of Early
21    Childhood any records required by the Department of Early
22    Childhood in making investigation of the facility for
23    licensing purposes;
24        (5) fail or refuse to submit to an investigation by
25    the Department of Early Childhood;

 

 

HB5373- 724 -LRB104 20029 AAS 33480 b

1        (6) fail or refuse to admit authorized representatives
2    of the Department of Early Childhood at any reasonable
3    time for the purpose of investigation;
4        (7) fail to provide, maintain, equip and keep in safe
5    and sanitary condition premises established or used for
6    child care as required under standards prescribed by the
7    Department of Early Childhood or as otherwise required by
8    any law, regulation or ordinance applicable to the
9    location of such facility;
10        (8) refuse to display its license or permit;
11        (9) be the subject of an indicated report under
12    Section 3 of the Abused and Neglected Child Reporting Act
13    or fail to discharge or sever affiliation with the child
14    day care center, child day care home, or group child day
15    care home of an employee or volunteer at the child day care
16    center, child day care home, or group child day care home
17    with direct contact with children who is the subject of an
18    indicated report under Section 3 of that Act;
19        (10) fail to comply with the provisions of Section
20    7.1;
21        (11) fail to exercise reasonable care in the hiring,
22    training and supervision of facility personnel;
23        (12) fail to report suspected abuse or neglect of
24    children within the facility, as required by the Abused
25    and Neglected Child Reporting Act;
26        (12.5) fail to comply with subsection (c-5) of Section

 

 

HB5373- 725 -LRB104 20029 AAS 33480 b

1    7.4;
2        (13) fail to comply with Section 5.1 or 5.2 of this
3    Act; or
4        (14) be identified in an investigation by the
5    Department of Early Childhood as a person with a substance
6    use disorder, as defined in the Substance Use Disorder
7    Act, or be a person whom the Department of Early Childhood
8    knows has abused alcohol or drugs, and has not
9    successfully participated in treatment, self-help groups
10    or other suitable activities, and the Department of Early
11    Childhood determines that because of such abuse the
12    licensee, holder of the permit, or any other person
13    directly responsible for the care and welfare of the
14    children served, does not comply with standards relating
15    to character, suitability or other qualifications
16    established under Section 7.01 of this Act.
17(Source: P.A. 103-594, eff. 7-1-26.)
 
18    (225 ILCS 10/8.1a)
19    (This Section may contain text from a Public Act with a
20delayed effective date)
21    Sec. 8.1a. Other grounds for revocation or refusal to
22renew license; Department of Early Childhood. The Department
23of Early Childhood shall revoke or refuse to renew the license
24of any child day care center, child day care home, or group
25child day care home or refuse to issue a full license to the

 

 

HB5373- 726 -LRB104 20029 AAS 33480 b

1holder of a permit should the licensee or holder of a permit:
2        (1) fail to correct any condition which jeopardizes
3    the health, safety, morals, or welfare of children served
4    by the facility;
5        (2) fail to correct any condition or occurrence
6    relating to the operation or maintenance of the facility
7    comprising a violation under Section 8a of this Act; or
8        (3) fail to maintain financial resources adequate for
9    the satisfactory care of children served in regard to
10    upkeep of premises, and provisions for personal care,
11    medical services, clothing, education and other essentials
12    in the proper care, rearing and training of children.
13(Source: P.A. 103-594, eff. 7-1-26.)
 
14    (225 ILCS 10/8.2a)
15    (This Section may contain text from a Public Act with a
16delayed effective date)
17    Sec. 8.2a. Conditional license; Department of Early
18Childhood. The Department of Early Childhood may issue a
19conditional license to any child day care center, child day
20care home, or group child day care home which currently is
21licensed under this Act. The conditional license shall be a
22nonrenewable license for a period of 6 months and the
23Department of Early Childhood shall revoke any other license
24held by the conditionally licensed facility. Conditional
25licenses shall only be granted to facilities where no threat

 

 

HB5373- 727 -LRB104 20029 AAS 33480 b

1to the health, safety, morals or welfare of the children
2served exists. A complete listing of deficiencies and a
3corrective plan approved by the Department of Early Childhood
4shall be in existence at the time a conditional license is
5issued. Failure by the facility to correct the deficiencies or
6meet all licensing standards at the end of the conditional
7license period shall result in immediate revocation of or
8refusal to renew the facility's license as provided in Section
98.1a of this Act.
10(Source: P.A. 103-594, eff. 7-1-26.)
 
11    (225 ILCS 10/8.6)
12    (This Section may contain text from a Public Act with a
13delayed effective date)
14    Sec. 8.6. Reporting suspected abuse or neglect; Department
15of Early Childhood. The Department of Early Childhood shall
16address through rules and procedures the failure of individual
17staff at child day care centers, child day care homes, and
18group child day care homes to report suspected abuse or
19neglect of children within the child care facility as required
20by the Abused and Neglected Child Reporting Act.
21    The rules and procedures shall include provisions for when
22the Department of Early Childhood learns of the child care's
23care facility's staff's failure to report suspected abuse or
24neglect of children and the actions the Department of Early
25Childhood will take to (i) ensure that the child care facility

 

 

HB5373- 728 -LRB104 20029 AAS 33480 b

1takes immediate action with the individual staff involved and
2(ii) investigate whether the failure to report suspected abuse
3and neglect was a single incident or part of a larger incident
4involving additional staff members who failed to report, or
5whether the failure to report suspected abuse and neglect is a
6system-wide problem within the child care facility. The rules
7and procedures shall also include the use of corrective action
8plans and the use of supervisory teams to review staff and
9child care facility understanding of their reporting
10requirements.
11    The Department of Early Childhood shall adopt rules to
12administer this Section.
13(Source: P.A. 103-594, eff. 7-1-26.)
 
14    (225 ILCS 10/9)  (from Ch. 23, par. 2219)
15    (Text of Section before amendment by P.A. 103-594)
16    Sec. 9. Prior to revocation or refusal to renew a license,
17the Department shall notify the licensee by registered mail
18with postage prepaid, at the address specified on the license,
19or at the address of the ranking or presiding officer of a
20board of directors, or any equivalent body conducting a child
21care facility, of the contemplated action and that the
22licensee may, within 10 days of such notification, dating from
23the postmark of the registered mail, request in writing a
24public hearing before the Department, and, at the same time,
25may request a written statement of charges from the

 

 

HB5373- 729 -LRB104 20029 AAS 33480 b

1Department.
2    (a) Upon written request by the licensee, the Department
3shall furnish such written statement of charges, and, at the
4same time, shall set the date and place for the hearing. The
5charges and notice of the hearing shall be delivered by
6registered mail with postage prepaid, and the hearing must be
7held within 30 days, dating from the date of the postmark of
8the registered mail, except that notification must be made at
9least 15 days in advance of the date set for the hearing.
10    (b) If no request for a hearing is made within 10 days
11after notification, or if the Department determines, upon
12holding a hearing, that the license should be revoked or
13renewal denied, then the license shall be revoked or renewal
14denied.
15    (c) Upon the hearing of proceedings in which the license
16is revoked, renewal of license is refused or full license is
17denied, the Director of the Department, or any officer or
18employee duly authorized by the Director in writing, may
19administer oaths and the Department may procure, by its
20subpoena, the attendance of witnesses and the production of
21relevant books and papers.
22    (d) At the time and place designated, the Director of the
23Department or the officer or employee authorized by the
24Director in writing, shall hear the charges, and both the
25Department and the licensee shall be allowed to present in
26person or by counsel such statements, testimony and evidence

 

 

HB5373- 730 -LRB104 20029 AAS 33480 b

1as may be pertinent to the charges or to the defense thereto.
2The hearing officer may continue such hearing from time to
3time, but not to exceed a single period of 30 days, unless
4special extenuating circumstances make further continuance
5feasible.
6(Source: P.A. 103-22, eff. 8-8-23.)
 
7    (Text of Section after amendment by P.A. 103-594)
8    Sec. 9. Prior to revocation or refusal to renew a license
9(other than a license of a child day care center, child day
10care home, or group child day care home), the Department shall
11notify the licensee by registered mail with postage prepaid,
12at the address specified on the license, or at the address of
13the ranking or presiding officer of a board of directors, or
14any equivalent body conducting a child care facility, of the
15contemplated action and that the licensee may, within 10 days
16of such notification, dating from the postmark of the
17registered mail, request in writing a public hearing before
18the Department, and, at the same time, may request a written
19statement of charges from the Department.
20    (a) Upon written request by the licensee, the Department
21shall furnish such written statement of charges, and, at the
22same time, shall set the date and place for the hearing. The
23charges and notice of the hearing shall be delivered by
24registered mail with postage prepaid, and the hearing must be
25held within 30 days, dating from the date of the postmark of

 

 

HB5373- 731 -LRB104 20029 AAS 33480 b

1the registered mail, except that notification must be made at
2least 15 days in advance of the date set for the hearing.
3    (b) If no request for a hearing is made within 10 days
4after notification, or if the Department determines, upon
5holding a hearing, that the license should be revoked or
6renewal denied, then the license shall be revoked or renewal
7denied.
8    (c) Upon the hearing of proceedings in which the license
9is revoked, renewal of license is refused or full license is
10denied, the Director of the Department, or any officer or
11employee duly authorized by the Director in writing, may
12administer oaths and the Department may procure, by its
13subpoena, the attendance of witnesses and the production of
14relevant books and papers.
15    (d) At the time and place designated, the Director of the
16Department or the officer or employee authorized by the
17Director in writing, shall hear the charges, and both the
18Department and the licensee shall be allowed to present in
19person or by counsel such statements, testimony and evidence
20as may be pertinent to the charges or to the defense thereto.
21The hearing officer may continue such hearing from time to
22time, but not to exceed a single period of 30 days, unless
23special extenuating circumstances make further continuance
24feasible.
25(Source: P.A. 103-22, eff. 8-8-23; 103-594, eff. 7-1-26.)
 

 

 

HB5373- 732 -LRB104 20029 AAS 33480 b

1    (225 ILCS 10/9.01)
2    (This Section may contain text from a Public Act with a
3delayed effective date)
4    Sec. 9.01. Revocation or refusal to renew a license;
5Department of Early Childhood. Prior to revocation or refusal
6to renew a license of a child day care center, child day care
7home, or group child day care home, the Department of Early
8Childhood shall notify the licensee by registered mail with
9postage prepaid, at the address specified on the license, or
10at the address of the ranking or presiding officer of a board
11of directors, or any equivalent body conducting a child day
12care center, day care home, or group child day care home, of
13the contemplated action and that the licensee may, within 10
14days of such notification, dating from the postmark of the
15registered mail, request in writing a public hearing before
16the Department of Early Childhood, and, at the same time, may
17request a written statement of charges from the Department of
18Early Childhood.
19    (a) Upon written request by the licensee, the Department
20of Early Childhood shall furnish such written statement of
21charges, and, at the same time, shall set the date and place
22for the hearing. The charges and notice of the hearing shall be
23delivered by registered mail with postage prepaid, and the
24hearing must be held within 30 days, dating from the date of
25the postmark of the registered mail, except that notification
26must be made at least 15 days in advance of the date set for

 

 

HB5373- 733 -LRB104 20029 AAS 33480 b

1the hearing.
2    (b) If no request for a hearing is made within 10 days
3after notification, or if the Department of Early Childhood
4determines, upon holding a hearing, that the license should be
5revoked or renewal denied, then the license shall be revoked
6or renewal denied.
7    (c) Upon the hearing of proceedings in which the license
8is revoked, renewal of license is refused, or full license is
9denied, the Secretary of Early Childhood, or any officer or
10employee duly authorized by the Secretary in writing, may
11administer oaths and the Department of Early Childhood may
12procure, by its subpoena, the attendance of witnesses and the
13production of relevant books and papers.
14    (d) At the time and place designated, the Secretary of
15Early Childhood or the officer or employee authorized by the
16Secretary in writing shall hear the charges, and both the
17Department of Early Childhood and the licensee shall be
18allowed to present in person or by counsel such statements,
19testimony, and evidence as may be pertinent to the charges or
20to the defense thereto. The hearing officer may continue such
21hearing from time to time, but not to exceed a single period of
2230 days, unless special extenuating circumstances make further
23continuance feasible.
24(Source: P.A. 103-594, eff. 7-1-26.)
 
25    (225 ILCS 10/9.1c)

 

 

HB5373- 734 -LRB104 20029 AAS 33480 b

1    (Text of Section before amendment by P.A. 103-594)
2    Sec. 9.1c. Public database of child day care homes, group
3child day care homes, and child day care centers; license
4status. No later than July 1, 2018, the Department shall
5establish and maintain on its official website a searchable
6database, freely accessible to the public, that provides the
7following information on each child day care home, group child
8day care home, and child day care center licensed by the
9Department: whether, within the past 5 years, the day care
10home, group day care home, or day care center has had its
11license revoked by or surrendered to the Department during a
12child abuse or neglect investigation or its application for a
13renewal of its license was denied by the Department, and, if
14so, the dates upon which the license was revoked by or
15surrendered to the Department or the application for a renewal
16of the license was denied by the Department. The Department
17may adopt any rules necessary to implement this Section.
18Nothing in this Section shall be construed to allow or
19authorize the Department to release or disclose any
20information that is prohibited from public disclosure under
21this Act or under any other State or federal law.
22(Source: P.A. 100-52, eff. 1-1-18.)
 
23    (Text of Section after amendment by P.A. 103-594)
24    Sec. 9.1c. Public database of child day care homes, group
25child day care homes, and child day care centers; license

 

 

HB5373- 735 -LRB104 20029 AAS 33480 b

1status. The Department of Early Childhood shall establish and
2maintain on its official website a searchable database, freely
3accessible to the public, that provides the following
4information on each child day care home, group child day care
5home, and child day care center licensed by the Department of
6Early Childhood: whether, within the past 5 years, the child
7day care home, group child day care home, or child day care
8center has had its license revoked by or surrendered to the
9Department of Children and Family Services or the Department
10of Early Childhood during a child abuse or neglect
11investigation or its application for a renewal of its license
12was denied by the Department of Children and Family Services
13or the Department of Early Childhood, and, if so, the dates
14upon which the license was revoked by or surrendered to the
15Department of Children and Family Services or the Department
16of Early Childhood or the application for a renewal of the
17license was denied by the Department of Children and Family
18Services or the Department of Early Childhood. The Department
19of Early Childhood may adopt any rules necessary to implement
20this Section. Nothing in this Section shall be construed to
21allow or authorize the Department of Early Childhood to
22release or disclose any information that is prohibited from
23public disclosure under this Act or under any other State or
24federal law.
25(Source: P.A. 103-594, eff. 7-1-26.)
 

 

 

HB5373- 736 -LRB104 20029 AAS 33480 b

1    (225 ILCS 10/9.2)
2    (Text of Section before amendment by P.A. 103-594)
3    Sec. 9.2. Toll free number; day care information. The
4Department of Children and Family Services shall establish and
5maintain a statewide toll-free telephone number that all
6persons may use to inquire about the past history and record of
7a day care facility operating in this State. The past history
8and record shall include, but shall not be limited to,
9Department substantiated complaints against a day care
10facility and Department staff findings of license violations
11by a day care facility. Information disclosed in accordance
12with this Section shall be subject to the confidentiality
13requirements provided in this Act.
14(Source: P.A. 90-671, eff. 1-1-99.)
 
15    (Text of Section after amendment by P.A. 103-594)
16    Sec. 9.2. Toll free number; child day care information.
17The Department of Children and Family Services and the
18Department of Early Childhood shall establish and maintain
19statewide toll-free telephone numbers that all persons may use
20to inquire about the past history and record of a child day
21care facility operating in this State under the jurisdiction
22of each of the Departments. The past history and record shall
23include, but shall not be limited to, Department substantiated
24complaints by each Department against a child day care
25facility and staff findings by each Department of license

 

 

HB5373- 737 -LRB104 20029 AAS 33480 b

1violations by a child day care facility. Information disclosed
2in accordance with this Section shall be subject to the
3confidentiality requirements provided in this Act.
4(Source: P.A. 103-594, eff. 7-1-26.)
 
5    (225 ILCS 10/10)  (from Ch. 23, par. 2220)
6    (Text of Section before amendment by P.A. 103-594)
7    Sec. 10. Any circuit court, upon application either of the
8person requesting a hearing or of the Department, may require
9the attendance of witnesses and the production of relevant
10books and papers before the Department in any hearing relating
11to the refusal or revocation of licenses. The refusal or
12neglect to obey the order of the court compelling the
13attendance or production, is punishable as in other cases of
14contempt.
15(Source: P.A. 83-334.)
 
16    (Text of Section after amendment by P.A. 103-594)
17    Sec. 10. Any circuit court, upon application either of the
18person requesting a hearing or of the Department of Children
19and Family Services or the Department of Early Childhood, may
20require the attendance of witnesses and the production of
21relevant books and papers before the Department of Children
22and Family Services or the Department of Early Childhood in
23any hearing relating to the refusal to renew or the revocation
24of licenses. The refusal or neglect to obey the order of the

 

 

HB5373- 738 -LRB104 20029 AAS 33480 b

1court compelling the attendance or production, is punishable
2as in other cases of contempt.
3(Source: P.A. 103-594, eff. 7-1-26.)
 
4    (225 ILCS 10/11.2)  (from Ch. 23, par. 2221.2)
5    (Text of Section before amendment by P.A. 103-594)
6    Sec. 11.2. Whenever the Department expressly finds that
7the continued operation of a child care facility, including
8such facilities defined in Section 2.10 and unlicensed
9facilities, jeopardizes the health, safety, morals, or welfare
10of children served by the facility, the Department shall issue
11an order of closure directing that the operation of the
12facility terminate immediately, and, if applicable, shall
13initiate revocation proceedings under Section 9 within ten
14working days. A facility closed under this Section may not
15operate during the pendency of any proceeding for the judicial
16review of the decision of the Department to issue an order of
17closure or to revoke or refuse to renew the license, except
18under court order.
19(Source: P.A. 85-216.)
 
20    (Text of Section after amendment by P.A. 103-594)
21    Sec. 11.2. Whenever the Department expressly finds that
22the continued operation of a child care facility, including
23such facilities defined in Section 2.10 and unlicensed
24facilities, jeopardizes the health, safety, morals, or welfare

 

 

HB5373- 739 -LRB104 20029 AAS 33480 b

1of children served by the facility, the Department shall issue
2an order of closure directing that the operation of the
3facility terminate immediately, and, if applicable, shall
4initiate revocation proceedings under Section 9 within ten
5working days. A facility closed under this Section may not
6operate during the pendency of any proceeding for the judicial
7review of the decision of the Department to issue an order of
8closure or to revoke or refuse to renew the license, except
9under court order.
10    This Section does not apply to unlicensed facilities that
11qualify for an exemption under Section 2.10, child day care
12centers, child day care homes, and group child day care homes.
13(Source: P.A. 103-594, eff. 7-1-26.)
 
14    (225 ILCS 10/11.3)
15    (This Section may contain text from a Public Act with a
16delayed effective date)
17    Sec. 11.3. Order of closure; Department of Early
18Childhood. Whenever the Department of Early Childhood
19expressly finds that the continued operation of a child day
20care center, child day care home, or group child day care home,
21including a facility defined in Section 2.10 and an unlicensed
22facility, jeopardizes the health, safety, morals, or welfare
23of children served by the facility, the Department of Early
24Childhood shall issue an order of closure directing that the
25operation of the facility terminate immediately, and, if

 

 

HB5373- 740 -LRB104 20029 AAS 33480 b

1applicable, shall initiate revocation proceedings under
2Section 9.01 within 10 working days. A facility closed under
3this Section may not operate during the pendency of any
4proceeding for the judicial review of the decision of the
5Department of Early Childhood to issue an order of closure or
6to revoke or refuse to renew the license, except under court
7order.
8(Source: P.A. 103-594, eff. 7-1-26.)
 
9    (225 ILCS 10/12)  (from Ch. 23, par. 2222)
10    (Text of Section before amendment by P.A. 103-594)
11    Sec. 12. Advertisements.
12    (a) In this Section, "advertise" means communication by
13any public medium originating or distributed in this State,
14including, but not limited to, newspapers, periodicals,
15telephone book listings, outdoor advertising signs, radio, or
16television.
17    (b) A child care facility or child welfare agency licensed
18or operating under a permit issued by the Department may
19publish advertisements for the services that the facility is
20specifically licensed or issued a permit under this Act to
21provide. A person, group of persons, agency, association,
22organization, corporation, institution, center, or group who
23advertises or causes to be published any advertisement
24offering, soliciting, or promising to perform adoption
25services as defined in Section 2.24 of this Act is guilty of a

 

 

HB5373- 741 -LRB104 20029 AAS 33480 b

1Class A misdemeanor and shall be subject to a fine not to
2exceed $10,000 or 9 months imprisonment for each
3advertisement, unless that person, group of persons, agency,
4association, organization, corporation, institution, center,
5or group is (i) licensed or operating under a permit issued by
6the Department as a child care facility or child welfare
7agency, (ii) a birth parent or a prospective adoptive parent
8acting on the birth parent's or prospective adoptive parent's
9own behalf, or (iii) a licensed attorney advertising the
10licensed attorney's availability to provide legal services
11relating to adoption, as permitted by law.
12    (c) Every advertisement published after the effective date
13of this amendatory Act of the 94th General Assembly shall
14include the Department-issued license number of the facility
15or agency.
16    (d) Any licensed child welfare agency providing adoption
17services that, after the effective date of this amendatory Act
18of the 94th General Assembly, causes to be published an
19advertisement containing reckless or intentional
20misrepresentations concerning adoption services or
21circumstances material to the placement of a child for
22adoption is guilty of a Class A misdemeanor and is subject to a
23fine not to exceed $10,000 or 9 months imprisonment for each
24advertisement.
25    (e) An out-of-state agency that is not licensed in
26Illinois and that has a written interagency agreement with one

 

 

HB5373- 742 -LRB104 20029 AAS 33480 b

1or more Illinois licensed child welfare agencies may advertise
2under this Section, provided that (i) the out-of-state agency
3must be officially recognized by the United States Internal
4Revenue Service as a tax-exempt organization under 501(c)(3)
5of the Internal Revenue Code of 1986 (or any successor
6provision of federal tax law), (ii) the out-of-state agency
7provides only international adoption services and is covered
8by the Intercountry Adoption Act of 2000, (iii) the
9out-of-state agency displays, in the advertisement, the
10license number of at least one of the Illinois licensed child
11welfare agencies with which it has a written agreement, and
12(iv) the advertisements pertain only to international adoption
13services. Subsection (d) of this Section shall apply to any
14out-of-state agencies described in this subsection (e).
15    (f) An advertiser, publisher, or broadcaster, including,
16but not limited to, newspapers, periodicals, telephone book
17publishers, outdoor advertising signs, radio stations, or
18television stations, who knowingly or recklessly advertises or
19publishes any advertisement offering, soliciting, or promising
20to perform adoption services, as defined in Section 2.24 of
21this Act, on behalf of a person, group of persons, agency,
22association, organization, corporation, institution, center,
23or group, not authorized to advertise under subsection (b) or
24subsection (e) of this Section, is guilty of a Class A
25misdemeanor and is subject to a fine not to exceed $10,000 or 9
26months imprisonment for each advertisement.

 

 

HB5373- 743 -LRB104 20029 AAS 33480 b

1    (g) The Department shall maintain a website listing child
2welfare agencies licensed by the Department that provide
3adoption services and other general information for birth
4parents and adoptive parents. The website shall include, but
5not be limited to, agency addresses, phone numbers, e-mail
6addresses, website addresses, annual reports as referenced in
7Section 7.6 of this Act, agency license numbers, the Birth
8Parent Bill of Rights, the Adoptive Parents Bill of Rights,
9and the Department's complaint registry established under
10Section 9.1a of this Act. The Department shall adopt any rules
11necessary to implement this Section.
12    (h) Nothing in this Act shall prohibit a day care agency,
13day care center, day care home, or group day care home that
14does not provide or perform adoption services, as defined in
15Section 2.24 of this Act, from advertising or marketing the
16day care agency, day care center, day care home, or group day
17care home.
18(Source: P.A. 103-22, eff. 8-8-23.)
 
19    (Text of Section after amendment by P.A. 103-594)
20    Sec. 12. Advertisements; Department of Children and Family
21Services.
22    (a) In this Section, "advertise" means communication by
23any public medium originating or distributed in this State,
24including, but not limited to, newspapers, periodicals,
25telephone book listings, outdoor advertising signs, radio, or

 

 

HB5373- 744 -LRB104 20029 AAS 33480 b

1television.
2    (b) With the exception of child day care centers, child
3day care homes, and group child day care homes, a child care
4facility or child welfare agency licensed or operating under a
5permit issued by the Department may publish advertisements for
6the services that the facility is specifically licensed or
7issued a permit under this Act to provide. A person, group of
8persons, agency, association, organization, corporation,
9institution, center, or group who advertises or causes to be
10published any advertisement offering, soliciting, or promising
11to perform adoption services as defined in Section 2.24 of
12this Act is guilty of a Class A misdemeanor and shall be
13subject to a fine not to exceed $10,000 or 9 months
14imprisonment for each advertisement, unless that person, group
15of persons, agency, association, organization, corporation,
16institution, center, or group is (i) licensed or operating
17under a permit issued by the Department as a child care
18facility or child welfare agency, (ii) a birth parent or a
19prospective adoptive parent acting on the birth parent's or
20prospective adoptive parent's own behalf, or (iii) a licensed
21attorney advertising the licensed attorney's availability to
22provide legal services relating to adoption, as permitted by
23law.
24    (c) Every advertisement published after the effective date
25of this amendatory Act of the 94th General Assembly shall
26include the Department-issued license number of the facility

 

 

HB5373- 745 -LRB104 20029 AAS 33480 b

1or agency.
2    (d) Any licensed child welfare agency providing adoption
3services that, after the effective date of this amendatory Act
4of the 94th General Assembly, causes to be published an
5advertisement containing reckless or intentional
6misrepresentations concerning adoption services or
7circumstances material to the placement of a child for
8adoption is guilty of a Class A misdemeanor and is subject to a
9fine not to exceed $10,000 or 9 months imprisonment for each
10advertisement.
11    (e) An out-of-state agency that is not licensed in
12Illinois and that has a written interagency agreement with one
13or more Illinois licensed child welfare agencies may advertise
14under this Section, provided that (i) the out-of-state agency
15must be officially recognized by the United States Internal
16Revenue Service as a tax-exempt organization under 501(c)(3)
17of the Internal Revenue Code of 1986 (or any successor
18provision of federal tax law), (ii) the out-of-state agency
19provides only international adoption services and is covered
20by the Intercountry Adoption Act of 2000, (iii) the
21out-of-state agency displays, in the advertisement, the
22license number of at least one of the Illinois licensed child
23welfare agencies with which it has a written agreement, and
24(iv) the advertisements pertain only to international adoption
25services. Subsection (d) of this Section shall apply to any
26out-of-state agencies described in this subsection (e).

 

 

HB5373- 746 -LRB104 20029 AAS 33480 b

1    (f) An advertiser, publisher, or broadcaster, including,
2but not limited to, newspapers, periodicals, telephone book
3publishers, outdoor advertising signs, radio stations, or
4television stations, who knowingly or recklessly advertises or
5publishes any advertisement offering, soliciting, or promising
6to perform adoption services, as defined in Section 2.24 of
7this Act, on behalf of a person, group of persons, agency,
8association, organization, corporation, institution, center,
9or group, not authorized to advertise under subsection (b) or
10subsection (e) of this Section, is guilty of a Class A
11misdemeanor and is subject to a fine not to exceed $10,000 or 9
12months imprisonment for each advertisement.
13    (g) The Department shall maintain a website listing child
14welfare agencies licensed by the Department that provide
15adoption services and other general information for birth
16parents and adoptive parents. The website shall include, but
17not be limited to, agency addresses, phone numbers, e-mail
18addresses, website addresses, annual reports as referenced in
19Section 7.6 of this Act, agency license numbers, the Birth
20Parent Bill of Rights, the Adoptive Parents Bill of Rights,
21and the Department's complaint registry established under
22Section 9.1a of this Act. The Department shall adopt any rules
23necessary to implement this Section.
24    (h) (Blank).
25(Source: P.A. 103-22, eff. 8-8-23; 103-594, eff. 7-1-26.)
 

 

 

HB5373- 747 -LRB104 20029 AAS 33480 b

1    (225 ILCS 10/12.1)
2    (This Section may contain text from a Public Act with a
3delayed effective date)
4    Sec. 12.1. Advertisements; Department of Early Childhood.
5    (a) In this Section, "advertise" means communication by
6any public medium originating or distributed in this State,
7including, but not limited to, newspapers, periodicals,
8telephone book listings, outdoor advertising signs, radio, or
9television.
10    (b) A child day care center, child day care home, or group
11child day care home licensed or operating under a permit
12issued by the Department of Early Childhood may publish
13advertisements for the services that the child day care
14center, child day care home, or group child day care home is
15specifically licensed or issued a permit under this Act to
16provide. A person, group of persons, agency, association,
17organization, corporation, institution, center, or group that
18advertises or causes to be published any advertisement
19offering, soliciting, or promising to perform adoption
20services as defined in Section 2.24 of this Act is guilty of a
21Class A misdemeanor and shall be subject to a fine not to
22exceed $10,000 or 9 months' imprisonment for each
23advertisement, unless that person, group of persons, agency,
24association, organization, corporation, institution, center,
25or group is licensed or operating under a permit issued by
26Department of Early Childhood as a child day care center,

 

 

HB5373- 748 -LRB104 20029 AAS 33480 b

1child day care home, or group child day care home, as permitted
2by law.
3    (c) Every advertisement published after the effective date
4of this amendatory Act of the 103rd General Assembly shall
5include the Department of Early Childhood license number of
6the facility or agency.
7(Source: P.A. 103-594, eff. 7-1-26.)
 
8    (225 ILCS 10/15)  (from Ch. 23, par. 2225)
9    (Text of Section before amendment by P.A. 103-594)
10    Sec. 15. Every child care facility must keep and maintain
11such records as the Department may prescribe pertaining to the
12admission, progress, health and discharge of children under
13the care of the facility and shall report relative thereto to
14the Department whenever called for, upon forms prescribed by
15the Department. All records regarding children and all facts
16learned about children and their relatives must be kept
17confidential both by the child care facility and by the
18Department.
19    Nothing contained in this Act prevents the sharing or
20disclosure of information or records relating or pertaining to
21juveniles subject to the provisions of the Serious Habitual
22Offender Comprehensive Action Program when that information is
23used to assist in the early identification and treatment of
24habitual juvenile offenders.
25    Nothing contained in this Act prevents the disclosure of

 

 

HB5373- 749 -LRB104 20029 AAS 33480 b

1information or records by a licensed child welfare agency as
2required under subsection (c-5) of Section 7.4.
3(Source: P.A. 94-1010, eff. 10-1-06.)
 
4    (Text of Section after amendment by P.A. 103-594)
5    Sec. 15. With the exception of child day care centers,
6child day care homes, and group child day care homes, every
7child care facility must keep and maintain such records as the
8Department may prescribe pertaining to the admission,
9progress, health and discharge of children under the care of
10the facility and shall report relative thereto to the
11Department whenever called for, upon forms prescribed by the
12Department. All records regarding children and all facts
13learned about children and their relatives must be kept
14confidential both by the child care facility and by the
15Department.
16    Nothing contained in this Act prevents the sharing or
17disclosure of information or records relating or pertaining to
18juveniles subject to the provisions of the Serious Habitual
19Offender Comprehensive Action Program when that information is
20used to assist in the early identification and treatment of
21habitual juvenile offenders.
22    Nothing contained in this Act prevents the disclosure of
23information or records by a licensed child welfare agency as
24required under subsection (c-5) of Section 7.4.
25(Source: P.A. 103-594, eff. 7-1-26.)
 

 

 

HB5373- 750 -LRB104 20029 AAS 33480 b

1    (225 ILCS 10/15.1)
2    (This Section may contain text from a Public Act with a
3delayed effective date)
4    Sec. 15.1. Records; confidentiality; Department of Early
5Childhood. Every child day care center, child day care home,
6and group child day care home must keep and maintain such
7records as the Department of Early Childhood may prescribe
8pertaining to the admission, progress, health and discharge of
9children under the care of the child day care center, child day
10care home, or group child day care home, and shall report
11relative thereto to the Department of Early Childhood whenever
12called for, upon forms prescribed by the Department of Early
13Childhood. All records regarding children and all facts
14learned about children and their relatives must be kept
15confidential both by the child day care center, child day care
16home, or group child day care home and by the Department of
17Early Childhood.
18(Source: P.A. 103-594, eff. 7-1-26.)
 
19    (225 ILCS 10/18)  (from Ch. 23, par. 2228)
20    (Text of Section before amendment by P.A. 103-594)
21    Sec. 18. Any person, group of persons, association, or
22corporation that:
23        (1) conducts, operates, or acts as a child care
24    facility without a license or permit to do so in violation

 

 

HB5373- 751 -LRB104 20029 AAS 33480 b

1    of Section 3 of this Act;
2        (2) makes materially false statements in order to
3    obtain a license or permit;
4        (3) fails to keep the records and make the reports
5    provided under this Act;
6        (4) advertises any service not authorized by license
7    or permit held;
8        (5) publishes any advertisement in violation of this
9    Act;
10        (6) receives within this State any child in violation
11    of Section 16 of this Act; or
12        (7) violates any other provision of this Act or any
13    reasonable rule or regulation adopted and published by the
14    Department for the enforcement of the provisions of this
15    Act;
16is guilty of a Class A misdemeanor and, in case of an
17association or corporation, imprisonment may be imposed upon
18its officers who knowingly participated in the violation.
19    Any child care facility that continues to operate after
20its license is revoked under Section 8 of this Act or after its
21license expires and the Department refused to renew the
22license as provided in Section 8 of this Act is guilty of a
23business offense and shall be fined an amount in excess of $500
24but not exceeding $10,000, and each day of violation is a
25separate offense.
26    In a prosecution under this Act, a defendant who relies

 

 

HB5373- 752 -LRB104 20029 AAS 33480 b

1upon the relationship of any child to the defendant has the
2burden of proof as to that relationship.
3(Source: P.A. 103-22, eff. 8-8-23; 103-605, eff. 7-1-24;
4104-417, eff. 8-15-25.)
 
5    (Text of Section after amendment by P.A. 103-594)
6    Sec. 18. Any person, group of persons, association, or
7corporation that, with respect to a child care facility other
8than a child day care center, child day care home, or group
9child day care home:
10            (1) conducts, operates, or acts as a child care
11        facility without a license or permit to do so in
12        violation of Section 3 of this Act;
13            (2) makes materially false statements in order to
14        obtain a license or permit;
15            (3) fails to keep the records and make the reports
16        provided under this Act;
17            (4) advertises any service not authorized by
18        license or permit held;
19            (5) publishes any advertisement in violation of
20        this Act;
21            (6) receives within this State any child in
22        violation of Section 16 of this Act; or
23            (7) violates any other provision of this Act or
24        any reasonable rule or regulation adopted and
25        published by the Department for the enforcement of the

 

 

HB5373- 753 -LRB104 20029 AAS 33480 b

1        provisions of this Act;
2is guilty of a Class A misdemeanor and, in case of an
3association or corporation, imprisonment may be imposed upon
4its officers who knowingly participated in the violation.
5    Any child care facility (other than a child day care
6center, child day care home, or group child day care home) that
7continues to operate after its license is revoked under
8Section 8 of this Act or after its license expires and the
9Department refused to renew the license as provided in Section
108 of this Act is guilty of a business offense and shall be
11fined an amount in excess of $500 but not exceeding $10,000,
12and each day of violation is a separate offense.
13    In a prosecution under this Act, a defendant who relies
14upon the relationship of any child to the defendant has the
15burden of proof as to that relationship.
16(Source: P.A. 103-22, eff. 8-8-23; 103-594, eff. 7-1-26;
17103-605, eff. 7-1-24; 104-417, eff. 8-15-25.)
 
18    (225 ILCS 10/18.1)
19    (This Section may contain text from a Public Act with a
20delayed effective date)
21    Sec. 18.1. Violations; child day care center, child day
22care home, or group child day care home. Any person, group of
23persons, association, or corporation that:
24        (1) conducts, operates, or acts as a child day care
25    center, child day care home, or group child day care home

 

 

HB5373- 754 -LRB104 20029 AAS 33480 b

1    without a license or permit to do so in violation of
2    Section 3.01 of this Act;
3        (2) makes materially false statements in order to
4    obtain a license or permit;
5        (3) fails to keep the records and make the reports
6    provided under this Act;
7        (4) advertises any service not authorized by license
8    or permit held;
9        (5) publishes any advertisement in violation of this
10    Act;
11        (6) receives within this State any child in violation
12    of Section 16.1 of this Act; or
13        (7) violates any other provision of this Act or any
14    reasonable rule or regulation adopted and published by the
15    Department of Early Childhood for the enforcement of the
16    provisions of this Act;
17is guilty of a Class A misdemeanor and, in the case of an
18association or corporation, imprisonment may be imposed upon
19its officers who knowingly participated in the violation.
20    Any child day care center, child day care home, or group
21child day care home that continues to operate after its
22license is revoked under Section 8 or 8a of this Act or after
23its license expires and the Department of Early Childhood
24refused to renew the license as provided in Section 8 or 8a of
25this Act is guilty of a business offense and shall be fined an
26amount in excess of $500 but not exceeding $10,000. Each day of

 

 

HB5373- 755 -LRB104 20029 AAS 33480 b

1violation is a separate offense.
2    In a prosecution under this Act, a defendant who relies
3upon the relationship of any child to the defendant has the
4burden of proof as to that relationship.
5(Source: P.A. 103-594, eff. 7-1-26; 104-417, eff. 8-15-25.)
 
6    (225 ILCS 10/3.7 rep.)
7    (225 ILCS 10/16.1 rep.)
8    Section 184. The Child Care Act of 1969 is amended by
9repealing Sections 3.7 and 16.1.
 
10    Section 185. The Structural Pest Control Act is amended by
11changing Sections 2, 3.03, 3.27, 10.2, 10.3, and 21.1 as
12follows:
 
13    (225 ILCS 235/2)  (from Ch. 111 1/2, par. 2202)
14    (Section scheduled to be repealed on December 31, 2029)
15    Sec. 2. Legislative intent. It is declared that there
16exists and may in the future exist within the State of Illinois
17locations where pesticides are received, stored, formulated or
18prepared and subsequently used for the control of structural
19pests, and improper selection, formulation and application of
20pesticides may adversely affect the public health and general
21welfare.
22    It is further established that the use of certain
23pesticides is restricted or may in the future be restricted to

 

 

HB5373- 756 -LRB104 20029 AAS 33480 b

1use only by or under the supervision of persons certified in
2accordance with this Act.
3    It is recognized that pests can best be controlled through
4an integrated pest management program that combines preventive
5techniques, nonchemical pest control methods, and the
6appropriate use of pesticides with preference for products
7that are the least harmful to human health and the
8environment. Integrated pest management is a good practice in
9the management of pest populations, and it is prudent to
10employ pest control strategies that are the least hazardous to
11human health and the environment.
12    Therefore, the purpose of this Act is to protect, promote
13and preserve the public health and general welfare by
14providing for the establishment of minimum standards for
15selection, formulation and application of restricted
16pesticides and to provide for the licensure of commercial
17structural pest control businesses, the registration of
18persons who own or operate non-commercial structural pest
19control locations where restricted pesticides are used, and
20the certification of pest control technicians.
21    It is also the purpose of this Act to reduce economic,
22health, and environmental risks by promoting the use of
23integrated pest management for structural pest control in
24schools and child day care centers, by making guidelines on
25integrated pest management available to schools and child day
26care centers.

 

 

HB5373- 757 -LRB104 20029 AAS 33480 b

1(Source: P.A. 93-381, eff. 7-1-04; reenacted by P.A. 95-786,
2eff. 8-7-08.)
 
3    (225 ILCS 235/3.03)  (from Ch. 111 1/2, par. 2203.03)
4    (Section scheduled to be repealed on December 31, 2029)
5    Sec. 3.03. "Person" means any individual, group of
6individuals, association, trust, partnership, corporation,
7person doing business under an assumed name, the State of
8Illinois, or department thereof, any other state-owned and
9operated institution, public school, licensed child day care
10center, or any other entity.
11(Source: P.A. 82-725; reenacted by P.A. 95-786, eff. 8-7-08;
1296-1362, eff. 7-28-10.)
 
13    (225 ILCS 235/3.27)
14    (Section scheduled to be repealed on December 31, 2029)
15    Sec. 3.27. "Child Day care center" means any structure
16used as a licensed child day care center in this State.
17(Source: P.A. 93-381, eff. 7-1-04; reenacted by P.A. 95-786,
18eff. 8-7-08.)
 
19    (225 ILCS 235/10.2)  (from Ch. 111 1/2, par. 2210.2)
20    (Section scheduled to be repealed on December 31, 2029)
21    Sec. 10.2. Integrated pest management guidelines;
22notification; training of designated persons; request for
23copies.

 

 

HB5373- 758 -LRB104 20029 AAS 33480 b

1    (a) The Department shall prepare guidelines for an
2integrated pest management program for structural pest control
3practices at school buildings and other school facilities and
4child day care centers. Such guidelines shall be made
5available to schools, child day care centers and the public
6upon request.
7    (b) When economically feasible, each school and child day
8care center is required to develop and implement an integrated
9pest management program that incorporates the guidelines
10developed by the Department. Each school and child day care
11center must notify the Department, within one year after the
12effective date of this amendatory Act of the 95th General
13Assembly and every 5 years thereafter, on forms provided by
14the Department that the school or child day care center has
15developed and is implementing an integrated pest management
16program. In implementing an integrated pest management
17program, a school or child day care center must assign a
18designated person to assume responsibility for the oversight
19of pest management practices in that school or child day care
20center and for recordkeeping requirements.
21    (b-1) If adopting an integrated pest management program is
22not economically feasible because such adoption would result
23in an increase in the pest control costs of the school or child
24day care center, the school or child day care center must
25provide, within one year after the effective date of this
26amendatory Act of the 95th General Assembly and every 5 years

 

 

HB5373- 759 -LRB104 20029 AAS 33480 b

1thereafter, written notification to the Department, on forms
2provided by the Department, that the development and
3implementation of an integrated pest management program is not
4economically feasible. The notification must include projected
5pest control costs for the term of the pest control program and
6projected costs for implementing an integrated pest management
7program for that same time period.
8    (b-2) Each school or child day care center that provides
9written notification to the Department that the adoption of an
10integrated pest management program is not economically
11feasible pursuant to subsection (b-1) of this Section must
12have its designated person attend a training course on
13integrated pest management within one year after the effective
14date of this amendatory Act of the 95th General Assembly, and
15every 5 years thereafter until an integrated pest management
16program is developed and implemented in the school or child
17day care center. The training course shall be approved by the
18Department in accordance with the minimum standards
19established by the Department under this Act.
20    (b-3) Each school and child day care center shall ensure
21that all parents, guardians, and employees are notified at
22least once each school year that the notification requirements
23established by this Section have been met. The school and
24child day care center shall keep copies of all notifications
25required by this Section and any written integrated pest
26management program plan developed in accordance with this

 

 

HB5373- 760 -LRB104 20029 AAS 33480 b

1Section and make these copies available for public inspection
2at the school or child day care center.
3    (c) The Structural Pest Control Advisory Council shall
4assist the Department in developing the guidelines for
5integrated pest management programs. In developing the
6guidelines, the Council shall consult with individuals
7knowledgeable in the area of integrated pest management.
8    (d) The Department, with the assistance of the Cooperative
9Extension Service and other relevant agencies, may prepare a
10training program for school or child day care center pest
11control specialists.
12    (e) The Department may request copies of a school's or
13child day care center's integrated pest management program
14plan and notification required by this Act and offer
15assistance and training to schools and child day care centers
16on integrated pest management programs.
17    (f) The requirements of this Section are subject to
18appropriation to the Department for the implementation of
19integrated pest management programs.
20(Source: P.A. 95-58, eff. 8-10-07; reenacted by P.A. 95-786,
21eff. 8-7-08.)
 
22    (225 ILCS 235/10.3)
23    (Section scheduled to be repealed on December 31, 2029)
24    Sec. 10.3. Notification. School districts and child day
25care centers must maintain a registry of parents and guardians

 

 

HB5373- 761 -LRB104 20029 AAS 33480 b

1of students and employees who have registered to receive
2written or telephonic notification prior to application of
3pesticides to school property or child day care centers or
4provide written or telephonic notification to all parents and
5guardians of students before such pesticide application.
6Written notification may be included in newsletters,
7bulletins, calendars, or other correspondence currently
8published by the school district or child day care center. The
9written or telephonic notification must be given at least 2
10business days before application of the pesticide application
11and should identify the intended date of the application of
12the pesticide and the name and telephone contact number for
13the school or child day care center personnel responsible for
14the pesticide application program. Prior notice shall not be
15required if there is an imminent threat to health or property.
16If such a situation arises, the appropriate school or child
17day care center personnel must sign a statement describing the
18circumstances that gave rise to the health threat and ensure
19that written or telephonic notice is provided as soon as
20practicable. For purposes of this Section, pesticides subject
21to notification requirements shall not include (i) an
22antimicrobial agent, such as disinfectant, sanitizer, or
23deodorizer, or (ii) insecticide baits and rodenticide baits.
24(Source: P.A. 93-381, eff. 7-1-04; reenacted by P.A. 95-786,
25eff. 8-7-08; 96-1362, eff. 7-28-10.)
 

 

 

HB5373- 762 -LRB104 20029 AAS 33480 b

1    (225 ILCS 235/21.1)  (from Ch. 111 1/2, par. 2221.1)
2    (Section scheduled to be repealed on December 31, 2029)
3    Sec. 21.1. Administrative civil fines. The Department is
4empowered to assess administrative civil fines in accordance
5with Section 15 of this Act against a licensee, registrant,
6certified technician, person, public school, licensed child
7day care center, or other entity for violations of this Act or
8its rules and regulations. These fines shall be established by
9the Department by rule and may be assessed in addition to, or
10in lieu of, license, registration, or certification
11suspensions and revocations.
12    Any fine assessed and not paid within 60 days after
13receiving notice from the Department may be submitted to the
14Attorney General's Office, or any other public or private
15agency, for collection of the amounts owed plus any fees and
16costs incurred during the collection process. Failure to pay a
17fine shall also be grounds for immediate suspension or
18revocation of a license, registration, or certification issued
19under this Act.
20(Source: P.A. 87-703; reenacted by P.A. 95-786, eff. 8-7-08;
2196-1362, eff. 7-28-10.)
 
22    Section 187. The Animal Welfare Act is amended by changing
23Sections 2 and 3 as follows:
 
24    (225 ILCS 605/2)  (from Ch. 8, par. 302)

 

 

HB5373- 763 -LRB104 20029 AAS 33480 b

1    Sec. 2. Definitions. As used in this Act unless the
2context otherwise requires:
3    "Department" means the Illinois Department of Agriculture.
4    "Director" means the Director of the Illinois Department
5of Agriculture.
6    "Pet shop operator" means any person who sells, offers to
7sell, exchange, or offers for adoption with or without charge
8or donation dogs, cats, birds, fish, reptiles, or other
9animals customarily obtained as pets in this State at retail
10to the public. However, a person who sells only such animals
11that he has produced and raised shall not be considered a pet
12shop operator under this Act, and a veterinary hospital or
13clinic operated by a veterinarian or veterinarians licensed
14under the Veterinary Medicine and Surgery Practice Act of 2004
15shall not be considered a pet shop operator under this Act.
16    "Dog dealer" means any person who sells, offers to sell,
17exchange, or offers for adoption with or without charge or
18donation dogs in this State. However, a person who sells only
19dogs that he has produced and raised shall not be considered a
20dog dealer under this Act, and a veterinary hospital or clinic
21operated by a veterinarian or veterinarians licensed under the
22Veterinary Medicine and Surgery Practice Act of 2004 shall not
23be considered a dog dealer under this Act.
24    "Secretary of Agriculture" or "Secretary" means the
25Secretary of Agriculture of the United States Department of
26Agriculture.

 

 

HB5373- 764 -LRB104 20029 AAS 33480 b

1    "Person" means any person, firm, corporation, partnership,
2association or other legal entity, any public or private
3institution, the State of Illinois, or any municipal
4corporation or political subdivision of the State.
5    "Kennel operator" means any person who operates an
6establishment, other than an animal control facility,
7veterinary hospital, or animal shelter, where dogs or dogs and
8cats are maintained for boarding, training or similar purposes
9for a fee or compensation.
10    "Boarding" means a time frame greater than 12 hours or an
11overnight period during which an animal is kept by a kennel
12operator.
13    "Cat breeder" means a person who sells, offers to sell,
14exchanges, or offers for adoption with or without charge cats
15that he or she has produced and raised. A person who owns, has
16possession of, or harbors 5 or less females capable of
17reproduction shall not be considered a cat breeder.
18    "Dog breeder" means a person who sells, offers to sell,
19exchanges, or offers for adoption with or without charge dogs
20that he has produced and raised. A person who owns, has
21possession of, or harbors 5 or less females capable of
22reproduction shall not be considered a dog breeder.
23    "Animal control facility" means any facility operated by
24or under contract for the State, county, or any municipal
25corporation or political subdivision of the State for the
26purpose of impounding or harboring seized, stray, homeless,

 

 

HB5373- 765 -LRB104 20029 AAS 33480 b

1abandoned or unwanted dogs, cats, and other animals. "Animal
2control facility" also means any veterinary hospital or clinic
3operated by a veterinarian or veterinarians licensed under the
4Veterinary Medicine and Surgery Practice Act of 2004 which
5operates for the above mentioned purpose in addition to its
6customary purposes.
7    "Animal shelter" means a facility operated, owned, or
8maintained by a duly incorporated humane society, animal
9welfare society, or other non-profit organization having
10tax-exempt status under Section 501(c)(3) of the Internal
11Revenue Code for the purpose of providing for and promoting
12the welfare, protection, and humane treatment of animals. An
13organization that does not have its own building that
14maintains animals solely in foster homes or other licensees is
15an "animal shelter" for purposes of this Act. "Animal shelter"
16also means any veterinary hospital or clinic operated by a
17veterinarian or veterinarians licensed under the Veterinary
18Medicine and Surgery Practice Act of 2004 which operates for
19the above mentioned purpose in addition to its customary
20purposes.
21    "Child Day care operator" means a person who operates an
22establishment, other than an animal control facility,
23veterinary hospital, or animal shelter, where dogs or dogs and
24cats are kept for a period of time not exceeding 12 hours.
25    "Foster home" means an entity that accepts the
26responsibility for stewardship of animals that are the

 

 

HB5373- 766 -LRB104 20029 AAS 33480 b

1obligation of an animal shelter or animal control facility,
2not to exceed 4 foster animals or 2 litters under 8 weeks of
3age at any given time. A written agreement to operate as a
4"foster home" shall be contracted with the animal shelter or
5animal control facility.
6    "Guard dog service" means an entity that, for a fee,
7furnishes or leases guard or sentry dogs for the protection of
8life or property. A person is not a guard dog service solely
9because he or she owns a dog and uses it to guard his or her
10home, business, or farmland.
11    "Guard dog" means a type of dog used primarily for the
12purpose of defending, patrolling, or protecting property or
13life at a commercial establishment other than a farm. "Guard
14dog" does not include stock dogs used primarily for handling
15and controlling livestock or farm animals, nor does it include
16personally owned pets that also provide security.
17    "Return" in return to field or trap, neuter, return
18program means to return the cat to field after it has been
19sterilized and vaccinated for rabies.
20    "Sentry dog" means a dog trained to work without
21supervision in a fenced facility other than a farm, and to
22deter or detain unauthorized persons found within the
23facility.
24    "Probationary status" means the 12-month period following
25a series of violations of this Act during which any further
26violation shall result in an automatic 12-month suspension of

 

 

HB5373- 767 -LRB104 20029 AAS 33480 b

1licensure.
2    "Owner" means any person having a right of property in an
3animal, who keeps or harbors an animal, who has an animal in
4his or her care or acts as its custodian, or who knowingly
5permits a dog to remain on any premises occupied by him or her.
6"Owner" does not include a feral cat caretaker participating
7in a trap, spay/neuter, vaccinate for rabies, and return
8program.
9    "Offer for sale" means to sell, exchange for
10consideration, offer for adoption, advertise for the sale of,
11barter, auction, give away, or otherwise dispose of animals.
12(Source: P.A. 101-81, eff. 7-12-19; 101-295, eff. 8-9-19;
13102-586, eff. 2-23-22.)
 
14    (225 ILCS 605/3)  (from Ch. 8, par. 303)
15    Sec. 3. (a) Except as provided in subsection (b) of this
16Section, no person shall engage in business as a pet shop
17operator, dog dealer, kennel operator, child day care
18operator, dog breeder, or cat breeder or operate a guard dog
19service, an animal control facility, or animal shelter, in
20this State without a license therefor issued by the
21Department. If one business conducts more than one such
22operation, each operation shall be licensed separately. Guard
23dog services that are located outside this State but provide
24services within this State are required to obtain a license
25from the Department. Out-of-state guard dog services are

 

 

HB5373- 768 -LRB104 20029 AAS 33480 b

1required to comply with the requirements of this Act with
2regard to guard dogs and sentry dogs transported to or used
3within this State.
4    (b) This Act does not apply to a private detective agency
5or private security agency licensed under the Private
6Detective, Private Alarm, Private Security, Fingerprint
7Vendor, and Locksmith Act of 2004 that provides guard dog or
8canine odor detection services and does not otherwise operate
9a kennel for hire.
10(Source: P.A. 100-842, eff. 1-1-19; 101-295, eff. 8-9-19.)
 
11    Section 190. The Liquor Control Act of 1934 is amended by
12changing Section 6-15 as follows:
 
13    (235 ILCS 5/6-15)  (from Ch. 43, par. 130)
14    Sec. 6-15. No alcoholic liquors shall be sold or delivered
15in any building belonging to or under the control of the State
16or any political subdivision thereof except as provided in
17this Act. The corporate authorities of any city, village,
18incorporated town, township, or county may provide by
19ordinance, however, that alcoholic liquor may be sold or
20delivered in any specifically designated building belonging to
21or under the control of the municipality, township, or county,
22or in any building located on land under the control of the
23municipality, township, or county; provided that such township
24or county complies with all applicable local ordinances in any

 

 

HB5373- 769 -LRB104 20029 AAS 33480 b

1incorporated area of the township or county. Alcoholic liquor
2may be delivered to and sold under the authority of a special
3use permit on any property owned by a conservation district
4organized under the Conservation District Act, provided that
5(i) the alcoholic liquor is sold only at an event authorized by
6the governing board of the conservation district, (ii) the
7issuance of the special use permit is authorized by the local
8liquor control commissioner of the territory in which the
9property is located, and (iii) the special use permit
10authorizes the sale of alcoholic liquor for one day or less.
11Alcoholic liquors may be delivered to and sold at any airport
12belonging to or under the control of a municipality of more
13than 25,000 inhabitants, or in any building or on any golf
14course owned by a park district organized under the Park
15District Code, subject to the approval of the governing board
16of the district, or in any building or on any golf course owned
17by a forest preserve district organized under the Downstate
18Forest Preserve District Act, subject to the approval of the
19governing board of the district, or on the grounds within 500
20feet of any building owned by a forest preserve district
21organized under the Downstate Forest Preserve District Act
22during times when food is dispensed for consumption within 500
23feet of the building from which the food is dispensed, subject
24to the approval of the governing board of the district, or in a
25building owned by a Local Mass Transit District organized
26under the Local Mass Transit District Act, subject to the

 

 

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1approval of the governing Board of the District, or in
2Bicentennial Park, or on the premises of the City of Mendota
3Lake Park located adjacent to Route 51 in Mendota, Illinois,
4or on the premises of Camden Park in Milan, Illinois, or in the
5community center owned by the City of Loves Park that is
6located at 1000 River Park Drive in Loves Park, Illinois, or,
7in connection with the operation of an established food
8serving facility during times when food is dispensed for
9consumption on the premises, and at the following aquarium and
10museums located in public parks: Art Institute of Chicago,
11Chicago Academy of Sciences, Chicago Historical Society, Field
12Museum of Natural History, Museum of Science and Industry,
13DuSable Museum of African American History, John G. Shedd
14Aquarium and Adler Planetarium, or at Lakeview Museum of Arts
15and Sciences in Peoria, or in connection with the operation of
16the facilities of the Chicago Zoological Society or the
17Chicago Horticultural Society on land owned by the Forest
18Preserve District of Cook County, or on any land used for a
19golf course or for recreational purposes owned by the Forest
20Preserve District of Cook County, subject to the control of
21the Forest Preserve District Board of Commissioners and
22applicable local law, provided that dram shop liability
23insurance is provided at maximum coverage limits so as to hold
24the District harmless from all financial loss, damage, and
25harm, or in any building located on land owned by the Chicago
26Park District if approved by the Park District Commissioners,

 

 

HB5373- 771 -LRB104 20029 AAS 33480 b

1or on any land used for a golf course or for recreational
2purposes and owned by the Illinois International Port District
3if approved by the District's governing board, or at any
4airport, golf course, faculty center, or facility in which
5conference and convention type activities take place belonging
6to or under control of any State university or public
7community college district, provided that with respect to a
8facility for conference and convention type activities
9alcoholic liquors shall be limited to the use of the
10convention or conference participants or participants in
11cultural, political or educational activities held in such
12facilities, and provided further that the faculty or staff of
13the State university or a public community college district,
14or members of an organization of students, alumni, faculty or
15staff of the State university or a public community college
16district are active participants in the conference or
17convention, or in Memorial Stadium on the campus of the
18University of Illinois at Urbana-Champaign during games in
19which the Chicago Bears professional football team is playing
20in that stadium during the renovation of Soldier Field, not
21more than one and a half hours before the start of the game and
22not after the end of the third quarter of the game, or in the
23Pavilion Facility on the campus of the University of Illinois
24at Chicago during games in which the Chicago Storm
25professional soccer team is playing in that facility, not more
26than one and a half hours before the start of the game and not

 

 

HB5373- 772 -LRB104 20029 AAS 33480 b

1after the end of the third quarter of the game, or in the
2Pavilion Facility on the campus of the University of Illinois
3at Chicago during games in which the WNBA professional women's
4basketball team is playing in that facility, not more than one
5and a half hours before the start of the game and not after the
610-minute mark of the second half of the game, or by a catering
7establishment which has rented facilities from a board of
8trustees of a public community college district, or in a
9restaurant that is operated by a commercial tenant in the
10North Campus Parking Deck building that (1) is located at 1201
11West University Avenue, Urbana, Illinois and (2) is owned by
12the Board of Trustees of the University of Illinois, or, if
13approved by the District board, on land owned by the
14Metropolitan Sanitary District of Greater Chicago and leased
15to others for a term of at least 20 years. Nothing in this
16Section precludes the sale or delivery of alcoholic liquor in
17the form of original packaged goods in premises located at 500
18S. Racine in Chicago belonging to the University of Illinois
19and used primarily as a grocery store by a commercial tenant
20during the term of a lease that predates the University's
21acquisition of the premises; but the University shall have no
22power or authority to renew, transfer, or extend the lease
23with terms allowing the sale of alcoholic liquor; and the sale
24of alcoholic liquor shall be subject to all local laws and
25regulations. After the acquisition by Winnebago County of the
26property located at 404 Elm Street in Rockford, a commercial

 

 

HB5373- 773 -LRB104 20029 AAS 33480 b

1tenant who sold alcoholic liquor at retail on a portion of the
2property under a valid license at the time of the acquisition
3may continue to do so for so long as the tenant and the County
4may agree under existing or future leases, subject to all
5local laws and regulations regarding the sale of alcoholic
6liquor. Alcoholic liquors may be delivered to and sold at
7Memorial Hall, located at 211 North Main Street, Rockford,
8under conditions approved by Winnebago County and subject to
9all local laws and regulations regarding the sale of alcoholic
10liquor. Each facility shall provide dram shop liability in
11maximum insurance coverage limits so as to save harmless the
12State, municipality, State university, airport, golf course,
13faculty center, facility in which conference and convention
14type activities take place, park district, Forest Preserve
15District, public community college district, aquarium, museum,
16or sanitary district from all financial loss, damage or harm.
17Alcoholic liquors may be sold at retail in buildings of golf
18courses owned by municipalities or Illinois State University
19in connection with the operation of an established food
20serving facility during times when food is dispensed for
21consumption upon the premises. Alcoholic liquors may be
22delivered to and sold at retail in any building owned by a fire
23protection district organized under the Fire Protection
24District Act, provided that such delivery and sale is approved
25by the board of trustees of the district, and provided further
26that such delivery and sale is limited to fundraising events

 

 

HB5373- 774 -LRB104 20029 AAS 33480 b

1and to a maximum of 6 events per year. However, the limitation
2to fundraising events and to a maximum of 6 events per year
3does not apply to the delivery, sale, or manufacture of
4alcoholic liquors at the building located at 59 Main Street in
5Oswego, Illinois, owned by the Oswego Fire Protection District
6if the alcoholic liquor is sold or dispensed as approved by the
7Oswego Fire Protection District and the property is no longer
8being utilized for fire protection purposes.
9    Alcoholic liquors may be served or sold in buildings under
10the control of the Board of Trustees of the University of
11Illinois for events that the Board may determine are public
12events and not related student activities. The Board of
13Trustees shall issue a written policy within 6 months of
14August 15, 2008 (the effective date of Public Act 95-847)
15concerning the types of events that would be eligible for an
16exemption. Thereafter, the Board of Trustees may issue
17revised, updated, new, or amended policies as it deems
18necessary and appropriate. In preparing its written policy,
19the Board of Trustees shall, among other factors it considers
20relevant and important, give consideration to the following:
21(i) whether the event is a student activity or student-related
22activity; (ii) whether the physical setting of the event is
23conducive to control of liquor sales and distribution; (iii)
24the ability of the event operator to ensure that the sale or
25serving of alcoholic liquors and the demeanor of the
26participants are in accordance with State law and University

 

 

HB5373- 775 -LRB104 20029 AAS 33480 b

1policies; (iv) regarding the anticipated attendees at the
2event, the relative proportion of individuals under the age of
321 to individuals age 21 or older; (v) the ability of the venue
4operator to prevent the sale or distribution of alcoholic
5liquors to individuals under the age of 21; (vi) whether the
6event prohibits participants from removing alcoholic beverages
7from the venue; and (vii) whether the event prohibits
8participants from providing their own alcoholic liquors to the
9venue. In addition, any policy submitted by the Board of
10Trustees to the Illinois Liquor Control Commission must
11require that any event at which alcoholic liquors are served
12or sold in buildings under the control of the Board of Trustees
13shall require the prior written approval of the Office of the
14Chancellor for the University campus where the event is
15located. The Board of Trustees shall submit its policy, and
16any subsequently revised, updated, new, or amended policies,
17to the Illinois Liquor Control Commission, and any University
18event, or location for an event, exempted under such policies
19shall apply for a license under the applicable Sections of
20this Act.
21    Alcoholic liquors may be served or sold in buildings under
22the control of the Board of Trustees of Northern Illinois
23University for events that the Board may determine are public
24events and not student-related activities. The Board of
25Trustees shall issue a written policy within 6 months after
26June 28, 2011 (the effective date of Public Act 97-45)

 

 

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1concerning the types of events that would be eligible for an
2exemption. Thereafter, the Board of Trustees may issue
3revised, updated, new, or amended policies as it deems
4necessary and appropriate. In preparing its written policy,
5the Board of Trustees shall, in addition to other factors it
6considers relevant and important, give consideration to the
7following: (i) whether the event is a student activity or
8student-related activity; (ii) whether the physical setting of
9the event is conducive to control of liquor sales and
10distribution; (iii) the ability of the event operator to
11ensure that the sale or serving of alcoholic liquors and the
12demeanor of the participants are in accordance with State law
13and University policies; (iv) the anticipated attendees at the
14event and the relative proportion of individuals under the age
15of 21 to individuals age 21 or older; (v) the ability of the
16venue operator to prevent the sale or distribution of
17alcoholic liquors to individuals under the age of 21; (vi)
18whether the event prohibits participants from removing
19alcoholic beverages from the venue; and (vii) whether the
20event prohibits participants from providing their own
21alcoholic liquors to the venue.
22    Alcoholic liquors may be served or sold in buildings under
23the control of the Board of Trustees of Chicago State
24University for events that the Board may determine are public
25events and not student-related activities. The Board of
26Trustees shall issue a written policy within 6 months after

 

 

HB5373- 777 -LRB104 20029 AAS 33480 b

1August 2, 2013 (the effective date of Public Act 98-132)
2concerning the types of events that would be eligible for an
3exemption. Thereafter, the Board of Trustees may issue
4revised, updated, new, or amended policies as it deems
5necessary and appropriate. In preparing its written policy,
6the Board of Trustees shall, in addition to other factors it
7considers relevant and important, give consideration to the
8following: (i) whether the event is a student activity or
9student-related activity; (ii) whether the physical setting of
10the event is conducive to control of liquor sales and
11distribution; (iii) the ability of the event operator to
12ensure that the sale or serving of alcoholic liquors and the
13demeanor of the participants are in accordance with State law
14and University policies; (iv) the anticipated attendees at the
15event and the relative proportion of individuals under the age
16of 21 to individuals age 21 or older; (v) the ability of the
17venue operator to prevent the sale or distribution of
18alcoholic liquors to individuals under the age of 21; (vi)
19whether the event prohibits participants from removing
20alcoholic beverages from the venue; and (vii) whether the
21event prohibits participants from providing their own
22alcoholic liquors to the venue.
23    Alcoholic liquors may be served or sold in buildings under
24the control of the Board of Trustees of Illinois State
25University for events that the Board may determine are public
26events and not student-related activities. The Board of

 

 

HB5373- 778 -LRB104 20029 AAS 33480 b

1Trustees shall issue a written policy within 6 months after
2March 1, 2013 (the effective date of Public Act 97-1166)
3concerning the types of events that would be eligible for an
4exemption. Thereafter, the Board of Trustees may issue
5revised, updated, new, or amended policies as it deems
6necessary and appropriate. In preparing its written policy,
7the Board of Trustees shall, in addition to other factors it
8considers relevant and important, give consideration to the
9following: (i) whether the event is a student activity or
10student-related activity; (ii) whether the physical setting of
11the event is conducive to control of liquor sales and
12distribution; (iii) the ability of the event operator to
13ensure that the sale or serving of alcoholic liquors and the
14demeanor of the participants are in accordance with State law
15and University policies; (iv) the anticipated attendees at the
16event and the relative proportion of individuals under the age
17of 21 to individuals age 21 or older; (v) the ability of the
18venue operator to prevent the sale or distribution of
19alcoholic liquors to individuals under the age of 21; (vi)
20whether the event prohibits participants from removing
21alcoholic beverages from the venue; and (vii) whether the
22event prohibits participants from providing their own
23alcoholic liquors to the venue.
24    Alcoholic liquors may be served or sold in buildings under
25the control of the Board of Trustees of Southern Illinois
26University for events that the Board may determine are public

 

 

HB5373- 779 -LRB104 20029 AAS 33480 b

1events and not student-related activities. The Board of
2Trustees shall issue a written policy within 6 months after
3August 12, 2016 (the effective date of Public Act 99-795)
4concerning the types of events that would be eligible for an
5exemption. Thereafter, the Board of Trustees may issue
6revised, updated, new, or amended policies as it deems
7necessary and appropriate. In preparing its written policy,
8the Board of Trustees shall, in addition to other factors it
9considers relevant and important, give consideration to the
10following: (i) whether the event is a student activity or
11student-related activity; (ii) whether the physical setting of
12the event is conducive to control of liquor sales and
13distribution; (iii) the ability of the event operator to
14ensure that the sale or serving of alcoholic liquors and the
15demeanor of the participants are in accordance with State law
16and University policies; (iv) the anticipated attendees at the
17event and the relative proportion of individuals under the age
18of 21 to individuals age 21 or older; (v) the ability of the
19venue operator to prevent the sale or distribution of
20alcoholic liquors to individuals under the age of 21; (vi)
21whether the event prohibits participants from removing
22alcoholic beverages from the venue; and (vii) whether the
23event prohibits participants from providing their own
24alcoholic liquors to the venue.
25    Alcoholic liquors may be served or sold in buildings under
26the control of the Board of Trustees of a public university for

 

 

HB5373- 780 -LRB104 20029 AAS 33480 b

1events that the Board of Trustees of that public university
2may determine are public events and not student-related
3activities. If the Board of Trustees of a public university
4has not issued a written policy pursuant to an exemption under
5this Section on or before July 15, 2016 (the effective date of
6Public Act 99-550), then that Board of Trustees shall issue a
7written policy within 6 months after July 15, 2016 (the
8effective date of Public Act 99-550) concerning the types of
9events that would be eligible for an exemption. Thereafter,
10the Board of Trustees may issue revised, updated, new, or
11amended policies as it deems necessary and appropriate. In
12preparing its written policy, the Board of Trustees shall, in
13addition to other factors it considers relevant and important,
14give consideration to the following: (i) whether the event is
15a student activity or student-related activity; (ii) whether
16the physical setting of the event is conducive to control of
17liquor sales and distribution; (iii) the ability of the event
18operator to ensure that the sale or serving of alcoholic
19liquors and the demeanor of the participants are in accordance
20with State law and University policies; (iv) the anticipated
21attendees at the event and the relative proportion of
22individuals under the age of 21 to individuals age 21 or older;
23(v) the ability of the venue operator to prevent the sale or
24distribution of alcoholic liquors to individuals under the age
25of 21; (vi) whether the event prohibits participants from
26removing alcoholic beverages from the venue; and (vii) whether

 

 

HB5373- 781 -LRB104 20029 AAS 33480 b

1the event prohibits participants from providing their own
2alcoholic liquors to the venue. As used in this paragraph,
3"public university" means the University of Illinois, Illinois
4State University, Chicago State University, Governors State
5University, Southern Illinois University, Northern Illinois
6University, Eastern Illinois University, Western Illinois
7University, and Northeastern Illinois University.
8    Alcoholic liquors may be served or sold in buildings under
9the control of the Board of Trustees of a community college
10district for events that the Board of Trustees of that
11community college district may determine are public events and
12not student-related activities. The Board of Trustees shall
13issue a written policy within 6 months after July 15, 2016 (the
14effective date of Public Act 99-550) concerning the types of
15events that would be eligible for an exemption. Thereafter,
16the Board of Trustees may issue revised, updated, new, or
17amended policies as it deems necessary and appropriate. In
18preparing its written policy, the Board of Trustees shall, in
19addition to other factors it considers relevant and important,
20give consideration to the following: (i) whether the event is
21a student activity or student-related activity; (ii) whether
22the physical setting of the event is conducive to control of
23liquor sales and distribution; (iii) the ability of the event
24operator to ensure that the sale or serving of alcoholic
25liquors and the demeanor of the participants are in accordance
26with State law and community college district policies; (iv)

 

 

HB5373- 782 -LRB104 20029 AAS 33480 b

1the anticipated attendees at the event and the relative
2proportion of individuals under the age of 21 to individuals
3age 21 or older; (v) the ability of the venue operator to
4prevent the sale or distribution of alcoholic liquors to
5individuals under the age of 21; (vi) whether the event
6prohibits participants from removing alcoholic beverages from
7the venue; and (vii) whether the event prohibits participants
8from providing their own alcoholic liquors to the venue. This
9paragraph does not apply to any community college district
10authorized to sell or serve alcoholic liquor under any other
11provision of this Section.
12    Alcoholic liquor may be delivered to and sold at retail in
13the Dorchester Senior Business Center owned by the Village of
14Dolton if the alcoholic liquor is sold or dispensed only in
15connection with organized functions for which the planned
16attendance is 20 or more persons, and if the person or facility
17selling or dispensing the alcoholic liquor has provided dram
18shop liability insurance in maximum limits so as to hold
19harmless the Village of Dolton and the State from all
20financial loss, damage and harm.
21    Alcoholic liquors may be delivered to and sold at retail
22in any building used as an Illinois State Armory provided:
23        (i) the Adjutant General's written consent to the
24    issuance of a license to sell alcoholic liquor in such
25    building is filed with the Commission;
26        (ii) the alcoholic liquor is sold or dispensed only in

 

 

HB5373- 783 -LRB104 20029 AAS 33480 b

1    connection with organized functions held on special
2    occasions;
3        (iii) the organized function is one for which the
4    planned attendance is 25 or more persons; and
5        (iv) the facility selling or dispensing the alcoholic
6    liquors has provided dram shop liability insurance in
7    maximum limits so as to save harmless the facility and the
8    State from all financial loss, damage or harm.
9    Alcoholic liquors may be delivered to and sold at retail
10in the Chicago Civic Center, provided that:
11        (i) the written consent of the Public Building
12    Commission which administers the Chicago Civic Center is
13    filed with the Commission;
14        (ii) the alcoholic liquor is sold or dispensed only in
15    connection with organized functions held on special
16    occasions;
17        (iii) the organized function is one for which the
18    planned attendance is 25 or more persons;
19        (iv) the facility selling or dispensing the alcoholic
20    liquors has provided dram shop liability insurance in
21    maximum limits so as to hold harmless the Civic Center,
22    the City of Chicago and the State from all financial loss,
23    damage or harm; and
24        (v) all applicable local ordinances are complied with.
25    Alcoholic liquors may be delivered or sold in any building
26belonging to or under the control of any city, village or

 

 

HB5373- 784 -LRB104 20029 AAS 33480 b

1incorporated town where more than 75% of the physical
2properties of the building is used for commercial or
3recreational purposes, and the building is located upon a pier
4extending into or over the waters of a navigable lake or stream
5or on the shore of a navigable lake or stream. In accordance
6with a license issued under this Act, alcoholic liquor may be
7sold, served, or delivered in buildings and facilities under
8the control of the Department of Natural Resources during
9events or activities lasting no more than 7 continuous days
10upon the written approval of the Director of Natural Resources
11acting as the controlling government authority. The Director
12of Natural Resources may specify conditions on that approval,
13including, but not limited to, requirements for insurance and
14hours of operation. Notwithstanding any other provision of
15this Act, alcoholic liquor sold by a United States Army Corps
16of Engineers or Department of Natural Resources concessionaire
17who was operating on June 1, 1991 for on-premises consumption
18only is not subject to the provisions of Articles IV and IX.
19Beer and wine may be sold on the premises of the Joliet Park
20District Stadium owned by the Joliet Park District when
21written consent to the issuance of a license to sell beer and
22wine in such premises is filed with the local liquor
23commissioner by the Joliet Park District. Beer and wine may be
24sold in buildings on the grounds of State veterans' homes when
25written consent to the issuance of a license to sell beer and
26wine in such buildings is filed with the Commission by the

 

 

HB5373- 785 -LRB104 20029 AAS 33480 b

1Department of Veterans Affairs, and the facility shall provide
2dram shop liability in maximum insurance coverage limits so as
3to save the facility harmless from all financial loss, damage
4or harm. Such liquors may be delivered to and sold at any
5property owned or held under lease by a Metropolitan Pier and
6Exposition Authority or Metropolitan Exposition and Auditorium
7Authority.
8    Beer and wine may be sold and dispensed at professional
9sporting events and at professional concerts and other
10entertainment events conducted on premises owned by the Forest
11Preserve District of Kane County, subject to the control of
12the District Commissioners and applicable local law, provided
13that dram shop liability insurance is provided at maximum
14coverage limits so as to hold the District harmless from all
15financial loss, damage and harm.
16    Nothing in this Section shall preclude the sale or
17delivery of beer and wine at a State or county fair or the sale
18or delivery of beer or wine at a city fair in any otherwise
19lawful manner.
20    Alcoholic liquors may be sold at retail in buildings in
21State parks under the control of the Department of Natural
22Resources, provided:
23        a. the State park has overnight lodging facilities
24    with some restaurant facilities or, not having overnight
25    lodging facilities, has restaurant facilities which serve
26    complete luncheon and dinner or supper meals,

 

 

HB5373- 786 -LRB104 20029 AAS 33480 b

1        b. (blank), and
2        c. the alcoholic liquors are sold by the State park
3    lodge or restaurant concessionaire only during the hours
4    from 11 o'clock a.m. until 12 o'clock midnight.
5    Notwithstanding any other provision of this Act, alcoholic
6    liquor sold by the State park or restaurant concessionaire
7    is not subject to the provisions of Articles IV and IX.
8    Alcoholic liquors may be sold at retail in buildings on
9properties under the control of the Division of Historic
10Preservation of the Department of Natural Resources or the
11Abraham Lincoln Presidential Library and Museum provided:
12        a. the property has overnight lodging facilities with
13    some restaurant facilities or, not having overnight
14    lodging facilities, has restaurant facilities which serve
15    complete luncheon and dinner or supper meals,
16        b. consent to the issuance of a license to sell
17    alcoholic liquors in the buildings has been filed with the
18    commission by the Division of Historic Preservation of the
19    Department of Natural Resources or the Abraham Lincoln
20    Presidential Library and Museum, and
21        c. the alcoholic liquors are sold by the lodge or
22    restaurant concessionaire only during the hours from 11
23    o'clock a.m. until 12 o'clock midnight.
24    The sale of alcoholic liquors pursuant to this Section
25does not authorize the establishment and operation of
26facilities commonly called taverns, saloons, bars, cocktail

 

 

HB5373- 787 -LRB104 20029 AAS 33480 b

1lounges, and the like except as a part of lodge and restaurant
2facilities in State parks or golf courses owned by Forest
3Preserve Districts with a population of less than 3,000,000 or
4municipalities or park districts.
5    Alcoholic liquors may be sold at retail in the Springfield
6Administration Building of the Department of Transportation
7and the Illinois State Armory in Springfield; provided, that
8the controlling government authority may consent to such sales
9only if
10        a. the request is from a not-for-profit organization;
11        b. such sales would not impede normal operations of
12    the departments involved;
13        c. the not-for-profit organization provides dram shop
14    liability in maximum insurance coverage limits and agrees
15    to defend, save harmless and indemnify the State of
16    Illinois from all financial loss, damage or harm;
17        d. no such sale shall be made during normal working
18    hours of the State of Illinois; and
19        e. the consent is in writing.
20    Alcoholic liquors may be sold at retail in buildings in
21recreational areas of river conservancy districts under the
22control of, or leased from, the river conservancy districts.
23Such sales are subject to reasonable local regulations as
24provided in Article IV; however, no such regulations may
25prohibit or substantially impair the sale of alcoholic liquors
26on Sundays or Holidays.

 

 

HB5373- 788 -LRB104 20029 AAS 33480 b

1    Alcoholic liquors may be provided in long term care
2facilities owned or operated by a county under Division 5-21
3or 5-22 of the Counties Code, when approved by the facility
4operator and not in conflict with the regulations of the
5Illinois Department of Public Health, to residents of the
6facility who have had their consumption of the alcoholic
7liquors provided approved in writing by a physician licensed
8to practice medicine in all its branches.
9    Alcoholic liquors may be delivered to and dispensed in
10State housing assigned to employees of the Department of
11Corrections. No person shall furnish or allow to be furnished
12any alcoholic liquors to any prisoner confined in any jail,
13reformatory, prison or house of correction except upon a
14physician's prescription for medicinal purposes.
15    Alcoholic liquors may be sold at retail or dispensed at
16the Willard Ice Building in Springfield, at the State Library
17in Springfield, and at Illinois State Museum facilities by (1)
18an agency of the State, whether legislative, judicial or
19executive, provided that such agency first obtains written
20permission to sell or dispense alcoholic liquors from the
21controlling government authority, or by (2) a not-for-profit
22organization, provided that such organization:
23        a. Obtains written consent from the controlling
24    government authority;
25        b. Sells or dispenses the alcoholic liquors in a
26    manner that does not impair normal operations of State

 

 

HB5373- 789 -LRB104 20029 AAS 33480 b

1    offices located in the building;
2        c. Sells or dispenses alcoholic liquors only in
3    connection with an official activity in the building;
4        d. Provides, or its catering service provides, dram
5    shop liability insurance in maximum coverage limits and in
6    which the carrier agrees to defend, save harmless and
7    indemnify the State of Illinois from all financial loss,
8    damage or harm arising out of the selling or dispensing of
9    alcoholic liquors.
10    Nothing in this Act shall prevent a not-for-profit
11organization or agency of the State from employing the
12services of a catering establishment for the selling or
13dispensing of alcoholic liquors at authorized functions.
14    The controlling government authority for the Willard Ice
15Building in Springfield shall be the Director of the
16Department of Revenue. The controlling government authority
17for Illinois State Museum facilities shall be the Director of
18the Illinois State Museum. The controlling government
19authority for the State Library in Springfield shall be the
20Secretary of State.
21    Alcoholic liquors may be delivered to and sold at retail
22or dispensed at any facility, property or building under the
23jurisdiction of the Division of Historic Preservation of the
24Department of Natural Resources, the Abraham Lincoln
25Presidential Library and Museum, or the State Treasurer where
26the delivery, sale or dispensing is by (1) an agency of the

 

 

HB5373- 790 -LRB104 20029 AAS 33480 b

1State, whether legislative, judicial or executive, provided
2that such agency first obtains written permission to sell or
3dispense alcoholic liquors from a controlling government
4authority, or by (2) an individual or organization provided
5that such individual or organization:
6        a. Obtains written consent from the controlling
7    government authority;
8        b. Sells or dispenses the alcoholic liquors in a
9    manner that does not impair normal workings of State
10    offices or operations located at the facility, property or
11    building;
12        c. Sells or dispenses alcoholic liquors only in
13    connection with an official activity of the individual or
14    organization in the facility, property or building;
15        d. Provides, or its catering service provides, dram
16    shop liability insurance in maximum coverage limits and in
17    which the carrier agrees to defend, save harmless and
18    indemnify the State of Illinois from all financial loss,
19    damage or harm arising out of the selling or dispensing of
20    alcoholic liquors.
21    The controlling government authority for the Division of
22Historic Preservation of the Department of Natural Resources
23shall be the Director of Natural Resources, the controlling
24government authority for the Abraham Lincoln Presidential
25Library and Museum shall be the Executive Director of the
26Abraham Lincoln Presidential Library and Museum, and the

 

 

HB5373- 791 -LRB104 20029 AAS 33480 b

1controlling government authority for the facilities, property,
2or buildings under the jurisdiction of the State Treasurer
3shall be the State Treasurer or the State Treasurer's
4designee.
5    Alcoholic liquors may be delivered to and sold at retail
6or dispensed for consumption at the Michael Bilandic Building
7at 160 North LaSalle Street, Chicago IL 60601, after the
8normal business hours of any day care or child care facility
9located in the building, by (1) a commercial tenant or
10subtenant conducting business on the premises under a lease
11made pursuant to Section 405-315 of the Department of Central
12Management Services Law, provided that such tenant or
13subtenant who accepts delivery of, sells, or dispenses
14alcoholic liquors shall procure and maintain dram shop
15liability insurance in maximum coverage limits and in which
16the carrier agrees to defend, indemnify, and save harmless the
17State of Illinois from all financial loss, damage, or harm
18arising out of the delivery, sale, or dispensing of alcoholic
19liquors, or by (2) an agency of the State, whether
20legislative, judicial, or executive, provided that such agency
21first obtains written permission to accept delivery of and
22sell or dispense alcoholic liquors from the Director of
23Central Management Services, or by (3) a not-for-profit
24organization, provided that such organization:
25        a. obtains written consent from the Department of
26    Central Management Services;

 

 

HB5373- 792 -LRB104 20029 AAS 33480 b

1        b. accepts delivery of and sells or dispenses the
2    alcoholic liquors in a manner that does not impair normal
3    operations of State offices located in the building;
4        c. accepts delivery of and sells or dispenses
5    alcoholic liquors only in connection with an official
6    activity in the building; and
7        d. provides, or its catering service provides, dram
8    shop liability insurance in maximum coverage limits and in
9    which the carrier agrees to defend, save harmless, and
10    indemnify the State of Illinois from all financial loss,
11    damage, or harm arising out of the selling or dispensing
12    of alcoholic liquors.
13    Nothing in this Act shall prevent a not-for-profit
14organization or agency of the State from employing the
15services of a catering establishment for the selling or
16dispensing of alcoholic liquors at functions authorized by the
17Director of Central Management Services.
18    Alcoholic liquors may be sold at retail or dispensed at
19the James R. Thompson Center in Chicago, subject to the
20provisions of Section 7.4 of the State Property Control Act,
21and 222 South College Street in Springfield, Illinois by (1) a
22commercial tenant or subtenant conducting business on the
23premises under a lease or sublease made pursuant to Section
24405-315 of the Department of Central Management Services Law,
25provided that such tenant or subtenant who sells or dispenses
26alcoholic liquors shall procure and maintain dram shop

 

 

HB5373- 793 -LRB104 20029 AAS 33480 b

1liability insurance in maximum coverage limits and in which
2the carrier agrees to defend, indemnify and save harmless the
3State of Illinois from all financial loss, damage or harm
4arising out of the sale or dispensing of alcoholic liquors, or
5by (2) an agency of the State, whether legislative, judicial
6or executive, provided that such agency first obtains written
7permission to sell or dispense alcoholic liquors from the
8Director of Central Management Services, or by (3) a
9not-for-profit organization, provided that such organization:
10        a. Obtains written consent from the Department of
11    Central Management Services;
12        b. Sells or dispenses the alcoholic liquors in a
13    manner that does not impair normal operations of State
14    offices located in the building;
15        c. Sells or dispenses alcoholic liquors only in
16    connection with an official activity in the building;
17        d. Provides, or its catering service provides, dram
18    shop liability insurance in maximum coverage limits and in
19    which the carrier agrees to defend, save harmless and
20    indemnify the State of Illinois from all financial loss,
21    damage or harm arising out of the selling or dispensing of
22    alcoholic liquors.
23    Nothing in this Act shall prevent a not-for-profit
24organization or agency of the State from employing the
25services of a catering establishment for the selling or
26dispensing of alcoholic liquors at functions authorized by the

 

 

HB5373- 794 -LRB104 20029 AAS 33480 b

1Director of Central Management Services.
2    Alcoholic liquors may be sold or delivered at any facility
3owned by the Illinois Sports Facilities Authority provided
4that dram shop liability insurance has been made available in
5a form, with such coverage and in such amounts as the Authority
6reasonably determines is necessary.
7    Alcoholic liquors may be sold at retail or dispensed at
8the Rockford State Office Building by (1) an agency of the
9State, whether legislative, judicial or executive, provided
10that such agency first obtains written permission to sell or
11dispense alcoholic liquors from the Department of Central
12Management Services, or by (2) a not-for-profit organization,
13provided that such organization:
14        a. Obtains written consent from the Department of
15    Central Management Services;
16        b. Sells or dispenses the alcoholic liquors in a
17    manner that does not impair normal operations of State
18    offices located in the building;
19        c. Sells or dispenses alcoholic liquors only in
20    connection with an official activity in the building;
21        d. Provides, or its catering service provides, dram
22    shop liability insurance in maximum coverage limits and in
23    which the carrier agrees to defend, save harmless and
24    indemnify the State of Illinois from all financial loss,
25    damage or harm arising out of the selling or dispensing of
26    alcoholic liquors.

 

 

HB5373- 795 -LRB104 20029 AAS 33480 b

1    Nothing in this Act shall prevent a not-for-profit
2organization or agency of the State from employing the
3services of a catering establishment for the selling or
4dispensing of alcoholic liquors at functions authorized by the
5Department of Central Management Services.
6    Alcoholic liquors may be sold or delivered in a building
7that is owned by McLean County, situated on land owned by the
8county in the City of Bloomington, and used by the McLean
9County Historical Society if the sale or delivery is approved
10by an ordinance adopted by the county board, and the
11municipality in which the building is located may not prohibit
12that sale or delivery, notwithstanding any other provision of
13this Section. The regulation of the sale and delivery of
14alcoholic liquor in a building that is owned by McLean County,
15situated on land owned by the county, and used by the McLean
16County Historical Society as provided in this paragraph is an
17exclusive power and function of the State and is a denial and
18limitation under Article VII, Section 6, subsection (h) of the
19Illinois Constitution of the power of a home rule municipality
20to regulate that sale and delivery.
21    Alcoholic liquors may be sold or delivered in any building
22situated on land held in trust for any school district
23organized under Article 34 of the School Code, if the building
24is not used for school purposes and if the sale or delivery is
25approved by the board of education.
26    Alcoholic liquors may be delivered to and sold at retail

 

 

HB5373- 796 -LRB104 20029 AAS 33480 b

1in any building owned by a public library district, provided
2that the delivery and sale is approved by the board of trustees
3of that public library district and is limited to library
4fundraising events or programs of a cultural or educational
5nature. Before the board of trustees of a public library
6district may approve the delivery and sale of alcoholic
7liquors, the board of trustees of the public library district
8must have a written policy that has been approved by the board
9of trustees of the public library district governing when and
10under what circumstances alcoholic liquors may be delivered to
11and sold at retail on property owned by that public library
12district. The written policy must (i) provide that no
13alcoholic liquor may be sold, distributed, or consumed in any
14area of the library accessible to the general public during
15the event or program, (ii) prohibit the removal of alcoholic
16liquor from the venue during the event, and (iii) require that
17steps be taken to prevent the sale or distribution of
18alcoholic liquor to persons under the age of 21. Any public
19library district that has alcoholic liquor delivered to or
20sold at retail on property owned by the public library
21district shall provide dram shop liability insurance in
22maximum insurance coverage limits so as to save harmless the
23public library districts from all financial loss, damage, or
24harm.
25    Alcoholic liquors may be sold or delivered in buildings
26owned by the Community Building Complex Committee of Boone

 

 

HB5373- 797 -LRB104 20029 AAS 33480 b

1County, Illinois if the person or facility selling or
2dispensing the alcoholic liquor has provided dram shop
3liability insurance with coverage and in amounts that the
4Committee reasonably determines are necessary.
5    Alcoholic liquors may be sold or delivered in the building
6located at 1200 Centerville Avenue in Belleville, Illinois and
7occupied by either the Belleville Area Special Education
8District or the Belleville Area Special Services Cooperative.
9    Alcoholic liquors may be delivered to and sold at the
10Louis Joliet Renaissance Center, City Center Campus, located
11at 214 N. Ottawa Street, Joliet, and the Food
12Services/Culinary Arts Department facilities, Main Campus,
13located at 1215 Houbolt Road, Joliet, owned by or under the
14control of Joliet Junior College, Illinois Community College
15District No. 525.
16    Alcoholic liquors may be delivered to and sold at Triton
17College, Illinois Community College District No. 504.
18    Alcoholic liquors may be delivered to and sold at the
19College of DuPage, Illinois Community College District No.
20502.
21    Alcoholic liquors may be delivered to and sold on any
22property owned, operated, or controlled by Lewis and Clark
23Community College, Illinois Community College District No.
24536.
25    Alcoholic liquors may be delivered to and sold at the
26building located at 446 East Hickory Avenue in Apple River,

 

 

HB5373- 798 -LRB104 20029 AAS 33480 b

1Illinois, owned by the Apple River Fire Protection District,
2and occupied by the Apple River Community Association if the
3alcoholic liquor is sold or dispensed only in connection with
4organized functions approved by the Apple River Community
5Association for which the planned attendance is 20 or more
6persons and if the person or facility selling or dispensing
7the alcoholic liquor has provided dram shop liability
8insurance in maximum limits so as to hold harmless the Apple
9River Fire Protection District, the Village of Apple River,
10and the Apple River Community Association from all financial
11loss, damage, and harm.
12    Alcoholic liquors may be delivered to and sold at the
13Sikia Restaurant, Kennedy King College Campus, located at 740
14West 63rd Street, Chicago, and at the Food Services in the
15Great Hall/Washburne Culinary Institute Department facility,
16Kennedy King College Campus, located at 740 West 63rd Street,
17Chicago, owned by or under the control of City Colleges of
18Chicago, Illinois Community College District No. 508.
19    Alcoholic liquors may be delivered to and sold at the
20building located at 305 West Grove St. in Poplar Grove,
21Illinois that is owned and operated by North Boone Fire
22District #3 if the alcoholic liquor is sold or dispensed only
23in connection with organized functions approved by the North
24Boone Fire District #3 for which the planned attendance is 20
25or more persons and if the person or facility selling or
26dispensing the alcoholic liquor has provided dram shop

 

 

HB5373- 799 -LRB104 20029 AAS 33480 b

1liability insurance in maximum limits so as to hold harmless
2North Boone County Fire District #3 from all financial loss,
3damage, and harm.
4(Source: P.A. 103-956, eff. 8-9-24; 103-971, eff. 8-9-24;
5104-234, eff. 8-15-25; 104-417, eff. 8-15-25.)
 
6    Section 195. The Illinois Public Aid Code is amended by
7changing Sections 5-19, 9-6, 9A-7, and 9A-11 as follows:
 
8    (305 ILCS 5/5-19)  (from Ch. 23, par. 5-19)
9    Sec. 5-19. Healthy Kids Program.
10    (a) Any child under the age of 21 eligible to receive
11Medical Assistance from the Illinois Department under Article
12V of this Code shall be eligible for Early and Periodic
13Screening, Diagnosis and Treatment services provided by the
14Healthy Kids Program of the Illinois Department under the
15Social Security Act, 42 U.S.C. 1396d(r).
16    (b) Enrollment of Children in Medicaid. The Illinois
17Department shall provide for receipt and initial processing of
18applications for Medical Assistance for all pregnant women and
19children under the age of 21 at locations in addition to those
20used for processing applications for cash assistance,
21including disproportionate share hospitals, federally
22qualified health centers and other sites as selected by the
23Illinois Department.
24    (c) Healthy Kids Examinations. The Illinois Department

 

 

HB5373- 800 -LRB104 20029 AAS 33480 b

1shall consider any examination of a child eligible for the
2Healthy Kids services provided by a medical provider meeting
3the requirements and complying with the rules and regulations
4of the Illinois Department to be reimbursed as a Healthy Kids
5examination.
6    (d) Medical Screening Examinations.
7        (1) The Illinois Department shall insure Medicaid
8    coverage for periodic health, vision, hearing, and dental
9    screenings for children eligible for Healthy Kids services
10    scheduled from a child's birth up until the child turns 21
11    years. The Illinois Department shall pay for vision,
12    hearing, dental and health screening examinations for any
13    child eligible for Healthy Kids services by qualified
14    providers at intervals established by Department rules.
15        (2) The Illinois Department shall pay for an
16    interperiodic health, vision, hearing, or dental screening
17    examination for any child eligible for Healthy Kids
18    services whenever an examination is:
19            (A) requested by a child's parent, guardian, or
20        custodian, or is determined to be necessary or
21        appropriate by social services, developmental, health,
22        or educational personnel; or
23            (B) necessary for enrollment in school; or
24            (C) necessary for enrollment in a licensed child
25        day care program, including Head Start; or
26            (D) necessary for placement in a licensed child

 

 

HB5373- 801 -LRB104 20029 AAS 33480 b

1        welfare facility, including a foster home, group home
2        or child care institution; or
3            (E) necessary for attendance at a camping program;
4        or
5            (F) necessary for participation in an organized
6        athletic program; or
7            (G) necessary for enrollment in an early childhood
8        education program recognized by the Illinois State
9        Board of Education; or
10            (H) necessary for participation in a Women,
11        Infant, and Children (WIC) program; or
12            (I) deemed appropriate by the Illinois Department.
13    (e) Minimum Screening Protocols For Periodic Health
14Screening Examinations. Health Screening Examinations must
15include the following services:
16        (1) Comprehensive Health and Development Assessment
17    including:
18            (A) Development/Mental Health/Psychosocial
19        Assessment; and
20            (B) Assessment of nutritional status including
21        tests for iron deficiency and anemia for children at
22        the following ages: 9 months, 2 years, 8 years, and 18
23        years;
24        (2) Comprehensive unclothed physical exam;
25        (3) Appropriate immunizations at a minimum, as
26    required by the Secretary of the U.S. Department of Health

 

 

HB5373- 802 -LRB104 20029 AAS 33480 b

1    and Human Services under 42 U.S.C. 1396d(r).
2        (4) Appropriate laboratory tests including blood lead
3    levels appropriate for age and risk factors.
4            (A) Anemia test.
5            (B) Sickle cell test.
6            (C) Tuberculin test at 12 months of age and every
7        1-2 years thereafter unless the treating health care
8        professional determines that testing is medically
9        contraindicated.
10            (D) Other -- The Illinois Department shall insure
11        that testing for HIV, drug exposure, and sexually
12        transmitted diseases is provided for as clinically
13        indicated.
14        (5) Health Education. The Illinois Department shall
15    require providers to provide anticipatory guidance as
16    recommended by the American Academy of Pediatrics.
17        (6) Vision Screening. The Illinois Department shall
18    require providers to provide vision screenings consistent
19    with those set forth in the Department of Public Health's
20    Administrative Rules.
21        (7) Hearing Screening. The Illinois Department shall
22    require providers to provide hearing screenings consistent
23    with those set forth in the Department of Public Health's
24    Administrative Rules.
25        (8) Dental Screening. The Illinois Department shall
26    require providers to provide dental screenings consistent

 

 

HB5373- 803 -LRB104 20029 AAS 33480 b

1    with those set forth in the Department of Public Health's
2    Administrative Rules.
3    (f) Covered Medical Services. The Illinois Department
4shall provide coverage for all necessary health care,
5diagnostic services, treatment and other measures to correct
6or ameliorate defects, physical and mental illnesses, and
7conditions whether discovered by the screening services or not
8for all children eligible for Medical Assistance under Article
9V of this Code.
10    (g) Notice of Healthy Kids Services.
11        (1) The Illinois Department shall inform any child
12    eligible for Healthy Kids services and the child's family
13    about the benefits provided under the Healthy Kids
14    Program, including, but not limited to, the following:
15    what services are available under Healthy Kids, including
16    discussion of the periodicity schedules and immunization
17    schedules, that services are provided at no cost to
18    eligible children, the benefits of preventive health care,
19    where the services are available, how to obtain them, and
20    that necessary transportation and scheduling assistance is
21    available.
22        (2) The Illinois Department shall widely disseminate
23    information regarding the availability of the Healthy Kids
24    Program throughout the State by outreach activities which
25    shall include, but not be limited to, (i) the development
26    of cooperation agreements with local school districts,

 

 

HB5373- 804 -LRB104 20029 AAS 33480 b

1    public health agencies, clinics, hospitals and other
2    health care providers, including developmental disability
3    and mental health providers, and with charities, to notify
4    the constituents of each of the Program and assist
5    individuals, as feasible, with applying for the Program,
6    (ii) using the media for public service announcements and
7    advertisements of the Program, and (iii) developing
8    posters advertising the Program for display in hospital
9    and clinic waiting rooms.
10        (3) The Illinois Department shall utilize accepted
11    methods for informing persons who are illiterate, blind,
12    deaf, or cannot understand the English language, including
13    but not limited to public services announcements and
14    advertisements in the foreign language media of radio,
15    television and newspapers.
16        (4) The Illinois Department shall provide notice of
17    the Healthy Kids Program to every child eligible for
18    Healthy Kids services and his or her family at the
19    following times:
20            (A) orally by the intake worker and in writing at
21        the time of application for Medical Assistance;
22            (B) at the time the applicant is informed that he
23        or she is eligible for Medical Assistance benefits;
24        and
25            (C) at least 20 days before the date of any
26        periodic health, vision, hearing, and dental

 

 

HB5373- 805 -LRB104 20029 AAS 33480 b

1        examination for any child eligible for Healthy Kids
2        services. Notice given under this subparagraph (C)
3        must state that a screening examination is due under
4        the periodicity schedules and must advise the eligible
5        child and his or her family that the Illinois
6        Department will provide assistance in scheduling an
7        appointment and arranging medical transportation.
8    (h) Data Collection. The Illinois Department shall collect
9data in a usable form to track utilization of Healthy Kids
10screening examinations by children eligible for Healthy Kids
11services, including but not limited to data showing screening
12examinations and immunizations received, a summary of
13follow-up treatment received by children eligible for Healthy
14Kids services and the number of children receiving dental,
15hearing and vision services.
16    (i) On and after July 1, 2012, the Department shall reduce
17any rate of reimbursement for services or other payments or
18alter any methodologies authorized by this Code to reduce any
19rate of reimbursement for services or other payments in
20accordance with Section 5-5e.
21    (j) To ensure full access to the benefits set forth in this
22Section, on and after January 1, 2022, the Illinois Department
23shall ensure that provider and hospital reimbursements for
24immunization as required under this Section are no lower than
2570% of the median regional maximum administration fee for the
26State of Illinois as established by the U.S. Department of

 

 

HB5373- 806 -LRB104 20029 AAS 33480 b

1Health and Human Services' Centers for Medicare and Medicaid
2Services.
3(Source: P.A. 102-43, eff. 7-6-21.)
 
4    (305 ILCS 5/9-6)  (from Ch. 23, par. 9-6)
5    Sec. 9-6. Job Search, Training and Work Programs. The
6Illinois Department and local governmental units shall
7initiate, promote and develop job search, training and work
8programs which will provide employment for and contribute to
9the training and experience of persons receiving aid under
10Articles III, V, and VI.
11    The job search, training and work programs shall be
12designed to preserve and improve the work habits and skills of
13recipients for whom jobs are not otherwise immediately
14available and to provide training and experience for
15recipients who lack the skills required for such employment
16opportunities as are or may become available. The Illinois
17Department and local governmental unit shall determine by rule
18those classes of recipients who shall be subject to
19participation in such programs. If made subject to
20participation, every applicant for or recipient of public aid
21who is determined to be "able to engage in employment", as
22defined by the Department or local governmental unit pursuant
23to rules and regulations, for whom unsubsidized jobs are not
24otherwise immediately available shall be required to
25participate in any program established under this Section.

 

 

HB5373- 807 -LRB104 20029 AAS 33480 b

1    The Illinois Department shall establish with the Director
2of Central Management Services an outreach and training
3program designed to encourage and assist recipients
4participating in job search, training and work programs to
5participate in open competitive examinations for trainee and
6other entry level positions to maximize opportunities for
7placement on open competitive eligible listings and referral
8to State agencies for employment consideration.
9    The Department shall provide payment for transportation,
10child care day-care and Workers' Compensation costs which
11occur for recipients as a result of participating in job
12search, training and work programs as described in this
13Section. The Department may decline to initiate such programs
14in areas where eligible recipients would be so few in number as
15to not economically justify such programs; and in this event
16the Department shall not require persons in such areas to
17participate in any job search, training, or work programs
18whatsoever as a condition of their continued receipt of, or
19application for, aid.
20    The programs may include, but shall not be limited to,
21service in child care centers, in preschool programs as
22teacher aides and in public health programs as home visitors
23and health aides; the maintenance of or services required in
24connection with public offices, buildings and grounds; state,
25county and municipal hospitals, forest preserves, parks,
26playgrounds, streets and highways, and other governmental

 

 

HB5373- 808 -LRB104 20029 AAS 33480 b

1maintenance or construction directed toward environmental
2improvement; and similar facilities.
3    The Illinois Department or local governmental units may
4enter into agreements with local taxing bodies and private
5not-for-profit organizations, agencies and institutions to
6provide for the supervision and administration of job search,
7work and training projects authorized by this Section. Such
8agreements shall stipulate the requirements for utilization of
9recipients in such projects. In addition to any other
10requirements dealing with the administration of these
11programs, the Department shall assure, pursuant to rules and
12regulations, that:
13        (a) Recipients may not displace regular employees.
14        (b) The maximum number of hours of mandatory work is 8
15    hours per day and 40 hours per week, not to exceed 120
16    hours per month.
17        (c) The maximum number of hours per month shall be
18    determined by dividing the recipient's benefits by the
19    federal minimum wage, rounded to the lowest full hour.
20    "Recipient's benefits" in this subsection includes: (i)
21    both cash assistance and food stamps provided to the
22    entire assistance unit or household by the Illinois
23    Department where the job search, work and training program
24    is administered by the Illinois Department and, where
25    federal programs are involved, includes all such cash
26    assistance and food stamps provided to the greatest extent

 

 

HB5373- 809 -LRB104 20029 AAS 33480 b

1    allowed by federal law; or (ii) includes only cash
2    assistance provided to the entire assistance unit by the
3    local governmental unit where the job search, work and
4    training program is administered by the local governmental
5    unit.
6        (d) The recipient shall be provided or compensated for
7    transportation to and from the work location.
8        (e) Appropriate terms regarding recipient compensation
9    are met.
10    Local taxing bodies and private not-for-profit
11organizations, agencies and institutions which utilize
12recipients in job search, work and training projects
13authorized by this Section are urged to include such
14recipients in the formulation of their employment policies.
15    Unless directly paid by an employing local taxing body or
16not-for-profit agency, a recipient participating in a work
17project who meets all requirements set forth by the Illinois
18Department shall receive credit towards his or her monthly
19assistance benefits for work performed based upon the
20applicable minimum wage rate. Where a recipient is paid
21directly by an employing agency, the Illinois Department or
22local governmental unit shall provide for payment to such
23employing entity the appropriate amount of assistance benefits
24to which the recipient would otherwise be entitled under this
25Code.
26    The Illinois Department or its designee, including local

 

 

HB5373- 810 -LRB104 20029 AAS 33480 b

1governmental units, may enter into agreements with the
2agencies or institutions providing work under programs
3established hereunder for payment to each such employer
4(hereinafter called "public service employer") of all or a
5portion of the wages to be paid to persons for the work
6performed and other appropriate costs.
7    If the number of persons receiving aid under Article VI is
8insufficient to justify the establishment of job search,
9training and work programs on a local basis by a local
10governmental unit, or if for other good cause the
11establishment of a local program is impractical or
12unwarranted, the local governmental unit shall cooperate with
13other local governmental units, with civic and non-profit
14community agencies, and with the Illinois Department in
15developing a program or programs which will jointly serve the
16participating governmental units and agencies.
17    A local governmental unit receiving State funds shall
18refer all recipients able to engage in employment to such job
19search, training and work programs as are established, whether
20within or without the governmental unit, and as are accessible
21to persons receiving aid from the governmental unit. The
22Illinois Department shall withhold allocation of state funds
23to any governmental unit which fails or refuses to make such
24referrals.
25    Participants in job search, training and work programs
26shall be required to maintain current registration for regular

 

 

HB5373- 811 -LRB104 20029 AAS 33480 b

1employment under Section 11-10 and to accept any bona fide
2offer of regular employment. They shall likewise be required
3to accept education, work and training opportunities available
4to them under other provisions of this Code or Federal law. The
5Illinois Department or local governmental unit shall provide
6by rule for periodic review of the circumstances of each
7participant to determine the feasibility of his placement in
8regular employment or other work, education and training
9opportunities.
10    Moneys made available for public aid purposes under
11Articles IV and VI may be expended to pay public service
12employers all or a portion of the wages of public service
13employees and other appropriate costs, to provide necessary
14supervisory personnel and equipment, to purchase Workers'
15Compensation Insurance or to pay Workers' Compensation claims,
16and to provide transportation to and from work sites.
17    The Department shall provide through rules and regulations
18for sanctions against applicants and recipients of aid under
19this Code who fail to cooperate with the regulations and
20requirements established pursuant to this Section. Such
21sanctions may include the loss of eligibility to receive aid
22under Article VI of this Code for up to 3 months.
23    The Department, in cooperation with a local governmental
24unit, may maintain a roster of persons who are required to
25participate in a local job search, training and work program.
26In such cases, the roster shall be available for inspection by

 

 

HB5373- 812 -LRB104 20029 AAS 33480 b

1employers for the selection of possible workers.
2    In addition to the programs authorized by this Section,
3the Illinois Department is authorized to administer any job
4search, training or work projects in conjunction with the
5Federal Food Stamp Program, either under this Section or under
6other regulations required by the Federal government.
7    The Illinois Department may also administer pilot programs
8to provide job search, training and work programs to
9unemployed parents of children receiving child support
10enforcement services under Article X of this Code.
11(Source: P.A. 92-111, eff. 1-1-02; 92-590, eff. 7-1-02.)
 
12    (305 ILCS 5/9A-7)  (from Ch. 23, par. 9A-7)
13    Sec. 9A-7. Good cause and pre-sanction process.
14    (a) The Department shall establish by rule what
15constitutes good cause for failure to participate in
16education, training and employment programs, failure to accept
17suitable employment or terminating employment or reducing
18earnings.
19    The Department shall establish, by rule, a pre-sanction
20process to assist in resolving disputes over proposed
21sanctions and in determining if good cause exists. Good cause
22shall include, but not be limited to:
23        (1) temporary illness for its duration;
24        (2) court required appearance or temporary
25    incarceration;

 

 

HB5373- 813 -LRB104 20029 AAS 33480 b

1        (3) (blank);
2        (4) death in the family;
3        (5) (blank);
4        (6) (blank);
5        (7) (blank);
6        (8) (blank);
7        (9) extreme inclement weather;
8        (10) (blank);
9        (11) lack of any support service even though the
10    necessary service is not specifically provided under the
11    Department program, to the extent the lack of the needed
12    service presents a significant barrier to participation;
13        (12) if an individual is engaged in employment or
14    training or both that is consistent with the employment
15    related goals of the program, if such employment and
16    training is later approved by Department staff;
17        (13) (blank);
18        (14) failure of Department staff to correctly forward
19    the information to other Department staff;
20        (15) failure of the participant to cooperate because
21    of attendance at a test or a mandatory class or function at
22    an educational program (including college), when an
23    education or training program is officially approved by
24    the Department;
25        (16) failure of the participant due to his or her
26    illiteracy;

 

 

HB5373- 814 -LRB104 20029 AAS 33480 b

1        (17) failure of the participant because it is
2    determined that he or she should be in a different
3    activity;
4        (18) non-receipt by the participant of a notice
5    advising him or her of a participation requirement. If the
6    non-receipt of mail occurs frequently, the Department
7    shall explore an alternative means of providing notices of
8    participation requests to participants;
9        (19) (blank);
10        (20) non-comprehension of English, either written or
11    oral or both;
12        (21) (blank);
13        (22) (blank);
14        (23) child care (or child day care for an
15    incapacitated individual living in the same home as a
16    dependent child) is necessary for the participation or
17    employment and such care is not available for a child
18    under age 13;
19        (24) failure to participate in an activity due to a
20    scheduled job interview, medical appointment for the
21    participant or a household member, or school appointment;
22        (25) if an individual or family is experiencing
23    homelessness; an individual or family is experiencing
24    homelessness if the individual or family: (i) lacks a
25    fixed, regular, and adequate nighttime residence, or
26    shares the housing of other persons due to the loss of

 

 

HB5373- 815 -LRB104 20029 AAS 33480 b

1    housing, economic hardship, or a similar reason; (ii) is
2    living in a motel, hotel, trailer park, or camping ground
3    due to the lack of alternative accommodations; (iii) is
4    living in an emergency or transitional shelter; (iv)
5    resides in a primary nighttime residence that is a public
6    or private place not designed for or ordinarily used as a
7    regular sleeping accommodation for human beings; or (v) is
8    living in a car, park, public space, abandoned building,
9    substandard housing, bus, train station, or similar
10    settings;
11        (26) circumstances beyond the control of the
12    participant which prevent the participant from completing
13    program requirements;
14        (27) (blank);
15        (28) if an individual or family receives an eviction
16    notice;
17        (29) if an individual's or family's utilities are
18    disconnected;
19        (30) if an individual or family receives an utility
20    disconnection notice; or
21        (31) if an individual is exiting a publicly funded
22    institution or system of care (such as a health-care
23    facility, a mental health facility, foster care or other
24    youth facility, or correction program or institution)
25    without an option to move to a fixed, adequate night time
26    residence.

 

 

HB5373- 816 -LRB104 20029 AAS 33480 b

1    (b) (Blank).
2    (c)(1) The Department shall establish a reconciliation
3procedure to assist in resolving disputes related to any
4aspect of participation, including exemptions, good cause,
5sanctions or proposed sanctions, supportive services,
6assessments, responsibility and service plans, assignment to
7activities, suitability of employment, or refusals of offers
8of employment. Through the reconciliation process the
9Department shall have a mechanism to identify good cause,
10ensure that the client is aware of the issue, and enable the
11client to perform required activities without facing sanction.
12    (2) A participant may request reconciliation and receive
13notice in writing of a meeting. At least one face-to-face
14meeting may be scheduled to resolve misunderstandings or
15disagreements related to program participation and situations
16which may lead to a potential sanction. The meeting will
17address the underlying reason for the dispute and plan a
18resolution to enable the individual to participate in TANF
19employment and work activity requirements.
20    (2.5) If the individual fails to appear at the
21reconciliation meeting without good cause, the reconciliation
22is unsuccessful and a sanction shall be imposed.
23    (3) The reconciliation process shall continue after it is
24determined that the individual did not have good cause for
25non-cooperation. Any necessary demonstration of cooperation on
26the part of the participant will be part of the reconciliation

 

 

HB5373- 817 -LRB104 20029 AAS 33480 b

1process. Failure to demonstrate cooperation will result in
2immediate sanction.
3    (4) For the first instance of non-cooperation, if the
4client reaches agreement to cooperate, the client shall be
5allowed 30 days to demonstrate cooperation before any sanction
6activity may be imposed. In any subsequent instances of
7non-cooperation, the client shall be provided the opportunity
8to show good cause or remedy the situation by immediately
9complying with the requirement.
10    (5) The Department shall document in the case record the
11proceedings of the reconciliation and provide the client in
12writing with a reconciliation agreement.
13    (6) If reconciliation resolves the dispute, no sanction
14shall be imposed. If the client fails to comply with the
15reconciliation agreement, the Department shall then
16immediately impose the original sanction. If the dispute
17cannot be resolved during reconciliation, a sanction shall not
18be imposed until the reconciliation process is complete.
19(Source: P.A. 101-103, eff. 7-19-19.)
 
20    (305 ILCS 5/9A-11)  (from Ch. 23, par. 9A-11)
21    Sec. 9A-11. Child care.
22    (a) The General Assembly recognizes that families with
23children need child care in order to work. Child care is
24expensive and families with limited access to economic
25resources, including those who are transitioning from welfare

 

 

HB5373- 818 -LRB104 20029 AAS 33480 b

1to work, often struggle to pay the costs of child day care. The
2General Assembly understands the importance of helping working
3families with limited access to economic resources become and
4remain self-sufficient. The General Assembly also believes
5that it is the responsibility of families to share in the costs
6of child care. It is also the preference of the General
7Assembly that all working families with limited access to
8economic resources should be treated equally, regardless of
9their welfare status.
10    (b) To the extent resources permit, the Illinois
11Department shall provide child care services to parents or
12other relatives as defined by rule who are working or
13participating in employment or Department approved education
14or training programs. At a minimum, the Illinois Department
15shall cover the following categories of families:
16        (1) recipients of TANF under Article IV participating
17    in work and training activities as specified in the
18    personal plan for employment and self-sufficiency;
19        (2) families transitioning from TANF to work;
20        (3) families at risk of becoming recipients of TANF;
21        (4) families with special needs as defined by rule;
22        (5) working families with very low incomes as defined
23    by rule;
24        (6) families that are not recipients of TANF and that
25    need child care assistance to participate in education and
26    training activities;

 

 

HB5373- 819 -LRB104 20029 AAS 33480 b

1        (7) youth in care, as defined in Section 4d of the
2    Children and Family Services Act, who are parents,
3    regardless of income or whether they are working or
4    participating in Department-approved employment or
5    education or training programs. Any family that receives
6    child care assistance in accordance with this paragraph
7    shall receive one additional 12-month child care
8    eligibility period after the parenting youth in care's
9    case with the Department of Children and Family Services
10    is closed, regardless of income or whether the parenting
11    youth in care is working or participating in
12    Department-approved employment or education or training
13    programs;
14        (8) families receiving Extended Family Support Program
15    services from the Department of Children and Family
16    Services, regardless of income or whether they are working
17    or participating in Department-approved employment or
18    education or training programs; and
19        (9) families with children under the age of 5 who have
20    an open intact family services case with the Department of
21    Children and Family Services. Any family that receives
22    child care assistance in accordance with this paragraph
23    shall remain eligible for child care assistance 6 months
24    after the child's intact family services case is closed,
25    regardless of whether the child's parents or other
26    relatives as defined by rule are working or participating

 

 

HB5373- 820 -LRB104 20029 AAS 33480 b

1    in Department approved employment or education or training
2    programs. The Department of Early Childhood, in
3    consultation with the Department of Children and Family
4    Services, shall adopt rules to protect the privacy of
5    families who are the subject of an open intact family
6    services case when such families enroll in child care
7    services. Additional rules shall be adopted to offer
8    children who have an open intact family services case the
9    opportunity to receive an Early Intervention screening and
10    other services that their families may be eligible for as
11    provided by the Department of Human Services.
12    Beginning October 1, 2027, and every October 1 thereafter,
13the Department of Children and Family Services shall report to
14the General Assembly on the number of children who received
15child care via vouchers paid for by the Department of Early
16Childhood during the preceding fiscal year. The report shall
17include the ages of children who received child care, the type
18of child care they received, and the number of months they
19received child care.
20    The Department shall specify by rule the conditions of
21eligibility, the application process, and the types, amounts,
22and duration of services. Eligibility for child care benefits
23and the amount of child care provided may vary based on family
24size, income, and other factors as specified by rule.
25    The Department shall update the Child Care Assistance
26Program Eligibility Calculator posted on its website to

 

 

HB5373- 821 -LRB104 20029 AAS 33480 b

1include a question on whether a family is applying for child
2care assistance for the first time or is applying for a
3redetermination of eligibility.
4    A family's eligibility for child care services shall be
5redetermined no sooner than 12 months following the initial
6determination or most recent redetermination. During the
712-month periods, the family shall remain eligible for child
8care services regardless of (i) a change in family income,
9unless family income exceeds 85% of State median income, or
10(ii) a temporary change in the ongoing status of the parents or
11other relatives, as defined by rule, as working or attending a
12job training or educational program.
13    In determining income eligibility for child care benefits,
14the Department annually, at the beginning of each fiscal year,
15shall establish, by rule, one income threshold for each family
16size, in relation to percentage of State median income for a
17family of that size, that makes families with incomes below
18the specified threshold eligible for assistance and families
19with incomes above the specified threshold ineligible for
20assistance. Through and including fiscal year 2007, the
21specified threshold must be no less than 50% of the
22then-current State median income for each family size.
23Beginning in fiscal year 2008, the specified threshold must be
24no less than 185% of the then-current federal poverty level
25for each family size. Notwithstanding any other provision of
26law or administrative rule to the contrary, beginning in

 

 

HB5373- 822 -LRB104 20029 AAS 33480 b

1fiscal year 2019, the specified threshold for working families
2with very low incomes as defined by rule must be no less than
3185% of the then-current federal poverty level for each family
4size. Notwithstanding any other provision of law or
5administrative rule to the contrary, beginning in State fiscal
6year 2022 through State fiscal year 2023, the specified income
7threshold shall be no less than 200% of the then-current
8federal poverty level for each family size. Beginning in State
9fiscal year 2024, the specified income threshold shall be no
10less than 225% of the then-current federal poverty level for
11each family size.
12    In determining eligibility for assistance, the Department
13shall not give preference to any category of recipients or
14give preference to individuals based on their receipt of
15benefits under this Code.
16    Nothing in this Section shall be construed as conferring
17entitlement status to eligible families.
18    The Illinois Department is authorized to lower income
19eligibility ceilings, raise parent co-payments, create waiting
20lists, or take such other actions during a fiscal year as are
21necessary to ensure that child care benefits paid under this
22Article do not exceed the amounts appropriated for those child
23care benefits. These changes may be accomplished by emergency
24rule under Section 5-45 of the Illinois Administrative
25Procedure Act, except that the limitation on the number of
26emergency rules that may be adopted in a 24-month period shall

 

 

HB5373- 823 -LRB104 20029 AAS 33480 b

1not apply.
2    The Illinois Department may contract with other State
3agencies or child care organizations for the administration of
4child care services.
5    (c) Payment shall be made for child care that otherwise
6meets the requirements of this Section and applicable
7standards of State and local law and regulation, including any
8requirements the Illinois Department promulgates by rule.
9Through June 30, 2026, the rules of this Section include
10licensure requirements adopted by the Department of Children
11and Family Services. On and after July 1, 2026, the rules of
12this Section include licensure requirements adopted by the
13Department of Early Childhood. In addition, the regulations of
14this Section include the Fire Prevention and Safety
15requirements promulgated by the Office of the State Fire
16Marshal, and is provided in any of the following:
17        (1) a child care center which is licensed or exempt
18    from licensure pursuant to Section 2.09 of the Child Care
19    Act of 1969;
20        (2) a licensed child care home or home exempt from
21    licensing;
22        (3) a licensed group child care home;
23        (4) other types of child care, including child care
24    provided by relatives or persons living in the same home
25    as the child, as determined by the Illinois Department by
26    rule.

 

 

HB5373- 824 -LRB104 20029 AAS 33480 b

1    (c-5) Solely for the purposes of coverage under the
2Illinois Public Labor Relations Act, child and day care home
3providers, including licensed and license exempt,
4participating in the Department's child care assistance
5program shall be considered to be public employees and the
6State of Illinois shall be considered to be their employer as
7of January 1, 2006 (the effective date of Public Act 94-320),
8but not before. The State shall engage in collective
9bargaining with an exclusive representative of child and day
10care home providers participating in the child care assistance
11program concerning their terms and conditions of employment
12that are within the State's control. Nothing in this
13subsection shall be understood to limit the right of families
14receiving services defined in this Section to select child and
15day care home providers or supervise them within the limits of
16this Section. The State shall not be considered to be the
17employer of child and day care home providers for any purposes
18not specifically provided in Public Act 94-320, including, but
19not limited to, purposes of vicarious liability in tort and
20purposes of statutory retirement or health insurance benefits.
21Child and day care home providers shall not be covered by the
22State Employees Group Insurance Act of 1971.
23    In according child and day care home providers and their
24selected representative rights under the Illinois Public Labor
25Relations Act, the State intends that the State action
26exemption to application of federal and State antitrust laws

 

 

HB5373- 825 -LRB104 20029 AAS 33480 b

1be fully available to the extent that their activities are
2authorized by Public Act 94-320.
3    (d) The Illinois Department shall establish, by rule, a
4co-payment scale that provides for cost sharing by families
5that receive child care services, including parents whose only
6income is from assistance under this Code. The co-payment
7shall be based on family income and family size and may be
8based on other factors as appropriate. Co-payments may be
9waived for families whose incomes are at or below the federal
10poverty level.
11    (d-5) The Illinois Department, in consultation with its
12Child Care and Development Advisory Council, shall develop a
13plan to revise the child care assistance program's co-payment
14scale. The plan shall be completed no later than February 1,
152008, and shall include:
16        (1) findings as to the percentage of income that the
17    average American family spends on child care and the
18    relative amounts that low-income families and the average
19    American family spend on other necessities of life;
20        (2) recommendations for revising the child care
21    co-payment scale to assure that families receiving child
22    care services from the Department are paying no more than
23    they can reasonably afford;
24        (3) recommendations for revising the child care
25    co-payment scale to provide at-risk children with complete
26    access to Preschool for All and Head Start; and

 

 

HB5373- 826 -LRB104 20029 AAS 33480 b

1        (4) recommendations for changes in child care program
2    policies that affect the affordability of child care.
3    (e) (Blank).
4    (f) The Illinois Department shall, by rule, set rates to
5be paid for the various types of child care. Child care may be
6provided through one of the following methods:
7        (1) arranging the child care through eligible
8    providers by use of purchase of service contracts or
9    vouchers;
10        (2) arranging with other agencies and community
11    volunteer groups for non-reimbursed child care;
12        (3) (blank); or
13        (4) adopting such other arrangements as the Department
14    determines appropriate.
15    (f-1) Within 30 days after June 4, 2018 (the effective
16date of Public Act 100-587), the Department of Human Services
17shall establish rates for child care providers that are no
18less than the rates in effect on January 1, 2018 increased by
194.26%.
20    (f-5) (Blank).
21    (g) Families eligible for assistance under this Section
22shall be given the following options:
23        (1) receiving a child care certificate issued by the
24    Department or a subcontractor of the Department that may
25    be used by the parents as payment for child care and
26    development services only; or

 

 

HB5373- 827 -LRB104 20029 AAS 33480 b

1        (2) if space is available, enrolling the child with a
2    child care provider that has a purchase of service
3    contract with the Department or a subcontractor of the
4    Department for the provision of child care and development
5    services. The Department may identify particular priority
6    populations for whom they may request special
7    consideration by a provider with purchase of service
8    contracts, provided that the providers shall be permitted
9    to maintain a balance of clients in terms of household
10    incomes and families and children with special needs, as
11    defined by rule.
12(Source: P.A. 102-491, eff. 8-20-21; 102-813, eff. 5-13-22;
13102-926, eff. 5-27-22; 103-8, eff. 6-7-23; 103-594, eff.
146-25-24.)
 
15    Section 197. The Department of Early Childhood Act is
16amended by changing the heading of Article 20 and Sections
1720-10, 20-15, 20-20, 20-25, and 20-35 by changing Section 1-10
18as follows:
 
19    (325 ILCS 3/1-10)
20    Sec. 1-10. Purpose. It is the purpose of this Act to
21provide for the creation of the Department of Early Childhood
22and to transfer to it certain rights, powers, duties, and
23functions currently exercised by various agencies of State
24Government. The Department of Early Childhood shall be the

 

 

HB5373- 828 -LRB104 20029 AAS 33480 b

1lead State agency for administering and providing early
2childhood education and care programs and services to children
3and families. This Act centralizes home-visiting services,
4early intervention services, preschool services, child care
5services, licensing for child day care centers, child day care
6homes, and group child day care homes, and other early
7childhood education and care programs and administrative
8functions historically managed by the Illinois State Board of
9Education, the Illinois Department of Human Services, and the
10Illinois Department of Children and Family Services.
11Centralizing early childhood functions into a single State
12agency is intended to simplify the process for parents and
13caregivers to identify and enroll children in early childhood
14services, to create new, equity-driven statewide systems, to
15streamline administrative functions for providers, and to
16improve kindergarten readiness for children.
17(Source: P.A. 103-594, eff. 6-25-24.)
 
18    (325 ILCS 3/Art. 20 heading)
19
ARTICLE 20. POWERS AND DUTIES RELATING TO CHILD CARE AND DAY
20
CARE LICENSING
21(Source: P.A. 103-594, eff. 6-25-24.)
 
22    (325 ILCS 3/20-10)
23    Sec. 20-10. Child care.
24    (a) The General Assembly recognizes that families with

 

 

HB5373- 829 -LRB104 20029 AAS 33480 b

1children need child care in order to work. Child care is
2expensive and families with limited access to economic
3resources, including those who are transitioning from welfare
4to work, often struggle to pay the costs of child day care. The
5General Assembly understands the importance of helping working
6families with limited access to economic resources become and
7remain self-sufficient. The General Assembly also believes
8that it is the responsibility of families to share in the costs
9of child care. It is also the preference of the General
10Assembly that all working families with limited access to
11economic resources should be treated equally, regardless of
12their welfare status.
13    (b) On and after July 1, 2026, to the extent resources
14permit, the Illinois Department of Early Childhood shall
15provide child care services to parents or other relatives as
16defined by rule who are working or participating in employment
17or Department approved education or training programs as
18prescribed in Section 9A-11 of the Illinois Public Aid Code.
19    (c) Smart Start Child Care Program. Through June 30, 2026,
20subject to appropriation, the Department of Human Services
21shall establish and administer the Smart Start Child Care
22Program. On and after July 1, 2026, the Department of Early
23Childhood shall administer the Smart Start Child Care Program.
24The Smart Start Child Care Program shall focus on creating
25affordable child care, as well as increasing access to child
26care, for Illinois residents and may include, but is not

 

 

HB5373- 830 -LRB104 20029 AAS 33480 b

1limited to, providing funding to increase preschool
2availability, providing funding for child care childcare
3workforce compensation or capital investments, and expanding
4funding for Early Childhood Access Consortium for Equity
5Scholarships. The Department with authority to administer the
6Smart Start Child Care Program shall establish program
7eligibility criteria, participation conditions, payment
8levels, and other program requirements by rule. The Department
9with authority to administer the Smart Start Child Care
10Program may consult with the Capital Development Board, the
11Department of Commerce and Economic Opportunity, the State
12Board of Education, and the Illinois Housing Development
13Authority, and other state agencies as determined by the
14Department in the management and disbursement of funds for
15capital-related projects. The Capital Development Board, the
16Department of Commerce and Economic Opportunity, the State
17Board of Education, and the Illinois Housing Development
18Authority, and other state agencies as determined by the
19Department shall act in a consulting role only for the
20evaluation of applicants, scoring of applicants, or
21administration of the grant program.
22(Source: P.A. 103-594, eff. 6-25-24.)
 
23    (325 ILCS 3/20-15)
24    Sec. 20-15. Child Day care services.
25    (a) For the purpose of ensuring effective statewide

 

 

HB5373- 831 -LRB104 20029 AAS 33480 b

1planning, development, and utilization of resources for the
2child day care of children, operated under various auspices,
3the Department of Early Childhood is designated on and after
4July 1, 2026 to coordinate all child day care activities for
5children of the State and shall develop or continue, and shall
6update every year, a State comprehensive child day care plan
7for submission to the Governor that identifies high-priority
8areas and groups, relating them to available resources and
9identifying the most effective approaches to the use of
10existing child day care services. The State comprehensive
11child day care plan shall be made available to the General
12Assembly following the Governor's approval of the plan.
13    The plan shall include methods and procedures for the
14development of additional child day care resources for
15children to meet the goal of reducing short-run and long-run
16dependency and to provide necessary enrichment and stimulation
17to the education of young children. Recommendations shall be
18made for State policy on optimum use of private and public,
19local, State and federal resources, including an estimate of
20the resources needed for the licensing and regulation of child
21day care facilities.
22    A written report shall be submitted to the Governor and
23the General Assembly annually on April 15. The report shall
24include an evaluation of developments over the preceding
25fiscal year, including cost-benefit analyses of various
26arrangements. Beginning with the report in 1990 submitted by

 

 

HB5373- 832 -LRB104 20029 AAS 33480 b

1the Department's predecessor agency and every 2 years
2thereafter, the report shall also include the following:
3        (1) An assessment of the child care services, needs
4    and available resources throughout the State and an
5    assessment of the adequacy of existing child care
6    services, including, but not limited to, services assisted
7    under this Act and under any other program administered by
8    other State agencies.
9        (2) A survey of child day care facilities to determine
10    the number of qualified caregivers, as defined by rule,
11    attracted to vacant positions and any problems encountered
12    by facilities in attracting and retaining capable
13    caregivers. The report shall include an assessment, based
14    on the survey, of improvements in employee benefits that
15    may attract capable caregivers.
16        (3) The average wages and salaries and fringe benefit
17    packages paid to caregivers throughout the State, computed
18    on a regional basis, compared to similarly qualified
19    employees in other but related fields.
20        (4) The qualifications of new caregivers hired at
21    licensed child day care facilities during the previous
22    2-year period.
23        (5) Recommendations for increasing caregiver wages and
24    salaries to ensure quality care for children.
25        (6) Evaluation of the fee structure and income
26    eligibility for child care subsidized by the State.

 

 

HB5373- 833 -LRB104 20029 AAS 33480 b

1    (b) The Department of Early Childhood shall establish
2policies and procedures for developing and implementing
3interagency agreements with other agencies of the State
4providing child care services or reimbursement for such
5services. The plans shall be annually reviewed and modified
6for the purpose of addressing issues of applicability and
7service system barriers.
8    (c) In cooperation with other State agencies, the
9Department of Early Childhood shall develop and implement, or
10shall continue, a resource and referral system for the State
11of Illinois either within the Department or by contract with
12local or regional agencies. Funding for implementation of this
13system may be provided through Department appropriations or
14other interagency funding arrangements. The resource and
15referral system shall provide at least the following services:
16        (1) Assembling and maintaining a database on the
17    supply of child care services.
18        (2) Providing information and referrals for parents.
19        (3) Coordinating the development of new child care
20    resources.
21        (4) Providing technical assistance and training to
22    child care service providers.
23        (5) Recording and analyzing the demand for child care
24    services.
25    (d) The Department of Early Childhood shall conduct child
26day care planning activities with the following priorities:

 

 

HB5373- 834 -LRB104 20029 AAS 33480 b

1        (1) Development of voluntary child day care resources
2    wherever possible, with the provision for grants-in-aid
3    only where demonstrated to be useful and necessary as
4    incentives or supports. The Department shall design a plan
5    to create more child care slots as well as goals and
6    timetables to improve quality and accessibility of child
7    care.
8        (2) Emphasis on service to children of recipients of
9    public assistance when such service will allow training or
10    employment of the parent toward achieving the goal of
11    independence.
12        (3) Care of children from families in stress and
13    crises whose members potentially may become, or are in
14    danger of becoming, non-productive and dependent.
15        (4) Expansion of family child day care facilities
16    wherever possible.
17        (5) Location of centers in economically depressed
18    neighborhoods, preferably in multi-service centers with
19    cooperation of other agencies. The Department shall
20    coordinate the provision of grants, but only to the extent
21    funds are specifically appropriated for this purpose, to
22    encourage the creation and expansion of child care centers
23    in high need communities to be issued by the State,
24    business, and local governments.
25        (6) Use of existing facilities free of charge or for
26    reasonable rental whenever possible in lieu of

 

 

HB5373- 835 -LRB104 20029 AAS 33480 b

1    construction.
2        (7) Development of strategies for assuring a more
3    complete range of child day care options, including
4    provision of child day care services in homes, in schools,
5    or in centers, which will enable parents to complete a
6    course of education or obtain or maintain employment and
7    the creation of more child care options for swing shift,
8    evening, and weekend workers and for working women with
9    sick children. The Department shall encourage companies to
10    provide child care in their own offices or in the building
11    in which the corporation is located so that employees of
12    all the building's tenants can benefit from the facility.
13        (8) Development of strategies for subsidizing students
14    pursuing degrees in the child care field.
15        (9) Continuation and expansion of service programs
16    that assist teen parents to continue and complete their
17    education.
18    Emphasis shall be given to support services that will help
19to ensure such parents' graduation from high school and to
20services for participants in any programs of job training
21conducted by the Department.
22    (e) The Department of Early Childhood shall actively
23stimulate the development of public and private resources at
24the local level. It shall also seek the fullest utilization of
25federal funds directly or indirectly available to the
26Department. Where appropriate, existing non-governmental

 

 

HB5373- 836 -LRB104 20029 AAS 33480 b

1agencies or associations shall be involved in planning by the
2Department.
3(Source: P.A. 103-594, eff. 6-25-24.)
 
4    (325 ILCS 3/20-20)
5    Sec. 20-20. Child Day care facilities for the children of
6migrant workers. On and after July 1, 2026, the Department of
7Early Childhood shall operate child day care facilities for
8the children of migrant workers in areas of the State where
9they are needed. The Department of Early Childhood may provide
10these child day care services by contracting with private
11centers if practicable. "Migrant worker" means any person who
12moves seasonally from one place to another, within or without
13the State, for the purpose of employment in agricultural
14activities.
15(Source: P.A. 103-594, eff. 6-25-24.)
 
16    (325 ILCS 3/20-25)
17    Sec. 20-25. Licensing child day care facilities.
18    (a) Beginning July 1, 2024, the Department of Early
19Childhood and the Department of Children and Family Services
20shall collaborate and plan for the transition of
21administrative responsibilities related to licensing child day
22care centers, child day care homes, and group child day care
23homes as prescribed throughout the Child Care Act of 1969.
24    (b) Beginning July 1, 2026, the Department of Early

 

 

HB5373- 837 -LRB104 20029 AAS 33480 b

1Childhood shall manage all facets of licensing for child day
2care centers, child day care homes, and group child day care
3homes as prescribed throughout the Child Care Act of 1969.
4(Source: P.A. 103-594, eff. 6-25-24.)
 
5    (325 ILCS 3/20-35)
6    Sec. 20-35. Great START program.
7    (a) Through June 30, 2026, the Department of Human
8Services shall, subject to a specific appropriation for this
9purpose, operate a Great START (Strategy To Attract and Retain
10Teachers) program. The goal of the program is to improve
11children's developmental and educational outcomes in child
12care by encouraging increased professional preparation by
13staff and staff retention. The Great START program shall
14coordinate with the TEACH professional development program.
15    The program shall provide wage supplements and may include
16other incentives to licensed child care center personnel,
17including early childhood teachers, school-age workers, early
18childhood assistants, school-age assistants, and directors, as
19such positions are defined by administrative rule of the
20Department of Children and Family Services. The program shall
21provide wage supplements and may include other incentives to
22licensed family child day care home personnel and licensed
23group child day care home personnel, including caregivers and
24assistants as such positions are defined by administrative
25rule of the Department of Children and Family Services.

 

 

HB5373- 838 -LRB104 20029 AAS 33480 b

1Individuals will receive supplements commensurate with their
2qualifications.
3    (b) On and after July 1, 2026, the Department of Early
4Childhood shall, subject to a specific appropriation for this
5purpose, operate a Great START program. The goal of the
6program is to improve children's developmental and educational
7outcomes in child care by encouraging increased professional
8preparation by staff and staff retention. The Great START
9program shall coordinate with the TEACH professional
10development program.
11    The program shall provide wage supplements and may include
12other incentives to licensed child care center personnel,
13including early childhood teachers, school-age workers, early
14childhood assistants, school-age assistants, and directors, as
15such positions are defined by administrative rule by the
16Department pursuant to subsections (a) and this subsection.
17    (c) The Department, pursuant to subsections (a) and (b),
18shall, by rule, define the scope and operation of the program,
19including a wage supplement scale. The scale shall pay
20increasing amounts for higher levels of educational attainment
21beyond minimum qualifications and shall recognize longevity of
22employment. Subject to the availability of sufficient
23appropriation, the wage supplements shall be paid to child
24care personnel in the form of bonuses at 6-month intervals.
25Six months of continuous service with a single employer is
26required to be eligible to receive a wage supplement bonus.

 

 

HB5373- 839 -LRB104 20029 AAS 33480 b

1Wage supplements shall be paid directly to individual child
2day care personnel, not to their employers. Eligible
3individuals must provide to the Department or its agent all
4information and documentation, including but not limited to
5college transcripts, to demonstrate their qualifications for a
6particular wage supplement level.
7    If appropriations permit, the Department may include
8one-time signing bonuses or other incentives to help providers
9attract staff, provided that the signing bonuses are less than
10the supplement staff would have received if they had remained
11employed with another child day care center or family child
12day care home.
13    If appropriations permit, the Department may include
14one-time longevity bonuses or other incentives to recognize
15staff who have remained with a single employer.
16(Source: P.A. 103-594, eff. 6-25-24.)
 
17    Section 200. The Abused and Neglected Child Reporting Act
18is amended by changing Sections 2, 4, and 8.2 as follows:
 
19    (325 ILCS 5/2)  (from Ch. 23, par. 2052)
20    Sec. 2. (a) The Illinois Department of Children and Family
21Services shall, upon receiving reports made under this Act,
22protect the health, safety, and best interests of the child in
23all situations in which the child is vulnerable to child abuse
24or neglect, offer protective services in order to prevent any

 

 

HB5373- 840 -LRB104 20029 AAS 33480 b

1further harm to the child and to other children in the same
2environment or family, stabilize the home environment, and
3preserve family life whenever possible. Recognizing that
4children also can be abused and neglected while living in
5public or private residential agencies or institutions meant
6to serve them, while attending child day care centers,
7schools, or religious activities, or when in contact with
8adults who are responsible for the welfare of the child at that
9time, this Act also provides for the reporting and
10investigation of child abuse and neglect in such instances. In
11performing any of these duties, the Department may utilize
12such protective services of voluntary agencies as are
13available.
14    (b) The Department shall be responsible for receiving and
15investigating reports of adult resident abuse or neglect under
16the provisions of this Act.
17(Source: P.A. 96-1446, eff. 8-20-10.)
 
18    (325 ILCS 5/4)
19    Sec. 4. Persons required to report; privileged
20communications; transmitting false report.
21    (a) The following persons are required to immediately
22report to the Department when they have reasonable cause to
23believe that a child known to them in their professional or
24official capacities may be an abused child or a neglected
25child:

 

 

HB5373- 841 -LRB104 20029 AAS 33480 b

1        (1) Medical personnel, including any: physician
2    licensed to practice medicine in any of its branches
3    (medical doctor or doctor of osteopathy); resident;
4    intern; medical administrator or personnel engaged in the
5    examination, care, and treatment of persons; psychiatrist;
6    surgeon; dentist; dental hygienist; chiropractic
7    physician; podiatric physician; physician assistant;
8    emergency medical technician; physical therapist; physical
9    therapy assistant; occupational therapist; occupational
10    therapy assistant; acupuncturist; registered nurse;
11    licensed practical nurse; advanced practice registered
12    nurse; genetic counselor; respiratory care practitioner;
13    home health aide; or certified nursing assistant.
14        (2) Social services and mental health personnel,
15    including any: licensed professional counselor; licensed
16    clinical professional counselor; licensed social worker;
17    licensed clinical social worker; licensed psychologist or
18    assistant working under the direct supervision of a
19    psychologist; associate licensed marriage and family
20    therapist; licensed marriage and family therapist; field
21    personnel of the Departments of Healthcare and Family
22    Services, Public Health, Human Services, Human Rights, or
23    Children and Family Services; supervisor or administrator
24    of the General Assistance program established under
25    Article VI of the Illinois Public Aid Code; social
26    services administrator; or substance abuse treatment

 

 

HB5373- 842 -LRB104 20029 AAS 33480 b

1    personnel.
2        (3) Crisis intervention personnel, including any:
3    crisis line or hotline personnel; or domestic violence
4    program personnel.
5        (4) Education personnel, including any: school
6    personnel (including administrators and certified and
7    non-certified school employees); personnel of institutions
8    of higher education; educational advocate assigned to a
9    child in accordance with the School Code; member of a
10    school board or the Chicago Board of Education or the
11    governing body of a private school (but only to the extent
12    required under subsection (d)); or truant officer.
13        (5) Recreation or athletic program or facility
14    personnel; or an athletic trainer.
15        (6) Child care personnel, including any: early
16    intervention provider as defined in the Early Intervention
17    Services System Act; director or staff assistant of a
18    nursery school or a child day care center; or foster
19    parent, homemaker, or child care worker.
20        (7) Law enforcement personnel, including any: law
21    enforcement officer; field personnel of the Department of
22    Juvenile Justice; field personnel of the Department of
23    Corrections; probation officer; or animal control officer
24    or field investigator of the Department of Agriculture's
25    Bureau of Animal Health and Welfare.
26        (8) Any funeral home director; funeral home director

 

 

HB5373- 843 -LRB104 20029 AAS 33480 b

1    and embalmer; funeral home employee; coroner; or medical
2    examiner.
3        (9) Any member of the clergy.
4        (10) Any physician, physician assistant, registered
5    nurse, licensed practical nurse, medical technician,
6    certified nursing assistant, licensed social worker,
7    licensed clinical social worker, or licensed professional
8    counselor of any office, clinic, licensed behavior
9    analyst, licensed assistant behavior analyst, or any other
10    physical location that provides abortions, abortion
11    referrals, or contraceptives.
12    (b) When 2 or more persons who work within the same
13workplace and are required to report under this Act share a
14reasonable cause to believe that a child may be an abused or
15neglected child, one of those reporters may be designated to
16make a single report. The report shall include the names and
17contact information for the other mandated reporters sharing
18the reasonable cause to believe that a child may be an abused
19or neglected child. The designated reporter must provide
20written confirmation of the report to those mandated reporters
21within 48 hours. If confirmation is not provided, those
22mandated reporters are individually responsible for
23immediately ensuring a report is made. Nothing in this Section
24precludes or may be used to preclude any person from reporting
25child abuse or child neglect.
26    (c)(1) As used in this Section, "a child known to them in

 

 

HB5373- 844 -LRB104 20029 AAS 33480 b

1their professional or official capacities" means:
2        (A) the mandated reporter comes into contact with the
3    child in the course of the reporter's employment or
4    practice of a profession, or through a regularly scheduled
5    program, activity, or service;
6        (B) the mandated reporter is affiliated with an
7    agency, institution, organization, school, school
8    district, regularly established church or religious
9    organization, or other entity that is directly responsible
10    for the care, supervision, guidance, or training of the
11    child; or
12        (C) a person makes a specific disclosure to the
13    mandated reporter that an identifiable child is the victim
14    of child abuse or child neglect, and the disclosure
15    happens while the mandated reporter is engaged in the
16    reporter's employment or practice of a profession, or in a
17    regularly scheduled program, activity, or service.
18    (2) Nothing in this Section requires a child to come
19before the mandated reporter in order for the reporter to make
20a report of suspected child abuse or child neglect.
21    (d) If an allegation is raised to a school board member
22during the course of an open or closed school board meeting
23that a child who is enrolled in the school district of which
24the person is a board member is an abused child as defined in
25Section 3 of this Act, the member shall direct or cause the
26school board to direct the superintendent of the school

 

 

HB5373- 845 -LRB104 20029 AAS 33480 b

1district or other equivalent school administrator to comply
2with the requirements of this Act concerning the reporting of
3child abuse. For purposes of this paragraph, a school board
4member is granted the authority in that board member's
5individual capacity to direct the superintendent of the school
6district or other equivalent school administrator to comply
7with the requirements of this Act concerning the reporting of
8child abuse.
9    Notwithstanding any other provision of this Act, if an
10employee of a school district has made a report or caused a
11report to be made to the Department under this Act involving
12the conduct of a current or former employee of the school
13district and a request is made by another school district for
14the provision of information concerning the job performance or
15qualifications of the current or former employee because the
16current or former employee is an applicant for employment with
17the requesting school district, the general superintendent of
18the school district to which the request is being made must
19disclose to the requesting school district the fact that an
20employee of the school district has made a report involving
21the conduct of the applicant or caused a report to be made to
22the Department, as required under this Act. Only the fact that
23an employee of the school district has made a report involving
24the conduct of the applicant or caused a report to be made to
25the Department may be disclosed by the general superintendent
26of the school district to which the request for information

 

 

HB5373- 846 -LRB104 20029 AAS 33480 b

1concerning the applicant is made, and this fact may be
2disclosed only in cases where the employee and the general
3superintendent have not been informed by the Department that
4the allegations were unfounded. An employee of a school
5district who is or has been the subject of a report made
6pursuant to this Act during the employee's employment with the
7school district must be informed by that school district that
8if the employee applies for employment with another school
9district, the general superintendent of the former school
10district, upon the request of the school district to which the
11employee applies, shall notify that requesting school district
12that the employee is or was the subject of such a report.
13    (e) Whenever such person is required to report under this
14Act in the person's capacity as a member of the staff of a
15medical or other public or private institution, school,
16facility or agency, or as a member of the clergy, the person
17shall make report immediately to the Department in accordance
18with the provisions of this Act and may also notify the person
19in charge of such institution, school, facility or agency, or
20church, synagogue, temple, mosque, or other religious
21institution, or designated agent of the person in charge that
22such report has been made. Under no circumstances shall any
23person in charge of such institution, school, facility or
24agency, or church, synagogue, temple, mosque, or other
25religious institution, or designated agent of the person in
26charge to whom such notification has been made, exercise any

 

 

HB5373- 847 -LRB104 20029 AAS 33480 b

1control, restraint, modification or other change in the report
2or the forwarding of such report to the Department.
3    (f) In addition to the persons required to report
4suspected cases of child abuse or child neglect under this
5Section, any other person may make a report if such person has
6reasonable cause to believe a child may be an abused child or a
7neglected child.
8    (g) The privileged quality of communication between any
9professional person required to report and the professional
10person's patient or client shall not apply to situations
11involving abused or neglected children and shall not
12constitute grounds for failure to report as required by this
13Act or constitute grounds for failure to share information or
14documents with the Department during the course of a child
15abuse or neglect investigation. If requested by the
16professional, the Department shall confirm in writing that the
17information or documents disclosed by the professional were
18gathered in the course of a child abuse or neglect
19investigation.
20    The reporting requirements of this Act shall not apply to
21the contents of a privileged communication between an attorney
22and the attorney's client or to confidential information
23within the meaning of Rule 1.6 of the Illinois Rules of
24Professional Conduct relating to the legal representation of
25an individual client.
26    A member of the clergy may claim the privilege under

 

 

HB5373- 848 -LRB104 20029 AAS 33480 b

1Section 8-803 of the Code of Civil Procedure.
2    (h) Any office, clinic, or any other physical location
3that provides abortions, abortion referrals, or contraceptives
4shall provide to all office personnel copies of written
5information and training materials about abuse and neglect and
6the requirements of this Act that are provided to employees of
7the office, clinic, or physical location who are required to
8make reports to the Department under this Act, and instruct
9such office personnel to bring to the attention of an employee
10of the office, clinic, or physical location who is required to
11make reports to the Department under this Act any reasonable
12suspicion that a child known to office personnel in their
13professional or official capacity may be an abused child or a
14neglected child.
15    (i) Any person who enters into employment on and after
16July 1, 1986 and is mandated by virtue of that employment to
17report under this Act, shall sign a statement on a form
18prescribed by the Department, to the effect that the employee
19has knowledge and understanding of the reporting requirements
20of this Act. On and after January 1, 2019, the statement shall
21also include information about available mandated reporter
22training provided by the Department. The statement shall be
23signed prior to commencement of the employment. The signed
24statement shall be retained by the employer. The cost of
25printing, distribution, and filing of the statement shall be
26borne by the employer.

 

 

HB5373- 849 -LRB104 20029 AAS 33480 b

1    (j) Persons required to report child abuse or child
2neglect as provided under this Section must complete an
3initial mandated reporter training, including a section on
4implicit bias, within 3 months of their date of engagement in a
5professional or official capacity as a mandated reporter, or
6within the time frame of any other applicable State law that
7governs training requirements for a specific profession, and
8at least every 3 years thereafter. The initial requirement
9only applies to the first time they engage in their
10professional or official capacity. In lieu of training every 3
11years, medical personnel, as listed in paragraph (1) of
12subsection (a), must meet the requirements described in
13subsection (k).
14    The mandated reporter trainings shall be in-person or
15web-based, and shall include, at a minimum, information on the
16following topics: (i) indicators for recognizing child abuse
17and child neglect, as defined under this Act; (ii) the process
18for reporting suspected child abuse and child neglect in
19Illinois as required by this Act and the required
20documentation; (iii) responding to a child in a
21trauma-informed manner; and (iv) understanding the response of
22child protective services and the role of the reporter after a
23call has been made. Child-serving organizations are encouraged
24to provide in-person annual trainings.
25    The implicit bias section shall be in-person or web-based,
26and shall include, at a minimum, information on the following

 

 

HB5373- 850 -LRB104 20029 AAS 33480 b

1topics: (i) implicit bias and (ii) racial and ethnic
2sensitivity. As used in this subsection, "implicit bias" means
3the attitudes or internalized stereotypes that affect people's
4perceptions, actions, and decisions in an unconscious manner
5and that exist and often contribute to unequal treatment of
6people based on race, ethnicity, gender identity, sexual
7orientation, age, disability, and other characteristics. The
8implicit bias section shall provide tools to adjust automatic
9patterns of thinking and ultimately eliminate discriminatory
10behaviors. During these trainings mandated reporters shall
11complete the following: (1) a pretest to assess baseline
12implicit bias levels; (2) an implicit bias training task; and
13(3) a posttest to reevaluate bias levels after training. The
14implicit bias curriculum for mandated reporters shall be
15developed within one year after January 1, 2022 (the effective
16date of Public Act 102-604) and shall be created in
17consultation with organizations demonstrating expertise and or
18experience in the areas of implicit bias, youth and adolescent
19developmental issues, prevention of child abuse, exploitation,
20and neglect, culturally diverse family systems, and the child
21welfare system.
22    The mandated reporter training, including a section on
23implicit bias, shall be provided through the Department,
24through an entity authorized to provide continuing education
25for professionals licensed through the Department of Financial
26and Professional Regulation, the State Board of Education, the

 

 

HB5373- 851 -LRB104 20029 AAS 33480 b

1Illinois Law Enforcement Training Standards Board, or the
2Illinois State Police, or through an organization approved by
3the Department to provide mandated reporter training,
4including a section on implicit bias. The Department must make
5available a free web-based training for reporters.
6    Each mandated reporter shall report to the mandated
7reporter's employer and, when applicable, to the mandated
8reporter's licensing or certification board that the mandated
9reporter received the mandated reporter training. The mandated
10reporter shall maintain records of completion.
11    Beginning January 1, 2021, if a mandated reporter receives
12licensure from the Department of Financial and Professional
13Regulation or the State Board of Education, and the mandated
14reporter's profession has continuing education requirements,
15the training mandated under this Section shall count toward
16meeting the licensee's required continuing education hours.
17    (k)(1) Medical personnel, as listed in paragraph (1) of
18subsection (a), who work with children in their professional
19or official capacity, must complete mandated reporter training
20at least every 6 years. Such medical personnel, if licensed,
21must attest at each time of licensure renewal on their renewal
22form that they understand they are a mandated reporter of
23child abuse and neglect, that they are aware of the process for
24making a report, that they know how to respond to a child in a
25trauma-informed manner, and that they are aware of the role of
26child protective services and the role of a reporter after a

 

 

HB5373- 852 -LRB104 20029 AAS 33480 b

1call has been made.
2    (2) In lieu of repeated training, medical personnel, as
3listed in paragraph (1) of subsection (a), who do not work with
4children in their professional or official capacity, may
5instead attest each time at licensure renewal on their renewal
6form that they understand they are a mandated reporter of
7child abuse and neglect, that they are aware of the process for
8making a report, that they know how to respond to a child in a
9trauma-informed manner, and that they are aware of the role of
10child protective services and the role of a reporter after a
11call has been made. Nothing in this paragraph precludes
12medical personnel from completing mandated reporter training
13and receiving continuing education credits for that training.
14    (l) The Department shall provide copies of this Act, upon
15request, to all employers employing persons who shall be
16required under the provisions of this Section to report under
17this Act.
18    (m) Any person who knowingly transmits a false report to
19the Department commits the offense of disorderly conduct under
20subsection (a)(7) of Section 26-1 of the Criminal Code of
212012. A violation of this provision is a Class 4 felony.
22    Any person who knowingly and willfully violates any
23provision of this Section other than a second or subsequent
24violation of transmitting a false report as described in the
25preceding paragraph, is guilty of a Class A misdemeanor for a
26first violation and a Class 4 felony for a second or subsequent

 

 

HB5373- 853 -LRB104 20029 AAS 33480 b

1violation; except that if the person acted as part of a plan or
2scheme having as its object the prevention of discovery of an
3abused or neglected child by lawful authorities for the
4purpose of protecting or insulating any person or entity from
5arrest or prosecution, the person is guilty of a Class 4 felony
6for a first offense and a Class 3 felony for a second or
7subsequent offense (regardless of whether the second or
8subsequent offense involves any of the same facts or persons
9as the first or other prior offense).
10    (n) A child whose parent, guardian or custodian in good
11faith selects and depends upon spiritual means through prayer
12alone for the treatment or cure of disease or remedial care may
13be considered neglected or abused, but not for the sole reason
14that the child's parent, guardian or custodian accepts and
15practices such beliefs.
16    (o) A child shall not be considered neglected or abused
17solely because the child is not attending school in accordance
18with the requirements of Article 26 of the School Code, as
19amended.
20    (p) Nothing in this Act prohibits a mandated reporter who
21reasonably believes that an animal is being abused or
22neglected in violation of the Humane Care for Animals Act from
23reporting animal abuse or neglect to the Department of
24Agriculture's Bureau of Animal Health and Welfare.
25    (q) A home rule unit may not regulate the reporting of
26child abuse or neglect in a manner inconsistent with the

 

 

HB5373- 854 -LRB104 20029 AAS 33480 b

1provisions of this Section. This Section is a limitation under
2subsection (i) of Section 6 of Article VII of the Illinois
3Constitution on the concurrent exercise by home rule units of
4powers and functions exercised by the State.
5    (r) For purposes of this Section "child abuse or neglect"
6includes abuse or neglect of an adult resident as defined in
7this Act.
8(Source: P.A. 102-604, eff. 1-1-22; 102-861, eff. 1-1-23;
9102-953, eff. 5-27-22; 103-22, eff. 8-8-23; 103-154, eff.
106-30-23.)
 
11    (325 ILCS 5/8.2)  (from Ch. 23, par. 2058.2)
12    Sec. 8.2. If the Child Protective Service Unit determines,
13following an investigation made pursuant to Section 7.4 of
14this Act, that there is credible evidence that the child is
15abused or neglected, the Department shall assess the family's
16need for services, and, as necessary, develop, with the
17family, an appropriate service plan for the family's voluntary
18acceptance or refusal. In any case where there is evidence
19that the perpetrator of the abuse or neglect has a substance
20use disorder as defined in the Substance Use Disorder Act, the
21Department, when making referrals for drug or alcohol abuse
22services, shall make such referrals to facilities licensed by
23the Department of Human Services or the Department of Public
24Health. The Department shall comply with Section 8.1 by
25explaining its lack of legal authority to compel the

 

 

HB5373- 855 -LRB104 20029 AAS 33480 b

1acceptance of services and may explain its concomitant
2authority to petition the Circuit court under the Juvenile
3Court Act of 1987 or refer the case to the local law
4enforcement authority or State's attorney for criminal
5prosecution.
6    For purposes of this Act, the term "family preservation
7services" refers to all services to help families, including
8adoptive and extended families. Family preservation services
9shall be offered, where safe and appropriate, to prevent the
10placement of children in substitute care when the children can
11be cared for at home or in the custody of the person
12responsible for the children's welfare without endangering the
13children's health or safety, to reunite them with their
14families if so placed when reunification is an appropriate
15goal, or to maintain an adoptive placement. The term
16"homemaker" includes emergency caretakers, homemakers,
17caretakers, housekeepers and chore services. The term
18"counseling" includes individual therapy, infant stimulation
19therapy, family therapy, group therapy, self-help groups, drug
20and alcohol abuse counseling, vocational counseling and
21post-adoptive services. The term "child day care" includes
22protective child day care and child day care to meet
23educational, prevocational or vocational needs. The term
24"emergency assistance and advocacy" includes coordinated
25services to secure emergency cash, food, housing and medical
26assistance or advocacy for other subsistence and family

 

 

HB5373- 856 -LRB104 20029 AAS 33480 b

1protective needs.
2    Before July 1, 2000, appropriate family preservation
3services shall, subject to appropriation, be included in the
4service plan if the Department has determined that those
5services will ensure the child's health and safety, are in the
6child's best interests, and will not place the child in
7imminent risk of harm. Beginning July 1, 2000, appropriate
8family preservation services shall be uniformly available
9throughout the State. The Department shall promptly notify
10children and families of the Department's responsibility to
11offer and provide family preservation services as identified
12in the service plan. Such plans may include but are not limited
13to: case management services; homemakers; counseling; parent
14education; child day care; emergency assistance and advocacy
15assessments; respite care; in-home health care; transportation
16to obtain any of the above services; and medical assistance.
17Nothing in this paragraph shall be construed to create a
18private right of action or claim on the part of any individual
19or child welfare agency, except that when a child is the
20subject of an action under Article II of the Juvenile Court Act
21of 1987 and the child's service plan calls for services to
22facilitate achievement of the permanency goal, the court
23hearing the action under Article II of the Juvenile Court Act
24of 1987 may order the Department to provide the services set
25out in the plan, if those services are not provided with
26reasonable promptness and if those services are available.

 

 

HB5373- 857 -LRB104 20029 AAS 33480 b

1    Each Department field office shall maintain on a local
2basis directories of services available to children and
3families in the local area where the Department office is
4located.
5    The Department shall refer children and families served
6pursuant to this Section to private agencies and governmental
7agencies, where available.
8    Incentives that discourage or reward a decision to provide
9family preservation services after a report is indicated or a
10decision to refer a child for the filing of a petition under
11Article II of the Juvenile Court Act of 1987 are strictly
12prohibited and shall not be included in any contract, quality
13assurance, or performance review process. Incentives include,
14but are not limited to, monetary benefits, contingencies, and
15enhanced or diminished performance reviews for individuals or
16agencies.
17    Any decision regarding whether to provide family
18preservation services after an indicated report or to refer a
19child for the filing of a petition under Article II of the
20Juvenile Court Act of 1987 shall be based solely on the child's
21health, safety, and best interests and on any applicable law.
22If a difference of opinion exists between a private agency and
23the Department regarding whether to refer for the filing of a
24petition under Article II of the Juvenile Court Act of 1987,
25the case shall be referred to the Deputy Director of Child
26Protection for review and determination.

 

 

HB5373- 858 -LRB104 20029 AAS 33480 b

1    Any Department employee responsible for reviewing
2contracts or program plans who is aware of a violation of this
3Section shall immediately refer the matter to the Inspector
4General of the Department.
5    Where there are 2 equal proposals from both a
6not-for-profit and a for-profit agency to provide services,
7the Department shall give preference to the proposal from the
8not-for-profit agency.
9    No service plan shall compel any child or parent to engage
10in any activity or refrain from any activity which is not
11reasonably related to remedying a condition or conditions that
12gave rise or which could give rise to any finding of child
13abuse or neglect.
14(Source: P.A. 100-759, eff. 1-1-19; 101-528, eff. 8-23-19.)
 
15    Section 205. The Missing Children Records Act is amended
16by changing Section 5 as follows:
 
17    (325 ILCS 50/5)  (from Ch. 23, par. 2285)
18    Sec. 5. Duties of school or other entity.
19    (a) Upon notification by the Illinois State Police of a
20person's disappearance, a school, preschool educational
21program, child care facility, or child day care home or group
22child day care home in which the person is currently or was
23previously enrolled shall flag the record of that person in
24such a manner that whenever a copy of or information regarding

 

 

HB5373- 859 -LRB104 20029 AAS 33480 b

1the record is requested, the school or other entity shall be
2alerted to the fact that the record is that of a missing
3person. The school or other entity shall immediately report to
4the Illinois State Police any request concerning flagged
5records or knowledge as to the whereabouts of any missing
6person. Upon notification by the Illinois State Police that
7the missing person has been recovered, the school or other
8entity shall remove the flag from the person's record.
9    (b) (1) For every child enrolled in a particular
10elementary or secondary school, public or private preschool
11educational program, public or private child care facility
12licensed under the Child Care Act of 1969, or child day care
13home or group child day care home licensed under the Child Care
14Act of 1969, that school or other entity shall notify in
15writing the person enrolling the child that within 30 days he
16must provide either (i) a certified copy of the child's birth
17certificate or (ii) other reliable proof, as determined by the
18Illinois State Police, of the child's identity and age and an
19affidavit explaining the inability to produce a copy of the
20birth certificate. Other reliable proof of the child's
21identity and age shall include a passport, visa or other
22governmental documentation of the child's identity. When the
23person enrolling the child provides the school or other entity
24with a certified copy of the child's birth certificate, the
25school or other entity shall promptly make a copy of the
26certified copy for its records and return the original

 

 

HB5373- 860 -LRB104 20029 AAS 33480 b

1certified copy to the person enrolling the child. Once a
2school or other entity has been provided with a certified copy
3of a child's birth certificate as required under item (i) of
4this subdivision (b)(1), the school or other entity need not
5request another such certified copy with respect to that child
6for any other year in which the child is enrolled in that
7school or other entity.
8    (2) Upon the failure of a person enrolling a child to
9comply with subsection (b) (1), the school or other entity
10shall immediately notify the Illinois State Police or local
11law enforcement agency of such failure, and shall notify the
12person enrolling the child in writing that he has 10
13additional days to comply.
14    (3) The school or other entity shall immediately report to
15the Illinois State Police any affidavit received pursuant to
16this subsection which appears inaccurate or suspicious in form
17or content.
18    (c) Within 14 days after enrolling a transfer student, the
19elementary or secondary school shall request directly from the
20student's previous school a certified copy of his record. The
21requesting school shall exercise due diligence in obtaining
22the copy of the record requested. Any elementary or secondary
23school requested to forward a copy of a transferring student's
24record to the new school shall comply within 10 days of receipt
25of the request unless the record has been flagged pursuant to
26subsection (a), in which case the copy shall not be forwarded

 

 

HB5373- 861 -LRB104 20029 AAS 33480 b

1and the requested school shall notify the Illinois State
2Police or local law enforcement authority of the request.
3(Source: P.A. 102-538, eff. 8-20-21.)
 
4    Section 207. The Smart Start Illinois Act is amended by
5changing Section 95-10 as follows:
 
6    (325 ILCS 85/95-10)
7    Sec. 95-10. Smart Start Child Care Workforce Compensation
8Program.
9    (a) The Department of Human Services shall create and
10establish the Smart Start Child Care Workforce Compensation
11Program. The purpose of the Smart Start Child Care Workforce
12Compensation Program is to invest in early childhood education
13and care service providers, including, but not limited to,
14providers participating in the Child Care Assistance Program;
15to expand the supply of high-quality early childhood education
16and care; and to create a strong and stable early childhood
17education and care system with attractive wages, high-quality
18services, and affordable costs.
19    (b) The purpose of the Smart Start Child Care Workforce
20Compensation Program is to stabilize community-based early
21childhood education and care service providers, raise the
22wages of early childhood educators, and support quality
23enhancements that can position service providers to
24participate in other public funding streams, such as Preschool

 

 

HB5373- 862 -LRB104 20029 AAS 33480 b

1for All, in order to further enhance and expand quality
2service delivery.
3    (c) Subject to appropriation, the Department of Human
4Services shall implement the Smart Start Child Care Workforce
5Compensation Program for eligible licensed child day care
6centers, licensed child day care homes, and licensed group
7child day care homes by October 1, 2024, or as soon as
8practicable, following completion of a planning and transition
9year. By October 1, 2025, or as soon as practicable, and for
10each year thereafter, subject to appropriation, the Department
11of Human Services shall continue to operate the Smart Start
12Child Care Workforce Compensation Program annually with all
13licensed child day care centers, licensed child day care
14homes, and licensed group child day care homes that meet
15eligibility requirements. The Smart Start Child Care Workforce
16Compensation Program shall operate separately from and shall
17not supplant the Child Care Assistance Program as provided for
18in Section 9A-11 of the Illinois Public Aid Code.
19    (d) The Department of Human Services shall adopt
20administrative rules by October 1, 2024 to facilitate
21administration of the Smart Start Child Care Workforce
22Compensation Program, including, but not limited to,
23provisions for program eligibility, the application and
24funding calculation process, eligible expenses, required wage
25floors, and requirements for financial and personnel reporting
26and monitoring requirements. Eligibility and funding

 

 

HB5373- 863 -LRB104 20029 AAS 33480 b

1provisions shall be based on appropriation and a current model
2of the cost to provide child care services by a licensed child
3care center or licensed family child care home.
4(Source: P.A. 103-8, eff. 6-7-23; 103-605, eff. 7-1-24.)
 
5    Section 210. The Mental Health and Developmental
6Disabilities Code is amended by changing Section 1-111 as
7follows:
 
8    (405 ILCS 5/1-111)  (from Ch. 91 1/2, par. 1-111)
9    Sec. 1-111. "Habilitation" means an effort directed toward
10the alleviation of a developmental disability or toward
11increasing a person with a developmental disability's level of
12physical, mental, social or economic functioning. Habilitation
13may include, but is not limited to, diagnosis, evaluation,
14medical services, residential care, child day care, special
15living arrangements, training, education, sheltered
16employment, protective services, counseling and other services
17provided to persons with a developmental disability by
18developmental disabilities facilities.
19(Source: P.A. 88-380.)
 
20    Section 215. The Epinephrine Injector Act is amended by
21changing Section 5 as follows:
 
22    (410 ILCS 27/5)

 

 

HB5373- 864 -LRB104 20029 AAS 33480 b

1    Sec. 5. Definitions. As used in this Act:
2    "Administer" means to directly apply an epinephrine
3delivery system to the body of an individual.
4    "Authorized entity" means any entity or organization,
5other than a school covered under Section 22-30 of the School
6Code, in connection with or at which allergens capable of
7causing anaphylaxis may be present, including, but not limited
8to, independent contractors who provide student transportation
9to schools, recreation camps, colleges and universities, day
10care facilities, youth sports leagues, amusement parks,
11restaurants, sports arenas, and places of employment. The
12Department shall, by rule, determine what constitutes a child
13day care facility under this definition.
14    "Authorized individual" means an individual who has
15successfully completed the training program under Section 10
16of this Act.
17    "Department" means the Department of Public Health.
18    "Epinephrine delivery system" means any form of
19epinephrine that is approved by the United States Food and
20Drug Administration, including any device that contains a dose
21of epinephrine, and that is used to administer epinephrine
22into the human body to prevent or treat a life-threatening
23allergic reaction.
24    "Health care practitioner" means a physician licensed to
25practice medicine in all its branches under the Medical
26Practice Act of 1987, a physician assistant under the

 

 

HB5373- 865 -LRB104 20029 AAS 33480 b

1Physician Assistant Practice Act of 1987 with prescriptive
2authority, or an advanced practice registered nurse with
3prescribing authority under Article 65 of the Nurse Practice
4Act.
5    "Pharmacist" has the meaning given to that term under
6subsection (k-5) of Section 3 of the Pharmacy Practice Act.
7    "Undesignated epinephrine injector" means an epinephrine
8injector prescribed in the name of an authorized entity.
9(Source: P.A. 104-229, eff. 1-1-26.)
 
10    Section 220. The Lead Poisoning Prevention Act is amended
11by changing Section 7.1 as follows:
 
12    (410 ILCS 45/7.1)  (from Ch. 111 1/2, par. 1307.1)
13    Sec. 7.1. Requirements for child care facilities. Each
14child day care center, child day care home, preschool, nursery
15school, kindergarten, or other child care facility, licensed
16or approved by the State, including such programs operated by
17a public school district, shall include a requirement that
18each parent or legal guardian of a child between one and 7
19years of age provide a statement from a physician or health
20care provider that the child has been assessed for risk of lead
21poisoning or tested or both, as provided in Section 6.2. This
22statement shall be provided prior to admission and
23subsequently in conjunction with required physical
24examinations.

 

 

HB5373- 866 -LRB104 20029 AAS 33480 b

1    Child care facilities that participate in the Illinois
2Child Care Assistance Program (CCAP) shall annually send or
3deliver to the parents or guardians of children enrolled in
4the facility's care an informational pamphlet regarding
5awareness of lead poisoning. Pamphlets shall be produced and
6made available by the Department and shall be downloadable
7from the Department's Internet website. The Department of
8Human Services and the Department of Public Health shall
9assist in the distribution of the pamphlet.
10(Source: P.A. 98-690, eff. 1-1-15.)
 
11    Section 225. The Medical Patient Rights Act is amended by
12changing Section 3.4 as follows:
 
13    (410 ILCS 50/3.4)
14    Sec. 3.4. Rights of women; pregnancy and childbirth.
15    (a) In addition to any other right provided under this
16Act, every woman has the following rights with regard to
17pregnancy and childbirth:
18        (1) The right to receive health care before, during,
19    and after pregnancy and childbirth.
20        (2) The right to receive care for her and her infant
21    that is consistent with generally accepted medical
22    standards.
23        (3) The right to choose a certified nurse midwife or
24    physician as her maternity care professional.

 

 

HB5373- 867 -LRB104 20029 AAS 33480 b

1        (4) The right to choose her birth setting from the
2    full range of birthing options available in her community.
3        (5) The right to leave her maternity care professional
4    and select another if she becomes dissatisfied with her
5    care, except as otherwise provided by law.
6        (6) The right to receive information about the names
7    of those health care professionals involved in her care.
8        (7) The right to privacy and confidentiality of
9    records, except as provided by law.
10        (8) The right to receive information concerning her
11    condition and proposed treatment, including methods of
12    relieving pain.
13        (9) The right to accept or refuse any treatment, to
14    the extent medically possible.
15        (10) The right to be informed if her caregivers wish
16    to enroll her or her infant in a research study in
17    accordance with Section 3.1 of this Act.
18        (11) The right to access her medical records in
19    accordance with Section 8-2001 of the Code of Civil
20    Procedure.
21        (12) The right to receive information in a language in
22    which she can communicate in accordance with federal law.
23        (13) The right to receive emotional and physical
24    support during labor and birth.
25        (14) The right to freedom of movement during labor and
26    to give birth in the position of her choice, within

 

 

HB5373- 868 -LRB104 20029 AAS 33480 b

1    generally accepted medical standards.
2        (15) The right to contact with her newborn, except
3    where necessary care must be provided to the mother or
4    infant.
5        (16) The right to receive information about
6    breastfeeding.
7        (17) The right to decide collaboratively with
8    caregivers when she and her baby will leave the birth site
9    for home, based on their conditions and circumstances.
10        (18) The right to be treated with respect at all times
11    before, during, and after pregnancy by her health care
12    professionals.
13        (19) The right of each patient, regardless of source
14    of payment, to examine and receive a reasonable
15    explanation of her total bill for services rendered by her
16    maternity care professional or health care provider,
17    including itemized charges for specific services received.
18    Each maternity care professional or health care provider
19    shall be responsible only for a reasonable explanation of
20    those specific services provided by the maternity care
21    professional or health care provider.
22    (b) The Department of Public Health, Department of
23Healthcare and Family Services, Department of Children and
24Family Services, and Department of Human Services shall post,
25either by physical or electronic means, information about
26these rights on their publicly available websites. Every

 

 

HB5373- 869 -LRB104 20029 AAS 33480 b

1health care provider, child day care center licensed under the
2Child Care Act of 1969, Head Start, and community center shall
3post information about these rights in a prominent place and
4on their websites, if applicable.
5    (c) The Department of Public Health shall adopt rules to
6implement this Section.
7    (d) Nothing in this Section or any rules adopted under
8subsection (c) shall be construed to require a physician,
9health care professional, hospital, hospital affiliate, or
10health care provider to provide care inconsistent with
11generally accepted medical standards or available capabilities
12or resources.
13(Source: P.A. 101-445, eff. 1-1-20; 102-4, eff. 4-27-21.)
 
14    Section 230. The Compassionate Use of Medical Cannabis
15Program Act is amended by changing Sections 105 and 130 as
16follows:
 
17    (410 ILCS 130/105)
18    Sec. 105. Requirements; prohibitions; penalties for
19cultivation centers.
20    (a) The operating documents of a registered cultivation
21center shall include procedures for the oversight of the
22cultivation center, a cannabis plant monitoring system
23including a physical inventory recorded weekly, a cannabis
24container system including a physical inventory recorded

 

 

HB5373- 870 -LRB104 20029 AAS 33480 b

1weekly, accurate record keeping, and a staffing plan.
2    (b) A registered cultivation center shall implement a
3security plan reviewed by the Illinois State Police and
4including but not limited to: facility access controls,
5perimeter intrusion detection systems, personnel
6identification systems, 24-hour surveillance system to monitor
7the interior and exterior of the registered cultivation center
8facility and accessible to authorized law enforcement and the
9Department of Agriculture in real-time.
10    (c) A registered cultivation center may not be located
11within 2,500 feet of the property line of a pre-existing
12public or private preschool or elementary or secondary school
13or child day care center, child day care home, group child day
14care home, part day child care facility, or an area zoned for
15residential use.
16    (d) All cultivation of cannabis for distribution to a
17registered dispensing organization must take place in an
18enclosed, locked facility as it applies to cultivation centers
19at the physical address provided to the Department of
20Agriculture during the registration process. The cultivation
21center location shall only be accessed by the cultivation
22center agents working for the registered cultivation center,
23Department of Agriculture staff performing inspections,
24Department of Public Health staff performing inspections, law
25enforcement or other emergency personnel, and contractors
26working on jobs unrelated to medical cannabis, such as

 

 

HB5373- 871 -LRB104 20029 AAS 33480 b

1installing or maintaining security devices or performing
2electrical wiring.
3    (e) A cultivation center may not sell or distribute any
4cannabis to any individual or entity other than another
5cultivation center, a dispensing organization registered under
6this Act, or a laboratory licensed by the Department of
7Agriculture.
8    (f) All harvested cannabis intended for distribution to a
9dispensing organization must be packaged in a labeled medical
10cannabis container and entered into a data collection system.
11    (g) No person who has been convicted of an excluded
12offense may be a cultivation center agent.
13    (h) Registered cultivation centers are subject to random
14inspection by the Illinois State Police.
15    (i) Registered cultivation centers are subject to random
16inspections by the Department of Agriculture and the
17Department of Public Health.
18    (j) A cultivation center agent shall notify local law
19enforcement, the Illinois State Police, and the Department of
20Agriculture within 24 hours of the discovery of any loss or
21theft. Notification shall be made by phone or in-person, or by
22written or electronic communication.
23    (k) A cultivation center shall comply with all State and
24federal rules and regulations regarding the use of pesticides.
25(Source: P.A. 101-363, eff. 8-9-19; 102-538, eff. 8-20-21.)
 

 

 

HB5373- 872 -LRB104 20029 AAS 33480 b

1    (410 ILCS 130/130)
2    Sec. 130. Requirements; prohibitions; penalties;
3dispensing organizations.
4    (a) The Department of Financial and Professional
5Regulation shall implement the provisions of this Section by
6rule.
7    (b) A dispensing organization shall maintain operating
8documents which shall include procedures for the oversight of
9the registered dispensing organization and procedures to
10ensure accurate recordkeeping.
11    (c) A dispensing organization shall implement appropriate
12security measures, as provided by rule, to deter and prevent
13the theft of cannabis and unauthorized entrance into areas
14containing cannabis.
15    (d) A dispensing organization may not be located within
161,000 feet of the property line of a pre-existing public or
17private preschool or elementary or secondary school or child
18day care center, child day care home, group child day care
19home, or part day child care facility. A registered dispensing
20organization may not be located in a house, apartment,
21condominium, or an area zoned for residential use. This
22subsection shall not apply to any dispensing organizations
23registered on or after July 1, 2019.
24    (e) A dispensing organization is prohibited from acquiring
25cannabis from anyone other than a cultivation center, craft
26grower, processing organization, another dispensing

 

 

HB5373- 873 -LRB104 20029 AAS 33480 b

1organization, or transporting organization licensed or
2registered under this Act or the Cannabis Regulation and Tax
3Act. A dispensing organization is prohibited from obtaining
4cannabis from outside the State of Illinois.
5    (f) A registered dispensing organization is prohibited
6from dispensing cannabis for any purpose except to assist
7registered qualifying patients with the medical use of
8cannabis directly or through the qualifying patients'
9designated caregivers.
10    (g) The area in a dispensing organization where medical
11cannabis is stored can only be accessed by dispensing
12organization agents working for the dispensing organization,
13Department of Financial and Professional Regulation staff
14performing inspections, law enforcement or other emergency
15personnel, and contractors working on jobs unrelated to
16medical cannabis, such as installing or maintaining security
17devices or performing electrical wiring.
18    (h) A dispensing organization may not dispense more than
192.5 ounces of cannabis to a registered qualifying patient,
20directly or via a designated caregiver, in any 14-day period
21unless the qualifying patient has a Department of Public
22Health-approved quantity waiver. Any Department of Public
23Health-approved quantity waiver process must be made available
24to qualified veterans.
25    (i) Except as provided in subsection (i-5), before medical
26cannabis may be dispensed to a designated caregiver or a

 

 

HB5373- 874 -LRB104 20029 AAS 33480 b

1registered qualifying patient, a dispensing organization agent
2must determine that the individual is a current cardholder in
3the verification system and must verify each of the following:
4        (1) that the registry identification card presented to
5    the registered dispensing organization is valid;
6        (2) that the person presenting the card is the person
7    identified on the registry identification card presented
8    to the dispensing organization agent;
9        (3) (blank); and
10        (4) that the registered qualifying patient has not
11    exceeded his or her adequate supply.
12    (i-5) A dispensing organization may dispense medical
13cannabis to an Opioid Alternative Pilot Program participant
14under Section 62 and to a person presenting proof of
15provisional registration under Section 55. Before dispensing
16medical cannabis, the dispensing organization shall comply
17with the requirements of Section 62 or Section 55, whichever
18is applicable, and verify the following:
19        (1) that the written certification presented to the
20    registered dispensing organization is valid and an
21    original document;
22        (2) that the person presenting the written
23    certification is the person identified on the written
24    certification; and
25        (3) that the participant has not exceeded his or her
26    adequate supply.

 

 

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1    (j) Dispensing organizations shall ensure compliance with
2this limitation by maintaining internal, confidential records
3that include records specifying how much medical cannabis is
4dispensed to the registered qualifying patient and whether it
5was dispensed directly to the registered qualifying patient or
6to the designated caregiver. Each entry must include the date
7and time the cannabis was dispensed. Additional recordkeeping
8requirements may be set by rule.
9    (k) The health care professional-patient privilege as set
10forth by Section 8-802 of the Code of Civil Procedure shall
11apply between a qualifying patient and a registered dispensing
12organization and its agents with respect to communications and
13records concerning qualifying patients' debilitating
14conditions.
15    (l) A dispensing organization may not permit any person to
16consume cannabis on the property of a medical cannabis
17organization.
18    (m) A dispensing organization may not share office space
19with or refer patients to a certifying health care
20professional.
21    (n) Notwithstanding any other criminal penalties related
22to the unlawful possession of cannabis, the Department of
23Financial and Professional Regulation may revoke, suspend,
24place on probation, reprimand, refuse to issue or renew, or
25take any other disciplinary or non-disciplinary action as the
26Department of Financial and Professional Regulation may deem

 

 

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1proper with regard to the registration of any person issued
2under this Act to operate a dispensing organization or act as a
3dispensing organization agent, including imposing fines not to
4exceed $10,000 for each violation, for any violations of this
5Act and rules adopted in accordance with this Act. The
6procedures for disciplining a registered dispensing
7organization shall be determined by rule. All final
8administrative decisions of the Department of Financial and
9Professional Regulation are subject to judicial review under
10the Administrative Review Law and its rules. The term
11"administrative decision" is defined as in Section 3-101 of
12the Code of Civil Procedure.
13    (o) Dispensing organizations are subject to random
14inspection and cannabis testing by the Department of Financial
15and Professional Regulation, the Illinois State Police, the
16Department of Revenue, the Department of Public Health, the
17Department of Agriculture, or as provided by rule.
18    (p) The Department of Financial and Professional
19Regulation shall adopt rules permitting returns, and potential
20refunds, for damaged or inadequate products.
21    (q) The Department of Financial and Professional
22Regulation may issue nondisciplinary citations for minor
23violations which may be accompanied by a civil penalty not to
24exceed $10,000 per violation. The penalty shall be a civil
25penalty or other condition as established by rule. The
26citation shall be issued to the licensee and shall contain the

 

 

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1licensee's name, address, and license number, a brief factual
2statement, the Sections of the law or rule allegedly violated,
3and the civil penalty, if any, imposed. The citation must
4clearly state that the licensee may choose, in lieu of
5accepting the citation, to request a hearing. If the licensee
6does not dispute the matter in the citation with the
7Department of Financial and Professional Regulation within 30
8days after the citation is served, then the citation shall
9become final and shall not be subject to appeal.
10(Source: P.A. 101-363, eff. 8-9-19; 102-98, eff. 7-15-21.)
 
11    Section 235. The Coal Tar Sealant Disclosure Act is
12amended by changing Section 10 as follows:
 
13    (410 ILCS 170/10)
14    Sec. 10. Coal tar sealant disclosure; public schools.
15    (a) A public school, public school district, or child day
16care shall provide written or telephonic notification to
17parents and guardians of students and employees prior to any
18application of a coal-tar based sealant product or a high
19polycyclic aromatic hydrocarbon sealant product. The written
20notification:
21        (1) may be included in newsletters, bulletins,
22    calendars, or other correspondence currently published by
23    the school district or child day care center;
24        (2) must be given at least 10 business days before the

 

 

HB5373- 878 -LRB104 20029 AAS 33480 b

1    application and should identify the intended date and
2    location of the application of the coal-tar based sealant
3    product or high polycyclic aromatic hydrocarbon sealant;
4        (3) must include the name and telephone contact number
5    for the school or child day care center personnel
6    responsible for the application; and
7        (4) must include any health hazards associated with
8    coal tar-based sealant product or high polycyclic aromatic
9    hydrocarbon sealant product, as provided by a
10    corresponding safety data sheet.
11    (b) Notwithstanding any provision of this Act or any other
12law to the contrary, a public school or public school district
13that bids a pavement engineering project using a coal
14tar-based sealant product or high polycyclic aromatic
15hydrocarbon sealant product for pavement engineering-related
16use shall request a bid with an alternative for asphalt-based
17or latex-based sealant product as a part of the engineering
18project. The public school or public school district shall
19consider whether asphalt-based or latex-based sealant product
20should be used for the project based upon costs and life cycle
21costs that regard preserving pavements, product warranties,
22and the benefits to public health and safety.
23    (c) The Department, in consultation with the State Board
24of Education, shall conduct outreach to public schools and
25public school districts to provide guidance for compliance
26with the provisions of this Act.

 

 

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1    (d) On or before May 1, 2023, the Department and the State
2Board of Education shall post on their websites guidance on
3screening for coal tar-based sealant product or high
4polycyclic aromatic hydrocarbon sealant product, requirements
5for a request for proposals, and requirements for disclosure.
6(Source: P.A. 102-242, eff. 1-1-23.)
 
7    Section 240. The Child Vision and Hearing Test Act is
8amended by changing Section 3 as follows:
 
9    (410 ILCS 205/3)  (from Ch. 23, par. 2333)
10    Sec. 3. Vision and hearing screening services shall be
11administered to all children as early as possible, but no
12later than their first year in any public or private education
13program, licensed child day care center or residential
14facility for children with disabilities; and periodically
15thereafter, to identify those children with vision or hearing
16impairments or both so that such conditions can be managed or
17treated.
18(Source: P.A. 99-143, eff. 7-27-15.)
 
19    Section 245. The Food Handling Regulation Enforcement Act
20is amended by changing Section 3.06 as follows:
 
21    (410 ILCS 625/3.06)
22    Sec. 3.06. Food handler training; restaurants.

 

 

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1    (a) For the purpose of this Section, "restaurant" means
2any business that is primarily engaged in the sale of
3ready-to-eat food for immediate consumption. "Primarily
4engaged" means having sales of ready-to-eat food for immediate
5consumption comprising at least 51% of the total sales,
6excluding the sale of liquor.
7    (b) Unless otherwise provided, all food handlers employed
8by a restaurant, other than someone holding a food service
9sanitation manager certificate, must receive or obtain
10American National Standards Institute-accredited training in
11basic safe food handling principles within 30 days after
12employment and every 3 years thereafter. Notwithstanding the
13provisions of Section 3.05 of this Act, food handlers employed
14in nursing homes, licensed child day care homes and
15facilities, hospitals, schools, and long-term care facilities
16must renew their training every 3 years. There is no limit to
17how many times an employee may take the training. The training
18indicated in subsections (e) and (f) of this Section is
19transferable between employers, but not individuals. The
20training indicated in subsections (c) and (d) of this Section
21is not transferable between individuals or employers. Proof
22that a food handler has been trained must be available upon
23reasonable request by a State or local health department
24inspector and may be provided electronically.
25    (c) If a business with an internal training program is
26approved in another state prior to the effective date of this

 

 

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1amendatory Act of the 98th General Assembly, then the
2business's training program and assessment shall be
3automatically approved by the Department upon the business
4providing proof that the program is approved in said state.
5    (d) The Department shall approve the training program of
6any multi-state business or a franchisee, as defined in the
7Franchise Disclosure Act of 1987, of any multi-state business
8with a plan that follows the guidelines in subsection (b) of
9Section 3.05 of this Act and is on file with the Department by
10August 1, 2017.
11    (e) If an entity uses an American National Standards
12Institute food handler training accredited program, that
13training program shall be automatically approved by the
14Department.
15    (f) Certified local health departments in counties serving
16jurisdictions with a population of 100,000 or less, as
17reported by the U.S. Census Bureau in the 2010 Census of
18Population, may have a training program. The training program
19must meet the requirements of Section 3.05(b) and be approved
20by the Department. This Section notwithstanding, certified
21local health departments in the following counties may have a
22training program:
23        (1) a county with a population of 677,560 as reported
24    by the U.S. Census Bureau in the 2010 Census of
25    Population;
26        (2) a county with a population of 308,760 as reported

 

 

HB5373- 882 -LRB104 20029 AAS 33480 b

1    by the U.S. Census Bureau in the 2010 Census of
2    Population;
3        (3) a county with a population of 515,269 as reported
4    by the U.S. Census Bureau in the 2010 Census of
5    Population;
6        (4) a county with a population of 114,736 as reported
7    by the U.S. Census Bureau in the 2010 Census of
8    Population;
9        (5) a county with a population of 110,768 as reported
10    by the U.S. Census Bureau in the 2010 Census of
11    Population;
12        (6) a county with a population of 135,394 as reported
13    by the U.S. Census Bureau in the 2010 Census of
14    Population.
15    The certified local health departments in paragraphs (1)
16through (6) of this subsection (f) must have their training
17programs on file with the Department no later than 90 days
18after the effective date of this Act. Any modules that meet the
19requirements of subsection (b) of Section 3.05 of this Act and
20are not approved within 180 days after the Department's
21receipt of the application of the entity seeking to conduct
22the training shall automatically be considered approved by the
23Department.
24    (g) Any and all documents, materials, or information
25related to a restaurant or business food handler training
26module submitted to the Department is confidential and shall

 

 

HB5373- 883 -LRB104 20029 AAS 33480 b

1not be open to public inspection or dissemination and is
2exempt from disclosure under Section 7 of the Freedom of
3Information Act. Training may be conducted by any means
4available, including, but not limited to, on-line, computer,
5classroom, live trainers, remote trainers, and certified food
6service sanitation managers. There must be at least one
7commercially available, approved food handler training module
8at a cost of no more than $15 per employee; if an approved food
9handler training module is not available at that cost, then
10the provisions of this Section 3.06 shall not apply.
11    (h) The regulation of food handler training is considered
12to be an exclusive function of the State, and local regulation
13is prohibited. This subsection (h) is a denial and limitation
14of home rule powers and functions under subsection (h) of
15Section 6 of Article VII of the Illinois Constitution.
16    (i) The provisions of this Section apply beginning July 1,
172014. From July 1, 2014 through December 31, 2014, enforcement
18of the provisions of this Section shall be limited to
19education and notification of requirements to encourage
20compliance.
21(Source: P.A. 99-62, eff. 7-16-15; 99-78, eff. 7-20-15;
22100-367, eff. 8-25-17.)
 
23    Section 250. The Environmental Protection Act is amended
24by changing Section 17.12 as follows:
 

 

 

HB5373- 884 -LRB104 20029 AAS 33480 b

1    (415 ILCS 5/17.12)
2    Sec. 17.12. Lead service line replacement and
3notification.
4    (a) The purpose of this Act is to: (1) require the owners
5and operators of community water supplies to develop,
6implement, and maintain a comprehensive water service line
7material inventory and a comprehensive lead service line
8replacement plan, provide notice to occupants of potentially
9affected buildings before any construction or repair work on
10water mains or lead service lines, and request access to
11potentially affected buildings before replacing lead service
12lines; and (2) prohibit partial lead service line
13replacements, except as authorized within this Section.
14    (b) The General Assembly finds and declares that:
15        (1) There is no safe level of exposure to heavy metal
16    lead, as found by the United States Environmental
17    Protection Agency and the Centers for Disease Control and
18    Prevention.
19        (2) Lead service lines can convey this harmful
20    substance to the drinking water supply.
21        (3) According to the Illinois Environmental Protection
22    Agency's 2018 Service Line Material Inventory, the State
23    of Illinois is estimated to have over 680,000 lead-based
24    service lines still in operation.
25        (4) The true number of lead service lines is not fully
26    known because Illinois lacks an adequate inventory of lead

 

 

HB5373- 885 -LRB104 20029 AAS 33480 b

1    service lines.
2        (5) For the general health, safety, and welfare of its
3    residents, all lead service lines in Illinois should be
4    disconnected from the drinking water supply, and the
5    State's drinking water supply.
6    (c) In this Section:
7    "Advisory Board" means the Lead Service Line Replacement
8Advisory Board created under subsection (x).
9    "Community water supply" has the meaning ascribed to it in
10Section 3.145 of this Act.
11    "Department" means the Department of Public Health.
12    "Emergency repair" means any unscheduled water main, water
13service, or water valve repair or replacement that results
14from failure or accident.
15    "Fund" means the Lead Service Line Replacement Fund
16created under subsection (bb).
17    "Lead service line" means a service line made of lead or
18service line connected to a lead pigtail, lead gooseneck, or
19other lead fitting.
20    "Material inventory" means a water service line material
21inventory developed by a community water supply under this
22Act.
23    "Non-community water supply" has the meaning ascribed to
24it in Section 3.145 of the Environmental Protection Act.
25    "NSF/ANSI Standard" means a water treatment standard
26developed by NSF International.

 

 

HB5373- 886 -LRB104 20029 AAS 33480 b

1    "Partial lead service line replacement" means replacement
2of only a portion of a lead service line.
3    "Potentially affected building" means any building that is
4provided water service through a service line that is either a
5lead service line or a suspected lead service line.
6    "Public water supply" has the meaning ascribed to it in
7Section 3.365 of this Act.
8    "Service line" means the piping, tubing, and necessary
9appurtenances acting as a conduit from the water main or
10source of potable water supply to the building plumbing at the
11first shut-off valve or 18 inches inside the building,
12whichever is shorter.
13    "Suspected lead service line" means a service line that a
14community water supply finds more likely than not to be made of
15lead after completing the requirements under paragraphs (2)
16through (5) of subsection (h).
17    "Small system" means a community water supply that
18regularly serves water to 3,300 or fewer persons.
19    (d) An owner or operator of a community water supply
20shall:
21        (1) develop an initial material inventory by April 15,
22    2022 and electronically submit by April 15, 2023 an
23    updated material inventory electronically to the Agency;
24    and
25        (2) deliver a complete material inventory to the
26    Agency no later than April 15, 2024, or such time as

 

 

HB5373- 887 -LRB104 20029 AAS 33480 b

1    required by federal law, whichever is sooner. The complete
2    inventory shall report the composition of all service
3    lines in the community water supply's distribution system.
4    (e) The Agency shall review and approve the final material
5inventory submitted to it under subsection (d).
6    (f) If a community water supply does not submit a complete
7inventory to the Agency by April 15, 2024 under paragraph (2)
8of subsection (d), the community water supply may apply for an
9extension to the Agency no less than 3 months prior to the due
10date. The Agency shall develop criteria for granting material
11inventory extensions. When considering requests for extension,
12the Agency shall, at a minimum, consider:
13        (1) the number of service connections in a water
14    supply; and
15        (2) the number of service lines of an unknown material
16    composition.
17    (g) A material inventory prepared for a community water
18supply under subsection (d) shall identify:
19        (1) the total number of service lines connected to the
20    community water supply's distribution system;
21        (2) the materials of construction of each service line
22    connected to the community water supply's distribution
23    system;
24        (3) the number of suspected lead service lines that
25    were newly identified in the material inventory for the
26    community water supply after the community water supply

 

 

HB5373- 888 -LRB104 20029 AAS 33480 b

1    last submitted a service line inventory to the Agency; and
2        (4) the number of suspected or known lead service
3    lines that were replaced after the community water supply
4    last submitted a service line inventory to the Agency, and
5    the material of the service line that replaced each lead
6    service line.
7    When identifying the materials of construction under
8paragraph (2) of this subsection, the owner or operator of the
9community water supply shall to the best of the owner's or
10operator's ability identify the type of construction material
11used on the customer's side of the curb box, meter, or other
12line of demarcation and the community water supply's side of
13the curb box, meter, or other line of demarcation.
14    (h) In completing a material inventory under subsection
15(d), the owner or operator of a community water supply shall:
16        (1) prioritize inspections of high-risk areas
17    identified by the community water supply and inspections
18    of high-risk facilities, such as preschools, child day
19    care centers, child day care homes, group child day care
20    homes, parks, playgrounds, hospitals, and clinics, and
21    confirm service line materials in those areas and at those
22    facilities;
23        (2) review historical documentation, such as
24    construction logs or cards, as-built drawings, purchase
25    orders, and subdivision plans, to determine service line
26    material construction;

 

 

HB5373- 889 -LRB104 20029 AAS 33480 b

1        (3) when conducting distribution system maintenance,
2    visually inspect service lines and document materials of
3    construction;
4        (4) identify any time period when the service lines
5    being connected to its distribution system were primarily
6    lead service lines, if such a time period is known or
7    suspected; and
8        (5) discuss service line repair and installation with
9    its employees, contractors, plumbers, other workers who
10    worked on service lines connected to its distribution
11    system, or all of the above.
12    (i) The owner or operator of each community water supply
13shall maintain records of persons who refuse to grant access
14to the interior of a building for purposes of identifying the
15materials of construction of a service line. If a community
16water supply has been denied access on the property or to the
17interior of a building for that reason, then the community
18water supply shall attempt to identify the service line as a
19suspected lead service line, unless documentation is provided
20showing otherwise.
21    (j) If a community water supply identifies a lead service
22line connected to a building, the owner or operator of the
23community water supply shall attempt to notify the owner of
24the building and all occupants of the building of the
25existence of the lead service line within 15 days after
26identifying the lead service line, or as soon as is reasonably

 

 

HB5373- 890 -LRB104 20029 AAS 33480 b

1possible thereafter. Individual written notice shall be given
2according to the provisions of subsection (jj).
3    (k) An owner or operator of a community water supply has no
4duty to include in the material inventory required under
5subsection (d) information about service lines that are
6physically disconnected from a water main in its distribution
7system.
8    (l) The owner or operator of each community water supply
9shall post on its website a copy of the most recently submitted
10material inventory or alternatively may request that the
11Agency post a copy of that material inventory on the Agency's
12website.
13    (m) Nothing in this Section shall be construed to require
14service lines to be unearthed for the sole purpose of
15inventorying.
16    (n) When an owner or operator of a community water supply
17awards a contract under this Section, the owner or operator
18shall make a good faith effort to use contractors and vendors
19owned by minority persons, women, and persons with a
20disability, as those terms are defined in Section 2 of the
21Business Enterprise for Minorities, Women, and Persons with
22Disabilities Act, for not less than 20% of the total
23contracts, provided that:
24        (1) contracts representing at least 11% of the total
25    projects shall be awarded to minority-owned businesses, as
26    defined in Section 2 of the Business Enterprise for

 

 

HB5373- 891 -LRB104 20029 AAS 33480 b

1    Minorities, Women, and Persons with Disabilities Act;
2        (2) contracts representing at least 7% of the total
3    projects shall be awarded to women-owned businesses, as
4    defined in Section 2 of the Business Enterprise for
5    Minorities, Women, and Persons with Disabilities Act; and
6        (3) contracts representing at least 2% of the total
7    projects shall be awarded to businesses owned by persons
8    with a disability.
9    Owners or operators of a community water supply are
10encouraged to divide projects, whenever economically feasible,
11into contracts of smaller size that ensure small business
12contractors or vendors shall have the ability to qualify in
13the applicable bidding process, when determining the ability
14to deliver on a given contract based on scope and size, as a
15responsible and responsive bidder.
16    When a contractor or vendor submits a bid or letter of
17intent in response to a request for proposal or other bid
18submission, the contractor or vendor shall include with its
19responsive documents a utilization plan that shall address how
20compliance with applicable good faith requirements set forth
21in this subsection shall be addressed.
22    Under this subsection, "good faith effort" means a
23community water supply has taken all necessary steps to comply
24with the goals of this subsection by complying with the
25following:
26        (1) Soliciting through reasonable and available means

 

 

HB5373- 892 -LRB104 20029 AAS 33480 b

1    the interest of a business, as defined in Section 2 of the
2    Business Enterprise for Minorities, Women, and Persons
3    with Disabilities Act, that have the capability to perform
4    the work of the contract. The community water supply must
5    solicit this interest within sufficient time to allow
6    certified businesses to respond.
7        (2) Providing interested certified businesses with
8    adequate information about the plans, specifications, and
9    requirements of the contract, including addenda, in a
10    timely manner to assist them in responding to the
11    solicitation.
12        (3) Meeting in good faith with interested certified
13    businesses that have submitted bids.
14        (4) Effectively using the services of the State,
15    minority or women community organizations, minority or
16    women contractor groups, local, State, and federal
17    minority or women business assistance offices, and other
18    organizations to provide assistance in the recruitment and
19    placement of certified businesses.
20        (5) Making efforts to use appropriate forums for
21    purposes of advertising subcontracting opportunities
22    suitable for certified businesses.
23    The diversity goals defined in this subsection can be met
24through direct award to diverse contractors and through the
25use of diverse subcontractors and diverse vendors to
26contracts.

 

 

HB5373- 893 -LRB104 20029 AAS 33480 b

1    (o) An owner or operator of a community water supply shall
2collect data necessary to ensure compliance with subsection
3(n) no less than semi-annually and shall include progress
4toward compliance of subsection (n) in the owner or operator's
5report required under subsection (t-5). The report must
6include data on vendor and employee diversity, including data
7on the owner's or operator's implementation of subsection (n).
8    (p) Every owner or operator of a community water supply
9that has known or suspected lead service lines shall:
10        (1) create a plan to:
11            (A) replace each lead service line connected to
12        its distribution system; and
13            (B) replace each galvanized service line connected
14        to its distribution system, if the galvanized service
15        line is or was connected downstream to lead piping;
16        and
17        (2) electronically submit, by April 15, 2024 its
18    initial lead service line replacement plan to the Agency;
19        (3) electronically submit by April 15 of each year
20    after 2024 until April 15, 2027 an updated lead service
21    line replacement plan to the Agency for review; the
22    updated replacement plan shall account for changes in the
23    number of lead service lines or unknown service lines in
24    the material inventory described in subsection (d);
25        (4) electronically submit by April 15, 2027 a complete
26    and final replacement plan to the Agency for approval; the

 

 

HB5373- 894 -LRB104 20029 AAS 33480 b

1    complete and final replacement plan shall account for all
2    known and suspected lead service lines documented in the
3    final material inventory described under paragraph (3) of
4    subsection (d); and
5        (5) post on its website a copy of the plan most
6    recently submitted to the Agency or may request that the
7    Agency post a copy of that plan on the Agency's website.
8    (q) Each plan required under paragraph (1) of subsection
9(p) shall include the following:
10        (1) the name and identification number of the
11    community water supply;
12        (2) the total number of service lines connected to the
13    distribution system of the community water supply;
14        (3) the total number of suspected lead service lines
15    connected to the distribution system of the community
16    water supply;
17        (4) the total number of known lead service lines
18    connected to the distribution system of the community
19    water supply;
20        (5) the total number of lead service lines connected
21    to the distribution system of the community water supply
22    that have been replaced each year beginning in 2020;
23        (6) a proposed lead service line replacement schedule
24    that includes one-year, 5-year, 10-year, 15-year, 20-year,
25    25-year, and 30-year goals;
26        (7) an analysis of costs and financing options for

 

 

HB5373- 895 -LRB104 20029 AAS 33480 b

1    replacing the lead service lines connected to the
2    community water supply's distribution system, which shall
3    include, but shall not be limited to:
4            (A) a detailed accounting of costs associated with
5        replacing lead service lines and galvanized lines that
6        are or were connected downstream to lead piping;
7            (B) measures to address affordability and prevent
8        service shut-offs for customers or ratepayers; and
9            (C) consideration of different scenarios for
10        structuring payments between the utility and its
11        customers over time; and
12        (8) a plan for prioritizing high-risk facilities, such
13    as preschools, child day care centers, child day care
14    homes, group child day care homes, parks, playgrounds,
15    hospitals, and clinics, as well as high-risk areas
16    identified by the community water supply;
17        (9) a map of the areas where lead service lines are
18    expected to be found and the sequence with which those
19    areas will be inventoried and lead service lines replaced;
20        (10) measures for how the community water supply will
21    inform the public of the plan and provide opportunity for
22    public comment; and
23        (11) measures to encourage diversity in hiring in the
24    workforce required to implement the plan as identified
25    under subsection (n).
26    (r) The Agency shall review final plans submitted to it

 

 

HB5373- 896 -LRB104 20029 AAS 33480 b

1under subsection (p). The Agency shall approve a final plan if
2the final plan includes all of the elements set forth under
3subsection (q) and the Agency determines that:
4        (1) the proposed lead service line replacement
5    schedule set forth in the plan aligns with the timeline
6    requirements set forth under subsection (v);
7        (2) the plan prioritizes the replacement of lead
8    service lines that provide water service to high-risk
9    facilities, such as preschools, child day care centers,
10    child day care homes, group child day care homes, parks,
11    playgrounds, hospitals, and clinics, and high-risk areas
12    identified by the community water supply;
13        (3) the plan includes analysis of cost and financing
14    options; and
15        (4) the plan provides documentation of public review.
16    (s) An owner or operator of a community water supply has no
17duty to include in the plans required under subsection (p)
18information about service lines that are physically
19disconnected from a water main in its distribution system.
20    (t) If a community water supply does not deliver a
21complete plan to the Agency by April 15, 2027, the community
22water supply may apply to the Agency for an extension no less
23than 3 months prior to the due date. The Agency shall develop
24criteria for granting plan extensions. When considering
25requests for extension, the Agency shall, at a minimum,
26consider:

 

 

HB5373- 897 -LRB104 20029 AAS 33480 b

1        (1) the number of service connections in a water
2    supply; and
3        (2) the number of service lines of an unknown material
4    composition.
5    (t-5) After the Agency has approved the final replacement
6plan described in subsection (p), the owner or operator of a
7community water supply shall submit a report detailing
8progress toward plan goals to the Agency for its review. The
9report shall be submitted annually for the first 10 years, and
10every 3 years thereafter until all lead service lines have
11been replaced. Reports under this subsection shall be
12published in the same manner described in subsection (l). The
13report shall include at least the following information as it
14pertains to the preceding reporting period:
15        (1) The number of lead service lines replaced and the
16    average cost of lead service line replacement.
17        (2) Progress toward meeting hiring requirements as
18    described in subsection (n) and subsection (o).
19        (3) The percent of customers electing a waiver
20    offered, as described in subsections (ii) and (jj), among
21    those customers receiving a request or notification to
22    perform a lead service line replacement.
23        (4) The method or methods used by the community water
24    supply to finance lead service line replacement.
25    (u) Notwithstanding any other provision of law, in order
26to provide for costs associated with lead service line

 

 

HB5373- 898 -LRB104 20029 AAS 33480 b

1remediation and replacement, the corporate authorities of a
2municipality may, by ordinance or resolution by the corporate
3authorities, exercise authority provided in Section 27-5 et
4seq. of the Property Tax Code and Sections 8-3-1, 8-11-1,
58-11-5, 8-11-6, 9-1-1 et seq., 9-3-1 et seq., 9-4-1 et seq.,
611-131-1, and 11-150-1 of the Illinois Municipal Code. Taxes
7levied for this purpose shall be in addition to taxes for
8general purposes authorized under Section 8-3-1 of the
9Illinois Municipal Code and shall be included in the taxing
10district's aggregate extension for the purposes of Division 5
11of Article 18 of the Property Tax Code.
12    (v) Every owner or operator of a community water supply
13shall replace all known lead service lines, subject to the
14requirements of subsection (ff), according to the following
15replacement rates and timelines to be calculated from the date
16of submission of the final replacement plan to the Agency:
17        (1) A community water supply reporting 1,200 or fewer
18    lead service lines in its final inventory and replacement
19    plan shall replace all lead service lines, at an annual
20    rate of no less than 7% of the amount described in the
21    final inventory, with a timeline of up to 15 years for
22    completion.
23        (2) A community water supply reporting more than 1,200
24    but fewer than 5,000 lead service lines in its final
25    inventory and replacement plan shall replace all lead
26    service lines, at an annual rate of no less than 6% of the

 

 

HB5373- 899 -LRB104 20029 AAS 33480 b

1    amount described in the final inventory, with a timeline
2    of up to 17 years for completion.
3        (3) A community water supply reporting more than 4,999
4    but fewer than 10,000 lead service lines in its final
5    inventory and replacement plan shall replace all lead
6    service lines, at an annual rate of no less than 5% of the
7    amount described in the final inventory, with a timeline
8    of up to 20 years for completion.
9        (4) A community water supply reporting more than 9,999
10    but fewer than 99,999 lead service lines in its final
11    inventory and replacement plan shall replace all lead
12    service lines, at an annual rate of no less than 3% of the
13    amount described in the final inventory, with a timeline
14    of up to 34 years for completion.
15        (5) A community water supply reporting more than
16    99,999 lead service lines in its final inventory and
17    replacement plan shall replace all lead service lines, at
18    an annual rate of no less than 2% of the amount described
19    in the final inventory, with a timeline of up to 50 years
20    for completion.
21    (w) A community water supply may apply to the Agency for an
22extension to the replacement timelines described in paragraphs
23(1) through (5) of subsection (v). The Agency shall develop
24criteria for granting replacement timeline extensions. When
25considering requests for timeline extensions, the Agency
26shall, at a minimum, consider:

 

 

HB5373- 900 -LRB104 20029 AAS 33480 b

1        (1) the number of service connections in a water
2    supply; and
3        (2) unusual circumstances creating hardship for a
4    community.
5    The Agency may grant one extension of additional time
6equal to not more than 20% of the original replacement
7timeline, except in situations of extreme hardship in which
8the Agency may consider a second additional extension equal to
9not more than 10% of the original replacement timeline.
10    Replacement rates and timelines shall be calculated from
11the date of submission of the final plan to the Agency.
12    (x) The Lead Service Line Replacement Advisory Board is
13created within the Agency. The Advisory Board shall convene
14within 120 days after January 1, 2022 (the effective date of
15Public Act 102-613).
16    The Advisory Board shall consist of at least 28 voting
17members, as follows:
18        (1) the Director of the Agency, or his or her
19    designee, who shall serve as chairperson;
20        (2) the Director of Revenue, or his or her designee;
21        (3) the Director of Public Health, or his or her
22    designee;
23        (4) fifteen members appointed by the Agency as
24    follows:
25            (A) one member representing a statewide
26        organization of municipalities as authorized by

 

 

HB5373- 901 -LRB104 20029 AAS 33480 b

1        Section 1-8-1 of the Illinois Municipal Code;
2            (B) two members who are mayors representing
3        municipalities located in any county south of the
4        southernmost county represented by one of the 10
5        largest municipalities in Illinois by population, or
6        their respective designees;
7            (C) two members who are representatives from
8        public health advocacy groups;
9            (D) two members who are representatives from
10        publicly owned water utilities;
11            (E) one member who is a representative from a
12        public utility as defined under Section 3-105 of the
13        Public Utilities Act that provides water service in
14        the State of Illinois;
15            (F) one member who is a research professional
16        employed at an Illinois academic institution and
17        specializing in water infrastructure research;
18            (G) two members who are representatives from
19        nonprofit civic organizations;
20            (H) one member who is a representative from a
21        statewide organization representing environmental
22        organizations;
23            (I) two members who are representatives from
24        organized labor; and
25            (J) one member representing an environmental
26        justice organization; and

 

 

HB5373- 902 -LRB104 20029 AAS 33480 b

1        (5) ten members who are the mayors of the 10 largest
2    municipalities in Illinois by population, or their
3    respective designees.
4    No less than 10 of the 28 voting members shall be persons
5of color, and no less than 3 shall represent communities
6defined or self-identified as environmental justice
7communities.
8    Advisory Board members shall serve without compensation,
9but may be reimbursed for necessary expenses incurred in the
10performance of their duties from funds appropriated for that
11purpose. The Agency shall provide administrative support to
12the Advisory Board.
13    The Advisory Board shall meet no less than once every 6
14months.
15    (y) The Advisory Board shall have, at a minimum, the
16following duties:
17        (1) advising the Agency on best practices in lead
18    service line replacement;
19        (2) reviewing the progress of community water supplies
20    toward lead service line replacement goals;
21        (3) advising the Agency on other matters related to
22    the administration of the provisions of this Section;
23        (4) advising the Agency on the integration of existing
24    lead service line replacement plans with any statewide
25    plan; and
26        (5) providing technical support and practical

 

 

HB5373- 903 -LRB104 20029 AAS 33480 b

1    expertise in general.
2    (z) Within 18 months after January 1, 2022 (the effective
3date of Public Act 102-613), the Advisory Board shall deliver
4a report of its recommendations to the Governor and the
5General Assembly concerning opportunities for dedicated,
6long-term revenue options for funding lead service line
7replacement. In submitting recommendations, the Advisory Board
8shall consider, at a minimum, the following:
9        (1) the sufficiency of various revenue sources to
10    adequately fund replacement of all lead service lines in
11    Illinois;
12        (2) the financial burden, if any, on households
13    falling below 150% of the federal poverty limit;
14        (3) revenue options that guarantee low-income
15    households are protected from rate increases;
16        (4) an assessment of the ability of community water
17    supplies to assess and collect revenue;
18        (5) variations in financial resources among individual
19    households within a service area; and
20        (6) the protection of low-income households from rate
21    increases.
22    (aa) Within 10 years after January 1, 2022 (the effective
23date of Public Act 102-613), the Advisory Board shall prepare
24and deliver a report to the Governor and General Assembly
25concerning the status of all lead service line replacement
26within the State.

 

 

HB5373- 904 -LRB104 20029 AAS 33480 b

1    (bb) The Lead Service Line Replacement Fund is created as
2a special fund in the State treasury to be used by the Agency
3for the purposes provided under this Section. The Fund shall
4be used exclusively to finance and administer programs and
5activities specified under this Section and listed under this
6subsection.
7    The objective of the Fund is to finance activities
8associated with identifying and replacing lead service lines,
9build Agency capacity to oversee the provisions of this
10Section, and provide related assistance for the activities
11listed under this subsection.
12    The Agency shall be responsible for the administration of
13the Fund and shall allocate moneys on the basis of priorities
14established by the Agency through administrative rule. On July
151, 2022 and on July 1 of each year thereafter, the Agency shall
16determine the available amount of resources in the Fund that
17can be allocated to the activities identified under this
18Section and shall allocate the moneys accordingly.
19    Notwithstanding any other law to the contrary, the Lead
20Service Line Replacement Fund is not subject to sweeps,
21administrative charge-backs, or any other fiscal maneuver that
22would in any way transfer any amounts from the Lead Service
23Line Replacement Fund into any other fund of the State.
24    (cc) Within one year after January 1, 2022 (the effective
25date of Public Act 102-613), the Agency shall design rules for
26a program for the purpose of administering lead service line

 

 

HB5373- 905 -LRB104 20029 AAS 33480 b

1replacement funds. The rules must, at minimum, contain:
2        (1) the process by which community water supplies may
3    apply for funding; and
4        (2) the criteria for determining unit of local
5    government eligibility and prioritization for funding,
6    including the prevalence of low-income households, as
7    measured by median household income, the prevalence of
8    lead service lines, and the prevalence of water samples
9    that demonstrate elevated levels of lead.
10    (dd) Funding under subsection (cc) shall be available for
11costs directly attributable to the planning, design, or
12construction directly related to the replacement of lead
13service lines and restoration of property.
14    Funding shall not be used for the general operating
15expenses of a municipality or community water supply.
16    (ee) An owner or operator of any community water supply
17receiving grant funding under subsection (cc) shall bear the
18entire expense of full lead service line replacement for all
19lead service lines in the scope of the grant.
20    (ff) When replacing a lead service line, the owner or
21operator of the community water supply shall replace the
22service line in its entirety, including, but not limited to,
23any portion of the service line (i) running on private
24property and (ii) within the building's plumbing at the first
25shut-off valve. Partial lead service line replacements are
26expressly prohibited. Exceptions shall be made under the

 

 

HB5373- 906 -LRB104 20029 AAS 33480 b

1following circumstances:
2        (1) In the event of an emergency repair that affects a
3    lead service line or a suspected lead service line, a
4    community water supply must contact the building owner to
5    begin the process of replacing the entire service line. If
6    the building owner is not able to be contacted or the
7    building owner or occupant refuses to grant access and
8    permission to replace the entire service line at the time
9    of the emergency repair, then the community water supply
10    may perform a partial lead service line replacement. Where
11    an emergency repair on a service line constructed of lead
12    or galvanized steel pipe results in a partial service line
13    replacement, the water supply responsible for commencing
14    the repair shall perform the following:
15            (A) Notify the building's owner or operator and
16        the resident or residents served by the lead service
17        line in writing that a repair has been completed. The
18        notification shall include, at a minimum:
19                (i) a warning that the work may result in
20            sediment, possibly containing lead, in the
21            building's water supply system;
22                (ii) information concerning practices for
23            preventing the consumption of any lead in drinking
24            water, including a recommendation to flush water
25            distribution pipe during and after the completion
26            of the repair or replacement work and to clean

 

 

HB5373- 907 -LRB104 20029 AAS 33480 b

1            faucet aerator screens; and
2                (iii) information regarding the dangers of
3            lead to young children and pregnant women.
4            (B) Provide filters for at least one fixture
5        supplying potable water for consumption. The filter
6        must be certified by an accredited third-party
7        certification body to NSF/ANSI 53 and NSF/ANSI 42 for
8        the reduction of lead and particulate. The filter must
9        be provided until such time that the remaining
10        portions of the service line have been replaced with a
11        material approved by the Department or a waiver has
12        been issued under subsection (ii).
13            (C) Replace the remaining portion of the lead
14        service line within 30 days of the repair, or 120 days
15        in the event of weather or other circumstances beyond
16        reasonable control that prohibits construction. If a
17        complete lead service line replacement cannot be made
18        within the required period, the community water supply
19        responsible for commencing the repair shall notify the
20        Department in writing, at a minimum, of the following
21        within 24 hours of the repair:
22                (i) an explanation of why it is not feasible
23            to replace the remaining portion of the lead
24            service line within the allotted time; and
25                (ii) a timeline for when the remaining portion
26            of the lead service line will be replaced.

 

 

HB5373- 908 -LRB104 20029 AAS 33480 b

1            (D) If complete repair of a lead service line
2        cannot be completed due to denial by the property
3        owner, the community water supply commencing the
4        repair shall request the affected property owner to
5        sign a waiver developed by the Department. If a
6        property owner of a nonresidential building or
7        residence operating as rental properties denies a
8        complete lead service line replacement, the property
9        owner shall be responsible for installing and
10        maintaining point-of-use filters certified by an
11        accredited third-party certification body to NSF/ANSI
12        53 and NSF/ANSI 42 for the reduction of lead and
13        particulate at all fixtures intended to supply water
14        for the purposes of drinking, food preparation, or
15        making baby formula. The filters shall continue to be
16        supplied by the property owner until such time that
17        the property owner has affected the remaining portions
18        of the lead service line to be replaced.
19            (E) Document any remaining lead service line,
20        including a portion on the private side of the
21        property, in the community water supply's distribution
22        system materials inventory required under subsection
23        (d).
24        For the purposes of this paragraph (1), written notice
25    shall be provided in the method and according to the
26    provisions of subsection (jj).

 

 

HB5373- 909 -LRB104 20029 AAS 33480 b

1        (2) Lead service lines that are physically
2    disconnected from the distribution system are exempt from
3    this subsection.
4    (gg) Except as provided in subsection (hh), on and after
5January 1, 2022, when the owner or operator of a community
6water supply replaces a water main, the community water supply
7shall identify all lead service lines connected to the water
8main and shall replace the lead service lines by:
9        (1) identifying the material or materials of each lead
10    service line connected to the water main, including, but
11    not limited to, any portion of the service line (i)
12    running on private property and (ii) within the building
13    plumbing at the first shut-off valve or 18 inches inside
14    the building, whichever is shorter;
15        (2) in conjunction with replacement of the water main,
16    replacing any and all portions of each lead service line
17    connected to the water main that are composed of lead; and
18        (3) if a property owner or customer refuses to grant
19    access to the property, following prescribed notice
20    provisions as outlined in subsection (ff).
21    If an owner of a potentially affected building intends to
22replace a portion of a lead service line or a galvanized
23service line and the galvanized service line is or was
24connected downstream to lead piping, then the owner of the
25potentially affected building shall provide the owner or
26operator of the community water supply with notice at least 45

 

 

HB5373- 910 -LRB104 20029 AAS 33480 b

1days before commencing the work. In the case of an emergency
2repair, the owner of the potentially affected building must
3provide filters for each kitchen area that are certified by an
4accredited third-party certification body to NSF/ANSI 53 and
5NSF/ANSI 42 for the reduction of lead and particulate. If the
6owner of the potentially affected building notifies the owner
7or operator of the community water supply that replacement of
8a portion of the lead service line after the emergency repair
9is completed, then the owner or operator of the community
10water supply shall replace the remainder of the lead service
11line within 30 days after completion of the emergency repair.
12A community water supply may take up to 120 days if necessary
13due to weather conditions. If a replacement takes longer than
1430 days, filters provided by the owner of the potentially
15affected building must be replaced in accordance with the
16manufacturer's recommendations. Partial lead service line
17replacements by the owners of potentially affected buildings
18are otherwise prohibited.
19    (hh) For municipalities with a population in excess of
201,000,000 inhabitants, the requirements of subsection (gg)
21shall commence on January 1, 2023.
22    (ii) At least 45 days before conducting planned lead
23service line replacement, the owner or operator of a community
24water supply shall, by mail, attempt to contact the owner of
25the potentially affected building serviced by the lead service
26line to request access to the building and permission to

 

 

HB5373- 911 -LRB104 20029 AAS 33480 b

1replace the lead service line in accordance with the lead
2service line replacement plan. If the owner of the potentially
3affected building does not respond to the request within 15
4days after the request is sent, the owner or operator of the
5community water supply shall attempt to post the request on
6the entrance of the potentially affected building.
7    If the owner or operator of a community water supply is
8unable to obtain approval to access and replace a lead service
9line, the owner or operator of the community water supply
10shall request that the owner of the potentially affected
11building sign a waiver. The waiver shall be developed by the
12Department and should be made available in the owner's
13language. If the owner of the potentially affected building
14refuses to sign the waiver or fails to respond to the community
15water supply after the community water supply has complied
16with this subsection, then the community water supply shall
17notify the Department in writing within 15 working days.
18    (jj) When replacing a lead service line or repairing or
19replacing water mains with lead service lines or partial lead
20service lines attached to them, the owner or operator of a
21community water supply shall provide the owner of each
22potentially affected building that is serviced by the affected
23lead service lines or partial lead service lines, as well as
24the occupants of those buildings, with an individual written
25notice. The notice shall be delivered by mail or posted at the
26primary entranceway of the building. The notice must, in

 

 

HB5373- 912 -LRB104 20029 AAS 33480 b

1addition, be electronically mailed where an electronic mailing
2address is known or can be reasonably obtained. Written notice
3shall include, at a minimum, the following:
4        (1) a warning that the work may result in sediment,
5    possibly containing lead from the service line, in the
6    building's water;
7        (2) information concerning the best practices for
8    preventing exposure to or risk of consumption of lead in
9    drinking water, including a recommendation to flush water
10    lines during and after the completion of the repair or
11    replacement work and to clean faucet aerator screens; and
12        (3) information regarding the dangers of lead exposure
13    to young children and pregnant women.
14    When the individual written notice described in the first
15paragraph of this subsection is required as a result of
16planned work other than the repair or replacement of a water
17meter, the owner or operator of the community water supply
18shall provide the notice not less than 14 days before work
19begins. When the individual written notice described in the
20first paragraph of this subsection is required as a result of
21emergency repairs other than the repair or replacement of a
22water meter, the owner or operator of the community water
23supply shall provide the notice at the time the work is
24initiated. When the individual written notice described in the
25first paragraph of this subsection is required as a result of
26the repair or replacement of a water meter, the owner or

 

 

HB5373- 913 -LRB104 20029 AAS 33480 b

1operator of the community water supply shall provide the
2notice at the time the work is initiated.
3    The notifications required under this subsection must
4contain the following statement in Spanish, Polish, Chinese,
5Tagalog, Arabic, Korean, German, Urdu, and Gujarati: "This
6notice contains important information about your water service
7and may affect your rights. We encourage you to have this
8notice translated in full into a language you understand and
9before you make any decisions that may be required under this
10notice."
11    An owner or operator of a community water supply that is
12required under this subsection to provide an individual
13written notice to the owner and occupant of a potentially
14affected building that is a multi-dwelling building may
15satisfy that requirement and the requirements of this
16subsection regarding notification to non-English speaking
17customers by posting the required notice on the primary
18entranceway of the building and at the location where the
19occupant's mail is delivered as reasonably as possible.
20    When this subsection would require the owner or operator
21of a community water supply to provide an individual written
22notice to the entire community served by the community water
23supply or would require the owner or operator of a community
24water supply to provide individual written notices as a result
25of emergency repairs or when the community water supply that
26is required to comply with this subsection is a small system,

 

 

HB5373- 914 -LRB104 20029 AAS 33480 b

1the owner or operator of the community water supply may
2provide the required notice through local media outlets,
3social media, or other similar means in lieu of providing the
4individual written notices otherwise required under this
5subsection.
6    No notifications are required under this subsection for
7work performed on water mains that are used to transmit
8treated water between community water supplies and properties
9that have no service connections.
10    (kk) No community water supply that sells water to any
11wholesale or retail consecutive community water supply may
12pass on any costs associated with compliance with this Section
13to consecutive systems.
14    (ll) To the extent allowed by law, when a community water
15supply replaces or installs a lead service line in a public
16right-of-way or enters into an agreement with a private
17contractor for replacement or installation of a lead service
18line, the community water supply shall be held harmless for
19all damage to property when replacing or installing the lead
20service line. If dangers are encountered that prevent the
21replacement of the lead service line, the community water
22supply shall notify the Department within 15 working days of
23why the replacement of the lead service line could not be
24accomplished.
25    (mm) The Agency may propose to the Board, and the Board may
26adopt, any rules necessary to implement and administer this

 

 

HB5373- 915 -LRB104 20029 AAS 33480 b

1Section. The Department may adopt rules necessary to address
2lead service lines attached to non-community water supplies.
3    (nn) Notwithstanding any other provision in this Section,
4no requirement in this Section shall be construed as being
5less stringent than existing applicable federal requirements.
6    (oo) All lead service line replacements financed in whole
7or in part with funds obtained under this Section shall be
8considered public works for purposes of the Prevailing Wage
9Act.
10    (pp) Beginning in 2023, each municipality with a
11population of more than 1,000,000 inhabitants shall publicly
12post on its website data describing progress the municipality
13has made toward replacing lead service lines within the
14municipality. The data required to be posted under this
15subsection shall be the same information required to be
16reported under paragraphs (1) through (4) of subsection (t-5)
17of this Section. Beginning in 2024, each municipality that is
18subject to this subsection shall annually update the data
19posted on its website under this subsection. A municipality's
20duty to post data under this subsection terminates only when
21all lead service lines within the municipality have been
22replaced. Nothing in this subsection (pp) shall be construed
23to replace, undermine, conflict with, or otherwise amend the
24responsibilities and requirements set forth in subsection
25(t-5) of this Section.
26(Source: P.A. 102-613, eff. 1-1-22; 102-813, eff. 5-13-22;

 

 

HB5373- 916 -LRB104 20029 AAS 33480 b

1103-167, eff. 6-30-23; 103-605, eff. 7-1-24.)
 
2    Section 255. The Lawn Care Products Application and Notice
3Act is amended by changing Sections 2, 3, and 6 as follows:
 
4    (415 ILCS 65/2)  (from Ch. 5, par. 852)
5    Sec. 2. Definitions.
6    For purposes of this Act:
7    "Application" means the spreading of lawn care products on
8a lawn.
9    "Applicator for hire" means any person who makes an
10application of lawn care products to a lawn or lawns for
11compensation, including applications made by an employee to
12lawns owned, occupied or managed by his employer and includes
13those licensed by the Department as licensed commercial
14applicators, commercial not-for-hire applicators, licensed
15public applicators, certified applicators and licensed
16operators and those otherwise subject to the licensure
17provisions of the Illinois Pesticide Act, as now or hereafter
18amended.
19    "Buffer" means an area adjacent to a body of water that is
20left untreated with any fertilizer.
21    "Child Day care center" means any facility that qualifies
22as a "child day care center" under the Child Care Act of 1969.
23    "Department" means the Illinois Department of Agriculture.
24    "Department of Public Health" means the Illinois

 

 

HB5373- 917 -LRB104 20029 AAS 33480 b

1Department of Public Health.
2    "Facility" means a building or structure and appurtenances
3thereto used by an applicator for hire for storage and
4handling of pesticides or the storage or maintenance of
5pesticide application equipment or vehicles.
6    "Fertilizer" means any substance containing nitrogen,
7phosphorus or potassium or other recognized plant nutrient or
8compound, which is used for its plant nutrient content.
9    "Golf course" means an area designated for the play or
10practice of the game of golf, including surrounding grounds,
11trees, ornamental beds and the like.
12    "Golf course superintendent" means any person entrusted
13with and employed for the care and maintenance of a golf
14course.
15    "Impervious surface" means any structure, surface, or
16improvement that reduces or prevents absorption of stormwater
17into land, and includes pavement, porous paving, paver blocks,
18gravel, crushed stone, decks, patios, elevated structures, and
19other similar structures, surfaces, or improvements.
20    "Lawn" means land area covered with turf kept closely mown
21or land area covered with turf and trees or shrubs. The term
22does not include (1) land area used for research for
23agricultural production or for the commercial production of
24turf, (2) land area situated within a public or private
25right-of-way, or (3) land area which is devoted to the
26production of any agricultural commodity, including, but not

 

 

HB5373- 918 -LRB104 20029 AAS 33480 b

1limited to plants and plant parts, livestock and poultry and
2livestock or poultry products, seeds, sod, shrubs and other
3products of agricultural origin raised for sale or for human
4or livestock consumption.
5    "Lawn care products" means fertilizers or pesticides
6applied or intended for application to lawns.
7    "Lawn repair products" means seeds, including seeding
8soils, that contain or are coated with or encased in
9fertilizer material.
10    "Person" means any individual, partnership, association,
11corporation or State governmental agency, school district,
12unit of local government and any agency thereof.
13    "Pesticide" means any substance or mixture of substances
14defined as a pesticide under the Illinois Pesticide Act, as
15now or hereafter amended.
16    "Plant protectants" means any substance or material used
17to protect plants from infestation of insects, fungi, weeds
18and rodents, or any other substance that would benefit the
19overall health of plants.
20    "Soil test" means a chemical and mechanical analysis of
21soil nutrient values and pH level as it relates to the soil and
22development of a lawn.
23    "Spreader" means any commercially available fertilizing
24device used to evenly distribute fertilizer material.
25    "Turf" means the upper stratum of soils bound by grass and
26plant roots into a thick mat.

 

 

HB5373- 919 -LRB104 20029 AAS 33480 b

1    "0% phosphate fertilizer" means a fertilizer that contains
2no more than 0.67% available phosphoric acid (P2O5).
3(Source: P.A. 96-424, eff. 8-13-09; 96-1005, eff. 7-6-10.)
 
4    (415 ILCS 65/3)  (from Ch. 5, par. 853)
5    Sec. 3. Notification requirements for application of lawn
6care products.
7    (a) Lawn Markers.
8        (1) Immediately following application of lawn care
9    products to a lawn, other than a golf course, an
10    applicator for hire shall place a lawn marker at the usual
11    point or points of entry.
12        (2) The lawn marker shall consist of a 4 inch by 5 inch
13    sign, vertical or horizontal, attached to the upper
14    portion of a dowel or other supporting device with the
15    bottom of the marker extending no less than 12 inches
16    above the turf.
17        (3) The lawn marker shall be white and lettering on
18    the lawn marker shall be in a contrasting color. The
19    marker shall state on one side, in letters of not less than
20    3/8 inch, the following: "LAWN CARE APPLICATION - STAY OFF
21    GRASS UNTIL DRY - FOR MORE INFORMATION CONTACT: (here
22    shall be inserted the name and business telephone number
23    of the applicator for hire)."
24        (4) The lawn marker shall be removed and discarded by
25    the property owner or resident, or such other person

 

 

HB5373- 920 -LRB104 20029 AAS 33480 b

1    authorized by the property owner or resident, on the day
2    following the application. The lawn marker shall not be
3    removed by any person other than the property owner or
4    resident or person designated by such property owner or
5    resident.
6        (5) For applications to residential properties of 2
7    families or less, the applicator for hire shall be
8    required to place lawn markers at the usual point or
9    points of entry.
10        (6) For applications to residential properties of 2
11    families or more, or for application to other commercial
12    properties, the applicator for hire shall place lawn
13    markers at the usual point or points of entry to the
14    property to provide notice that lawn care products have
15    been applied to the lawn.
16    (b) Notification requirement for application of plant
17protectants on golf courses.
18        (1) Blanket posting procedure. Each golf course shall
19    post in a conspicuous place or places an all-weather
20    poster or placard stating to users of or visitors to the
21    golf course that from time to time plant protectants are
22    in use and additionally stating that if any questions or
23    concerns arise in relation thereto, the golf course
24    superintendent or his designee should be contacted to
25    supply the information contained in subsection (c) of this
26    Section.

 

 

HB5373- 921 -LRB104 20029 AAS 33480 b

1        (2) The poster or placard shall be prominently
2    displayed in the pro shop, locker rooms and first tee at
3    each golf course.
4        (3) The poster or placard shall be a minimum size of 8
5    1/2 by 11 inches and the lettering shall not be less than
6    1/2 inch.
7        (4) The poster or placard shall read: "PLANT
8    PROTECTANTS ARE PERIODICALLY APPLIED TO THIS GOLF COURSE.
9    IF DESIRED, YOU MAY CONTACT YOUR GOLF COURSE
10    SUPERINTENDENT FOR FURTHER INFORMATION."
11    (c) Information to Customers of Applicators for Hire. At
12the time of application of lawn care products to a lawn, an
13applicator for hire shall provide the following information to
14the customer:
15        (1) The brand name, common name, and scientific name
16    of each lawn care product applied;
17        (2) The type of fertilizer or pesticide contained in
18    the lawn care product applied;
19        (3) The reason for use of each lawn care product
20    applied;
21        (4) The range of concentration of end use product
22    applied to the lawn and amount of material applied;
23        (5) Any special instruction appearing on the label of
24    the lawn care product applicable to the customer's use of
25    the lawn following application;
26        (6) The business name and telephone number of the

 

 

HB5373- 922 -LRB104 20029 AAS 33480 b

1    applicator for hire as well as the name of the person
2    actually applying lawn care products to the lawn; and
3        (7) Upon the request of a customer or any person whose
4    property abuts or is adjacent to the property of a
5    customer of an applicator for hire, a copy of the material
6    safety data sheet and approved pesticide registration
7    label for each applied lawn care product.
8    (d) Prior notification of application to lawn. In the case
9of all lawns other than golf courses:
10        (1) Any neighbor whose property abuts or is adjacent
11    to the property of a customer of an applicator for hire may
12    receive prior notification of an application by contacting
13    the applicator for hire and providing his name, address
14    and telephone number.
15        (2) At least the day before a scheduled application,
16    an applicator for hire shall provide notification to a
17    person who has requested notification pursuant to
18    paragraph (1) of this subsection (d), such notification to
19    be made in writing, in person or by telephone, disclosing
20    the date and approximate time of day of application.
21        (3) In the event that an applicator for hire is unable
22    to provide prior notification to a neighbor whose property
23    abuts or is adjacent to the property because of the
24    absence or inaccessibility of the individual, at the time
25    of application to a customer's lawn, the applicator for
26    hire shall leave a written notice at the residence of the

 

 

HB5373- 923 -LRB104 20029 AAS 33480 b

1    person requesting notification, which shall provide the
2    information specified in paragraph (2) of this subsection
3    (d).
4    (e) Prior notification of application to golf courses.
5        (1) Any landlord or resident with property that abuts
6    or is adjacent to a golf course may receive prior
7    notification of an application of lawn care products or
8    plant protectants, or both, by contacting the golf course
9    superintendent and providing his name, address and
10    telephone number.
11        (2) At least the day before a scheduled application of
12    lawn care products or plant protectants, or both, the golf
13    course superintendent shall provide notification to any
14    person who has requested notification pursuant to
15    paragraph (1) of this subsection (e), such notification to
16    be made in writing, in person or by telephone, disclosing
17    the date and approximate time of day of application.
18        (3) In the event that the golf course superintendent
19    is unable to provide prior notification to a landlord or
20    resident because of the absence or inaccessibility, at the
21    time of application, of the landlord or resident, the golf
22    course superintendent shall leave a written notice with
23    the landlord or at the residence which shall provide the
24    information specified in paragraph (2) of this subsection
25    (e).
26    (f) Notification for applications of pesticides to child

 

 

HB5373- 924 -LRB104 20029 AAS 33480 b

1day care center grounds other than child day care center
2structures and school grounds other than school structures.
3        (1) The owner or operator of a child day care center
4    must either (i) maintain a registry of parents and
5    guardians of children in his or her care who have
6    registered to receive written notification before the
7    application of pesticide to child day care center grounds
8    and notify persons on that registry before applying
9    pesticides or having pesticide applied to child day care
10    center grounds or (ii) provide written or telephonic
11    notice to all parents and guardians of children in his or
12    her care before applying pesticide or having pesticide
13    applied to child day care center grounds.
14        (2) School districts must either (i) maintain a
15    registry of parents and guardians of students who have
16    registered to receive written or telephonic notification
17    before the application of pesticide to school grounds and
18    notify persons on that list before applying pesticide or
19    having pesticide applied to school grounds or (ii) provide
20    written or telephonic notification to all parents and
21    guardians of students before applying pesticide or having
22    pesticide applied to school grounds.
23        (3) Written notification required under item (1) or
24    (2) of subsection (f) of this Section may be included in
25    newsletters, calendars, or other correspondence currently
26    published by the school district, but posting on a

 

 

HB5373- 925 -LRB104 20029 AAS 33480 b

1    bulletin board is not sufficient. The written or
2    telephonic notification must be given at least 4 business
3    days before application of the pesticide and should
4    identify the intended date of the application of the
5    pesticide and the name and telephone contact number for
6    the school personnel responsible for the pesticide
7    application program or, in the case of a child day care
8    center, the owner or operator of the child day care
9    center. Prior notice shall not be required if there is
10    imminent threat to health or property. If such a situation
11    arises, the appropriate school personnel or, in the case
12    of a child day care center, the owner or operator of the
13    child day care center must sign a statement describing the
14    circumstances that gave rise to the health threat and
15    ensure that written or telephonic notice is provided as
16    soon as practicable.
17(Source: P.A. 96-424, eff. 8-13-09.)
 
18    (415 ILCS 65/6)  (from Ch. 5, par. 856)
19    Sec. 6. This Act shall be administered and enforced by the
20Department. The Department may promulgate rules and
21regulations as necessary for the enforcement of this Act. The
22Department of Public Health must inform school boards and the
23owners and operators of child day care centers about the
24provisions of this Act that are applicable to school districts
25and child day care centers, and it must inform school boards

 

 

HB5373- 926 -LRB104 20029 AAS 33480 b

1about the requirements contained in Sections 10-20.49 and
234-18.40 of the School Code. The Department of Public Health
3must recommend that child day care centers and schools use a
4pesticide-free turf care program to maintain their turf. The
5Department of Public Health must also report violations of
6this Act of which it becomes aware to the Department for
7enforcement.
8(Source: P.A. 96-424, eff. 8-13-09; 96-1000, eff. 7-2-10.)
 
9    Section 265. The Space Heating Safety Act is amended by
10changing Section 9 as follows:
 
11    (425 ILCS 65/9)  (from Ch. 127 1/2, par. 709)
12    Sec. 9. Prohibited use of kerosene heaters. The use of
13kerosene fueled heaters will be prohibited under any
14circumstances in the following types of structures:
15        (i) nursing homes or convalescent centers;
16        (ii) child care day-care centers having children
17    present;
18        (iii) any type of center for persons with
19    disabilities;
20        (iv) common areas of multifamily dwellings;
21        (v) hospitals;
22        (vi) structures more than 3 stories in height; and
23        (vii) structures open to the public which have a
24    capacity for 50 or more persons.

 

 

HB5373- 927 -LRB104 20029 AAS 33480 b

1(Source: P.A. 99-143, eff. 7-27-15.)
 
2    Section 270. The Firearm Dealer License Certification Act
3is amended by changing Section 5-20 as follows:
 
4    (430 ILCS 68/5-20)
5    Sec. 5-20. Additional licensee requirements.
6    (a) A certified licensee shall make a photo copy of a
7buyer's or transferee's valid photo identification card
8whenever a firearm sale transaction takes place. The photo
9copy shall be attached to the documentation detailing the
10record of sale.
11    (b) A certified licensee shall post in a conspicuous
12position on the premises where the licensee conducts business
13a sign that contains the following warning in block letters
14not less than one inch in height:
15        "With few exceptions enumerated in the Firearm Owners
16    Identification Card Act, it is unlawful for you to:
17            (A) store or leave an unsecured firearm in a place
18        where a child can obtain access to it;
19            (B) sell or transfer your firearm to someone else
20        without receiving approval for the transfer from the
21        Illinois State Police, or
22            (C) fail to report the loss or theft of your
23        firearm to local law enforcement within 48 hours.".
24This sign shall be created by the Illinois State Police and

 

 

HB5373- 928 -LRB104 20029 AAS 33480 b

1made available for printing or downloading from the Illinois
2State Police's website.
3    (c) No retail location established after the effective
4date of this Act shall be located within 500 feet of any
5school, pre-school, or child day care facility in existence at
6its location before the retail location is established as
7measured from the nearest corner of the building holding the
8retail location to the corner of the school, pre-school, or
9child day care facility building nearest the retail location
10at the time the retail location seeks licensure.
11    (d) A certified dealer who sells or transfers a firearm
12shall notify the purchaser or the recipient, orally and in
13writing, in both English and Spanish, at the time of the sale
14or transfer, that the owner of a firearm is required to report
15a lost or stolen firearm to local law enforcement within 48
16hours after the owner first discovers the loss or theft. The
17Illinois State Police shall create a written notice, in both
18English and Spanish, that certified dealers shall provide
19firearm purchasers or transferees in accordance with this
20provision and make such notice available for printing or
21downloading from the Illinois State Police website.
22(Source: P.A. 104-31, eff. 1-1-26.)
 
23    Section 275. The Illinois Vehicle Code is amended by
24changing Sections 6-205, 6-206, and 12-707.01 as follows:
 

 

 

HB5373- 929 -LRB104 20029 AAS 33480 b

1    (625 ILCS 5/6-205)
2    Sec. 6-205. Mandatory revocation of license or permit;
3hardship cases.
4    (a) Except as provided in this Section, the Secretary of
5State shall immediately revoke the license, permit, or driving
6privileges of any driver upon receiving a report of the
7driver's conviction of any of the following offenses:
8        1. Reckless homicide resulting from the operation of a
9    motor vehicle;
10        2. Violation of Section 11-501 of this Code or a
11    similar provision of a local ordinance relating to the
12    offense of operating or being in physical control of a
13    vehicle while under the influence of alcohol, other drug
14    or drugs, intoxicating compound or compounds, or any
15    combination thereof;
16        3. Any felony under the laws of any State or the
17    federal government in the commission of which a motor
18    vehicle was used;
19        4. Violation of Section 11-401 of this Code relating
20    to the offense of leaving the scene of a traffic crash
21    involving death or personal injury;
22        5. Perjury or the making of a false affidavit or
23    statement under oath to the Secretary of State under this
24    Code or under any other law relating to the ownership or
25    operation of motor vehicles;
26        6. Conviction upon 3 charges of violation of Section

 

 

HB5373- 930 -LRB104 20029 AAS 33480 b

1    11-503 of this Code relating to the offense of reckless
2    driving committed within a period of 12 months;
3        7. Conviction of any offense defined in Section 4-102
4    of this Code if the person exercised actual physical
5    control over the vehicle during the commission of the
6    offense;
7        8. Violation of Section 11-504 of this Code relating
8    to the offense of drag racing;
9        9. Violation of Chapters 8 and 9 of this Code;
10        10. Violation of Section 12-5 of the Criminal Code of
11    1961 or the Criminal Code of 2012 arising from the use of a
12    motor vehicle;
13        11. Violation of Section 11-204.1 of this Code
14    relating to aggravated fleeing or attempting to elude a
15    peace officer;
16        12. Violation of paragraph (1) of subsection (b) of
17    Section 6-507, or a similar law of any other state,
18    relating to the unlawful operation of a commercial motor
19    vehicle;
20        13. Violation of paragraph (a) of Section 11-502 of
21    this Code or a similar provision of a local ordinance if
22    the driver has been previously convicted of a violation of
23    that Section or a similar provision of a local ordinance
24    and the driver was less than 21 years of age at the time of
25    the offense;
26        14. Violation of paragraph (a) of Section 11-506 of

 

 

HB5373- 931 -LRB104 20029 AAS 33480 b

1    this Code or a similar provision of a local ordinance
2    relating to the offense of street racing;
3        15. A second or subsequent conviction of driving while
4    the person's driver's license, permit or privileges was
5    revoked for reckless homicide or a similar out-of-state
6    offense;
7        16. Any offense against any provision in this Code, or
8    any local ordinance, regulating the movement of traffic
9    when that offense was the proximate cause of the death of
10    any person. Any person whose driving privileges have been
11    revoked pursuant to this paragraph may seek to have the
12    revocation terminated or to have the length of revocation
13    reduced by requesting an administrative hearing with the
14    Secretary of State prior to the projected driver's license
15    application eligibility date;
16        17. Violation of subsection (a-2) of Section 11-1301.3
17    of this Code or a similar provision of a local ordinance;
18        18. A second or subsequent conviction of illegal
19    possession, while operating or in actual physical control,
20    as a driver, of a motor vehicle, of any controlled
21    substance prohibited under the Illinois Controlled
22    Substances Act, any cannabis prohibited under the Cannabis
23    Control Act, or any methamphetamine prohibited under the
24    Methamphetamine Control and Community Protection Act. A
25    defendant found guilty of this offense while operating a
26    motor vehicle shall have an entry made in the court record

 

 

HB5373- 932 -LRB104 20029 AAS 33480 b

1    by the presiding judge that this offense did occur while
2    the defendant was operating a motor vehicle and order the
3    clerk of the court to report the violation to the
4    Secretary of State;
5        19. Violation of subsection (a) of Section 11-1414 of
6    this Code, or a similar provision of a local ordinance,
7    relating to the offense of overtaking or passing of a
8    school bus when the driver, in committing the violation,
9    is involved in a motor vehicle crash that results in death
10    to another and the violation is a proximate cause of the
11    death.
12    (b) The Secretary of State shall also immediately revoke
13the license or permit of any driver in the following
14situations:
15        1. Of any minor upon receiving the notice provided for
16    in Section 5-901 of the Juvenile Court Act of 1987 that the
17    minor has been adjudicated under that Act as having
18    committed an offense relating to motor vehicles prescribed
19    in Section 4-103 of this Code;
20        2. Of any person when any other law of this State
21    requires either the revocation or suspension of a license
22    or permit;
23        3. Of any person adjudicated under the Juvenile Court
24    Act of 1987 based on an offense determined to have been
25    committed in furtherance of the criminal activities of an
26    organized gang as provided in Section 5-710 of that Act,

 

 

HB5373- 933 -LRB104 20029 AAS 33480 b

1    and that involved the operation or use of a motor vehicle
2    or the use of a driver's license or permit. The revocation
3    shall remain in effect for the period determined by the
4    court.
5    (c)(1) Whenever a person is convicted of any of the
6offenses enumerated in this Section, the court may recommend
7and the Secretary of State in his discretion, without regard
8to whether the recommendation is made by the court may, upon
9application, issue to the person a restricted driving permit
10granting the privilege of driving a motor vehicle between the
11petitioner's residence and petitioner's place of employment or
12within the scope of the petitioner's employment related
13duties, or to allow the petitioner to transport himself or
14herself or a family member of the petitioner's household to a
15medical facility for the receipt of necessary medical care or
16to allow the petitioner to transport himself or herself to and
17from alcohol or drug remedial or rehabilitative activity
18recommended by a licensed service provider, or to allow the
19petitioner to transport himself or herself or a family member
20of the petitioner's household to classes, as a student, at an
21accredited educational institution, or to allow the petitioner
22to transport children, elderly persons, or persons with
23disabilities who do not hold driving privileges and are living
24in the petitioner's household to and from child care daycare;
25if the petitioner is able to demonstrate that no alternative
26means of transportation is reasonably available and that the

 

 

HB5373- 934 -LRB104 20029 AAS 33480 b

1petitioner will not endanger the public safety or welfare;
2provided that the Secretary's discretion shall be limited to
3cases where undue hardship, as defined by the rules of the
4Secretary of State, would result from a failure to issue the
5restricted driving permit.
6    (1.5) A person subject to the provisions of paragraph 4 of
7subsection (b) of Section 6-208 of this Code may make
8application for a restricted driving permit at a hearing
9conducted under Section 2-118 of this Code after the
10expiration of 5 years from the effective date of the most
11recent revocation, or after 5 years from the date of release
12from a period of imprisonment resulting from a conviction of
13the most recent offense, whichever is later, provided the
14person, in addition to all other requirements of the
15Secretary, shows by clear and convincing evidence:
16        (A) a minimum of 3 years of uninterrupted abstinence
17    from alcohol and the unlawful use or consumption of
18    cannabis under the Cannabis Control Act, a controlled
19    substance under the Illinois Controlled Substances Act, an
20    intoxicating compound under the Use of Intoxicating
21    Compounds Act, or methamphetamine under the
22    Methamphetamine Control and Community Protection Act; and
23        (B) the successful completion of any rehabilitative
24    treatment and involvement in any ongoing rehabilitative
25    activity that may be recommended by a properly licensed
26    service provider according to an assessment of the

 

 

HB5373- 935 -LRB104 20029 AAS 33480 b

1    person's alcohol or drug use under Section 11-501.01 of
2    this Code.
3    In determining whether an applicant is eligible for a
4restricted driving permit under this paragraph (1.5), the
5Secretary may consider any relevant evidence, including, but
6not limited to, testimony, affidavits, records, and the
7results of regular alcohol or drug tests. Persons subject to
8the provisions of paragraph 4 of subsection (b) of Section
96-208 of this Code and who have been convicted of more than one
10violation of paragraph (3), paragraph (4), or paragraph (5) of
11subsection (a) of Section 11-501 of this Code shall not be
12eligible to apply for a restricted driving permit.
13    A restricted driving permit issued under this paragraph
14(1.5) shall provide that the holder may only operate motor
15vehicles equipped with an ignition interlock device as
16required under paragraph (2) of subsection (c) of this Section
17and subparagraph (A) of paragraph 3 of subsection (c) of
18Section 6-206 of this Code. The Secretary may revoke a
19restricted driving permit or amend the conditions of a
20restricted driving permit issued under this paragraph (1.5) if
21the holder operates a vehicle that is not equipped with an
22ignition interlock device, or for any other reason authorized
23under this Code.
24    A restricted driving permit issued under this paragraph
25(1.5) shall be revoked, and the holder barred from applying
26for or being issued a restricted driving permit in the future,

 

 

HB5373- 936 -LRB104 20029 AAS 33480 b

1if the holder is subsequently convicted of a violation of
2Section 11-501 of this Code, a similar provision of a local
3ordinance, or a similar offense in another state.
4    (2) If a person's license or permit is revoked or
5suspended due to 2 or more convictions of violating Section
611-501 of this Code or a similar provision of a local ordinance
7or a similar out-of-state offense, or Section 9-3 of the
8Criminal Code of 1961 or the Criminal Code of 2012, where the
9use of alcohol or other drugs is recited as an element of the
10offense, or a similar out-of-state offense, or a combination
11of these offenses, arising out of separate occurrences, that
12person, if issued a restricted driving permit, may not operate
13a vehicle unless it has been equipped with an ignition
14interlock device as defined in Section 1-129.1.
15    (3) If:
16        (A) a person's license or permit is revoked or
17    suspended 2 or more times due to any combination of:
18            (i) a single conviction of violating Section
19        11-501 of this Code or a similar provision of a local
20        ordinance or a similar out-of-state offense, or
21        Section 9-3 of the Criminal Code of 1961 or the
22        Criminal Code of 2012, where the use of alcohol or
23        other drugs is recited as an element of the offense, or
24        a similar out-of-state offense; or
25            (ii) a statutory summary suspension or revocation
26        under Section 11-501.1; or

 

 

HB5373- 937 -LRB104 20029 AAS 33480 b

1            (iii) a suspension pursuant to Section 6-203.1;
2    arising out of separate occurrences; or
3        (B) a person has been convicted of one violation of
4    subparagraph (C) or (F) of paragraph (1) of subsection (d)
5    of Section 11-501 of this Code, Section 9-3 of the
6    Criminal Code of 1961 or the Criminal Code of 2012,
7    relating to the offense of reckless homicide where the use
8    of alcohol or other drugs was recited as an element of the
9    offense, or a similar provision of a law of another state;
10that person, if issued a restricted driving permit, may not
11operate a vehicle unless it has been equipped with an ignition
12interlock device as defined in Section 1-129.1.
13    (4) The person issued a permit conditioned on the use of an
14ignition interlock device must pay to the Secretary of State
15DUI Administration Fund an amount not to exceed $30 per month.
16The Secretary shall establish by rule the amount and the
17procedures, terms, and conditions relating to these fees.
18    (5) If the restricted driving permit is issued for
19employment purposes, then the prohibition against operating a
20motor vehicle that is not equipped with an ignition interlock
21device does not apply to the operation of an occupational
22vehicle owned or leased by that person's employer when used
23solely for employment purposes. For any person who, within a
245-year period, is convicted of a second or subsequent offense
25under Section 11-501 of this Code, or a similar provision of a
26local ordinance or similar out-of-state offense, this

 

 

HB5373- 938 -LRB104 20029 AAS 33480 b

1employment exemption does not apply until either a one-year
2period has elapsed during which that person had his or her
3driving privileges revoked or a one-year period has elapsed
4during which that person had a restricted driving permit which
5required the use of an ignition interlock device on every
6motor vehicle owned or operated by that person.
7    (6) In each case the Secretary of State may issue a
8restricted driving permit for a period he deems appropriate,
9except that the permit shall expire no later than 2 years from
10the date of issuance. A restricted driving permit issued under
11this Section shall be subject to cancellation, revocation, and
12suspension by the Secretary of State in like manner and for
13like cause as a driver's license issued under this Code may be
14cancelled, revoked, or suspended; except that a conviction
15upon one or more offenses against laws or ordinances
16regulating the movement of traffic shall be deemed sufficient
17cause for the revocation, suspension, or cancellation of a
18restricted driving permit. The Secretary of State may, as a
19condition to the issuance of a restricted driving permit,
20require the petitioner to participate in a designated driver
21remedial or rehabilitative program. The Secretary of State is
22authorized to cancel a restricted driving permit if the permit
23holder does not successfully complete the program. However, if
24an individual's driving privileges have been revoked in
25accordance with paragraph 13 of subsection (a) of this
26Section, no restricted driving permit shall be issued until

 

 

HB5373- 939 -LRB104 20029 AAS 33480 b

1the individual has served 6 months of the revocation period.
2    (c-5) (Blank).
3    (c-6) If a person is convicted of a second violation of
4operating a motor vehicle while the person's driver's license,
5permit or privilege was revoked, where the revocation was for
6a violation of Section 9-3 of the Criminal Code of 1961 or the
7Criminal Code of 2012 relating to the offense of reckless
8homicide or a similar out-of-state offense, the person's
9driving privileges shall be revoked pursuant to subdivision
10(a)(15) of this Section. The person may not make application
11for a license or permit until the expiration of five years from
12the effective date of the revocation or the expiration of five
13years from the date of release from a term of imprisonment,
14whichever is later.
15    (c-7) If a person is convicted of a third or subsequent
16violation of operating a motor vehicle while the person's
17driver's license, permit or privilege was revoked, where the
18revocation was for a violation of Section 9-3 of the Criminal
19Code of 1961 or the Criminal Code of 2012 relating to the
20offense of reckless homicide or a similar out-of-state
21offense, the person may never apply for a license or permit.
22    (d)(1) Whenever a person under the age of 21 is convicted
23under Section 11-501 of this Code or a similar provision of a
24local ordinance or a similar out-of-state offense, the
25Secretary of State shall revoke the driving privileges of that
26person. One year after the date of revocation, and upon

 

 

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1application, the Secretary of State may, if satisfied that the
2person applying will not endanger the public safety or
3welfare, issue a restricted driving permit granting the
4privilege of driving a motor vehicle only between the hours of
55 a.m. and 9 p.m. or as otherwise provided by this Section for
6a period of one year. After this one-year period, and upon
7reapplication for a license as provided in Section 6-106, upon
8payment of the appropriate reinstatement fee provided under
9paragraph (b) of Section 6-118, the Secretary of State, in his
10discretion, may reinstate the petitioner's driver's license
11and driving privileges, or extend the restricted driving
12permit as many times as the Secretary of State deems
13appropriate, by additional periods of not more than 24 months
14each.
15    (2) If a person's license or permit is revoked or
16suspended due to 2 or more convictions of violating Section
1711-501 of this Code or a similar provision of a local ordinance
18or a similar out-of-state offense, or Section 9-3 of the
19Criminal Code of 1961 or the Criminal Code of 2012, where the
20use of alcohol or other drugs is recited as an element of the
21offense, or a similar out-of-state offense, or a combination
22of these offenses, arising out of separate occurrences, that
23person, if issued a restricted driving permit, may not operate
24a vehicle unless it has been equipped with an ignition
25interlock device as defined in Section 1-129.1.
26    (3) If a person's license or permit is revoked or

 

 

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1suspended 2 or more times due to any combination of:
2        (A) a single conviction of violating Section 11-501 of
3    this Code or a similar provision of a local ordinance or a
4    similar out-of-state offense, or Section 9-3 of the
5    Criminal Code of 1961 or the Criminal Code of 2012, where
6    the use of alcohol or other drugs is recited as an element
7    of the offense, or a similar out-of-state offense; or
8        (B) a statutory summary suspension or revocation under
9    Section 11-501.1; or
10        (C) a suspension pursuant to Section 6-203.1;
11arising out of separate occurrences, that person, if issued a
12restricted driving permit, may not operate a vehicle unless it
13has been equipped with an ignition interlock device as defined
14in Section 1-129.1.
15    (3.5) If a person's license or permit is revoked or
16suspended due to a conviction for a violation of subparagraph
17(C) or (F) of paragraph (1) of subsection (d) of Section 11-501
18of this Code, or a similar provision of a local ordinance or
19similar out-of-state offense, that person, if issued a
20restricted driving permit, may not operate a vehicle unless it
21has been equipped with an ignition interlock device as defined
22in Section 1-129.1.
23    (4) The person issued a permit conditioned upon the use of
24an interlock device must pay to the Secretary of State DUI
25Administration Fund an amount not to exceed $30 per month. The
26Secretary shall establish by rule the amount and the

 

 

HB5373- 942 -LRB104 20029 AAS 33480 b

1procedures, terms, and conditions relating to these fees.
2    (5) If the restricted driving permit is issued for
3employment purposes, then the prohibition against driving a
4vehicle that is not equipped with an ignition interlock device
5does not apply to the operation of an occupational vehicle
6owned or leased by that person's employer when used solely for
7employment purposes. For any person who, within a 5-year
8period, is convicted of a second or subsequent offense under
9Section 11-501 of this Code, or a similar provision of a local
10ordinance or similar out-of-state offense, this employment
11exemption does not apply until either a one-year period has
12elapsed during which that person had his or her driving
13privileges revoked or a one-year period has elapsed during
14which that person had a restricted driving permit which
15required the use of an ignition interlock device on every
16motor vehicle owned or operated by that person.
17    (6) A restricted driving permit issued under this Section
18shall be subject to cancellation, revocation, and suspension
19by the Secretary of State in like manner and for like cause as
20a driver's license issued under this Code may be cancelled,
21revoked, or suspended; except that a conviction upon one or
22more offenses against laws or ordinances regulating the
23movement of traffic shall be deemed sufficient cause for the
24revocation, suspension, or cancellation of a restricted
25driving permit.
26    (d-5) The revocation of the license, permit, or driving

 

 

HB5373- 943 -LRB104 20029 AAS 33480 b

1privileges of a person convicted of a third or subsequent
2violation of Section 6-303 of this Code committed while his or
3her driver's license, permit, or privilege was revoked because
4of a violation of Section 9-3 of the Criminal Code of 1961 or
5the Criminal Code of 2012, relating to the offense of reckless
6homicide, or a similar provision of a law of another state, is
7permanent. The Secretary may not, at any time, issue a license
8or permit to that person.
9    (e) This Section is subject to the provisions of the
10Driver License Compact.
11    (f) Any revocation imposed upon any person under
12subsections 2 and 3 of paragraph (b) that is in effect on
13December 31, 1988 shall be converted to a suspension for a like
14period of time.
15    (g) The Secretary of State shall not issue a restricted
16driving permit to a person under the age of 16 years whose
17driving privileges have been revoked under any provisions of
18this Code.
19    (h) The Secretary of State shall require the use of
20ignition interlock devices for a period not less than 5 years
21on all vehicles owned by a person who has been convicted of a
22second or subsequent offense under Section 11-501 of this Code
23or a similar provision of a local ordinance. The person must
24pay to the Secretary of State DUI Administration Fund an
25amount not to exceed $30 for each month that he or she uses the
26device. The Secretary shall establish by rule and regulation

 

 

HB5373- 944 -LRB104 20029 AAS 33480 b

1the procedures for certification and use of the interlock
2system, the amount of the fee, and the procedures, terms, and
3conditions relating to these fees. During the time period in
4which a person is required to install an ignition interlock
5device under this subsection (h), that person shall only
6operate vehicles in which ignition interlock devices have been
7installed, except as allowed by subdivision (c)(5) or (d)(5)
8of this Section. Regardless of whether an exemption under
9subdivision (c) (5) or (d) (5) applies, every person subject
10to this subsection shall not be eligible for reinstatement
11until the person installs an ignition interlock device and
12maintains the ignition interlock device for 5 years.
13    (i) (Blank).
14    (j) In accordance with 49 C.F.R. 384, the Secretary of
15State may not issue a restricted driving permit for the
16operation of a commercial motor vehicle to a person holding a
17CDL whose driving privileges have been revoked, suspended,
18cancelled, or disqualified under any provisions of this Code.
19    (k) The Secretary of State shall notify by mail any person
20whose driving privileges have been revoked under paragraph 16
21of subsection (a) of this Section that his or her driving
22privileges and driver's license will be revoked 90 days from
23the date of the mailing of the notice.
24(Source: P.A. 101-623, eff. 7-1-20; 102-299, eff. 8-6-21;
25102-982, eff. 7-1-23.)
 

 

 

HB5373- 945 -LRB104 20029 AAS 33480 b

1    (625 ILCS 5/6-206)
2    (Text of Section before amendment by P.A. 104-400)
3    Sec. 6-206. Discretionary authority to suspend or revoke
4license or permit; right to a hearing.
5    (a) The Secretary of State is authorized to suspend or
6revoke the driving privileges of any person without
7preliminary hearing upon a showing of the person's records or
8other sufficient evidence that the person:
9        1. Has committed an offense for which mandatory
10    revocation of a driver's license or permit is required
11    upon conviction;
12        2. Has been convicted of not less than 3 offenses
13    against traffic regulations governing the movement of
14    vehicles committed within any 12-month period. No
15    revocation or suspension shall be entered more than 6
16    months after the date of last conviction;
17        3. Has been repeatedly involved as a driver in motor
18    vehicle collisions or has been repeatedly convicted of
19    offenses against laws and ordinances regulating the
20    movement of traffic, to a degree that indicates lack of
21    ability to exercise ordinary and reasonable care in the
22    safe operation of a motor vehicle or disrespect for the
23    traffic laws and the safety of other persons upon the
24    highway;
25        4. Has by the unlawful operation of a motor vehicle
26    caused or contributed to a crash resulting in injury

 

 

HB5373- 946 -LRB104 20029 AAS 33480 b

1    requiring immediate professional treatment in a medical
2    facility or doctor's office to any person, except that any
3    suspension or revocation imposed by the Secretary of State
4    under the provisions of this subsection shall start no
5    later than 6 months after being convicted of violating a
6    law or ordinance regulating the movement of traffic, which
7    violation is related to the crash, or shall start not more
8    than one year after the date of the crash, whichever date
9    occurs later;
10        5. Has permitted an unlawful or fraudulent use of a
11    driver's license, identification card, or permit;
12        6. Has been lawfully convicted of an offense or
13    offenses in another state, including the authorization
14    contained in Section 6-203.1, which if committed within
15    this State would be grounds for suspension or revocation;
16        7. Has refused or failed to submit to an examination
17    provided for by Section 6-207 or has failed to pass the
18    examination;
19        8. Is ineligible for a driver's license or permit
20    under the provisions of Section 6-103;
21        9. Has made a false statement or knowingly concealed a
22    material fact or has used false information or
23    identification in any application for a license,
24    identification card, or permit;
25        10. Has possessed, displayed, or attempted to
26    fraudulently use any license, identification card, or

 

 

HB5373- 947 -LRB104 20029 AAS 33480 b

1    permit not issued to the person;
2        11. Has operated a motor vehicle upon a highway of
3    this State when the person's driving privilege or
4    privilege to obtain a driver's license or permit was
5    revoked or suspended unless the operation was authorized
6    by a monitoring device driving permit, judicial driving
7    permit issued prior to January 1, 2009, probationary
8    license to drive, or restricted driving permit issued
9    under this Code;
10        12. Has submitted to any portion of the application
11    process for another person or has obtained the services of
12    another person to submit to any portion of the application
13    process for the purpose of obtaining a license,
14    identification card, or permit for some other person;
15        13. Has operated a motor vehicle upon a highway of
16    this State when the person's driver's license or permit
17    was invalid under the provisions of Sections 6-107.1 and
18    6-110;
19        14. Has committed a violation of Section 6-301,
20    6-301.1, or 6-301.2 of this Code, or Section 14, 14A, or
21    14B of the Illinois Identification Card Act or a similar
22    offense in another state if, at the time of the offense,
23    the person held an Illinois driver's license or
24    identification card;
25        15. Has been convicted of violating Section 21-2 of
26    the Criminal Code of 1961 or the Criminal Code of 2012

 

 

HB5373- 948 -LRB104 20029 AAS 33480 b

1    relating to criminal trespass to vehicles if the person
2    exercised actual physical control over the vehicle during
3    the commission of the offense, in which case the
4    suspension shall be for one year;
5        16. Has been convicted of violating Section 11-204 of
6    this Code relating to fleeing from a peace officer;
7        17. Has refused to submit to a test, or tests, as
8    required under Section 11-501.1 of this Code and the
9    person has not sought a hearing as provided for in Section
10    11-501.1;
11        18. (Blank);
12        19. Has committed a violation of paragraph (a) or (b)
13    of Section 6-101 relating to driving without a driver's
14    license;
15        20. Has been convicted of violating Section 6-104
16    relating to classification of driver's license;
17        21. Has been convicted of violating Section 11-402 of
18    this Code relating to leaving the scene of a crash
19    resulting in damage to a vehicle in excess of $1,000, in
20    which case the suspension shall be for one year;
21        22. Has used a motor vehicle in violating paragraph
22    (3), (4), (7), or (9) of subsection (a) of Section 24-1 of
23    the Criminal Code of 1961 or the Criminal Code of 2012
24    relating to unlawful possession of weapons, in which case
25    the suspension shall be for one year;
26        23. Has, as a driver, been convicted of committing a

 

 

HB5373- 949 -LRB104 20029 AAS 33480 b

1    violation of paragraph (a) of Section 11-502 of this Code
2    for a second or subsequent time within one year of a
3    similar violation;
4        24. Has been convicted by a court-martial or punished
5    by non-judicial punishment by military authorities of the
6    United States at a military installation in Illinois or in
7    another state of or for a traffic-related offense that is
8    the same as or similar to an offense specified under
9    Section 6-205 or 6-206 of this Code;
10        25. Has permitted any form of identification to be
11    used by another in the application process in order to
12    obtain or attempt to obtain a license, identification
13    card, or permit;
14        26. Has altered or attempted to alter a license or has
15    possessed an altered license, identification card, or
16    permit;
17        27. (Blank);
18        28. Has been convicted for a first time of the illegal
19    possession, while operating or in actual physical control,
20    as a driver, of a motor vehicle, of any controlled
21    substance prohibited under the Illinois Controlled
22    Substances Act, any cannabis prohibited under the Cannabis
23    Control Act, or any methamphetamine prohibited under the
24    Methamphetamine Control and Community Protection Act, in
25    which case the person's driving privileges shall be
26    suspended for one year. Any defendant found guilty of this

 

 

HB5373- 950 -LRB104 20029 AAS 33480 b

1    offense while operating a motor vehicle shall have an
2    entry made in the court record by the presiding judge that
3    this offense did occur while the defendant was operating a
4    motor vehicle and order the clerk of the court to report
5    the violation to the Secretary of State;
6        29. Has been convicted of the following offenses that
7    were committed while the person was operating or in actual
8    physical control, as a driver, of a motor vehicle:
9    criminal sexual assault, predatory criminal sexual assault
10    of a child, aggravated criminal sexual assault, criminal
11    sexual abuse, aggravated criminal sexual abuse, juvenile
12    pimping, soliciting for a sexually exploited child,
13    promoting commercial sexual exploitation of a child as
14    described in subdivision (a)(1), (a)(2), or (a)(3) of
15    Section 11-14.4 of the Criminal Code of 1961 or the
16    Criminal Code of 2012, and the manufacture, sale or
17    delivery of controlled substances or instruments used for
18    illegal drug use or abuse in which case the driver's
19    driving privileges shall be suspended for one year;
20        30. Has been convicted a second or subsequent time for
21    any combination of the offenses named in paragraph 29 of
22    this subsection, in which case the person's driving
23    privileges shall be suspended for 5 years;
24        31. Has refused to submit to a test as required by
25    Section 11-501.6 of this Code or Section 5-16c of the Boat
26    Registration and Safety Act or has submitted to a test

 

 

HB5373- 951 -LRB104 20029 AAS 33480 b

1    resulting in an alcohol concentration of 0.08 or more or
2    any amount of a drug, substance, or compound resulting
3    from the unlawful use or consumption of cannabis as listed
4    in the Cannabis Control Act, a controlled substance as
5    listed in the Illinois Controlled Substances Act, an
6    intoxicating compound as listed in the Use of Intoxicating
7    Compounds Act, or methamphetamine as listed in the
8    Methamphetamine Control and Community Protection Act, in
9    which case the penalty shall be as prescribed in Section
10    6-208.1;
11        32. Has been convicted of Section 24-1.2 of the
12    Criminal Code of 1961 or the Criminal Code of 2012
13    relating to the aggravated discharge of a firearm if the
14    offender was located in a motor vehicle at the time the
15    firearm was discharged, in which case the suspension shall
16    be for 3 years;
17        33. Has as a driver, who was less than 21 years of age
18    on the date of the offense, been convicted a first time of
19    a violation of paragraph (a) of Section 11-502 of this
20    Code or a similar provision of a local ordinance;
21        34. Has committed a violation of Section 11-1301.5 of
22    this Code or a similar provision of a local ordinance;
23        35. Has committed a violation of Section 11-1301.6 of
24    this Code or a similar provision of a local ordinance;
25        36. Is under the age of 21 years at the time of arrest
26    and has been convicted of not less than 2 offenses against

 

 

HB5373- 952 -LRB104 20029 AAS 33480 b

1    traffic regulations governing the movement of vehicles
2    committed within any 24-month period. No revocation or
3    suspension shall be entered more than 6 months after the
4    date of last conviction;
5        37. Has committed a violation of subsection (c) of
6    Section 11-907 of this Code that resulted in damage to the
7    property of another or the death or injury of another;
8        38. Has been convicted of a violation of Section 6-20
9    of the Liquor Control Act of 1934 or a similar provision of
10    a local ordinance and the person was an occupant of a motor
11    vehicle at the time of the violation;
12        39. Has committed a second or subsequent violation of
13    Section 11-1201 of this Code;
14        40. Has committed a violation of subsection (a-1) of
15    Section 11-908 of this Code;
16        41. Has committed a second or subsequent violation of
17    Section 11-605.1 of this Code, a similar provision of a
18    local ordinance, or a similar violation in any other state
19    within 2 years of the date of the previous violation, in
20    which case the suspension shall be for 90 days;
21        42. Has committed a violation of subsection (a-1) of
22    Section 11-1301.3 of this Code or a similar provision of a
23    local ordinance;
24        43. Has received a disposition of court supervision
25    for a violation of subsection (a), (d), or (e) of Section
26    6-20 of the Liquor Control Act of 1934 or a similar

 

 

HB5373- 953 -LRB104 20029 AAS 33480 b

1    provision of a local ordinance and the person was an
2    occupant of a motor vehicle at the time of the violation,
3    in which case the suspension shall be for a period of 3
4    months;
5        44. Is under the age of 21 years at the time of arrest
6    and has been convicted of an offense against traffic
7    regulations governing the movement of vehicles after
8    having previously had his or her driving privileges
9    suspended or revoked pursuant to subparagraph 36 of this
10    Section;
11        45. Has, in connection with or during the course of a
12    formal hearing conducted under Section 2-118 of this Code:
13    (i) committed perjury; (ii) submitted fraudulent or
14    falsified documents; (iii) submitted documents that have
15    been materially altered; or (iv) submitted, as his or her
16    own, documents that were in fact prepared or composed for
17    another person;
18        46. Has committed a violation of subsection (j) of
19    Section 3-413 of this Code;
20        47. Has committed a violation of subsection (a) of
21    Section 11-502.1 of this Code;
22        48. Has submitted a falsified or altered medical
23    examiner's certificate to the Secretary of State or
24    provided false information to obtain a medical examiner's
25    certificate;
26        49. Has been convicted of a violation of Section

 

 

HB5373- 954 -LRB104 20029 AAS 33480 b

1    11-1002 or 11-1002.5 that resulted in a Type A injury to
2    another, in which case the driving privileges of the
3    person shall be suspended for 12 months;
4        50. Has committed a violation of subsection (b-5) of
5    Section 12-610.2 that resulted in great bodily harm,
6    permanent disability, or disfigurement, in which case the
7    driving privileges of the person shall be suspended for 12
8    months;
9        51. Has committed a violation of Section 10-15 Of the
10    Cannabis Regulation and Tax Act or a similar provision of
11    a local ordinance while in a motor vehicle; or
12        52. Has committed a violation of subsection (b) of
13    Section 10-20 of the Cannabis Regulation and Tax Act or a
14    similar provision of a local ordinance.
15    For purposes of paragraphs 5, 9, 10, 12, 14, 19, 25, 26,
16and 27 of this subsection, license means any driver's license,
17any traffic ticket issued when the person's driver's license
18is deposited in lieu of bail, a suspension notice issued by the
19Secretary of State, a duplicate or corrected driver's license,
20a probationary driver's license, or a temporary driver's
21license.
22    (b) If any conviction forming the basis of a suspension or
23revocation authorized under this Section is appealed, the
24Secretary of State may rescind or withhold the entry of the
25order of suspension or revocation, as the case may be,
26provided that a certified copy of a stay order of a court is

 

 

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1filed with the Secretary of State. If the conviction is
2affirmed on appeal, the date of the conviction shall relate
3back to the time the original judgment of conviction was
4entered and the 6-month limitation prescribed shall not apply.
5    (c) 1. Upon suspending or revoking the driver's license or
6permit of any person as authorized in this Section, the
7Secretary of State shall immediately notify the person in
8writing of the revocation or suspension. The notice to be
9deposited in the United States mail, postage prepaid, to the
10last known address of the person.
11    2. If the Secretary of State suspends the driver's license
12of a person under subsection 2 of paragraph (a) of this
13Section, a person's privilege to operate a vehicle as an
14occupation shall not be suspended, provided an affidavit is
15properly completed, the appropriate fee received, and a permit
16issued prior to the effective date of the suspension, unless 5
17offenses were committed, at least 2 of which occurred while
18operating a commercial vehicle in connection with the driver's
19regular occupation. All other driving privileges shall be
20suspended by the Secretary of State. Any driver prior to
21operating a vehicle for occupational purposes only must submit
22the affidavit on forms to be provided by the Secretary of State
23setting forth the facts of the person's occupation. The
24affidavit shall also state the number of offenses committed
25while operating a vehicle in connection with the driver's
26regular occupation. The affidavit shall be accompanied by the

 

 

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1driver's license. Upon receipt of a properly completed
2affidavit, the Secretary of State shall issue the driver a
3permit to operate a vehicle in connection with the driver's
4regular occupation only. Unless the permit is issued by the
5Secretary of State prior to the date of suspension, the
6privilege to drive any motor vehicle shall be suspended as set
7forth in the notice that was mailed under this Section. If an
8affidavit is received subsequent to the effective date of this
9suspension, a permit may be issued for the remainder of the
10suspension period.
11    The provisions of this subparagraph shall not apply to any
12driver required to possess a CDL for the purpose of operating a
13commercial motor vehicle.
14    Any person who falsely states any fact in the affidavit
15required herein shall be guilty of perjury under Section 6-302
16and upon conviction thereof shall have all driving privileges
17revoked without further rights.
18    3. At the conclusion of a hearing under Section 2-118 of
19this Code, the Secretary of State shall either rescind or
20continue an order of revocation or shall substitute an order
21of suspension; or, good cause appearing therefor, rescind,
22continue, change, or extend the order of suspension. If the
23Secretary of State does not rescind the order, the Secretary
24may upon application, to relieve undue hardship (as defined by
25the rules of the Secretary of State), issue a restricted
26driving permit granting the privilege of driving a motor

 

 

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1vehicle between the petitioner's residence and petitioner's
2place of employment or within the scope of the petitioner's
3employment-related duties, or to allow the petitioner to
4transport himself or herself, or a family member of the
5petitioner's household to a medical facility, to receive
6necessary medical care, to allow the petitioner to transport
7himself or herself to and from alcohol or drug remedial or
8rehabilitative activity recommended by a licensed service
9provider, or to allow the petitioner to transport himself or
10herself or a family member of the petitioner's household to
11classes, as a student, at an accredited educational
12institution, or to allow the petitioner to transport children,
13elderly persons, or persons with disabilities who do not hold
14driving privileges and are living in the petitioner's
15household to and from day care daycare. The petitioner must
16demonstrate that no alternative means of transportation is
17reasonably available and that the petitioner will not endanger
18the public safety or welfare.
19        (A) If a person's license or permit is revoked or
20    suspended due to 2 or more convictions of violating
21    Section 11-501 of this Code or a similar provision of a
22    local ordinance or a similar out-of-state offense, or
23    Section 9-3 of the Criminal Code of 1961 or the Criminal
24    Code of 2012, where the use of alcohol or other drugs is
25    recited as an element of the offense, or a similar
26    out-of-state offense, or a combination of these offenses,

 

 

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1    arising out of separate occurrences, that person, if
2    issued a restricted driving permit, may not operate a
3    vehicle unless it has been equipped with an ignition
4    interlock device as defined in Section 1-129.1.
5        (B) If a person's license or permit is revoked or
6    suspended 2 or more times due to any combination of:
7            (i) a single conviction of violating Section
8        11-501 of this Code or a similar provision of a local
9        ordinance or a similar out-of-state offense or Section
10        9-3 of the Criminal Code of 1961 or the Criminal Code
11        of 2012, where the use of alcohol or other drugs is
12        recited as an element of the offense, or a similar
13        out-of-state offense; or
14            (ii) a statutory summary suspension or revocation
15        under Section 11-501.1; or
16            (iii) a suspension under Section 6-203.1;
17    arising out of separate occurrences; that person, if
18    issued a restricted driving permit, may not operate a
19    vehicle unless it has been equipped with an ignition
20    interlock device as defined in Section 1-129.1.
21        (B-5) If a person's license or permit is revoked or
22    suspended due to a conviction for a violation of
23    subparagraph (C) or (F) of paragraph (1) of subsection (d)
24    of Section 11-501 of this Code, or a similar provision of a
25    local ordinance or similar out-of-state offense, that
26    person, if issued a restricted driving permit, may not

 

 

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1    operate a vehicle unless it has been equipped with an
2    ignition interlock device as defined in Section 1-129.1.
3        (C) The person issued a permit conditioned upon the
4    use of an ignition interlock device must pay to the
5    Secretary of State DUI Administration Fund an amount not
6    to exceed $30 per month. The Secretary shall establish by
7    rule the amount and the procedures, terms, and conditions
8    relating to these fees.
9        (D) If the restricted driving permit is issued for
10    employment purposes, then the prohibition against
11    operating a motor vehicle that is not equipped with an
12    ignition interlock device does not apply to the operation
13    of an occupational vehicle owned or leased by that
14    person's employer when used solely for employment
15    purposes. For any person who, within a 5-year period, is
16    convicted of a second or subsequent offense under Section
17    11-501 of this Code, or a similar provision of a local
18    ordinance or similar out-of-state offense, this employment
19    exemption does not apply until either a one-year period
20    has elapsed during which that person had his or her
21    driving privileges revoked or a one-year period has
22    elapsed during which that person had a restricted driving
23    permit which required the use of an ignition interlock
24    device on every motor vehicle owned or operated by that
25    person.
26        (E) In each case the Secretary may issue a restricted

 

 

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1    driving permit for a period deemed appropriate, except
2    that all permits shall expire no later than 2 years from
3    the date of issuance. A restricted driving permit issued
4    under this Section shall be subject to cancellation,
5    revocation, and suspension by the Secretary of State in
6    like manner and for like cause as a driver's license
7    issued under this Code may be cancelled, revoked, or
8    suspended; except that a conviction upon one or more
9    offenses against laws or ordinances regulating the
10    movement of traffic shall be deemed sufficient cause for
11    the revocation, suspension, or cancellation of a
12    restricted driving permit. The Secretary of State may, as
13    a condition to the issuance of a restricted driving
14    permit, require the applicant to participate in a
15    designated driver remedial or rehabilitative program. The
16    Secretary of State is authorized to cancel a restricted
17    driving permit if the permit holder does not successfully
18    complete the program.
19        (F) A person subject to the provisions of paragraph 4
20    of subsection (b) of Section 6-208 of this Code may make
21    application for a restricted driving permit at a hearing
22    conducted under Section 2-118 of this Code after the
23    expiration of 5 years from the effective date of the most
24    recent revocation or after 5 years from the date of
25    release from a period of imprisonment resulting from a
26    conviction of the most recent offense, whichever is later,

 

 

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1    provided the person, in addition to all other requirements
2    of the Secretary, shows by clear and convincing evidence:
3            (i) a minimum of 3 years of uninterrupted
4        abstinence from alcohol and the unlawful use or
5        consumption of cannabis under the Cannabis Control
6        Act, a controlled substance under the Illinois
7        Controlled Substances Act, an intoxicating compound
8        under the Use of Intoxicating Compounds Act, or
9        methamphetamine under the Methamphetamine Control and
10        Community Protection Act; and
11            (ii) the successful completion of any
12        rehabilitative treatment and involvement in any
13        ongoing rehabilitative activity that may be
14        recommended by a properly licensed service provider
15        according to an assessment of the person's alcohol or
16        drug use under Section 11-501.01 of this Code.
17        In determining whether an applicant is eligible for a
18    restricted driving permit under this subparagraph (F), the
19    Secretary may consider any relevant evidence, including,
20    but not limited to, testimony, affidavits, records, and
21    the results of regular alcohol or drug tests. Persons
22    subject to the provisions of paragraph 4 of subsection (b)
23    of Section 6-208 of this Code and who have been convicted
24    of more than one violation of paragraph (3), paragraph
25    (4), or paragraph (5) of subsection (a) of Section 11-501
26    of this Code shall not be eligible to apply for a

 

 

HB5373- 962 -LRB104 20029 AAS 33480 b

1    restricted driving permit under this subparagraph (F).
2        A restricted driving permit issued under this
3    subparagraph (F) shall provide that the holder may only
4    operate motor vehicles equipped with an ignition interlock
5    device as required under paragraph (2) of subsection (c)
6    of Section 6-205 of this Code and subparagraph (A) of
7    paragraph 3 of subsection (c) of this Section. The
8    Secretary may revoke a restricted driving permit or amend
9    the conditions of a restricted driving permit issued under
10    this subparagraph (F) if the holder operates a vehicle
11    that is not equipped with an ignition interlock device, or
12    for any other reason authorized under this Code.
13        A restricted driving permit issued under this
14    subparagraph (F) shall be revoked, and the holder barred
15    from applying for or being issued a restricted driving
16    permit in the future, if the holder is convicted of a
17    violation of Section 11-501 of this Code, a similar
18    provision of a local ordinance, or a similar offense in
19    another state.
20    (c-3) In the case of a suspension under paragraph 43 of
21subsection (a), reports received by the Secretary of State
22under this Section shall, except during the actual time the
23suspension is in effect, be privileged information and for use
24only by the courts, police officers, prosecuting authorities,
25the driver licensing administrator of any other state, the
26Secretary of State, or the parent or legal guardian of a driver

 

 

HB5373- 963 -LRB104 20029 AAS 33480 b

1under the age of 18. However, beginning January 1, 2008, if the
2person is a CDL holder, the suspension shall also be made
3available to the driver licensing administrator of any other
4state, the U.S. Department of Transportation, and the affected
5driver or motor carrier or prospective motor carrier upon
6request.
7    (c-4) In the case of a suspension under paragraph 43 of
8subsection (a), the Secretary of State shall notify the person
9by mail that his or her driving privileges and driver's
10license will be suspended one month after the date of the
11mailing of the notice.
12    (c-5) The Secretary of State may, as a condition of the
13reissuance of a driver's license or permit to an applicant
14whose driver's license or permit has been suspended before he
15or she reached the age of 21 years pursuant to any of the
16provisions of this Section, require the applicant to
17participate in a driver remedial education course and be
18retested under Section 6-109 of this Code.
19    (d) This Section is subject to the provisions of the
20Driver License Compact.
21    (e) The Secretary of State shall not issue a restricted
22driving permit to a person under the age of 16 years whose
23driving privileges have been suspended or revoked under any
24provisions of this Code.
25    (f) In accordance with 49 CFR 384, the Secretary of State
26may not issue a restricted driving permit for the operation of

 

 

HB5373- 964 -LRB104 20029 AAS 33480 b

1a commercial motor vehicle to a person holding a CDL whose
2driving privileges have been suspended, revoked, cancelled, or
3disqualified under any provisions of this Code.
4(Source: P.A. 102-299, eff. 8-6-21; 102-558, eff. 8-20-21;
5102-749, eff. 1-1-23; 102-813, eff. 5-13-22; 102-982, eff.
67-1-23; 103-154, eff. 6-30-23; 103-822, eff. 1-1-25; 103-1071,
7eff. 7-1-25; revised 10-27-25.)
 
8    (Text of Section after amendment by P.A. 104-400)
9    Sec. 6-206. Discretionary authority to suspend or revoke
10license or permit; right to a hearing.
11    (a) The Secretary of State is authorized to suspend or
12revoke the driving privileges of any person without
13preliminary hearing upon a showing of the person's records or
14other sufficient evidence that the person:
15        1. Has committed an offense for which mandatory
16    revocation of a driver's license or permit is required
17    upon conviction;
18        2. Has been convicted of not less than 3 offenses
19    against traffic regulations governing the movement of
20    vehicles committed within any 12-month period. No
21    revocation or suspension shall be entered more than 6
22    months after the date of last conviction;
23        3. Has been repeatedly involved as a driver in motor
24    vehicle collisions or has been repeatedly convicted of
25    offenses against laws and ordinances regulating the

 

 

HB5373- 965 -LRB104 20029 AAS 33480 b

1    movement of traffic, to a degree that indicates lack of
2    ability to exercise ordinary and reasonable care in the
3    safe operation of a motor vehicle or disrespect for the
4    traffic laws and the safety of other persons upon the
5    highway;
6        4. Has by the unlawful operation of a motor vehicle
7    caused or contributed to a crash resulting in injury
8    requiring immediate professional treatment in a medical
9    facility or doctor's office to any person, except that any
10    suspension or revocation imposed by the Secretary of State
11    under the provisions of this subsection shall start no
12    later than 6 months after being convicted of violating a
13    law or ordinance regulating the movement of traffic, which
14    violation is related to the crash, or shall start not more
15    than one year after the date of the crash, whichever date
16    occurs later;
17        5. Has permitted an unlawful or fraudulent use of a
18    driver's license, identification card, or permit;
19        6. Has been lawfully convicted of an offense or
20    offenses in another state, including the authorization
21    contained in Section 6-203.1, which if committed within
22    this State would be grounds for suspension or revocation;
23        7. Has refused or failed to submit to an examination
24    provided for by Section 6-207 or has failed to pass the
25    examination;
26        8. Is ineligible for a driver's license or permit

 

 

HB5373- 966 -LRB104 20029 AAS 33480 b

1    under the provisions of Section 6-103;
2        9. Has made a false statement or knowingly concealed a
3    material fact or has used false information or
4    identification in any application for a license,
5    identification card, or permit;
6        10. Has possessed, displayed, or attempted to
7    fraudulently use any license, identification card, or
8    permit not issued to the person;
9        11. Has operated a motor vehicle upon a highway of
10    this State when the person's driving privilege or
11    privilege to obtain a driver's license or permit was
12    revoked or suspended unless the operation was authorized
13    by a monitoring device driving permit, judicial driving
14    permit issued prior to January 1, 2009, probationary
15    license to drive, or restricted driving permit issued
16    under this Code;
17        12. Has submitted to any portion of the application
18    process for another person or has obtained the services of
19    another person to submit to any portion of the application
20    process for the purpose of obtaining a license,
21    identification card, or permit for some other person;
22        13. Has operated a motor vehicle upon a highway of
23    this State when the person's driver's license or permit
24    was invalid under the provisions of Sections 6-107.1 and
25    6-110;
26        14. Has committed a violation of Section 6-301,

 

 

HB5373- 967 -LRB104 20029 AAS 33480 b

1    6-301.1, or 6-301.2 of this Code, or Section 14, 14A, or
2    14B of the Illinois Identification Card Act or a similar
3    offense in another state if, at the time of the offense,
4    the person held an Illinois driver's license or
5    identification card;
6        15. Has been convicted of violating Section 21-2 of
7    the Criminal Code of 1961 or the Criminal Code of 2012
8    relating to criminal trespass to vehicles if the person
9    exercised actual physical control over the vehicle during
10    the commission of the offense, in which case the
11    suspension shall be for one year;
12        16. Has been convicted of violating Section 11-204 of
13    this Code relating to fleeing from a peace officer;
14        17. Has refused to submit to a test, or tests, as
15    required under Section 11-501.1 of this Code and the
16    person has not sought a hearing as provided for in Section
17    11-501.1;
18        18. (Blank);
19        19. Has committed a violation of paragraph (a) or (b)
20    of Section 6-101 relating to driving without a driver's
21    license;
22        20. Has been convicted of violating Section 6-104
23    relating to classification of driver's license;
24        21. Has been convicted of violating Section 11-402 of
25    this Code relating to leaving the scene of a crash
26    resulting in damage to a vehicle in excess of $1,000, in

 

 

HB5373- 968 -LRB104 20029 AAS 33480 b

1    which case the suspension shall be for one year;
2        22. Has used a motor vehicle in violating paragraph
3    (3), (4), (7), or (9) of subsection (a) of Section 24-1 of
4    the Criminal Code of 1961 or the Criminal Code of 2012
5    relating to unlawful possession of weapons, in which case
6    the suspension shall be for one year;
7        23. Has, as a driver, been convicted of committing a
8    violation of paragraph (a) of Section 11-502 of this Code
9    for a second or subsequent time within one year of a
10    similar violation;
11        24. Has been convicted by a court-martial or punished
12    by non-judicial punishment by military authorities of the
13    United States at a military installation in Illinois or in
14    another state of or for a traffic-related offense that is
15    the same as or similar to an offense specified under
16    Section 6-205 or 6-206 of this Code;
17        25. Has permitted any form of identification to be
18    used by another in the application process in order to
19    obtain or attempt to obtain a license, identification
20    card, or permit;
21        26. Has altered or attempted to alter a license or has
22    possessed an altered license, identification card, or
23    permit;
24        27. (Blank);
25        28. Has been convicted for a first time of the illegal
26    possession, while operating or in actual physical control,

 

 

HB5373- 969 -LRB104 20029 AAS 33480 b

1    as a driver, of a motor vehicle, of any controlled
2    substance prohibited under the Illinois Controlled
3    Substances Act, any cannabis prohibited under the Cannabis
4    Control Act, or any methamphetamine prohibited under the
5    Methamphetamine Control and Community Protection Act, in
6    which case the person's driving privileges shall be
7    suspended for one year. Any defendant found guilty of this
8    offense while operating a motor vehicle shall have an
9    entry made in the court record by the presiding judge that
10    this offense did occur while the defendant was operating a
11    motor vehicle and order the clerk of the court to report
12    the violation to the Secretary of State;
13        29. Has been convicted of the following offenses that
14    were committed while the person was operating or in actual
15    physical control, as a driver, of a motor vehicle:
16    criminal sexual assault, predatory criminal sexual assault
17    of a child, aggravated criminal sexual assault, criminal
18    sexual abuse, aggravated criminal sexual abuse, juvenile
19    pimping, soliciting for a sexually exploited child,
20    promoting commercial sexual exploitation of a child as
21    described in subdivision (a)(1), (a)(2), or (a)(3) of
22    Section 11-14.4 of the Criminal Code of 1961 or the
23    Criminal Code of 2012, and the manufacture, sale or
24    delivery of controlled substances or instruments used for
25    illegal drug use or abuse in which case the driver's
26    driving privileges shall be suspended for one year;

 

 

HB5373- 970 -LRB104 20029 AAS 33480 b

1        30. Has been convicted a second or subsequent time for
2    any combination of the offenses named in paragraph 29 of
3    this subsection, in which case the person's driving
4    privileges shall be suspended for 5 years;
5        31. Has refused to submit to a test as required by
6    Section 11-501.6 of this Code or Section 5-16c of the Boat
7    Registration and Safety Act or has submitted to a test
8    resulting in an alcohol concentration of 0.08 or more or
9    any amount of a drug, substance, or compound resulting
10    from the unlawful use or consumption of cannabis as listed
11    in the Cannabis Control Act, a controlled substance as
12    listed in the Illinois Controlled Substances Act, an
13    intoxicating compound as listed in the Use of Intoxicating
14    Compounds Act, or methamphetamine as listed in the
15    Methamphetamine Control and Community Protection Act, in
16    which case the penalty shall be as prescribed in Section
17    6-208.1;
18        32. Has been convicted of Section 24-1.2 of the
19    Criminal Code of 1961 or the Criminal Code of 2012
20    relating to the aggravated discharge of a firearm if the
21    offender was located in a motor vehicle at the time the
22    firearm was discharged, in which case the suspension shall
23    be for 3 years;
24        33. Has as a driver, who was less than 21 years of age
25    on the date of the offense, been convicted a first time of
26    a violation of paragraph (a) of Section 11-502 of this

 

 

HB5373- 971 -LRB104 20029 AAS 33480 b

1    Code or a similar provision of a local ordinance;
2        34. Has committed a violation of Section 11-1301.5 of
3    this Code or a similar provision of a local ordinance;
4        35. Has committed a violation of Section 11-1301.6 of
5    this Code or a similar provision of a local ordinance;
6        36. Is under the age of 21 years at the time of arrest
7    and has been convicted of not less than 2 offenses against
8    traffic regulations governing the movement of vehicles
9    committed within any 24-month period. No revocation or
10    suspension shall be entered more than 6 months after the
11    date of last conviction;
12        37. Has committed a violation of subsection (c),
13    (c-5), or (c-10) of Section 11-907 of this Code that
14    resulted in damage to the property of another or the death
15    or injury of another;
16        38. Has been convicted of a violation of Section 6-20
17    of the Liquor Control Act of 1934 or a similar provision of
18    a local ordinance and the person was an occupant of a motor
19    vehicle at the time of the violation;
20        39. Has committed a second or subsequent violation of
21    Section 11-1201 of this Code;
22        40. Has committed a violation of subsection (a-1) of
23    Section 11-908 of this Code;
24        41. Has committed a second or subsequent violation of
25    Section 11-605.1 of this Code, a similar provision of a
26    local ordinance, or a similar violation in any other state

 

 

HB5373- 972 -LRB104 20029 AAS 33480 b

1    within 2 years of the date of the previous violation, in
2    which case the suspension shall be for 90 days;
3        42. Has committed a violation of subsection (a-1) of
4    Section 11-1301.3 of this Code or a similar provision of a
5    local ordinance;
6        43. Has received a disposition of court supervision
7    for a violation of subsection (a), (d), or (e) of Section
8    6-20 of the Liquor Control Act of 1934 or a similar
9    provision of a local ordinance and the person was an
10    occupant of a motor vehicle at the time of the violation,
11    in which case the suspension shall be for a period of 3
12    months;
13        44. Is under the age of 21 years at the time of arrest
14    and has been convicted of an offense against traffic
15    regulations governing the movement of vehicles after
16    having previously had his or her driving privileges
17    suspended or revoked pursuant to subparagraph 36 of this
18    Section;
19        45. Has, in connection with or during the course of a
20    formal hearing conducted under Section 2-118 of this Code:
21    (i) committed perjury; (ii) submitted fraudulent or
22    falsified documents; (iii) submitted documents that have
23    been materially altered; or (iv) submitted, as his or her
24    own, documents that were in fact prepared or composed for
25    another person;
26        46. Has committed a violation of subsection (j) of

 

 

HB5373- 973 -LRB104 20029 AAS 33480 b

1    Section 3-413 of this Code;
2        47. Has committed a violation of subsection (a) of
3    Section 11-502.1 of this Code;
4        48. Has submitted a falsified or altered medical
5    examiner's certificate to the Secretary of State or
6    provided false information to obtain a medical examiner's
7    certificate;
8        49. Has been convicted of a violation of Section
9    11-1002 or 11-1002.5 that resulted in a Type A injury to
10    another, in which case the driving privileges of the
11    person shall be suspended for 12 months;
12        50. Has committed a violation of subsection (b-5) of
13    Section 12-610.2 that resulted in great bodily harm,
14    permanent disability, or disfigurement, in which case the
15    driving privileges of the person shall be suspended for 12
16    months;
17        51. Has committed a violation of Section 10-15 Of the
18    Cannabis Regulation and Tax Act or a similar provision of
19    a local ordinance while in a motor vehicle; or
20        52. Has committed a violation of subsection (b) of
21    Section 10-20 of the Cannabis Regulation and Tax Act or a
22    similar provision of a local ordinance.
23    For purposes of paragraphs 5, 9, 10, 12, 14, 19, 25, 26,
24and 27 of this subsection, license means any driver's license,
25any traffic ticket issued when the person's driver's license
26is deposited in lieu of bail, a suspension notice issued by the

 

 

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1Secretary of State, a duplicate or corrected driver's license,
2a probationary driver's license, or a temporary driver's
3license.
4    (b) If any conviction forming the basis of a suspension or
5revocation authorized under this Section is appealed, the
6Secretary of State may rescind or withhold the entry of the
7order of suspension or revocation, as the case may be,
8provided that a certified copy of a stay order of a court is
9filed with the Secretary of State. If the conviction is
10affirmed on appeal, the date of the conviction shall relate
11back to the time the original judgment of conviction was
12entered and the 6-month limitation prescribed shall not apply.
13    (c) 1. Upon suspending or revoking the driver's license or
14permit of any person as authorized in this Section, the
15Secretary of State shall immediately notify the person in
16writing of the revocation or suspension. The notice to be
17deposited in the United States mail, postage prepaid, to the
18last known address of the person.
19    2. If the Secretary of State suspends the driver's license
20of a person under subsection 2 of paragraph (a) of this
21Section, a person's privilege to operate a vehicle as an
22occupation shall not be suspended, provided an affidavit is
23properly completed, the appropriate fee received, and a permit
24issued prior to the effective date of the suspension, unless 5
25offenses were committed, at least 2 of which occurred while
26operating a commercial vehicle in connection with the driver's

 

 

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1regular occupation. All other driving privileges shall be
2suspended by the Secretary of State. Any driver prior to
3operating a vehicle for occupational purposes only must submit
4the affidavit on forms to be provided by the Secretary of State
5setting forth the facts of the person's occupation. The
6affidavit shall also state the number of offenses committed
7while operating a vehicle in connection with the driver's
8regular occupation. The affidavit shall be accompanied by the
9driver's license. Upon receipt of a properly completed
10affidavit, the Secretary of State shall issue the driver a
11permit to operate a vehicle in connection with the driver's
12regular occupation only. Unless the permit is issued by the
13Secretary of State prior to the date of suspension, the
14privilege to drive any motor vehicle shall be suspended as set
15forth in the notice that was mailed under this Section. If an
16affidavit is received subsequent to the effective date of this
17suspension, a permit may be issued for the remainder of the
18suspension period.
19    The provisions of this subparagraph shall not apply to any
20driver required to possess a CDL for the purpose of operating a
21commercial motor vehicle.
22    Any person who falsely states any fact in the affidavit
23required herein shall be guilty of perjury under Section 6-302
24and upon conviction thereof shall have all driving privileges
25revoked without further rights.
26    3. At the conclusion of a hearing under Section 2-118 of

 

 

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1this Code, the Secretary of State shall either rescind or
2continue an order of revocation or shall substitute an order
3of suspension; or, good cause appearing therefor, rescind,
4continue, change, or extend the order of suspension. If the
5Secretary of State does not rescind the order, the Secretary
6may upon application, to relieve undue hardship (as defined by
7the rules of the Secretary of State), issue a restricted
8driving permit granting the privilege of driving a motor
9vehicle between the petitioner's residence and petitioner's
10place of employment or within the scope of the petitioner's
11employment-related duties, or to allow the petitioner to
12transport himself or herself, or a family member of the
13petitioner's household to a medical facility, to receive
14necessary medical care, to allow the petitioner to transport
15himself or herself to and from alcohol or drug remedial or
16rehabilitative activity recommended by a licensed service
17provider, or to allow the petitioner to transport himself or
18herself or a family member of the petitioner's household to
19classes, as a student, at an accredited educational
20institution, or to allow the petitioner to transport children,
21elderly persons, or persons with disabilities who do not hold
22driving privileges and are living in the petitioner's
23household to and from child care daycare. The petitioner must
24demonstrate that no alternative means of transportation is
25reasonably available and that the petitioner will not endanger
26the public safety or welfare.

 

 

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1        (A) If a person's license or permit is revoked or
2    suspended due to 2 or more convictions of violating
3    Section 11-501 of this Code or a similar provision of a
4    local ordinance or a similar out-of-state offense, or
5    Section 9-3 of the Criminal Code of 1961 or the Criminal
6    Code of 2012, where the use of alcohol or other drugs is
7    recited as an element of the offense, or a similar
8    out-of-state offense, or a combination of these offenses,
9    arising out of separate occurrences, that person, if
10    issued a restricted driving permit, may not operate a
11    vehicle unless it has been equipped with an ignition
12    interlock device as defined in Section 1-129.1.
13        (B) If a person's license or permit is revoked or
14    suspended 2 or more times due to any combination of:
15            (i) a single conviction of violating Section
16        11-501 of this Code or a similar provision of a local
17        ordinance or a similar out-of-state offense or Section
18        9-3 of the Criminal Code of 1961 or the Criminal Code
19        of 2012, where the use of alcohol or other drugs is
20        recited as an element of the offense, or a similar
21        out-of-state offense; or
22            (ii) a statutory summary suspension or revocation
23        under Section 11-501.1; or
24            (iii) a suspension under Section 6-203.1;
25    arising out of separate occurrences; that person, if
26    issued a restricted driving permit, may not operate a

 

 

HB5373- 978 -LRB104 20029 AAS 33480 b

1    vehicle unless it has been equipped with an ignition
2    interlock device as defined in Section 1-129.1.
3        (B-5) If a person's license or permit is revoked or
4    suspended due to a conviction for a violation of
5    subparagraph (C) or (F) of paragraph (1) of subsection (d)
6    of Section 11-501 of this Code, or a similar provision of a
7    local ordinance or similar out-of-state offense, that
8    person, if issued a restricted driving permit, may not
9    operate a vehicle unless it has been equipped with an
10    ignition interlock device as defined in Section 1-129.1.
11        (C) The person issued a permit conditioned upon the
12    use of an ignition interlock device must pay to the
13    Secretary of State DUI Administration Fund an amount not
14    to exceed $30 per month. The Secretary shall establish by
15    rule the amount and the procedures, terms, and conditions
16    relating to these fees.
17        (D) If the restricted driving permit is issued for
18    employment purposes, then the prohibition against
19    operating a motor vehicle that is not equipped with an
20    ignition interlock device does not apply to the operation
21    of an occupational vehicle owned or leased by that
22    person's employer when used solely for employment
23    purposes. For any person who, within a 5-year period, is
24    convicted of a second or subsequent offense under Section
25    11-501 of this Code, or a similar provision of a local
26    ordinance or similar out-of-state offense, this employment

 

 

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1    exemption does not apply until either a one-year period
2    has elapsed during which that person had his or her
3    driving privileges revoked or a one-year period has
4    elapsed during which that person had a restricted driving
5    permit which required the use of an ignition interlock
6    device on every motor vehicle owned or operated by that
7    person.
8        (E) In each case the Secretary may issue a restricted
9    driving permit for a period deemed appropriate, except
10    that all permits shall expire no later than 2 years from
11    the date of issuance. A restricted driving permit issued
12    under this Section shall be subject to cancellation,
13    revocation, and suspension by the Secretary of State in
14    like manner and for like cause as a driver's license
15    issued under this Code may be cancelled, revoked, or
16    suspended; except that a conviction upon one or more
17    offenses against laws or ordinances regulating the
18    movement of traffic shall be deemed sufficient cause for
19    the revocation, suspension, or cancellation of a
20    restricted driving permit. The Secretary of State may, as
21    a condition to the issuance of a restricted driving
22    permit, require the applicant to participate in a
23    designated driver remedial or rehabilitative program. The
24    Secretary of State is authorized to cancel a restricted
25    driving permit if the permit holder does not successfully
26    complete the program.

 

 

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1        (F) A person subject to the provisions of paragraph 4
2    of subsection (b) of Section 6-208 of this Code may make
3    application for a restricted driving permit at a hearing
4    conducted under Section 2-118 of this Code after the
5    expiration of 5 years from the effective date of the most
6    recent revocation or after 5 years from the date of
7    release from a period of imprisonment resulting from a
8    conviction of the most recent offense, whichever is later,
9    provided the person, in addition to all other requirements
10    of the Secretary, shows by clear and convincing evidence:
11            (i) a minimum of 3 years of uninterrupted
12        abstinence from alcohol and the unlawful use or
13        consumption of cannabis under the Cannabis Control
14        Act, a controlled substance under the Illinois
15        Controlled Substances Act, an intoxicating compound
16        under the Use of Intoxicating Compounds Act, or
17        methamphetamine under the Methamphetamine Control and
18        Community Protection Act; and
19            (ii) the successful completion of any
20        rehabilitative treatment and involvement in any
21        ongoing rehabilitative activity that may be
22        recommended by a properly licensed service provider
23        according to an assessment of the person's alcohol or
24        drug use under Section 11-501.01 of this Code.
25        In determining whether an applicant is eligible for a
26    restricted driving permit under this subparagraph (F), the

 

 

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1    Secretary may consider any relevant evidence, including,
2    but not limited to, testimony, affidavits, records, and
3    the results of regular alcohol or drug tests. Persons
4    subject to the provisions of paragraph 4 of subsection (b)
5    of Section 6-208 of this Code and who have been convicted
6    of more than one violation of paragraph (3), paragraph
7    (4), or paragraph (5) of subsection (a) of Section 11-501
8    of this Code shall not be eligible to apply for a
9    restricted driving permit under this subparagraph (F).
10        A restricted driving permit issued under this
11    subparagraph (F) shall provide that the holder may only
12    operate motor vehicles equipped with an ignition interlock
13    device as required under paragraph (2) of subsection (c)
14    of Section 6-205 of this Code and subparagraph (A) of
15    paragraph 3 of subsection (c) of this Section. The
16    Secretary may revoke a restricted driving permit or amend
17    the conditions of a restricted driving permit issued under
18    this subparagraph (F) if the holder operates a vehicle
19    that is not equipped with an ignition interlock device, or
20    for any other reason authorized under this Code.
21        A restricted driving permit issued under this
22    subparagraph (F) shall be revoked, and the holder barred
23    from applying for or being issued a restricted driving
24    permit in the future, if the holder is convicted of a
25    violation of Section 11-501 of this Code, a similar
26    provision of a local ordinance, or a similar offense in

 

 

HB5373- 982 -LRB104 20029 AAS 33480 b

1    another state.
2    (c-3) In the case of a suspension under paragraph 43 of
3subsection (a), reports received by the Secretary of State
4under this Section shall, except during the actual time the
5suspension is in effect, be privileged information and for use
6only by the courts, police officers, prosecuting authorities,
7the driver licensing administrator of any other state, the
8Secretary of State, or the parent or legal guardian of a driver
9under the age of 18. However, beginning January 1, 2008, if the
10person is a CDL holder, the suspension shall also be made
11available to the driver licensing administrator of any other
12state, the U.S. Department of Transportation, and the affected
13driver or motor carrier or prospective motor carrier upon
14request.
15    (c-4) In the case of a suspension under paragraph 43 of
16subsection (a), the Secretary of State shall notify the person
17by mail that his or her driving privileges and driver's
18license will be suspended one month after the date of the
19mailing of the notice.
20    (c-5) The Secretary of State may, as a condition of the
21reissuance of a driver's license or permit to an applicant
22whose driver's license or permit has been suspended before he
23or she reached the age of 21 years pursuant to any of the
24provisions of this Section, require the applicant to
25participate in a driver remedial education course and be
26retested under Section 6-109 of this Code.

 

 

HB5373- 983 -LRB104 20029 AAS 33480 b

1    (d) This Section is subject to the provisions of the
2Driver License Compact.
3    (e) The Secretary of State shall not issue a restricted
4driving permit to a person under the age of 16 years whose
5driving privileges have been suspended or revoked under any
6provisions of this Code.
7    (f) In accordance with 49 CFR 384, the Secretary of State
8may not issue a restricted driving permit for the operation of
9a commercial motor vehicle to a person holding a CDL whose
10driving privileges have been suspended, revoked, cancelled, or
11disqualified under any provisions of this Code.
12(Source: P.A. 103-154, eff. 6-30-23; 103-822, eff. 1-1-25;
13103-1071, eff. 7-1-25; 104-400, eff. 6-1-26; revised
1410-27-25.)
 
15    (625 ILCS 5/12-707.01)  (from Ch. 95 1/2, par. 12-707.01)
16    Sec. 12-707.01. Liability insurance.
17    (a) No school bus, first division vehicle including a taxi
18which is used for a purpose that requires a school bus driver
19permit, commuter van or motor vehicle owned by or used for hire
20by and in connection with the operation of private or public
21schools, day camps, summer camps or nursery schools, and no
22commuter van or passenger car used for a for-profit
23ridesharing arrangement, shall be operated for such purposes
24unless the owner thereof shall carry a minimum of personal
25injury liability insurance in the amount of $25,000 for any

 

 

HB5373- 984 -LRB104 20029 AAS 33480 b

1one person in any one crash, and subject to the limit for one
2person, $100,000 for two or more persons injured by reason of
3the operation of the vehicle in any one crash. This subsection
4(a) applies only to personal injury liability policies issued
5or renewed before January 1, 2013.
6    (b) Liability insurance policies issued or renewed on and
7after January 1, 2013 shall comply with the following:
8        (1) except as provided in subparagraph (2) of this
9    subsection (b), any vehicle that is used for a purpose
10    that requires a school bus driver permit under Section
11    6-104 of this Code shall carry a minimum of liability
12    insurance in the amount of $2,000,000. This minimum
13    insurance requirement may be satisfied by either (i) a
14    $2,000,000 combined single limit primary commercial
15    automobile policy; or (ii) a $1 million primary commercial
16    automobile policy and a minimum $5,000,000 excess or
17    umbrella liability policy;
18        (2) any vehicle that is used for a purpose that
19    requires a school bus driver permit under Section 6-104 of
20    this Code and is used in connection with the operation of
21    private child day care facilities, day camps, summer
22    camps, or nursery schools shall carry a minimum of
23    liability insurance in the amount of $1,000,000 combined
24    single limit per crash;
25        (3) any commuter van or passenger car used for a
26    for-profit ridesharing arrangement shall carry a minimum

 

 

HB5373- 985 -LRB104 20029 AAS 33480 b

1    of liability insurance in the amount of $500,000 combined
2    single limit per crash.
3    (c) Primary insurance coverage under the provisions of
4this Section must be provided by a licensed and admitted
5insurance carrier or an intergovernmental cooperative formed
6under Section 10 of Article VII of the Illinois Constitution,
7or Section 6 or 9 of the Intergovernmental Cooperation Act, or
8provided by a certified self-insurer under Section 7-502 of
9this Code. The excess or umbrella liability coverage
10requirement may be met by securing surplus line insurance as
11defined under Section 445 of the Illinois Insurance Code. If
12the excess or umbrella liability coverage requirement is met
13by securing surplus line insurance, that coverage must be
14effected through a licensed surplus line producer acting under
15the surplus line insurance laws and regulations of this State.
16Nothing in this subsection (c) shall be construed as
17prohibiting a licensed and admitted insurance carrier or an
18intergovernmental cooperative formed under Section 10 of
19Article VII of the Illinois Constitution, or Section 6 or 9 of
20the Intergovernmental Cooperation Act, or a certified
21self-insurer under Section 7-502 of this Code, from retaining
22the risk required under paragraphs (1) and (2) of subsection
23(b) of this Section or issuing a single primary policy meeting
24the requirements of paragraphs (1) and (2) of subsection (b).
25    (d) Each owner of a vehicle required to obtain the minimum
26liability requirements under subsection (b) of this Section

 

 

HB5373- 986 -LRB104 20029 AAS 33480 b

1shall attest that the vehicle meets the minimum insurance
2requirements under this Section. The Secretary of State shall
3create a form for each owner of a vehicle to attest that the
4owner meets the minimum insurance requirements and the owner
5of the vehicle shall submit the form with each registration
6application. The form shall be valid for the full registration
7period; however, if at any time the Secretary has reason to
8believe that the owner does not have the minimum required
9amount of insurance for a vehicle, then the Secretary may
10require a certificate of insurance, or its equivalent, to
11ensure the vehicle is insured. If the owner fails to produce a
12certificate of insurance, or its equivalent, within 2 calendar
13days after the request was made, then the Secretary may revoke
14the vehicle owner's registration until the Secretary is
15assured the vehicle meets the minimum insurance requirements.
16If the owner of a vehicle participates in an intergovernmental
17cooperative or is self-insured, then the owner shall attest
18that the insurance required under this Section is equivalent
19to or greater than the insurance required under paragraph (1)
20of subsection (b) of this Section. The Secretary may adopt any
21rules necessary to enforce the provisions of this subsection
22(d).
23(Source: P.A. 102-982, eff. 7-1-23.)
 
24    Section 280. The Criminal Code of 2012 is amended by
25changing Sections 2-5.1, 2-5.2, 2-8.1, 11-0.1, 11-9.3, 11-24,

 

 

HB5373- 987 -LRB104 20029 AAS 33480 b

118-1, 19-1, and 48-1 as follows:
 
2    (720 ILCS 5/2-5.1)
3    Sec. 2-5.1. Child Day care center. "Child Day care center"
4has the meaning ascribed to it in Section 2.09 of the Child
5Care Act of 1969.
6(Source: P.A. 96-556, eff. 1-1-10.)
 
7    (720 ILCS 5/2-5.2)
8    Sec. 2-5.2. Child Day care home. "Child Day care home" has
9the meaning ascribed to it in Section 2.18 of the Child Care
10Act of 1969.
11(Source: P.A. 96-556, eff. 1-1-10.)
 
12    (720 ILCS 5/2-8.1)
13    Sec. 2-8.1. Group child day care home. "Group child day
14care home" has the meaning ascribed to it in Section 2.20 of
15the Child Care Act of 1969.
16(Source: P.A. 96-556, eff. 1-1-10.)
 
17    (720 ILCS 5/11-0.1)
18    Sec. 11-0.1. Definitions. In this Article, unless the
19context clearly requires otherwise, the following terms are
20defined as indicated:
21    "Accused" means a person accused of an offense prohibited
22by Section 11-1.20, 11-1.30, 11-1.40, 11-1.50, or 11-1.60 of

 

 

HB5373- 988 -LRB104 20029 AAS 33480 b

1this Code or a person for whose conduct the accused is legally
2responsible under Article 5 of this Code.
3    "Adult obscenity or child sexual abuse material Internet
4site". See Section 11-23.
5    "Advance prostitution" means:
6        (1) Soliciting for a person engaged in the sex trade
7    by performing any of the following acts when acting other
8    than as a person engaged in the sex trade or a patron of a
9    person engaged in the sex trade:
10            (A) Soliciting another for the purpose of
11        prostitution.
12            (B) Arranging or offering to arrange a meeting of
13        persons for the purpose of prostitution.
14            (C) Directing another to a place knowing the
15        direction is for the purpose of prostitution.
16        (2) Keeping a place of prostitution by controlling or
17    exercising control over the use of any place that could
18    offer seclusion or shelter for the practice of
19    prostitution and performing any of the following acts when
20    acting other than as a person engaged in the sex trade or a
21    patron of a person engaged in the sex trade:
22            (A) Knowingly granting or permitting the use of
23        the place for the purpose of prostitution.
24            (B) Granting or permitting the use of the place
25        under circumstances from which he or she could
26        reasonably know that the place is used or is to be used

 

 

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1        for purposes of prostitution.
2            (C) Permitting the continued use of the place
3        after becoming aware of facts or circumstances from
4        which he or she should reasonably know that the place
5        is being used for purposes of prostitution.
6    "Agency". See Section 11-9.5.
7    "Arranges". See Section 11-6.5.
8    "Bodily harm" means physical harm, and includes, but is
9not limited to, sexually transmitted disease, pregnancy, and
10impotence.
11    "Care and custody". See Section 11-9.5.
12    "Child care institution". See Section 11-9.3.
13    "Child sexual abuse material". See Section 11-20.1.
14    "Child sex offender". See Section 11-9.3.
15    "Community agency". See Section 11-9.5.
16    "Conditional release". See Section 11-9.2.
17    "Consent" means a freely given agreement to the act of
18sexual penetration or sexual conduct in question. Lack of
19verbal or physical resistance or submission by the victim
20resulting from the use of force or threat of force by the
21accused shall not constitute consent. The manner of dress of
22the victim at the time of the offense shall not constitute
23consent.
24    "Custody". See Section 11-9.2.
25    "Child Day care center". See Section 11-9.3.
26    "Depict by computer". See Section 11-20.1.

 

 

HB5373- 990 -LRB104 20029 AAS 33480 b

1    "Depiction by computer". See Section 11-20.1.
2    "Disseminate". See Section 11-20.1.
3    "Distribute". See Section 11-21.
4    "Family member" means a parent, grandparent, child,
5sibling, aunt, uncle, great-aunt, or great-uncle, whether by
6whole blood, half-blood, or adoption, and includes a
7step-grandparent, step-parent, or step-child. "Family member"
8also means, if the victim is a child under 18 years of age, an
9accused who has resided in the household with the child
10continuously for at least 3 months.
11    "Force or threat of force" means the use of force or
12violence or the threat of force or violence, including, but
13not limited to, the following situations:
14        (1) when the accused threatens to use force or
15    violence on the victim or on any other person, and the
16    victim under the circumstances reasonably believes that
17    the accused has the ability to execute that threat; or
18        (2) when the accused overcomes the victim by use of
19    superior strength or size, physical restraint, or physical
20    confinement.
21    "Harmful to minors". See Section 11-21.
22    "Loiter". See Section 9.3.
23    "Material". See Section 11-21.
24    "Minor". See Section 11-21.
25    "Nudity". See Section 11-21.
26    "Obscene". See Section 11-20.

 

 

HB5373- 991 -LRB104 20029 AAS 33480 b

1    "Part day child care facility". See Section 11-9.3.
2    "Penal system". See Section 11-9.2.
3    "Person responsible for the child's welfare". See Section
411-9.1A.
5    "Person with a disability". See Section 11-9.5.
6    "Playground". See Section 11-9.3.
7    "Probation officer". See Section 11-9.2.
8    "Produce". See Section 11-20.1.
9    "Profit from prostitution" means, when acting other than
10as a person engaged in the sex trade, to receive anything of
11value for personally rendered prostitution services or to
12receive anything of value from a person engaged in the sex
13trade, if the thing received is not for lawful consideration
14and the person knows it was earned in whole or in part from the
15practice of prostitution.
16    "Public park". See Section 11-9.3.
17    "Public place". See Section 11-30.
18    "Reproduce". See Section 11-20.1.
19    "Sado-masochistic abuse". See Section 11-21.
20    "School". See Section 11-9.3.
21    "School official". See Section 11-9.3.
22    "Sexual abuse". See Section 11-9.1A.
23    "Sexual act". See Section 11-9.1.
24    "Sexual conduct" means any knowing touching or fondling by
25the victim or the accused, either directly or through
26clothing, of the sex organs, anus, or breast of the victim or

 

 

HB5373- 992 -LRB104 20029 AAS 33480 b

1the accused, or any part of the body of a child under 13 years
2of age, or any transfer or transmission of semen by the accused
3upon any part of the clothed or unclothed body of the victim,
4for the purpose of sexual gratification or arousal of the
5victim or the accused.
6    "Sexual excitement". See Section 11-21.
7    "Sexual penetration" means any contact, however slight,
8between the sex organ or anus of one person and an object or
9the sex organ, mouth, or anus of another person, or any
10intrusion, however slight, of any part of the body of one
11person or of any animal or object into the sex organ or anus of
12another person, including, but not limited to, cunnilingus,
13fellatio, or anal penetration. Evidence of emission of semen
14is not required to prove sexual penetration.
15    "Solicit". See Section 11-6.
16    "State-operated facility". See Section 11-9.5.
17    "Supervising officer". See Section 11-9.2.
18    "Surveillance agent". See Section 11-9.2.
19    "Treatment and detention facility". See Section 11-9.2.
20    "Unable to give knowing consent" includes, but is not
21limited to, when the victim was asleep, unconscious, or
22unaware of the nature of the act such that the victim could not
23give voluntary and knowing agreement to the sexual act.
24"Unable to give knowing consent" also includes when the
25accused administers any intoxicating or anesthetic substance,
26or any controlled substance causing the victim to become

 

 

HB5373- 993 -LRB104 20029 AAS 33480 b

1unconscious of the nature of the act and this condition was
2known, or reasonably should have been known by the accused.
3"Unable to give knowing consent" also includes when the victim
4has taken an intoxicating substance or any controlled
5substance causing the victim to become unconscious of the
6nature of the act, and this condition was known or reasonably
7should have been known by the accused, but the accused did not
8provide or administer the intoxicating substance. As used in
9this paragraph, "unconscious of the nature of the act" means
10incapable of resisting because the victim meets any one of the
11following conditions:
12        (1) was unconscious or asleep;
13        (2) was not aware, knowing, perceiving, or cognizant
14    that the act occurred;
15        (3) was not aware, knowing, perceiving, or cognizant
16    of the essential characteristics of the act due to the
17    perpetrator's fraud in fact; or
18        (4) was not aware, knowing, perceiving, or cognizant
19    of the essential characteristics of the act due to the
20    perpetrator's fraudulent representation that the sexual
21    penetration served a professional purpose when it served
22    no professional purpose.
23    It is inferred that a victim is unable to give knowing
24consent when the victim:
25        (1) is committed to the care and custody or
26    supervision of the Illinois Department of Corrections

 

 

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1    (IDOC) and the accused is an employee or volunteer who is
2    not married to the victim who knows or reasonably should
3    know that the victim is committed to the care and custody
4    or supervision of such department;
5        (2) is committed to or placed with the Department of
6    Children and Family Services (DCFS) and in residential
7    care, and the accused employee is not married to the
8    victim, and knows or reasonably should know that the
9    victim is committed to or placed with DCFS and in
10    residential care;
11        (3) is a client or patient and the accused is a health
12    care provider or mental health care provider and the
13    sexual conduct or sexual penetration occurs during a
14    treatment session, consultation, interview, or
15    examination;
16        (4) is a resident or inpatient of a residential
17    facility and the accused is an employee of the facility
18    who is not married to such resident or inpatient who
19    provides direct care services, case management services,
20    medical or other clinical services, habilitative services
21    or direct supervision of the residents in the facility in
22    which the resident resides; or an officer or other
23    employee, consultant, contractor or volunteer of the
24    residential facility, who knows or reasonably should know
25    that the person is a resident of such facility; or
26        (5) is detained or otherwise in the custody of a

 

 

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1    police officer, peace officer, or other law enforcement
2    official who: (i) is detaining or maintaining custody of
3    such person; or (ii) knows, or reasonably should know,
4    that at the time of the offense, such person was detained
5    or in custody and the police officer, peace officer, or
6    other law enforcement official is not married to such
7    detainee.
8    "Victim" means a person alleging to have been subjected to
9an offense prohibited by Section 11-1.20, 11-1.30, 11-1.40,
1011-1.50, or 11-1.60 of this Code.
11(Source: P.A. 103-1071, eff. 7-1-25; 104-245, eff. 1-1-26;
12revised 11-21-25.)
 
13    (720 ILCS 5/11-9.3)
14    Sec. 11-9.3. Presence within school zone by child sex
15offenders prohibited; approaching, contacting, residing with,
16or communicating with a child within certain places by child
17sex offenders prohibited.
18    (a) It is unlawful for a child sex offender to knowingly be
19present in any school building, on real property comprising
20any school, or in any conveyance owned, leased, or contracted
21by a school to transport students to or from school or a
22school-related school related activity when persons under the
23age of 18 are present in the building, on the grounds or in the
24conveyance, unless the offender is a parent or guardian of a
25student attending the school and the parent or guardian is:

 

 

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1(i) attending a conference at the school with school personnel
2to discuss the progress of his or her child academically or
3socially, (ii) participating in child review conferences in
4which evaluation and placement decisions may be made with
5respect to his or her child regarding special education
6services, or (iii) attending conferences to discuss other
7student issues concerning his or her child such as retention
8and promotion and notifies the principal of the school of his
9or her presence at the school or unless the offender has
10permission to be present from the superintendent or the school
11board or in the case of a private school from the principal. In
12the case of a public school, if permission is granted, the
13superintendent or school board president must inform the
14principal of the school where the sex offender will be
15present. Notification includes the nature of the sex
16offender's visit and the hours in which the sex offender will
17be present in the school. The sex offender is responsible for
18notifying the principal's office when he or she arrives on
19school property and when he or she departs from school
20property. If the sex offender is to be present in the vicinity
21of children, the sex offender has the duty to remain under the
22direct supervision of a school official.
23    (a-5) It is unlawful for a child sex offender to knowingly
24be present within 100 feet of a site posted as a pick-up or
25discharge stop for a conveyance owned, leased, or contracted
26by a school to transport students to or from school or a

 

 

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1school-related school related activity when one or more
2persons under the age of 18 are present at the site.
3    (a-10) It is unlawful for a child sex offender to
4knowingly be present in any public park building, a playground
5or recreation area within any publicly accessible privately
6owned building, or on real property comprising any public park
7when persons under the age of 18 are present in the building or
8on the grounds and to approach, contact, or communicate with a
9child under 18 years of age, unless the offender is a parent or
10guardian of a person under 18 years of age present in the
11building or on the grounds.
12    (b) It is unlawful for a child sex offender to knowingly
13loiter within 500 feet of a school building or real property
14comprising any school while persons under the age of 18 are
15present in the building or on the grounds, unless the offender
16is a parent or guardian of a student attending the school and
17the parent or guardian is: (i) attending a conference at the
18school with school personnel to discuss the progress of his or
19her child academically or socially, (ii) participating in
20child review conferences in which evaluation and placement
21decisions may be made with respect to his or her child
22regarding special education services, or (iii) attending
23conferences to discuss other student issues concerning his or
24her child such as retention and promotion and notifies the
25principal of the school of his or her presence at the school or
26has permission to be present from the superintendent or the

 

 

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1school board or in the case of a private school from the
2principal. In the case of a public school, if permission is
3granted, the superintendent or school board president must
4inform the principal of the school where the sex offender will
5be present. Notification includes the nature of the sex
6offender's visit and the hours in which the sex offender will
7be present in the school. The sex offender is responsible for
8notifying the principal's office when he or she arrives on
9school property and when he or she departs from school
10property. If the sex offender is to be present in the vicinity
11of children, the sex offender has the duty to remain under the
12direct supervision of a school official.
13    (b-2) It is unlawful for a child sex offender to knowingly
14loiter on a public way within 500 feet of a public park
15building or real property comprising any public park while
16persons under the age of 18 are present in the building or on
17the grounds and to approach, contact, or communicate with a
18child under 18 years of age, unless the offender is a parent or
19guardian of a person under 18 years of age present in the
20building or on the grounds.
21    (b-5) It is unlawful for a child sex offender to knowingly
22reside within 500 feet of a school building or the real
23property comprising any school that persons under the age of
2418 attend. Nothing in this subsection (b-5) prohibits a child
25sex offender from residing within 500 feet of a school
26building or the real property comprising any school that

 

 

HB5373- 999 -LRB104 20029 AAS 33480 b

1persons under 18 attend if the property is owned by the child
2sex offender and was purchased before July 7, 2000 (the
3effective date of Public Act 91-911).
4    (b-10) It is unlawful for a child sex offender to
5knowingly reside within 500 feet of a playground, child care
6institution, day care center, part day child care facility,
7child day care home, group child day care home, or a facility
8providing programs or services exclusively directed toward
9persons under 18 years of age. Nothing in this subsection
10(b-10) prohibits a child sex offender from residing within 500
11feet of a playground or a facility providing programs or
12services exclusively directed toward persons under 18 years of
13age if the property is owned by the child sex offender and was
14purchased before July 7, 2000. Nothing in this subsection
15(b-10) prohibits a child sex offender from residing within 500
16feet of a child care institution, child day care center, or
17part day child care facility if the property is owned by the
18child sex offender and was purchased before June 26, 2006.
19Nothing in this subsection (b-10) prohibits a child sex
20offender from residing within 500 feet of a child day care home
21or group child day care home if the property is owned by the
22child sex offender and was purchased before August 14, 2008
23(the effective date of Public Act 95-821).
24    (b-15) It is unlawful for a child sex offender to
25knowingly reside within 500 feet of the victim of the sex
26offense. Nothing in this subsection (b-15) prohibits a child

 

 

HB5373- 1000 -LRB104 20029 AAS 33480 b

1sex offender from residing within 500 feet of the victim if the
2property in which the child sex offender resides is owned by
3the child sex offender and was purchased before August 22,
42002.
5    This subsection (b-15) does not apply if the victim of the
6sex offense is 21 years of age or older.
7    (b-20) It is unlawful for a child sex offender to
8knowingly communicate, other than for a lawful purpose under
9Illinois law, using the Internet or any other digital media,
10with a person under 18 years of age or with a person whom he or
11she believes to be a person under 18 years of age, unless the
12offender is a parent or guardian of the person under 18 years
13of age.
14    (c) It is unlawful for a child sex offender to knowingly
15operate, manage, be employed by, volunteer at, be associated
16with, or knowingly be present at any: (i) facility providing
17programs or services exclusively directed toward persons under
18the age of 18; (ii) child day care center; (iii) part day child
19care facility; (iv) child care institution; (v) school
20providing before and after school programs for children under
2118 years of age; (vi) child day care home; or (vii) group child
22day care home. This does not prohibit a child sex offender from
23owning the real property upon which the programs or services
24are offered or upon which the child day care center, part day
25child care facility, child care institution, or school
26providing before and after school programs for children under

 

 

HB5373- 1001 -LRB104 20029 AAS 33480 b

118 years of age is located, provided the child sex offender
2refrains from being present on the premises for the hours
3during which: (1) the programs or services are being offered
4or (2) the child day care center, part day child care facility,
5child care institution, or school providing before and after
6school programs for children under 18 years of age, child day
7care home, or group child day care home is operated.
8    (c-2) It is unlawful for a child sex offender to
9participate in a holiday event involving children under 18
10years of age, including, but not limited to, distributing
11candy or other items to children on Halloween, wearing a Santa
12Claus costume on or preceding Christmas, being employed as a
13department store Santa Claus, or wearing an Easter Bunny
14costume on or preceding Easter. For the purposes of this
15subsection, child sex offender has the meaning as defined in
16this Section, but does not include as a sex offense under
17paragraph (2) of subsection (d) of this Section, the offense
18under subsection (c) of Section 11-1.50 of this Code. This
19subsection does not apply to a child sex offender who is a
20parent or guardian of children under 18 years of age that are
21present in the home and other non-familial minors are not
22present.
23    (c-5) It is unlawful for a child sex offender to knowingly
24operate, manage, be employed by, or be associated with any
25carnival, amusement enterprise, or county or State fair when
26persons under the age of 18 are present.

 

 

HB5373- 1002 -LRB104 20029 AAS 33480 b

1    (c-6) It is unlawful for a child sex offender who owns and
2resides at residential real estate to knowingly rent any
3residential unit within the same building in which he or she
4resides to a person who is the parent or guardian of a child or
5children under 18 years of age. This subsection shall apply
6only to leases or other rental arrangements entered into after
7January 1, 2009 (the effective date of Public Act 95-820).
8    (c-7) It is unlawful for a child sex offender to knowingly
9offer or provide any programs or services to persons under 18
10years of age in his or her residence or the residence of
11another or in any facility for the purpose of offering or
12providing such programs or services, whether such programs or
13services are offered or provided by contract, agreement,
14arrangement, or on a volunteer basis.
15    (c-8) It is unlawful for a child sex offender to knowingly
16operate, whether authorized to do so or not, any of the
17following vehicles: (1) a vehicle which is specifically
18designed, constructed or modified and equipped to be used for
19the retail sale of food or beverages, including, but not
20limited to, an ice cream truck; (2) an authorized emergency
21vehicle; or (3) a rescue vehicle.
22    (d) Definitions. In this Section:
23        (1) "Child sex offender" means any person who:
24            (i) has been charged under Illinois law, or any
25        substantially similar federal law or law of another
26        state, with a sex offense set forth in paragraph (2) of

 

 

HB5373- 1003 -LRB104 20029 AAS 33480 b

1        this subsection (d) or the attempt to commit an
2        included sex offense, and the victim is a person under
3        18 years of age at the time of the offense; and:
4                (A) is convicted of such offense or an attempt
5            to commit such offense; or
6                (B) is found not guilty by reason of insanity
7            of such offense or an attempt to commit such
8            offense; or
9                (C) is found not guilty by reason of insanity
10            pursuant to subsection (c) of Section 104-25 of
11            the Code of Criminal Procedure of 1963 of such
12            offense or an attempt to commit such offense; or
13                (D) is the subject of a finding not resulting
14            in an acquittal at a hearing conducted pursuant to
15            subsection (a) of Section 104-25 of the Code of
16            Criminal Procedure of 1963 for the alleged
17            commission or attempted commission of such
18            offense; or
19                (E) is found not guilty by reason of insanity
20            following a hearing conducted pursuant to a
21            federal law or the law of another state
22            substantially similar to subsection (c) of Section
23            104-25 of the Code of Criminal Procedure of 1963
24            of such offense or of the attempted commission of
25            such offense; or
26                (F) is the subject of a finding not resulting

 

 

HB5373- 1004 -LRB104 20029 AAS 33480 b

1            in an acquittal at a hearing conducted pursuant to
2            a federal law or the law of another state
3            substantially similar to subsection (a) of Section
4            104-25 of the Code of Criminal Procedure of 1963
5            for the alleged violation or attempted commission
6            of such offense; or
7            (ii) is certified as a sexually dangerous person
8        pursuant to the Illinois Sexually Dangerous Persons
9        Act, or any substantially similar federal law or the
10        law of another state, when any conduct giving rise to
11        such certification is committed or attempted against a
12        person less than 18 years of age; or
13            (iii) is subject to the provisions of Section 2 of
14        the Interstate Agreements on Sexually Dangerous
15        Persons Act.
16        Convictions that result from or are connected with the
17    same act, or result from offenses committed at the same
18    time, shall be counted for the purpose of this Section as
19    one conviction. Any conviction set aside pursuant to law
20    is not a conviction for purposes of this Section.
21        (2) Except as otherwise provided in paragraph (2.5),
22    "sex offense" means:
23            (i) A violation of any of the following Sections
24        of the Criminal Code of 1961 or the Criminal Code of
25        2012:
26                10-4 (forcible detention),

 

 

HB5373- 1005 -LRB104 20029 AAS 33480 b

1                10-7 (aiding or abetting child abduction under
2            Section 10-5(b)(10)),
3                10-5(b)(10) (child luring),
4                11-1.40 (predatory criminal sexual assault of
5            a child),
6                11-6 (indecent solicitation of a child),
7                11-6.5 (indecent solicitation of an adult),
8                11-9.1 (sexual exploitation of a child),
9                11-9.2 (custodial sexual misconduct),
10                11-9.5 (sexual misconduct with a person with a
11            disability),
12                11-11 (sexual relations within families),
13                11-14.3(a)(1) (promoting prostitution by
14            advancing prostitution),
15                11-14.3(a)(2)(A) (promoting prostitution by
16            profiting from prostitution by compelling a person
17            to be a person engaged in the sex trade),
18                11-14.3(a)(2)(C) (promoting prostitution by
19            profiting from prostitution by means other than as
20            described in subparagraphs (A) and (B) of
21            paragraph (2) of subsection (a) of Section
22            11-14.3),
23                11-14.4 (promoting commercial sexual
24            exploitation of a child),
25                11-18.1 (patronizing a sexually exploited
26            child),

 

 

HB5373- 1006 -LRB104 20029 AAS 33480 b

1                11-20.1 (child sexual abuse material or child
2            pornography),
3                11-20.1B (aggravated child pornography),
4                11-21 (harmful material),
5                11-25 (grooming),
6                11-26 (traveling to meet a minor or traveling
7            to meet a child),
8                12-33 (ritualized abuse of a child),
9                11-20 (obscenity) (when that offense was
10            committed in any school, on real property
11            comprising any school, in any conveyance owned,
12            leased, or contracted by a school to transport
13            students to or from school or a school-related
14            school related activity, or in a public park),
15                11-30 (public indecency) (when committed in a
16            school, on real property comprising a school, in
17            any conveyance owned, leased, or contracted by a
18            school to transport students to or from school or
19            a school-related school related activity, or in a
20            public park).
21                An attempt to commit any of these offenses.
22            (ii) A violation of any of the following Sections
23        of the Criminal Code of 1961 or the Criminal Code of
24        2012, when the victim is a person under 18 years of
25        age:
26                11-1.20 (criminal sexual assault),

 

 

HB5373- 1007 -LRB104 20029 AAS 33480 b

1                11-1.30 (aggravated criminal sexual assault),
2                11-1.50 (criminal sexual abuse),
3                11-1.60 (aggravated criminal sexual abuse).
4                An attempt to commit any of these offenses.
5            (iii) A violation of any of the following Sections
6        of the Criminal Code of 1961 or the Criminal Code of
7        2012, when the victim is a person under 18 years of age
8        and the defendant is not a parent of the victim:
9                10-1 (kidnapping),
10                10-2 (aggravated kidnapping),
11                10-3 (unlawful restraint),
12                10-3.1 (aggravated unlawful restraint),
13                11-9.1(A) (permitting sexual abuse of a
14            child).
15                An attempt to commit any of these offenses.
16            (iv) A violation of any former law of this State
17        substantially equivalent to any offense listed in
18        clause (2)(i) or (2)(ii) of subsection (d) of this
19        Section.
20        (2.5) For the purposes of subsections (b-5) and (b-10)
21    only, a sex offense means:
22            (i) A violation of any of the following Sections
23        of the Criminal Code of 1961 or the Criminal Code of
24        2012:
25                10-5(b)(10) (child luring),
26                10-7 (aiding or abetting child abduction under

 

 

HB5373- 1008 -LRB104 20029 AAS 33480 b

1            Section 10-5(b)(10)),
2                11-1.40 (predatory criminal sexual assault of
3            a child),
4                11-6 (indecent solicitation of a child),
5                11-6.5 (indecent solicitation of an adult),
6                11-9.2 (custodial sexual misconduct),
7                11-9.5 (sexual misconduct with a person with a
8            disability),
9                11-11 (sexual relations within families),
10                11-14.3(a)(1) (promoting prostitution by
11            advancing prostitution),
12                11-14.3(a)(2)(A) (promoting prostitution by
13            profiting from prostitution by compelling a person
14            to be a person engaged in the sex trade),
15                11-14.3(a)(2)(C) (promoting prostitution by
16            profiting from prostitution by means other than as
17            described in subparagraphs (A) and (B) of
18            paragraph (2) of subsection (a) of Section
19            11-14.3),
20                11-14.4 (promoting commercial sexual
21            exploitation of a child),
22                11-18.1 (patronizing a sexually exploited
23            child),
24                11-20.1 (child sexual abuse material or child
25            pornography),
26                11-20.1B (aggravated child pornography),

 

 

HB5373- 1009 -LRB104 20029 AAS 33480 b

1                11-25 (grooming),
2                11-26 (traveling to meet a minor or traveling
3            to meet a child), or
4                12-33 (ritualized abuse of a child).
5                An attempt to commit any of these offenses.
6            (ii) A violation of any of the following Sections
7        of the Criminal Code of 1961 or the Criminal Code of
8        2012, when the victim is a person under 18 years of
9        age:
10                11-1.20 (criminal sexual assault),
11                11-1.30 (aggravated criminal sexual assault),
12                11-1.60 (aggravated criminal sexual abuse),
13            and
14                subsection (a) of Section 11-1.50 (criminal
15            sexual abuse).
16                An attempt to commit any of these offenses.
17            (iii) A violation of any of the following Sections
18        of the Criminal Code of 1961 or the Criminal Code of
19        2012, when the victim is a person under 18 years of age
20        and the defendant is not a parent of the victim:
21                10-1 (kidnapping),
22                10-2 (aggravated kidnapping),
23                10-3 (unlawful restraint),
24                10-3.1 (aggravated unlawful restraint),
25                11-9.1(A) (permitting sexual abuse of a
26            child).

 

 

HB5373- 1010 -LRB104 20029 AAS 33480 b

1                An attempt to commit any of these offenses.
2            (iv) A violation of any former law of this State
3        substantially equivalent to any offense listed in this
4        paragraph (2.5) of this subsection.
5        (3) A conviction for an offense of federal law or the
6    law of another state that is substantially equivalent to
7    any offense listed in paragraph (2) of subsection (d) of
8    this Section shall constitute a conviction for the purpose
9    of this Section. A finding or adjudication as a sexually
10    dangerous person under any federal law or law of another
11    state that is substantially equivalent to the Sexually
12    Dangerous Persons Act shall constitute an adjudication for
13    the purposes of this Section.
14        (4) "Authorized emergency vehicle", "rescue vehicle",
15    and "vehicle" have the meanings ascribed to them in
16    Sections 1-105, 1-171.8 and 1-217, respectively, of the
17    Illinois Vehicle Code.
18        (5) "Child care institution" has the meaning ascribed
19    to it in Section 2.06 of the Child Care Act of 1969.
20        (6) "Child Day care center" has the meaning ascribed
21    to it in Section 2.09 of the Child Care Act of 1969.
22        (7) "Child Day care home" has the meaning ascribed to
23    it in Section 2.18 of the Child Care Act of 1969.
24        (8) "Facility providing programs or services directed
25    towards persons under the age of 18" means any facility
26    providing programs or services exclusively directed

 

 

HB5373- 1011 -LRB104 20029 AAS 33480 b

1    towards persons under the age of 18.
2        (9) "Group child day care home" has the meaning
3    ascribed to it in Section 2.20 of the Child Care Act of
4    1969.
5        (10) "Internet" has the meaning set forth in Section
6    16-0.1 of this Code.
7        (11) "Loiter" means:
8            (i) Standing, sitting idly, whether or not the
9        person is in a vehicle, or remaining in or around
10        school or public park property.
11            (ii) Standing, sitting idly, whether or not the
12        person is in a vehicle, or remaining in or around
13        school or public park property, for the purpose of
14        committing or attempting to commit a sex offense.
15            (iii) Entering or remaining in a building in or
16        around school property, other than the offender's
17        residence.
18        (12) "Part day child care facility" has the meaning
19    ascribed to it in Section 2.10 of the Child Care Act of
20    1969.
21        (13) "Playground" means a piece of land owned or
22    controlled by a unit of local government that is
23    designated by the unit of local government for use solely
24    or primarily for children's recreation.
25        (14) "Public park" includes a park, forest preserve,
26    bikeway, trail, or conservation area under the

 

 

HB5373- 1012 -LRB104 20029 AAS 33480 b

1    jurisdiction of the State or a unit of local government.
2        (15) "School" means a public or private preschool or
3    elementary or secondary school.
4        (16) "School official" means the principal, a teacher,
5    or any other certified employee of the school, the
6    superintendent of schools or a member of the school board.
7    (e) For the purposes of this Section, the 500 feet
8distance shall be measured from: (1) the edge of the property
9of the school building or the real property comprising the
10school that is closest to the edge of the property of the child
11sex offender's residence or where he or she is loitering, and
12(2) the edge of the property comprising the public park
13building or the real property comprising the public park,
14playground, child care institution, child day care center,
15part day child care facility, or facility providing programs
16or services exclusively directed toward persons under 18 years
17of age, or a victim of the sex offense who is under 21 years of
18age, to the edge of the child sex offender's place of residence
19or place where he or she is loitering.
20    (f) Sentence. A person who violates this Section is guilty
21of a Class 4 felony.
22(Source: P.A. 103-1071, eff. 7-1-25; 104-245, eff. 1-1-26;
23revised 11-21-25.)
 
24    (720 ILCS 5/11-24)
25    Sec. 11-24. Child photography by sex offender.

 

 

HB5373- 1013 -LRB104 20029 AAS 33480 b

1    (a) In this Section:
2    "Child" means a person under 18 years of age.
3    "Child sex offender" has the meaning ascribed to it in
4Section 11-0.1 of this Code.
5    (b) It is unlawful for a child sex offender to knowingly:
6        (1) conduct or operate any type of business in which
7    he or she photographs, videotapes, or takes a digital
8    image of a child; or
9        (2) conduct or operate any type of business in which
10    he or she instructs or directs another person to
11    photograph, videotape, or take a digital image of a child;
12    or
13        (3) photograph, videotape, or take a digital image of
14    a child, or instruct or direct another person to
15    photograph, videotape, or take a digital image of a child
16    without the consent of the parent or guardian.
17    (c) Sentence. A violation of this Section is a Class 2
18felony. A person who violates this Section at a playground,
19park facility, school, forest preserve, child day care
20facility, or at a facility providing programs or services
21directed to persons under 17 years of age is guilty of a Class
221 felony.
23(Source: P.A. 95-983, eff. 6-1-09; 96-1551, eff. 7-1-11.)
 
24    (720 ILCS 5/18-1)  (from Ch. 38, par. 18-1)
25    Sec. 18-1. Robbery; aggravated robbery.

 

 

HB5373- 1014 -LRB104 20029 AAS 33480 b

1    (a) Robbery. A person commits robbery when he or she
2knowingly takes property, except a motor vehicle covered by
3Section 18-3 or 18-4, from the person or presence of another by
4the use of force or by threatening the imminent use of force.
5    (b) Aggravated robbery.
6        (1) A person commits aggravated robbery when he or she
7    violates subsection (a) while indicating verbally or by
8    his or her actions to the victim that he or she is
9    presently armed with a firearm or other dangerous weapon,
10    including a knife, club, ax, or bludgeon. This offense
11    shall be applicable even though it is later determined
12    that he or she had no firearm or other dangerous weapon,
13    including a knife, club, ax, or bludgeon, in his or her
14    possession when he or she committed the robbery.
15        (2) A person commits aggravated robbery when he or she
16    knowingly takes property from the person or presence of
17    another by delivering (by injection, inhalation,
18    ingestion, transfer of possession, or any other means) to
19    the victim without his or her consent, or by threat or
20    deception, and for other than medical purposes, any
21    controlled substance.
22    (c) Sentence.
23    Robbery is a Class 2 felony, unless the victim is 60 years
24of age or over or is a person with a physical disability, or
25the robbery is committed in a school, child day care center,
26child day care home, group child day care home, or part day

 

 

HB5373- 1015 -LRB104 20029 AAS 33480 b

1child care facility, or place of worship, in which case
2robbery is a Class 1 felony. Aggravated robbery is a Class 1
3felony.
4    (d) Regarding penalties prescribed in subsection (c) for
5violations committed in a child day care center, child day
6care home, group child day care home, or part day child care
7facility, the time of day, time of year, and whether children
8under 18 years of age were present in the child day care
9center, child day care home, group child day care home, or part
10day child care facility are irrelevant.
11(Source: P.A. 99-143, eff. 7-27-15.)
 
12    (720 ILCS 5/19-1)  (from Ch. 38, par. 19-1)
13    Sec. 19-1. Burglary.
14    (a) A person commits burglary when without authority he or
15she knowingly enters or without authority remains within a
16building, housetrailer, watercraft, aircraft, motor vehicle,
17railroad car, freight container, or any part thereof, with
18intent to commit therein a felony or theft. This offense shall
19not include the offenses set out in Section 4-102 of the
20Illinois Vehicle Code.
21    (b) Sentence.
22    Burglary committed in, and without causing damage to, a
23watercraft, aircraft, motor vehicle, railroad car, freight
24container, or any part thereof is a Class 3 felony. Burglary
25committed in a building, housetrailer, or any part thereof or

 

 

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1while causing damage to a watercraft, aircraft, motor vehicle,
2railroad car, freight container, or any part thereof is a
3Class 2 felony. A burglary committed in a school, child day
4care center, child day care home, group child day care home, or
5part day child care facility, or place of worship is a Class 1
6felony, except that this provision does not apply to a child
7day care center, child day care home, group child day care
8home, or part day child care facility operated in a private
9residence used as a dwelling.
10    (c) Regarding penalties prescribed in subsection (b) for
11violations committed in a child day care center, child day
12care home, group child day care home, or part day child care
13facility, the time of day, time of year, and whether children
14under 18 years of age were present in the child day care
15center, child day care home, group child day care home, or part
16day child care facility are irrelevant.
17(Source: P.A. 102-546, eff. 1-1-22.)
 
18    (720 ILCS 5/48-1)  (was 720 ILCS 5/26-5)
19    Sec. 48-1. Dog fighting. (For other provisions that may
20apply to dog fighting, see the Humane Care for Animals Act. For
21provisions similar to this Section that apply to animals other
22than dogs, see in particular Section 4.01 of the Humane Care
23for Animals Act.)
24    (a) No person may own, capture, breed, train, or lease any
25dog which he or she knows is intended for use in any show,

 

 

HB5373- 1017 -LRB104 20029 AAS 33480 b

1exhibition, program, or other activity featuring or otherwise
2involving a fight between the dog and any other animal or
3human, or the intentional killing of any dog for the purpose of
4sport, wagering, or entertainment.
5    (b) No person may promote, conduct, carry on, advertise,
6collect money for or in any other manner assist or aid in the
7presentation for purposes of sport, wagering, or entertainment
8of any show, exhibition, program, or other activity involving
9a fight between 2 or more dogs or any dog and human, or the
10intentional killing of any dog.
11    (c) No person may sell or offer for sale, ship, transport,
12or otherwise move, or deliver or receive any dog which he or
13she knows has been captured, bred, or trained, or will be used,
14to fight another dog or human or be intentionally killed for
15purposes of sport, wagering, or entertainment.
16    (c-5) No person may solicit a minor to violate this
17Section.
18    (d) No person may manufacture for sale, shipment,
19transportation, or delivery any device or equipment which he
20or she knows or should know is intended for use in any show,
21exhibition, program, or other activity featuring or otherwise
22involving a fight between 2 or more dogs, or any human and dog,
23or the intentional killing of any dog for purposes of sport,
24wagering, or entertainment.
25    (e) No person may own, possess, sell or offer for sale,
26ship, transport, or otherwise move any equipment or device

 

 

HB5373- 1018 -LRB104 20029 AAS 33480 b

1which he or she knows or should know is intended for use in
2connection with any show, exhibition, program, or activity
3featuring or otherwise involving a fight between 2 or more
4dogs, or any dog and human, or the intentional killing of any
5dog for purposes of sport, wagering or entertainment.
6    (f) No person may knowingly make available any site,
7structure, or facility, whether enclosed or not, that he or
8she knows is intended to be used for the purpose of conducting
9any show, exhibition, program, or other activity involving a
10fight between 2 or more dogs, or any dog and human, or the
11intentional killing of any dog or knowingly manufacture,
12distribute, or deliver fittings to be used in a fight between 2
13or more dogs or a dog and human.
14    (g) No person may knowingly attend or otherwise patronize
15any show, exhibition, program, or other activity featuring or
16otherwise involving a fight between 2 or more dogs, or any dog
17and human, or the intentional killing of any dog for purposes
18of sport, wagering, or entertainment.
19    (h) No person may tie or attach or fasten any live animal
20to any machine or device propelled by any power for the purpose
21of causing the animal to be pursued by a dog or dogs. This
22subsection (h) applies only when the dog is intended to be used
23in a dog fight.
24    (i) Sentence.
25        (1) Any person convicted of violating subsection (a),
26    (b), (c), or (h) of this Section is guilty of a Class 4

 

 

HB5373- 1019 -LRB104 20029 AAS 33480 b

1    felony for a first violation and a Class 3 felony for a
2    second or subsequent violation, and may be fined an amount
3    not to exceed $50,000.
4        (1.5) A person who knowingly owns a dog for fighting
5    purposes or for producing a fight between 2 or more dogs or
6    a dog and human or who knowingly offers for sale or sells a
7    dog bred for fighting is guilty of a Class 3 felony and may
8    be fined an amount not to exceed $50,000, if the dog
9    participates in a dogfight and any of the following
10    factors is present:
11            (i) the dogfight is performed in the presence of a
12        person under 18 years of age;
13            (ii) the dogfight is performed for the purpose of
14        or in the presence of illegal wagering activity; or
15            (iii) the dogfight is performed in furtherance of
16        streetgang related activity as defined in Section 10
17        of the Illinois Streetgang Terrorism Omnibus
18        Prevention Act.
19        (1.7) A person convicted of violating subsection (c-5)
20    of this Section is guilty of a Class 4 felony.
21        (2) Any person convicted of violating subsection (d)
22    or (e) of this Section is guilty of a Class 4 felony for a
23    first violation. A second or subsequent violation of
24    subsection (d) or (e) of this Section is a Class 3 felony.
25        (2.5) Any person convicted of violating subsection (f)
26    of this Section is guilty of a Class 4 felony. Any person

 

 

HB5373- 1020 -LRB104 20029 AAS 33480 b

1    convicted of violating subsection (f) of this Section in
2    which the site, structure, or facility made available to
3    violate subsection (f) is located within 1,000 feet of a
4    school, public park, playground, child care institution,
5    child day care center, part day child care facility, child
6    day care home, group child day care home, or a facility
7    providing programs or services exclusively directed toward
8    persons under 18 years of age is guilty of a Class 3 felony
9    for a first violation and a Class 2 felony for a second or
10    subsequent violation.
11        (3) Any person convicted of violating subsection (g)
12    of this Section is guilty of a Class 4 felony for a first
13    violation. A second or subsequent violation of subsection
14    (g) of this Section is a Class 3 felony. If a person under
15    13 years of age is present at any show, exhibition,
16    program, or other activity prohibited in subsection (g),
17    the parent, legal guardian, or other person who is 18
18    years of age or older who brings that person under 13 years
19    of age to that show, exhibition, program, or other
20    activity is guilty of a Class 3 felony for a first
21    violation and a Class 2 felony for a second or subsequent
22    violation.
23    (i-5) A person who commits a felony violation of this
24Section is subject to the property forfeiture provisions set
25forth in Article 124B of the Code of Criminal Procedure of
261963.

 

 

HB5373- 1021 -LRB104 20029 AAS 33480 b

1    (j) Any dog or equipment involved in a violation of this
2Section shall be immediately seized and impounded under
3Section 12 of the Humane Care for Animals Act when located at
4any show, exhibition, program, or other activity featuring or
5otherwise involving a dog fight for the purposes of sport,
6wagering, or entertainment.
7    (k) Any vehicle or conveyance other than a common carrier
8that is used in violation of this Section shall be seized,
9held, and offered for sale at public auction by the sheriff's
10department of the proper jurisdiction, and the proceeds from
11the sale shall be remitted to the general fund of the county
12where the violation took place.
13    (l) Any veterinarian in this State who is presented with a
14dog for treatment of injuries or wounds resulting from
15fighting where there is a reasonable possibility that the dog
16was engaged in or utilized for a fighting event for the
17purposes of sport, wagering, or entertainment shall file a
18report with the Department of Agriculture and cooperate by
19furnishing the owners' names, dates, and descriptions of the
20dog or dogs involved. Any veterinarian who in good faith
21complies with the requirements of this subsection has immunity
22from any liability, civil, criminal, or otherwise, that may
23result from his or her actions. For the purposes of any
24proceedings, civil or criminal, the good faith of the
25veterinarian shall be rebuttably presumed.
26    (m) In addition to any other penalty provided by law, upon

 

 

HB5373- 1022 -LRB104 20029 AAS 33480 b

1conviction for violating this Section, the court may order
2that the convicted person and persons dwelling in the same
3household as the convicted person who conspired, aided, or
4abetted in the unlawful act that was the basis of the
5conviction, or who knew or should have known of the unlawful
6act, may not own, harbor, or have custody or control of any dog
7or other animal for a period of time that the court deems
8reasonable.
9    (n) A violation of subsection (a) of this Section may be
10inferred from evidence that the accused possessed any device
11or equipment described in subsection (d), (e), or (h) of this
12Section, and also possessed any dog.
13    (o) When no longer required for investigations or court
14proceedings relating to the events described or depicted
15therein, evidence relating to convictions for violations of
16this Section shall be retained and made available for use in
17training peace officers in detecting and identifying
18violations of this Section. Such evidence shall be made
19available upon request to other law enforcement agencies and
20to schools certified under the Illinois Police Training Act.
21    (p) For the purposes of this Section, "school" has the
22meaning ascribed to it in Section 11-9.3 of this Code; and
23"public park", "playground", "child care institution", "child
24day care center", "part day child care facility", "child day
25care home", "group child day care home", and "facility
26providing programs or services exclusively directed toward

 

 

HB5373- 1023 -LRB104 20029 AAS 33480 b

1persons under 18 years of age" have the meanings ascribed to
2them in Section 11-9.4 of this Code.
3(Source: P.A. 96-226, eff. 8-11-09; 96-712, eff. 1-1-10;
496-1000, eff. 7-2-10; 96-1091, eff. 1-1-11; 97-1108, eff.
51-1-13.)
 
6    Section 285. The Code of Criminal Procedure of 1963 is
7amended by changing Sections 112A-14.5, 112A-14.7, and 112A-22
8as follows:
 
9    (725 ILCS 5/112A-14.5)
10    Sec. 112A-14.5. Civil no contact order; remedies.
11    (a) The court may order any of the remedies listed in this
12Section. The remedies listed in this Section shall be in
13addition to other civil or criminal remedies available to
14petitioner:
15        (1) prohibit the respondent from knowingly coming
16    within, or knowingly remaining within, a specified
17    distance from the petitioner;
18        (2) restrain the respondent from having any contact,
19    including nonphysical contact, with the petitioner
20    directly, indirectly, or through third parties, regardless
21    of whether those third parties know of the order;
22        (3) prohibit the respondent from knowingly coming
23    within, or knowingly remaining within, a specified
24    distance from the petitioner's residence, school, child

 

 

HB5373- 1024 -LRB104 20029 AAS 33480 b

1    day care or other specified location;
2        (4) order the respondent to stay away from any
3    property or animal owned, possessed, leased, kept, or held
4    by the petitioner and forbid the respondent from taking,
5    transferring, encumbering, concealing, harming, or
6    otherwise disposing of the property or animal; and
7        (5) order any other injunctive relief as necessary or
8    appropriate for the protection of the petitioner.
9    (b) When the petitioner and the respondent attend the same
10public or private elementary, middle, or high school, the
11court when issuing a civil no contact order and providing
12relief shall consider the severity of the act, any continuing
13physical danger or emotional distress to the petitioner, the
14educational rights guaranteed to the petitioner and respondent
15under federal and State law, the availability of a transfer of
16the respondent to another school, a change of placement or a
17change of program of the respondent, the expense, difficulty,
18and educational disruption that would be caused by a transfer
19of the respondent to another school, and any other relevant
20facts of the case. The court may order that the respondent not
21attend the public, private, or non-public elementary, middle,
22or high school attended by the petitioner, order that the
23respondent accept a change of placement or program, as
24determined by the school district or private or non-public
25school, or place restrictions on the respondent's movements
26within the school attended by the petitioner. The respondent

 

 

HB5373- 1025 -LRB104 20029 AAS 33480 b

1bears the burden of proving by a preponderance of the evidence
2that a transfer, change of placement, or change of program of
3the respondent is not available. The respondent also bears the
4burden of production with respect to the expense, difficulty,
5and educational disruption that would be caused by a transfer
6of the respondent to another school. A transfer, change of
7placement, or change of program is not unavailable to the
8respondent solely on the ground that the respondent does not
9agree with the school district's or private or non-public
10school's transfer, change of placement, or change of program
11or solely on the ground that the respondent fails or refuses to
12consent to or otherwise does not take an action required to
13effectuate a transfer, change of placement, or change of
14program. When a court orders a respondent to stay away from the
15public, private, or non-public school attended by the
16petitioner and the respondent requests a transfer to another
17attendance center within the respondent's school district or
18private or non-public school, the school district or private
19or non-public school shall have sole discretion to determine
20the attendance center to which the respondent is transferred.
21If the court order results in a transfer of the minor
22respondent to another attendance center, a change in the
23respondent's placement, or a change of the respondent's
24program, the parents, guardian, or legal custodian of the
25respondent is responsible for transportation and other costs
26associated with the transfer or change.

 

 

HB5373- 1026 -LRB104 20029 AAS 33480 b

1    (c) The court may order the parents, guardian, or legal
2custodian of a minor respondent to take certain actions or to
3refrain from taking certain actions to ensure that the
4respondent complies with the order. If the court orders a
5transfer of the respondent to another school, the parents or
6legal guardians of the respondent are responsible for
7transportation and other costs associated with the change of
8school by the respondent.
9    (d) Denial of a remedy may not be based, in whole or in
10part, on evidence that:
11        (1) the respondent has cause for any use of force,
12    unless that cause satisfies the standards for justifiable
13    use of force provided by Article 7 of the Criminal Code of
14    2012;
15        (2) the respondent was voluntarily intoxicated;
16        (3) the petitioner acted in self-defense or defense of
17    another, provided that, if the petitioner utilized force,
18    such force was justifiable under Article 7 of the Criminal
19    Code of 2012;
20        (4) the petitioner did not act in self-defense or
21    defense of another;
22        (5) the petitioner left the residence or household to
23    avoid further non-consensual sexual conduct or
24    non-consensual sexual penetration by the respondent; or
25        (6) the petitioner did not leave the residence or
26    household to avoid further non-consensual sexual conduct

 

 

HB5373- 1027 -LRB104 20029 AAS 33480 b

1    or non-consensual sexual penetration by the respondent.
2    (e) Monetary damages are not recoverable as a remedy.
3(Source: P.A. 100-199, eff. 1-1-18.)
 
4    (725 ILCS 5/112A-14.7)
5    Sec. 112A-14.7. Stalking no contact order; remedies.
6    (a) The court may order any of the remedies listed in this
7Section. The remedies listed in this Section shall be in
8addition to other civil or criminal remedies available to
9petitioner. A stalking no contact order shall order one or
10more of the following:
11        (1) prohibit the respondent from threatening to commit
12    or committing stalking;
13        (2) order the respondent not to have any contact with
14    the petitioner or a third person specifically named by the
15    court;
16        (3) prohibit the respondent from knowingly coming
17    within, or knowingly remaining within a specified distance
18    of the petitioner or the petitioner's residence, school,
19    child care daycare, or place of employment, or any
20    specified place frequented by the petitioner; however, the
21    court may order the respondent to stay away from the
22    respondent's own residence, school, or place of employment
23    only if the respondent has been provided actual notice of
24    the opportunity to appear and be heard on the petition;
25        (4) prohibit the respondent from possessing a Firearm

 

 

HB5373- 1028 -LRB104 20029 AAS 33480 b

1    Owners Identification Card, or possessing or buying
2    firearms; and
3        (5) order other injunctive relief the court determines
4    to be necessary to protect the petitioner or third party
5    specifically named by the court.
6    (b) When the petitioner and the respondent attend the same
7public, private, or non-public elementary, middle, or high
8school, the court when issuing a stalking no contact order and
9providing relief shall consider the severity of the act, any
10continuing physical danger or emotional distress to the
11petitioner, the educational rights guaranteed to the
12petitioner and respondent under federal and State law, the
13availability of a transfer of the respondent to another
14school, a change of placement or a change of program of the
15respondent, the expense, difficulty, and educational
16disruption that would be caused by a transfer of the
17respondent to another school, and any other relevant facts of
18the case. The court may order that the respondent not attend
19the public, private, or non-public elementary, middle, or high
20school attended by the petitioner, order that the respondent
21accept a change of placement or program, as determined by the
22school district or private or non-public school, or place
23restrictions on the respondent's movements within the school
24attended by the petitioner. The respondent bears the burden of
25proving by a preponderance of the evidence that a transfer,
26change of placement, or change of program of the respondent is

 

 

HB5373- 1029 -LRB104 20029 AAS 33480 b

1not available. The respondent also bears the burden of
2production with respect to the expense, difficulty, and
3educational disruption that would be caused by a transfer of
4the respondent to another school. A transfer, change of
5placement, or change of program is not unavailable to the
6respondent solely on the ground that the respondent does not
7agree with the school district's or private or non-public
8school's transfer, change of placement, or change of program
9or solely on the ground that the respondent fails or refuses to
10consent to or otherwise does not take an action required to
11effectuate a transfer, change of placement, or change of
12program. When a court orders a respondent to stay away from the
13public, private, or non-public school attended by the
14petitioner and the respondent requests a transfer to another
15attendance center within the respondent's school district or
16private or non-public school, the school district or private
17or non-public school shall have sole discretion to determine
18the attendance center to which the respondent is transferred.
19If the court order results in a transfer of the minor
20respondent to another attendance center, a change in the
21respondent's placement, or a change of the respondent's
22program, the parents, guardian, or legal custodian of the
23respondent is responsible for transportation and other costs
24associated with the transfer or change.
25    (c) The court may order the parents, guardian, or legal
26custodian of a minor respondent to take certain actions or to

 

 

HB5373- 1030 -LRB104 20029 AAS 33480 b

1refrain from taking certain actions to ensure that the
2respondent complies with the order. If the court orders a
3transfer of the respondent to another school, the parents,
4guardian, or legal custodian of the respondent are responsible
5for transportation and other costs associated with the change
6of school by the respondent.
7    (d) The court shall not hold a school district or private
8or non-public school or any of its employees in civil or
9criminal contempt unless the school district or private or
10non-public school has been allowed to intervene.
11    (e) The court may hold the parents, guardian, or legal
12custodian of a minor respondent in civil or criminal contempt
13for a violation of any provision of any order entered under
14this Article for conduct of the minor respondent in violation
15of this Article if the parents, guardian, or legal custodian
16directed, encouraged, or assisted the respondent minor in the
17conduct.
18    (f) Monetary damages are not recoverable as a remedy.
19    (g) If the stalking no contact order prohibits the
20respondent from possessing a Firearm Owner's Identification
21Card, or possessing or buying firearms; the court shall
22confiscate the respondent's Firearm Owner's Identification
23Card and immediately return the card to the Illinois State
24Police Firearm Owner's Identification Card Office.
25(Source: P.A. 102-538, eff. 8-20-21.)
 

 

 

HB5373- 1031 -LRB104 20029 AAS 33480 b

1    (725 ILCS 5/112A-22)  (from Ch. 38, par. 112A-22)
2    Sec. 112A-22. Notice of orders.
3    (a) Entry and issuance. Upon issuance of any protective
4order, the clerk shall immediately, or on the next court day if
5an ex parte order is issued under subsection (e) of Section
6112A-17.5 of this Code, (i) enter the order on the record and
7file it in accordance with the circuit court procedures and
8(ii) provide a file stamped copy of the order to respondent and
9to petitioner, if present, and to the State's Attorney. If the
10victim is not present the State's Attorney shall (i) as soon as
11practicable notify the petitioner the order has been entered
12and (ii) provide a file stamped copy of the order to the
13petitioner within 3 days.
14    (b) Filing with sheriff. The clerk of the issuing judge
15shall, on the same day that a protective order is issued, file
16a copy of that order with the sheriff or other law enforcement
17officials charged with maintaining Illinois State Police
18records or charged with serving the order upon respondent. If
19the order was issued under subsection (e) of Section 112A-17.5
20of this Code, the clerk on the next court day shall file a
21certified copy of the order with the sheriff or other law
22enforcement officials charged with maintaining Illinois State
23Police records.
24    (c) (Blank).
25    (c-2) Service by sheriff. Unless respondent was present in
26court when the order was issued, the sheriff, other law

 

 

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1enforcement official, or special process server shall promptly
2serve that order upon respondent and file proof of the
3service, in the manner provided for service of process in
4civil proceedings. Instead of serving the order upon the
5respondent; however, the sheriff, other law enforcement
6official, special process server, or other persons defined in
7Section 112A-22.1 of this Code may serve the respondent with a
8short form notification as provided in Section 112A-22.1 of
9this Code. If process has not yet been served upon the
10respondent, process shall be served with the order or short
11form notification if the service is made by the sheriff, other
12law enforcement official, or special process server.
13    (c-3) If the person against whom the protective order is
14issued is arrested and the written order is issued under
15subsection (e) of Section 112A-17.5 of this Code and received
16by the custodial law enforcement agency before the respondent
17or arrestee is released from custody, the custodial law
18enforcement agency shall promptly serve the order upon the
19respondent or arrestee before the respondent or arrestee is
20released from custody. In no event shall detention of the
21respondent or arrestee be extended for a hearing on the
22petition for protective order or receipt of the order issued
23under Section 112A-17 of this Code.
24    (c-4) Extensions, modifications, and revocations. Any
25order extending, modifying, or revoking any protective order
26shall be promptly recorded, issued, and served as provided in

 

 

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1this Section.
2    (c-5) (Blank).
3    (d) (Blank).
4    (e) Notice to health care facilities and health care
5practitioners. Upon the request of the petitioner, the clerk
6of the circuit court shall send a certified copy of the
7protective order to any specified health care facility or
8health care practitioner requested by the petitioner at the
9mailing address provided by the petitioner.
10    (f) Disclosure by health care facilities and health care
11practitioners. After receiving a certified copy of a
12protective order that prohibits a respondent's access to
13records, no health care facility or health care practitioner
14shall allow a respondent access to the records of any child who
15is a protected person under the protective order, or release
16information in those records to the respondent, unless the
17order has expired or the respondent shows a certified copy of
18the court order vacating the corresponding protective order
19that was sent to the health care facility or practitioner.
20Nothing in this Section shall be construed to require health
21care facilities or health care practitioners to alter
22procedures related to billing and payment. The health care
23facility or health care practitioner may file the copy of the
24protective order in the records of a child who is a protected
25person under the protective order, or may employ any other
26method to identify the records to which a respondent is

 

 

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1prohibited access. No health care facility or health care
2practitioner shall be civilly or professionally liable for
3reliance on a copy of a protective order, except for willful
4and wanton misconduct.
5    (g) Notice to schools. Upon the request of the petitioner,
6within 24 hours of the issuance of a protective order, the
7clerk of the issuing judge shall send a certified copy of the
8protective order to the child care day-care facility,
9pre-school or pre-kindergarten, or private school or the
10principal office of the public school district or any college
11or university in which any child who is a protected person
12under the protective order or any child of the petitioner is
13enrolled as requested by the petitioner at the mailing address
14provided by the petitioner. If the child transfers enrollment
15to another child care day-care facility, pre-school,
16pre-kindergarten, private school, public school, college, or
17university, the petitioner may, within 24 hours of the
18transfer, send to the clerk written notice of the transfer,
19including the name and address of the institution to which the
20child is transferring. Within 24 hours of receipt of notice
21from the petitioner that a child is transferring to another
22child care day-care facility, pre-school, pre-kindergarten,
23private school, public school, college, or university, the
24clerk shall send a certified copy of the order to the
25institution to which the child is transferring.
26    (h) Disclosure by schools. After receiving a certified

 

 

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1copy of a protective order that prohibits a respondent's
2access to records, neither a child care day-care facility,
3pre-school, pre-kindergarten, public or private school,
4college, or university nor its employees shall allow a
5respondent access to a protected child's records or release
6information in those records to the respondent. The school
7shall file the copy of the protective order in the records of a
8child who is a protected person under the order. When a child
9who is a protected person under the protective order transfers
10to another child care day-care facility, pre-school,
11pre-kindergarten, public or private school, college, or
12university, the institution from which the child is
13transferring may, at the request of the petitioner, provide,
14within 24 hours of the transfer, written notice of the
15protective order, along with a certified copy of the order, to
16the institution to which the child is transferring.
17(Source: P.A. 102-538, eff. 8-20-21.)
 
18    Section 290. The Sexually Violent Persons Commitment Act
19is amended by changing Section 40 as follows:
 
20    (725 ILCS 207/40)
21    Sec. 40. Commitment.
22    (a) If a court or jury determines that the person who is
23the subject of a petition under Section 15 of this Act is a
24sexually violent person, the court shall order the person to

 

 

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1be committed to the custody of the Department for control,
2care and treatment until such time as the person is no longer a
3sexually violent person.
4    (b)(1) The court shall enter an initial commitment order
5under this Section pursuant to a hearing held as soon as
6practicable after the judgment is entered that the person who
7is the subject of a petition under Section 15 is a sexually
8violent person. If the court lacks sufficient information to
9make the determination required by paragraph (b)(2) of this
10Section immediately after trial, it may adjourn the hearing
11and order the Department to conduct a predisposition
12investigation or a supplementary mental examination, or both,
13to assist the court in framing the commitment order. If the
14Department's examining evaluator previously rendered an
15opinion that the person who is the subject of a petition under
16Section 15 does not meet the criteria to be found a sexually
17violent person, then another evaluator shall conduct the
18predisposition investigation and/or supplementary mental
19examination. A supplementary mental examination under this
20Section shall be conducted in accordance with Section 3-804 of
21the Mental Health and Developmental Disabilities Code. The
22State has the right to have the person evaluated by experts
23chosen by the State.
24    (2) An order for commitment under this Section shall
25specify either institutional care in a secure facility, as
26provided under Section 50 of this Act, or conditional release.

 

 

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1In determining whether commitment shall be for institutional
2care in a secure facility or for conditional release, the
3court shall consider the nature and circumstances of the
4behavior that was the basis of the allegation in the petition
5under paragraph (b)(1) of Section 15, the person's mental
6history and present mental condition, and what arrangements
7are available to ensure that the person has access to and will
8participate in necessary treatment. All treatment, whether in
9institutional care, in a secure facility, or while on
10conditional release, shall be conducted in conformance with
11the standards developed under the Sex Offender Management
12Board Act and conducted by a treatment provider licensed under
13the Sex Offender Evaluation and Treatment Provider Act. The
14Department shall arrange for control, care and treatment of
15the person in the least restrictive manner consistent with the
16requirements of the person and in accordance with the court's
17commitment order.
18    (3) If the court finds that the person is appropriate for
19conditional release, the court shall notify the Department.
20The Department shall prepare a plan that identifies the
21treatment and services, if any, that the person will receive
22in the community. The plan shall address the person's need, if
23any, for supervision, counseling, medication, community
24support services, residential services, vocational services,
25and alcohol or other drug abuse treatment. The Department may
26contract with a county health department, with another public

 

 

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1agency or with a private agency to provide the treatment and
2services identified in the plan. The plan shall specify who
3will be responsible for providing the treatment and services
4identified in the plan. The plan shall be presented to the
5court for its approval within 60 days after the court finding
6that the person is appropriate for conditional release, unless
7the Department and the person to be released request
8additional time to develop the plan. The conditional release
9program operated under this Section is not subject to the
10provisions of the Mental Health and Developmental Disabilities
11Confidentiality Act.
12    (4) An order for conditional release places the person in
13the custody and control of the Department. A person on
14conditional release is subject to the conditions set by the
15court and to the rules of the Department. Before a person is
16placed on conditional release by the court under this Section,
17the court shall so notify the municipal police department and
18county sheriff for the municipality and county in which the
19person will be residing. The notification requirement under
20this Section does not apply if a municipal police department
21or county sheriff submits to the court a written statement
22waiving the right to be notified. Notwithstanding any other
23provision in the Act, the person being supervised on
24conditional release shall not reside at the same street
25address as another sex offender being supervised on
26conditional release under this Act, mandatory supervised

 

 

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1release, parole, aftercare release, probation, or any other
2manner of supervision. If the Department alleges that a
3released person has violated any condition or rule, or that
4the safety of others requires that conditional release be
5revoked, he or she may be taken into custody under the rules of
6the Department.
7    At any time during which the person is on conditional
8release, if the Department determines that the person has
9violated any condition or rule, or that the safety of others
10requires that conditional release be revoked, the Department
11may request the Attorney General or State's Attorney to
12request the court to issue an emergency ex parte order
13directing any law enforcement officer to take the person into
14custody and transport the person to the county jail. The
15Department may request, or the Attorney General or State's
16Attorney may request independently of the Department, that a
17petition to revoke conditional release be filed. When a
18petition is filed, the court may order the Department to issue
19a notice to the person to be present at the Department or other
20agency designated by the court, order a summons to the person
21to be present, or order a body attachment for all law
22enforcement officers to take the person into custody and
23transport him or her to the county jail, hospital, or
24treatment facility. The Department shall submit a statement
25showing probable cause of the detention and a petition to
26revoke the order for conditional release to the committing

 

 

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1court within 48 hours after the detention. The court shall
2hear the petition within 30 days, unless the hearing or time
3deadline is waived by the detained person. Pending the
4revocation hearing, the Department may detain the person in a
5jail, in a hospital or treatment facility. The State has the
6burden of proving by clear and convincing evidence that any
7rule or condition of release has been violated, or that the
8safety of others requires that the conditional release be
9revoked. If the court determines after hearing that any rule
10or condition of release has been violated, or that the safety
11of others requires that conditional release be revoked, it may
12revoke the order for conditional release and order that the
13released person be placed in an appropriate institution until
14the person is discharged from the commitment under Section 65
15of this Act or until again placed on conditional release under
16Section 60 of this Act.
17    (5) An order for conditional release places the person in
18the custody, care, and control of the Department. The court
19shall order the person be subject to the following rules of
20conditional release, in addition to any other conditions
21ordered, and the person shall be given a certificate setting
22forth the conditions of conditional release. These conditions
23shall be that the person:
24        (A) not violate any criminal statute of any
25    jurisdiction;
26        (B) report to or appear in person before such person

 

 

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1    or agency as directed by the court and the Department;
2        (C) refrain from possession of a firearm or other
3    dangerous weapon;
4        (D) not leave the State without the consent of the
5    court or, in circumstances in which the reason for the
6    absence is of such an emergency nature, that prior consent
7    by the court is not possible without the prior
8    notification and approval of the Department;
9        (E) at the direction of the Department, notify third
10    parties of the risks that may be occasioned by his or her
11    criminal record or sexual offending history or
12    characteristics, and permit the supervising officer or
13    agent to make the notification requirement;
14        (F) attend and fully participate in assessment,
15    treatment, and behavior monitoring including, but not
16    limited to, medical, psychological or psychiatric
17    treatment specific to sexual offending, drug addiction, or
18    alcoholism, to the extent appropriate to the person based
19    upon the recommendation and findings made in the
20    Department evaluation or based upon any subsequent
21    recommendations by the Department;
22        (G) waive confidentiality allowing the court and
23    Department access to assessment or treatment results or
24    both;
25        (H) work regularly at a Department approved occupation
26    or pursue a course of study or vocational training and

 

 

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1    notify the Department within 72 hours of any change in
2    employment, study, or training;
3        (I) not be employed or participate in any volunteer
4    activity that involves contact with children, except under
5    circumstances approved in advance and in writing by the
6    Department officer;
7        (J) submit to the search of his or her person,
8    residence, vehicle, or any personal or real property under
9    his or her control at any time by the Department;
10        (K) financially support his or her dependents and
11    provide the Department access to any requested financial
12    information;
13        (L) serve a term of home confinement, the conditions
14    of which shall be that the person:
15            (i) remain within the interior premises of the
16        place designated for his or her confinement during the
17        hours designated by the Department;
18            (ii) admit any person or agent designated by the
19        Department into the offender's place of confinement at
20        any time for purposes of verifying the person's
21        compliance with the condition of his or her
22        confinement;
23            (iii) if deemed necessary by the Department, be
24        placed on an electronic monitoring device;
25        (M) comply with the terms and conditions of an order
26    of protection issued by the court pursuant to the Illinois

 

 

HB5373- 1043 -LRB104 20029 AAS 33480 b

1    Domestic Violence Act of 1986. A copy of the order of
2    protection shall be transmitted to the Department by the
3    clerk of the court;
4        (N) refrain from entering into a designated geographic
5    area except upon terms the Department finds appropriate.
6    The terms may include consideration of the purpose of the
7    entry, the time of day, others accompanying the person,
8    and advance approval by the Department;
9        (O) refrain from having any contact, including written
10    or oral communications, directly or indirectly, with
11    certain specified persons including, but not limited to,
12    the victim or the victim's family, and report any
13    incidental contact with the victim or the victim's family
14    to the Department within 72 hours; refrain from entering
15    onto the premises of, traveling past, or loitering near
16    the victim's residence, place of employment, or other
17    places frequented by the victim;
18        (P) refrain from having any contact, including written
19    or oral communications, directly or indirectly, with
20    particular types of persons, including but not limited to
21    members of street gangs, drug users, drug dealers, or
22    persons engaged in the sex trade;
23        (Q) refrain from all contact, direct or indirect,
24    personally, by telephone, letter, or through another
25    person, with minor children without prior identification
26    and approval of the Department;

 

 

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1        (R) refrain from having in his or her body the
2    presence of alcohol or any illicit drug prohibited by the
3    Cannabis Control Act, the Illinois Controlled Substances
4    Act, or the Methamphetamine Control and Community
5    Protection Act, unless prescribed by a physician, and
6    submit samples of his or her breath, saliva, blood, or
7    urine for tests to determine the presence of alcohol or
8    any illicit drug;
9        (S) not establish a dating, intimate, or sexual
10    relationship with a person without prior written
11    notification to the Department;
12        (T) neither possess or have under his or her control
13    any material that is pornographic, sexually oriented, or
14    sexually stimulating, or that depicts or alludes to sexual
15    activity or depicts minors under the age of 18, including
16    but not limited to visual, auditory, telephonic,
17    electronic media, or any matter obtained through access to
18    any computer or material linked to computer access use;
19        (U) not patronize any business providing sexually
20    stimulating or sexually oriented entertainment nor utilize
21    "900" or adult telephone numbers or any other sex-related
22    telephone numbers;
23        (V) not reside near, visit, or be in or about parks,
24    schools, child day care centers, swimming pools, beaches,
25    theaters, or any other places where minor children
26    congregate without advance approval of the Department and

 

 

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1    report any incidental contact with minor children to the
2    Department within 72 hours;
3        (W) not establish any living arrangement or residence
4    without prior approval of the Department;
5        (X) not publish any materials or print any
6    advertisements without providing a copy of the proposed
7    publications to the Department officer and obtaining
8    permission prior to publication;
9        (Y) not leave the county except with prior permission
10    of the Department and provide the Department officer or
11    agent with written travel routes to and from work and any
12    other designated destinations;
13        (Z) not possess or have under his or her control
14    certain specified items of contraband related to the
15    incidence of sexually offending items including video or
16    still camera items or children's toys;
17        (AA) provide a written daily log of activities as
18    directed by the Department;
19        (BB) comply with all other special conditions that the
20    Department may impose that restrict the person from
21    high-risk situations and limit access or potential
22    victims.
23    (6) A person placed on conditional release and who during
24the term undergoes mandatory drug or alcohol testing or is
25assigned to be placed on an approved electronic monitoring
26device may be ordered to pay all costs incidental to the

 

 

HB5373- 1046 -LRB104 20029 AAS 33480 b

1mandatory drug or alcohol testing and all costs incidental to
2the approved electronic monitoring in accordance with the
3person's ability to pay those costs. The Department may
4establish reasonable fees for the cost of maintenance,
5testing, and incidental expenses related to the mandatory drug
6or alcohol testing and all costs incidental to approved
7electronic monitoring.
8(Source: P.A. 103-1071, eff. 7-1-25.)
 
9    Section 295. The Unified Code of Corrections is amended by
10changing Sections 3-2.5-95, 3-3-7, and 5-5-3.2 as follows:
 
11    (730 ILCS 5/3-2.5-95)
12    Sec. 3-2.5-95. Conditions of aftercare release.
13    (a) The conditions of aftercare release for all youth
14committed to the Department under the Juvenile Court Act of
151987 shall be such as the Department of Juvenile Justice deems
16necessary to assist the youth in leading a law-abiding life.
17The conditions of every aftercare release are that the youth:
18        (1) not violate any criminal statute of any
19    jurisdiction during the aftercare release term;
20        (2) refrain from possessing a firearm or other
21    dangerous weapon;
22        (3) report to an agent of the Department;
23        (4) permit the agent or aftercare specialist to visit
24    the youth at his or her home, employment, or elsewhere to

 

 

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1    the extent necessary for the agent or aftercare specialist
2    to discharge his or her duties;
3        (5) reside at a Department-approved host site;
4        (6) secure permission before visiting or writing a
5    committed person in an Illinois Department of Corrections
6    or Illinois Department of Juvenile Justice facility;
7        (7) report all arrests to an agent of the Department
8    as soon as permitted by the arresting authority but in no
9    event later than 24 hours after release from custody and
10    immediately report service or notification of an order of
11    protection, a civil no contact order, or a stalking no
12    contact order to an agent of the Department;
13        (8) obtain permission of an agent of the Department
14    before leaving the State of Illinois;
15        (9) obtain permission of an agent of the Department
16    before changing his or her residence or employment;
17        (10) consent to a search of his or her person,
18    property, or residence under his or her control;
19        (11) refrain from the use or possession of narcotics
20    or other controlled substances in any form, or both, or
21    any paraphernalia related to those substances and submit
22    to a urinalysis test as instructed by an agent of the
23    Department;
24        (12) not frequent places where controlled substances
25    are illegally sold, used, distributed, or administered;
26        (13) not knowingly associate with other persons on

 

 

HB5373- 1048 -LRB104 20029 AAS 33480 b

1    parole, aftercare release, or mandatory supervised release
2    without prior written permission of his or her aftercare
3    specialist and not associate with persons who are members
4    of an organized gang as that term is defined in the
5    Illinois Streetgang Terrorism Omnibus Prevention Act;
6        (14) provide true and accurate information, as it
7    relates to his or her adjustment in the community while on
8    aftercare release or to his or her conduct while
9    incarcerated, in response to inquiries by an agent of the
10    Department;
11        (15) follow any specific instructions provided by the
12    agent that are consistent with furthering conditions set
13    and approved by the Department or by law to achieve the
14    goals and objectives of his or her aftercare release or to
15    protect the public; these instructions by the agent may be
16    modified at any time, as the agent deems appropriate;
17        (16) comply with the terms and conditions of an order
18    of protection issued under the Illinois Domestic Violence
19    Act of 1986; an order of protection issued by the court of
20    another state, tribe, or United States territory; a no
21    contact order issued under the Civil No Contact Order Act;
22    or a no contact order issued under the Stalking No Contact
23    Order Act;
24        (17) if convicted of a sex offense as defined in the
25    Sex Offender Management Board Act, and a sex offender
26    treatment provider has evaluated and recommended further

 

 

HB5373- 1049 -LRB104 20029 AAS 33480 b

1    sex offender treatment while on aftercare release, the
2    youth shall undergo treatment by a sex offender treatment
3    provider or associate sex offender provider as defined in
4    the Sex Offender Management Board Act at his or her
5    expense based on his or her ability to pay for the
6    treatment;
7        (18) if convicted of a sex offense as defined in the
8    Sex Offender Management Board Act, refrain from residing
9    at the same address or in the same condominium unit or
10    apartment unit or in the same condominium complex or
11    apartment complex with another person he or she knows or
12    reasonably should know is a convicted sex offender or has
13    been placed on supervision for a sex offense; the
14    provisions of this paragraph do not apply to a person
15    convicted of a sex offense who is placed in a Department of
16    Corrections licensed transitional housing facility for sex
17    offenders, or is in any facility operated or licensed by
18    the Department of Children and Family Services or by the
19    Department of Human Services, or is in any licensed
20    medical facility;
21        (19) if convicted for an offense that would qualify
22    the offender as a sexual predator under the Sex Offender
23    Registration Act wear an approved electronic monitoring
24    device as defined in Section 5-8A-2 for the duration of
25    the youth's aftercare release term and if convicted for an
26    offense of criminal sexual assault, aggravated criminal

 

 

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1    sexual assault, predatory criminal sexual assault of a
2    child, criminal sexual abuse, aggravated criminal sexual
3    abuse, or ritualized abuse of a child when the victim was
4    under 18 years of age at the time of the commission of the
5    offense and the offender used force or the threat of force
6    in the commission of the offense wear an approved
7    electronic monitoring device as defined in Section 5-8A-2
8    that has Global Positioning System (GPS) capability for
9    the duration of the youth's aftercare release term;
10        (20) if convicted for an offense that would qualify
11    the offender as a child sex offender as defined in Section
12    11-9.3 or 11-9.4 of the Criminal Code of 1961 or the
13    Criminal Code of 2012, refrain from communicating with or
14    contacting, by means of the Internet, a person who is not
15    related to the offender and whom the offender reasonably
16    believes to be under 18 years of age; for purposes of this
17    paragraph (20), "Internet" has the meaning ascribed to it
18    in Section 16-0.1 of the Criminal Code of 2012; and a
19    person is not related to the offender if the person is not:
20    (A) the spouse, brother, or sister of the offender; (B) a
21    descendant of the offender; (C) a first or second cousin
22    of the offender; or (D) a step-child or adopted child of
23    the offender;
24        (21) if convicted under Section 11-6, 11-20.1,
25    11-20.1B, 11-20.3, or 11-21 of the Criminal Code of 1961
26    or the Criminal Code of 2012, consent to search of

 

 

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1    computers, PDAs, cellular phones, and other devices under
2    his or her control that are capable of accessing the
3    Internet or storing electronic files, in order to confirm
4    Internet protocol addresses reported in accordance with
5    the Sex Offender Registration Act and compliance with
6    conditions in this Act;
7        (22) if convicted for an offense that would qualify
8    the offender as a sex offender or sexual predator under
9    the Sex Offender Registration Act, not possess
10    prescription drugs for erectile dysfunction;
11        (23) if convicted for an offense under Section 11-6,
12    11-9.1, 11-14.4 that involves soliciting for a sexually
13    exploited child, 11-15.1, 11-20.1, 11-20.1B, 11-20.3, or
14    11-21 of the Criminal Code of 1961 or the Criminal Code of
15    2012, or any attempt to commit any of these offenses:
16            (A) not access or use a computer or any other
17        device with Internet capability without the prior
18        written approval of the Department;
19            (B) submit to periodic unannounced examinations of
20        the youth's computer or any other device with Internet
21        capability by the youth's aftercare specialist, a law
22        enforcement officer, or assigned computer or
23        information technology specialist, including the
24        retrieval and copying of all data from the computer or
25        device and any internal or external peripherals and
26        removal of the information, equipment, or device to

 

 

HB5373- 1052 -LRB104 20029 AAS 33480 b

1        conduct a more thorough inspection;
2            (C) submit to the installation on the youth's
3        computer or device with Internet capability, at the
4        youth's expense, of one or more hardware or software
5        systems to monitor the Internet use; and
6            (D) submit to any other appropriate restrictions
7        concerning the youth's use of or access to a computer
8        or any other device with Internet capability imposed
9        by the Department or the youth's aftercare specialist;
10        (24) if convicted of a sex offense as defined in the
11    Sex Offender Registration Act, refrain from accessing or
12    using a social networking website as defined in Section
13    17-0.5 of the Criminal Code of 2012;
14        (25) if convicted of a sex offense as defined in
15    Section 2 of the Sex Offender Registration Act that
16    requires the youth to register as a sex offender under
17    that Act, not knowingly use any computer scrub software on
18    any computer that the youth uses;
19        (26) if convicted of a sex offense as defined in
20    subsection (a-5) of Section 3-1-2 of this Code, unless the
21    youth is a parent or guardian of a person under 18 years of
22    age present in the home and no non-familial minors are
23    present, not participate in a holiday event involving
24    children under 18 years of age, such as distributing candy
25    or other items to children on Halloween, wearing a Santa
26    Claus costume on or preceding Christmas, being employed as

 

 

HB5373- 1053 -LRB104 20029 AAS 33480 b

1    a department store Santa Claus, or wearing an Easter Bunny
2    costume on or preceding Easter;
3        (27) if convicted of a violation of an order of
4    protection under Section 12-3.4 or Section 12-30 of the
5    Criminal Code of 1961 or the Criminal Code of 2012, be
6    placed under electronic surveillance as provided in
7    Section 5-8A-7 of this Code; and
8        (28) if convicted of a violation of the
9    Methamphetamine Control and Community Protection Act, the
10    Methamphetamine Precursor Control Act, or a
11    methamphetamine related offense, be:
12            (A) prohibited from purchasing, possessing, or
13        having under his or her control any product containing
14        pseudoephedrine unless prescribed by a physician; and
15            (B) prohibited from purchasing, possessing, or
16        having under his or her control any product containing
17        ammonium nitrate.
18    (b) The Department may in addition to other conditions
19require that the youth:
20        (1) work or pursue a course of study or vocational
21    training;
22        (2) undergo medical or psychiatric treatment, or
23    treatment for drug addiction or alcoholism;
24        (3) attend or reside in a facility established for the
25    instruction or residence of persons on probation or
26    aftercare release;

 

 

HB5373- 1054 -LRB104 20029 AAS 33480 b

1        (4) support his or her dependents;
2        (5) if convicted for an offense that would qualify the
3    youth as a child sex offender as defined in Section 11-9.3
4    or 11-9.4 of the Criminal Code of 1961 or the Criminal Code
5    of 2012, refrain from communicating with or contacting, by
6    means of the Internet, a person who is related to the youth
7    and whom the youth reasonably believes to be under 18
8    years of age; for purposes of this paragraph (5),
9    "Internet" has the meaning ascribed to it in Section
10    16-0.1 of the Criminal Code of 2012; and a person is
11    related to the youth if the person is: (A) the spouse,
12    brother, or sister of the youth; (B) a descendant of the
13    youth; (C) a first or second cousin of the youth; or (D) a
14    step-child or adopted child of the youth;
15        (6) if convicted for an offense that would qualify as
16    a sex offense as defined in the Sex Offender Registration
17    Act:
18            (A) not access or use a computer or any other
19        device with Internet capability without the prior
20        written approval of the Department;
21            (B) submit to periodic unannounced examinations of
22        the youth's computer or any other device with Internet
23        capability by the youth's aftercare specialist, a law
24        enforcement officer, or assigned computer or
25        information technology specialist, including the
26        retrieval and copying of all data from the computer or

 

 

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1        device and any internal or external peripherals and
2        removal of the information, equipment, or device to
3        conduct a more thorough inspection;
4            (C) submit to the installation on the youth's
5        computer or device with Internet capability, at the
6        youth's offender's expense, of one or more hardware or
7        software systems to monitor the Internet use; and
8            (D) submit to any other appropriate restrictions
9        concerning the youth's use of or access to a computer
10        or any other device with Internet capability imposed
11        by the Department or the youth's aftercare specialist;
12        and
13        (7) in addition to other conditions:
14            (A) reside with his or her parents or in a foster
15        home;
16            (B) attend school;
17            (C) attend a non-residential program for youth; or
18            (D) contribute to his or her own support at home or
19        in a foster home.
20    (c) In addition to the conditions under subsections (a)
21and (b) of this Section, youths required to register as sex
22offenders under the Sex Offender Registration Act, upon
23release from the custody of the Department of Juvenile
24Justice, may be required by the Department to comply with the
25following specific conditions of release:
26        (1) reside only at a Department approved location;

 

 

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1        (2) comply with all requirements of the Sex Offender
2    Registration Act;
3        (3) notify third parties of the risks that may be
4    occasioned by his or her criminal record;
5        (4) obtain the approval of an agent of the Department
6    prior to accepting employment or pursuing a course of
7    study or vocational training and notify the Department
8    prior to any change in employment, study, or training;
9        (5) not be employed or participate in any volunteer
10    activity that involves contact with children, except under
11    circumstances approved in advance and in writing by an
12    agent of the Department;
13        (6) be electronically monitored for a specified period
14    of time from the date of release as determined by the
15    Department;
16        (7) refrain from entering into a designated geographic
17    area except upon terms approved in advance by an agent of
18    the Department; these terms may include consideration of
19    the purpose of the entry, the time of day, and others
20    accompanying the youth;
21        (8) refrain from having any contact, including written
22    or oral communications, directly or indirectly, personally
23    or by telephone, letter, or through a third party with
24    certain specified persons including, but not limited to,
25    the victim or the victim's family without the prior
26    written approval of an agent of the Department;

 

 

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1        (9) refrain from all contact, directly or indirectly,
2    personally, by telephone, letter, or through a third
3    party, with minor children without prior identification
4    and approval of an agent of the Department;
5        (10) neither possess or have under his or her control
6    any material that is sexually oriented, sexually
7    stimulating, or that shows male or female sex organs or
8    any pictures depicting children under 18 years of age nude
9    or any written or audio material describing sexual
10    intercourse or that depicts or alludes to sexual activity,
11    including, but not limited to, visual, auditory,
12    telephonic, or electronic media, or any matter obtained
13    through access to any computer or material linked to
14    computer access use;
15        (11) not patronize any business providing sexually
16    stimulating or sexually oriented entertainment nor utilize
17    "900" or adult telephone numbers;
18        (12) not reside near, visit, or be in or about parks,
19    schools, child day care centers, swimming pools, beaches,
20    theaters, or any other places where minor children
21    congregate without advance approval of an agent of the
22    Department and immediately report any incidental contact
23    with minor children to the Department;
24        (13) not possess or have under his or her control
25    certain specified items of contraband related to the
26    incidence of sexually offending as determined by an agent

 

 

HB5373- 1058 -LRB104 20029 AAS 33480 b

1    of the Department;
2        (14) may be required to provide a written daily log of
3    activities if directed by an agent of the Department;
4        (15) comply with all other special conditions that the
5    Department may impose that restrict the youth from
6    high-risk situations and limit access to potential
7    victims;
8        (16) take an annual polygraph exam;
9        (17) maintain a log of his or her travel; or
10        (18) obtain prior approval of an agent of the
11    Department before driving alone in a motor vehicle.
12    (d) The conditions under which the aftercare release is to
13be served shall be communicated to the youth in writing prior
14to his or her release, and he or she shall sign the same before
15release. A signed copy of these conditions, including a copy
16of an order of protection if one had been issued by the
17criminal court, shall be retained by the youth and another
18copy forwarded to the officer or aftercare specialist in
19charge of his or her supervision.
20    (e) After a revocation hearing under Section 3-3-9.5, the
21Department of Juvenile Justice may modify or enlarge the
22conditions of aftercare release.
23    (f) The Department shall inform all youth of the optional
24services available to them upon release and shall assist youth
25in availing themselves of the optional services upon their
26release on a voluntary basis.

 

 

HB5373- 1059 -LRB104 20029 AAS 33480 b

1(Source: P.A. 103-1071, eff. 7-1-25.)
 
2    (730 ILCS 5/3-3-7)  (from Ch. 38, par. 1003-3-7)
3    Sec. 3-3-7. Conditions of parole or mandatory supervised
4release.
5    (a) The conditions of parole or mandatory supervised
6release shall be such as the Prisoner Review Board deems
7necessary to assist the subject in leading a law-abiding life.
8The conditions of every parole and mandatory supervised
9release are that the subject:
10        (1) not violate any criminal statute of any
11    jurisdiction during the parole or release term;
12        (2) refrain from possessing a firearm or other
13    dangerous weapon;
14        (3) report to an agent of the Department of
15    Corrections;
16        (4) permit the agent to visit him or her at his or her
17    home, employment, or elsewhere to the extent necessary for
18    the agent to discharge his or her duties;
19        (5) attend or reside in a facility established for the
20    instruction or residence of persons on parole or mandatory
21    supervised release;
22        (6) secure permission before visiting or writing a
23    committed person in an Illinois Department of Corrections
24    facility;
25        (7) report all arrests to an agent of the Department

 

 

HB5373- 1060 -LRB104 20029 AAS 33480 b

1    of Corrections as soon as permitted by the arresting
2    authority but in no event later than 24 hours after
3    release from custody and immediately report service or
4    notification of an order of protection, a civil no contact
5    order, or a stalking no contact order to an agent of the
6    Department of Corrections;
7        (7.5) if convicted of a sex offense as defined in the
8    Sex Offender Management Board Act, the individual shall
9    undergo and successfully complete sex offender treatment
10    conducted in conformance with the standards developed by
11    the Sex Offender Management Board Act by a treatment
12    provider approved by the Board;
13        (7.6) if convicted of a sex offense as defined in the
14    Sex Offender Management Board Act, refrain from residing
15    at the same address or in the same condominium unit or
16    apartment unit or in the same condominium complex or
17    apartment complex with another person he or she knows or
18    reasonably should know is a convicted sex offender or has
19    been placed on supervision for a sex offense; the
20    provisions of this paragraph do not apply to a person
21    convicted of a sex offense who is placed in a Department of
22    Corrections licensed transitional housing facility for sex
23    offenders, or is in any facility operated or licensed by
24    the Department of Children and Family Services or by the
25    Department of Human Services, or is in any licensed
26    medical facility;

 

 

HB5373- 1061 -LRB104 20029 AAS 33480 b

1        (7.7) if convicted for an offense that would qualify
2    the accused as a sexual predator under the Sex Offender
3    Registration Act on or after January 1, 2007 (the
4    effective date of Public Act 94-988), wear an approved
5    electronic monitoring device as defined in Section 5-8A-2
6    for the duration of the person's parole, mandatory
7    supervised release term, or extended mandatory supervised
8    release term and if convicted for an offense of criminal
9    sexual assault, aggravated criminal sexual assault,
10    predatory criminal sexual assault of a child, criminal
11    sexual abuse, aggravated criminal sexual abuse, or
12    ritualized abuse of a child committed on or after August
13    11, 2009 (the effective date of Public Act 96-236) when
14    the victim was under 18 years of age at the time of the
15    commission of the offense and the defendant used force or
16    the threat of force in the commission of the offense wear
17    an approved electronic monitoring device as defined in
18    Section 5-8A-2 that has Global Positioning System (GPS)
19    capability for the duration of the person's parole,
20    mandatory supervised release term, or extended mandatory
21    supervised release term;
22        (7.8) if convicted for an offense committed on or
23    after June 1, 2008 (the effective date of Public Act
24    95-464) that would qualify the accused as a child sex
25    offender as defined in Section 11-9.3 or 11-9.4 of the
26    Criminal Code of 1961 or the Criminal Code of 2012,

 

 

HB5373- 1062 -LRB104 20029 AAS 33480 b

1    refrain from communicating with or contacting, by means of
2    the Internet, a person who is not related to the accused
3    and whom the accused reasonably believes to be under 18
4    years of age; for purposes of this paragraph (7.8),
5    "Internet" has the meaning ascribed to it in Section
6    16-0.1 of the Criminal Code of 2012; and a person is not
7    related to the accused if the person is not: (i) the
8    spouse, brother, or sister of the accused; (ii) a
9    descendant of the accused; (iii) a first or second cousin
10    of the accused; or (iv) a step-child or adopted child of
11    the accused;
12        (7.9) if convicted under Section 11-6, 11-20.1,
13    11-20.1B, 11-20.3, or 11-21 of the Criminal Code of 1961
14    or the Criminal Code of 2012, consent to search of
15    computers, PDAs, cellular phones, and other devices under
16    his or her control that are capable of accessing the
17    Internet or storing electronic files, in order to confirm
18    Internet protocol addresses reported in accordance with
19    the Sex Offender Registration Act and compliance with
20    conditions in this Act;
21        (7.10) if convicted for an offense that would qualify
22    the accused as a sex offender or sexual predator under the
23    Sex Offender Registration Act on or after June 1, 2008
24    (the effective date of Public Act 95-640), not possess
25    prescription drugs for erectile dysfunction;
26        (7.11) if convicted for an offense under Section 11-6,

 

 

HB5373- 1063 -LRB104 20029 AAS 33480 b

1    11-9.1, 11-14.4 that involves soliciting for a sexually
2    exploited child, 11-15.1, 11-20.1, 11-20.1B, 11-20.3, or
3    11-21 of the Criminal Code of 1961 or the Criminal Code of
4    2012, or any attempt to commit any of these offenses,
5    committed on or after June 1, 2009 (the effective date of
6    Public Act 95-983):
7            (i) not access or use a computer or any other
8        device with Internet capability without the prior
9        written approval of the Department;
10            (ii) submit to periodic unannounced examinations
11        of the offender's computer or any other device with
12        Internet capability by the offender's supervising
13        agent, a law enforcement officer, or assigned computer
14        or information technology specialist, including the
15        retrieval and copying of all data from the computer or
16        device and any internal or external peripherals and
17        removal of such information, equipment, or device to
18        conduct a more thorough inspection;
19            (iii) submit to the installation on the offender's
20        computer or device with Internet capability, at the
21        offender's expense, of one or more hardware or
22        software systems to monitor the Internet use; and
23            (iv) submit to any other appropriate restrictions
24        concerning the offender's use of or access to a
25        computer or any other device with Internet capability
26        imposed by the Board, the Department or the offender's

 

 

HB5373- 1064 -LRB104 20029 AAS 33480 b

1        supervising agent;
2        (7.12) if convicted of a sex offense as defined in the
3    Sex Offender Registration Act committed on or after
4    January 1, 2010 (the effective date of Public Act 96-262),
5    refrain from accessing or using a social networking
6    website as defined in Section 17-0.5 of the Criminal Code
7    of 2012;
8        (7.13) if convicted of a sex offense as defined in
9    Section 2 of the Sex Offender Registration Act committed
10    on or after January 1, 2010 (the effective date of Public
11    Act 96-362) that requires the person to register as a sex
12    offender under that Act, may not knowingly use any
13    computer scrub software on any computer that the sex
14    offender uses;
15        (8) obtain permission of an agent of the Department of
16    Corrections before leaving the State of Illinois;
17        (9) obtain permission of an agent of the Department of
18    Corrections before changing his or her residence or
19    employment;
20        (10) consent to a search of his or her person,
21    property, or residence under his or her control;
22        (11) refrain from the use or possession of narcotics
23    or other controlled substances in any form, or both, or
24    any paraphernalia related to those substances and submit
25    to a urinalysis test as instructed by a parole agent of the
26    Department of Corrections if there is reasonable suspicion

 

 

HB5373- 1065 -LRB104 20029 AAS 33480 b

1    of illicit drug use and the source of the reasonable
2    suspicion is documented in the Department's case
3    management system;
4        (12) not knowingly frequent places where controlled
5    substances are illegally sold, used, distributed, or
6    administered;
7        (13) except when the association described in either
8    subparagraph (A) or (B) of this paragraph (13) involves
9    activities related to community programs, worship
10    services, volunteering, engaging families, or some other
11    pro-social activity in which there is no evidence of
12    criminal intent:
13            (A) not knowingly associate with other persons on
14        parole or mandatory supervised release without prior
15        written permission of his or her parole agent; or
16            (B) not knowingly associate with persons who are
17        members of an organized gang as that term is defined in
18        the Illinois Streetgang Terrorism Omnibus Prevention
19        Act;
20        (14) provide true and accurate information, as it
21    relates to his or her adjustment in the community while on
22    parole or mandatory supervised release or to his or her
23    conduct while incarcerated, in response to inquiries by
24    his or her parole agent or of the Department of
25    Corrections;
26        (15) follow any specific instructions provided by the

 

 

HB5373- 1066 -LRB104 20029 AAS 33480 b

1    parole agent that are consistent with furthering
2    conditions set and approved by the Prisoner Review Board
3    or by law, exclusive of placement on electronic detention,
4    to achieve the goals and objectives of his or her parole or
5    mandatory supervised release or to protect the public.
6    These instructions by the parole agent may be modified at
7    any time, as the agent deems appropriate;
8        (16) if convicted of a sex offense as defined in
9    subsection (a-5) of Section 3-1-2 of this Code, unless the
10    offender is a parent or guardian of the person under 18
11    years of age present in the home and no non-familial
12    minors are present, not participate in a holiday event
13    involving children under 18 years of age, such as
14    distributing candy or other items to children on
15    Halloween, wearing a Santa Claus costume on or preceding
16    Christmas, being employed as a department store Santa
17    Claus, or wearing an Easter Bunny costume on or preceding
18    Easter;
19        (17) if convicted of a violation of an order of
20    protection under Section 12-3.4 or Section 12-30 of the
21    Criminal Code of 1961 or the Criminal Code of 2012, be
22    placed under electronic surveillance as provided in
23    Section 5-8A-7 of this Code;
24        (18) comply with the terms and conditions of an order
25    of protection issued pursuant to the Illinois Domestic
26    Violence Act of 1986; an order of protection issued by the

 

 

HB5373- 1067 -LRB104 20029 AAS 33480 b

1    court of another state, tribe, or United States territory;
2    a no contact order issued pursuant to the Civil No Contact
3    Order Act; or a no contact order issued pursuant to the
4    Stalking No Contact Order Act;
5        (19) if convicted of a violation of the
6    Methamphetamine Control and Community Protection Act, the
7    Methamphetamine Precursor Control Act, or a
8    methamphetamine related offense, be:
9            (A) prohibited from purchasing, possessing, or
10        having under his or her control any product containing
11        pseudoephedrine unless prescribed by a physician; and
12            (B) prohibited from purchasing, possessing, or
13        having under his or her control any product containing
14        ammonium nitrate;
15        (20) if convicted of a hate crime under Section 12-7.1
16    of the Criminal Code of 2012, perform public or community
17    service of no less than 200 hours and enroll in an
18    educational program discouraging hate crimes involving the
19    protected class identified in subsection (a) of Section
20    12-7.1 of the Criminal Code of 2012 that gave rise to the
21    offense the offender committed ordered by the court; and
22        (21) be evaluated by the Department of Corrections
23    prior to release using a validated risk assessment and be
24    subject to a corresponding level of supervision. In
25    accordance with the findings of that evaluation:
26            (A) All subjects found to be at a moderate or high

 

 

HB5373- 1068 -LRB104 20029 AAS 33480 b

1        risk to recidivate, or on parole or mandatory
2        supervised release for first degree murder, a forcible
3        felony as defined in Section 2-8 of the Criminal Code
4        of 2012, any felony that requires registration as a
5        sex offender under the Sex Offender Registration Act,
6        or a Class X felony or Class 1 felony that is not a
7        violation of the Cannabis Control Act, the Illinois
8        Controlled Substances Act, or the Methamphetamine
9        Control and Community Protection Act, shall be subject
10        to high level supervision. The Department shall define
11        high level supervision based upon evidence-based and
12        research-based practices. Notwithstanding this
13        placement on high level supervision, placement of the
14        subject on electronic monitoring or detention shall
15        not occur unless it is required by law or expressly
16        ordered or approved by the Prisoner Review Board.
17            (B) All subjects found to be at a low risk to
18        recidivate shall be subject to low-level supervision,
19        except for those subjects on parole or mandatory
20        supervised release for first degree murder, a forcible
21        felony as defined in Section 2-8 of the Criminal Code
22        of 2012, any felony that requires registration as a
23        sex offender under the Sex Offender Registration Act,
24        or a Class X felony or Class 1 felony that is not a
25        violation of the Cannabis Control Act, the Illinois
26        Controlled Substances Act, or the Methamphetamine

 

 

HB5373- 1069 -LRB104 20029 AAS 33480 b

1        Control and Community Protection Act. Low level
2        supervision shall require the subject to check in with
3        the supervising officer via phone or other electronic
4        means. Notwithstanding this placement on low level
5        supervision, placement of the subject on electronic
6        monitoring or detention shall not occur unless it is
7        required by law or expressly ordered or approved by
8        the Prisoner Review Board.
9    (b) The Board may after making an individualized
10assessment pursuant to subsection (a) of Section 3-14-2 in
11addition to other conditions require that the subject:
12        (1) work or pursue a course of study or vocational
13    training;
14        (2) undergo medical or psychiatric treatment, or
15    treatment for drug addiction or alcoholism;
16        (3) attend or reside in a facility established for the
17    instruction or residence of persons on probation or
18    parole;
19        (4) support his or her dependents;
20        (5) (blank);
21        (6) (blank);
22        (7) (blank);
23        (7.5) if convicted for an offense committed on or
24    after the effective date of this amendatory Act of the
25    95th General Assembly that would qualify the accused as a
26    child sex offender as defined in Section 11-9.3 or 11-9.4

 

 

HB5373- 1070 -LRB104 20029 AAS 33480 b

1    of the Criminal Code of 1961 or the Criminal Code of 2012,
2    refrain from communicating with or contacting, by means of
3    the Internet, a person who is related to the accused and
4    whom the accused reasonably believes to be under 18 years
5    of age; for purposes of this paragraph (7.5), "Internet"
6    has the meaning ascribed to it in Section 16-0.1 of the
7    Criminal Code of 2012; and a person is related to the
8    accused if the person is: (i) the spouse, brother, or
9    sister of the accused; (ii) a descendant of the accused;
10    (iii) a first or second cousin of the accused; or (iv) a
11    step-child or adopted child of the accused;
12        (7.6) if convicted for an offense committed on or
13    after June 1, 2009 (the effective date of Public Act
14    95-983) that would qualify as a sex offense as defined in
15    the Sex Offender Registration Act:
16            (i) not access or use a computer or any other
17        device with Internet capability without the prior
18        written approval of the Department;
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 supervising
22        agent, a law enforcement officer, or assigned computer
23        or information technology specialist, including the
24        retrieval and copying of all data from the computer or
25        device and any internal or external peripherals and
26        removal of such information, equipment, or device to

 

 

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1        conduct a more thorough inspection;
2            (iii) submit to the installation on the offender's
3        computer or device with Internet capability, at the
4        offender's expense, of one or more hardware or
5        software systems to monitor the Internet use; and
6            (iv) submit to any other appropriate restrictions
7        concerning the offender's use of or access to a
8        computer or any other device with Internet capability
9        imposed by the Board, the Department or the offender's
10        supervising agent; and
11        (8) (blank).
12    (b-1) In addition to the conditions set forth in
13subsections (a) and (b), persons required to register as sex
14offenders pursuant to the Sex Offender Registration Act, upon
15release from the custody of the Illinois Department of
16Corrections, may be required by the Board to comply with the
17following specific conditions of release following an
18individualized assessment pursuant to subsection (a) of
19Section 3-14-2:
20        (1) reside only at a Department approved location;
21        (2) comply with all requirements of the Sex Offender
22    Registration Act;
23        (3) notify third parties of the risks that may be
24    occasioned by his or her criminal record;
25        (4) obtain the approval of an agent of the Department
26    of Corrections prior to accepting employment or pursuing a

 

 

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1    course of study or vocational training and notify the
2    Department prior to any change in employment, study, or
3    training;
4        (5) not be employed or participate in any volunteer
5    activity that involves contact with children, except under
6    circumstances approved in advance and in writing by an
7    agent of the Department of Corrections;
8        (6) be electronically monitored for a minimum of 12
9    months from the date of release as determined by the
10    Board;
11        (7) refrain from entering into a designated geographic
12    area except upon terms approved in advance by an agent of
13    the Department of Corrections. The terms may include
14    consideration of the purpose of the entry, the time of
15    day, and others accompanying the person;
16        (8) refrain from having any contact, including written
17    or oral communications, directly or indirectly, personally
18    or by telephone, letter, or through a third party with
19    certain specified persons including, but not limited to,
20    the victim or the victim's family without the prior
21    written approval of an agent of the Department of
22    Corrections;
23        (9) refrain from all contact, directly or indirectly,
24    personally, by telephone, letter, or through a third
25    party, with minor children without prior identification
26    and approval of an agent of the Department of Corrections;

 

 

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1        (10) neither possess or have under his or her control
2    any material that is sexually oriented, sexually
3    stimulating, or that shows male or female sex organs or
4    any pictures depicting children under 18 years of age nude
5    or any written or audio material describing sexual
6    intercourse or that depicts or alludes to sexual activity,
7    including but not limited to visual, auditory, telephonic,
8    or electronic media, or any matter obtained through access
9    to any computer or material linked to computer access use;
10        (11) not patronize any business providing sexually
11    stimulating or sexually oriented entertainment nor utilize
12    "900" or adult telephone numbers;
13        (12) not reside near, visit, or be in or about parks,
14    schools, child day care centers, swimming pools, beaches,
15    theaters, or any other places where minor children
16    congregate without advance approval of an agent of the
17    Department of Corrections and immediately report any
18    incidental contact with minor children to the Department;
19        (13) not possess or have under his or her control
20    certain specified items of contraband related to the
21    incidence of sexually offending as determined by an agent
22    of the Department of Corrections;
23        (14) may be required to provide a written daily log of
24    activities if directed by an agent of the Department of
25    Corrections;
26        (15) comply with all other special conditions that the

 

 

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1    Department may impose that restrict the person from
2    high-risk situations and limit access to potential
3    victims;
4        (16) take an annual polygraph exam;
5        (17) maintain a log of his or her travel; or
6        (18) obtain prior approval of his or her parole
7    officer before driving alone in a motor vehicle.
8    (c) The conditions under which the parole or mandatory
9supervised release is to be served shall be communicated to
10the person in writing prior to his or her release, and he or
11she shall sign the same before release. A signed copy of these
12conditions, including a copy of an order of protection where
13one had been issued by the criminal court, shall be retained by
14the person and another copy forwarded to the officer in charge
15of his or her supervision.
16    (d) After a hearing under Section 3-3-9, the Prisoner
17Review Board may modify or enlarge the conditions of parole or
18mandatory supervised release.
19    (e) The Department shall inform all offenders committed to
20the Department of the optional services available to them upon
21release and shall assist inmates in availing themselves of
22such optional services upon their release on a voluntary
23basis.
24    (f) (Blank).
25(Source: P.A. 103-271, eff. 1-1-24; 103-1071, eff. 7-1-25.)
 

 

 

HB5373- 1075 -LRB104 20029 AAS 33480 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;
26        (8) the defendant committed the offense against a

 

 

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1    person 60 years of age or older or such person's property;
2        (9) the defendant committed the offense against a
3    person who has a physical disability or such person's
4    property;
5        (10) by reason of another individual's actual or
6    perceived race, color, creed, religion, ancestry, gender,
7    sexual orientation, physical or mental disability, or
8    national origin, the defendant committed the offense
9    against (i) the person or property of that individual;
10    (ii) the person or property of a person who has an
11    association with, is married to, or has a friendship with
12    the other individual; or (iii) the person or property of a
13    relative (by blood or marriage) of a person described in
14    clause (i) or (ii). For the purposes of this Section,
15    "sexual orientation" has the meaning ascribed to it in
16    paragraph (O-1) of Section 1-103 of the Illinois Human
17    Rights Act;
18        (11) the offense took place in a place of worship or on
19    the grounds of a place of worship, immediately prior to,
20    during or immediately following worship services. For
21    purposes of this subparagraph, "place of worship" shall
22    mean any church, synagogue or other building, structure or
23    place used primarily for religious worship;
24        (12) the defendant was convicted of a felony committed
25    while he was on pretrial release or his own recognizance
26    pending trial for a prior felony and was convicted of such

 

 

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1    prior felony, or the defendant was convicted of a felony
2    committed while he was serving a period of probation,
3    conditional discharge, or mandatory supervised release
4    under subsection (d) of Section 5-8-1 for a prior felony;
5        (13) the defendant committed or attempted to commit a
6    felony while he was wearing a bulletproof vest. For the
7    purposes of this paragraph (13), a bulletproof vest is any
8    device which is designed for the purpose of protecting the
9    wearer from bullets, shot or other lethal projectiles;
10        (14) the defendant held a position of trust or
11    supervision such as, but not limited to, family member as
12    defined in Section 11-0.1 of the Criminal Code of 2012,
13    teacher, scout leader, baby sitter, or child day care
14    worker, in relation to a victim under 18 years of age, and
15    the defendant committed an offense in violation of Section
16    11-1.20, 11-1.30, 11-1.40, 11-1.50, 11-1.60, 11-6, 11-11,
17    11-14.4 except for an offense that involves keeping a
18    place of commercial sexual exploitation of a child,
19    11-15.1, 11-19.1, 11-19.2, 11-20.1, 11-20.1B, 11-20.3,
20    12-13, 12-14, 12-14.1, 12-15 or 12-16 of the Criminal Code
21    of 1961 or the Criminal Code of 2012 against that victim;
22        (15) the defendant committed an offense related to the
23    activities of an organized gang. For the purposes of this
24    factor, "organized gang" has the meaning ascribed to it in
25    Section 10 of the Streetgang Terrorism Omnibus Prevention
26    Act;

 

 

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1        (16) the defendant committed an offense in violation
2    of one of the following Sections while in a school,
3    regardless of the time of day or time of year; on any
4    conveyance owned, leased, or contracted by a school to
5    transport students to or from school or a school related
6    activity; on the real property of a school; or on a public
7    way within 1,000 feet of the real property comprising any
8    school: Section 10-1, 10-2, 10-5, 11-1.20, 11-1.30,
9    11-1.40, 11-1.50, 11-1.60, 11-14.4, 11-15.1, 11-17.1,
10    11-18.1, 11-19.1, 11-19.2, 12-2, 12-4, 12-4.1, 12-4.2,
11    12-4.3, 12-6, 12-6.1, 12-6.5, 12-13, 12-14, 12-14.1,
12    12-15, 12-16, 18-2, or 33A-2, or Section 12-3.05 except
13    for subdivision (a)(4) or (g)(1), of the Criminal Code of
14    1961 or the Criminal Code of 2012;
15        (16.5) the defendant committed an offense in violation
16    of one of the following Sections while in a child day care
17    center, regardless of the time of day or time of year; on
18    the real property of a child day care center, regardless
19    of the time of day or time of year; or on a public way
20    within 1,000 feet of the real property comprising any
21    child day care center, regardless of the time of day or
22    time of year: Section 10-1, 10-2, 10-5, 11-1.20, 11-1.30,
23    11-1.40, 11-1.50, 11-1.60, 11-14.4, 11-15.1, 11-17.1,
24    11-18.1, 11-19.1, 11-19.2, 12-2, 12-4, 12-4.1, 12-4.2,
25    12-4.3, 12-6, 12-6.1, 12-6.5, 12-13, 12-14, 12-14.1,
26    12-15, 12-16, 18-2, or 33A-2, or Section 12-3.05 except

 

 

HB5373- 1079 -LRB104 20029 AAS 33480 b

1    for subdivision (a)(4) or (g)(1), of the Criminal Code of
2    1961 or the Criminal Code of 2012;
3        (17) the defendant committed the offense by reason of
4    any person's activity as a community policing volunteer or
5    to prevent any person from engaging in activity as a
6    community policing volunteer. For the purpose of this
7    Section, "community policing volunteer" has the meaning
8    ascribed to it in Section 2-3.5 of the Criminal Code of
9    2012;
10        (18) the defendant committed the offense in a nursing
11    home or on the real property comprising a nursing home.
12    For the purposes of this paragraph (18), "nursing home"
13    means a skilled nursing or intermediate long term care
14    facility that is subject to license by the Illinois
15    Department of Public Health under the Nursing Home Care
16    Act, the Specialized Mental Health Rehabilitation Act of
17    2013, the ID/DD Community Care Act, or the MC/DD Act;
18        (19) the defendant was a federally licensed firearm
19    dealer and was previously convicted of a violation of
20    subsection (a) of Section 3 of the Firearm Owners
21    Identification Card Act and has now committed either a
22    felony violation of the Firearm Owners Identification Card
23    Act or an act of armed violence while armed with a firearm;
24        (20) the defendant (i) committed the offense of
25    reckless homicide under Section 9-3 of the Criminal Code
26    of 1961 or the Criminal Code of 2012 or the offense of

 

 

HB5373- 1080 -LRB104 20029 AAS 33480 b

1    driving under the influence of alcohol, other drug or
2    drugs, intoxicating compound or compounds or any
3    combination thereof under Section 11-501 of the Illinois
4    Vehicle Code or a similar provision of a local ordinance
5    and (ii) was operating a motor vehicle in excess of 20
6    miles per hour over the posted speed limit as provided in
7    Article VI of Chapter 11 of the Illinois Vehicle Code;
8        (21) the defendant (i) committed the offense of
9    reckless driving or aggravated reckless driving under
10    Section 11-503 of the Illinois Vehicle Code and (ii) was
11    operating a motor vehicle in excess of 20 miles per hour
12    over the posted speed limit as provided in Article VI of
13    Chapter 11 of the Illinois Vehicle Code;
14        (22) the defendant committed the offense against a
15    person that the defendant knew, or reasonably should have
16    known, was a member of the Armed Forces of the United
17    States serving on active duty. For purposes of this clause
18    (22), the term "Armed Forces" means any of the Armed
19    Forces of the United States, including a member of any
20    reserve component thereof or National Guard unit called to
21    active duty;
22        (23) the defendant committed the offense against a
23    person who was elderly or infirm or who was a person with a
24    disability by taking advantage of a family or fiduciary
25    relationship with the elderly or infirm person or person
26    with a disability;

 

 

HB5373- 1081 -LRB104 20029 AAS 33480 b

1        (24) the defendant committed any offense under Section
2    11-20.1 of the Criminal Code of 1961 or the Criminal Code
3    of 2012 and possessed 100 or more images;
4        (25) the defendant committed the offense while the
5    defendant or the victim was in a train, bus, or other
6    vehicle used for public transportation;
7        (26) the defendant committed the offense of child
8    sexual abuse material or aggravated child pornography,
9    specifically including paragraph (1), (2), (3), (4), (5),
10    or (7) of subsection (a) of Section 11-20.1 of the
11    Criminal Code of 1961 or the Criminal Code of 2012 where a
12    child engaged in, solicited for, depicted in, or posed in
13    any act of sexual penetration or bound, fettered, or
14    subject to sadistic, masochistic, or sadomasochistic abuse
15    in a sexual context and specifically including paragraph
16    (1), (2), (3), (4), (5), or (7) of subsection (a) of
17    Section 11-20.1B or Section 11-20.3 of the Criminal Code
18    of 1961 where a child engaged in, solicited for, depicted
19    in, or posed in any act of sexual penetration or bound,
20    fettered, or subject to sadistic, masochistic, or
21    sadomasochistic abuse in a sexual context;
22        (26.5) the defendant committed the offense of obscene
23    depiction of a purported child, specifically including
24    paragraph (2) of subsection (b) of Section 11-20.4 of the
25    Criminal Code of 2012 if a child engaged in, solicited
26    for, depicted in, or posed in any act of sexual

 

 

HB5373- 1082 -LRB104 20029 AAS 33480 b

1    penetration or bound, fettered, or subject to sadistic,
2    masochistic, or sadomasochistic abuse in a sexual context;
3        (27) the defendant committed the offense of first
4    degree murder, assault, aggravated assault, battery,
5    aggravated battery, robbery, armed robbery, or aggravated
6    robbery against a person who was a veteran and the
7    defendant knew, or reasonably should have known, that the
8    person was a veteran performing duties as a representative
9    of a veterans' organization. For the purposes of this
10    paragraph (27), "veteran" means an Illinois resident who
11    has served as a member of the United States Armed Forces, a
12    member of the Illinois National Guard, or a member of the
13    United States Reserve Forces; and "veterans' organization"
14    means an organization comprised of members of which
15    substantially all are individuals who are veterans or
16    spouses, widows, or widowers of veterans, the primary
17    purpose of which is to promote the welfare of its members
18    and to provide assistance to the general public in such a
19    way as to confer a public benefit;
20        (28) the defendant committed the offense of assault,
21    aggravated assault, battery, aggravated battery, robbery,
22    armed robbery, or aggravated robbery against a person that
23    the defendant knew or reasonably should have known was a
24    letter carrier or postal worker while that person was
25    performing his or her duties delivering mail for the
26    United States Postal Service;

 

 

HB5373- 1083 -LRB104 20029 AAS 33480 b

1        (29) the defendant committed the offense of criminal
2    sexual assault, aggravated criminal sexual assault,
3    criminal sexual abuse, or aggravated criminal sexual abuse
4    against a victim with an intellectual disability, and the
5    defendant holds a position of trust, authority, or
6    supervision in relation to the victim;
7        (30) the defendant committed the offense of promoting
8    commercial sexual exploitation of a child, patronizing a
9    person engaged in the sex trade, or patronizing a sexually
10    exploited child and at the time of the commission of the
11    offense knew that the person engaged in the sex trade or
12    sexually exploited child was in the custody or
13    guardianship of the Department of Children and Family
14    Services;
15        (31) the defendant (i) committed the offense of
16    driving while under the influence of alcohol, other drug
17    or drugs, intoxicating compound or compounds or any
18    combination thereof in violation of Section 11-501 of the
19    Illinois Vehicle Code or a similar provision of a local
20    ordinance and (ii) the defendant during the commission of
21    the offense was driving his or her vehicle upon a roadway
22    designated for one-way traffic in the opposite direction
23    of the direction indicated by official traffic control
24    devices;
25        (32) the defendant committed the offense of reckless
26    homicide while committing a violation of Section 11-907 of

 

 

HB5373- 1084 -LRB104 20029 AAS 33480 b

1    the Illinois Vehicle Code;
2        (33) the defendant was found guilty of an
3    administrative infraction related to an act or acts of
4    public indecency or sexual misconduct in the penal
5    institution. In this paragraph (33), "penal institution"
6    has the same meaning as in Section 2-14 of the Criminal
7    Code of 2012; or
8        (34) the defendant committed the offense of leaving
9    the scene of a crash in violation of subsection (b) of
10    Section 11-401 of the Illinois Vehicle Code and the crash
11    resulted in the death of a person and at the time of the
12    offense, the defendant was: (i) driving under the
13    influence of alcohol, other drug or drugs, intoxicating
14    compound or compounds or any combination thereof as
15    defined by Section 11-501 of the Illinois Vehicle Code; or
16    (ii) operating the motor vehicle while using an electronic
17    communication device as defined in Section 12-610.2 of the
18    Illinois Vehicle Code.
19    For the purposes of this Section:
20    "School" is defined as a public or private elementary or
21secondary school, community college, college, or university.
22    "Child Day care center" means a public or private State
23certified and licensed child day care center as defined in
24Section 2.09 of the Child Care Act of 1969 that displays a sign
25in plain view stating that the property is a child day care
26center.

 

 

HB5373- 1085 -LRB104 20029 AAS 33480 b

1    "Intellectual disability" means significantly subaverage
2intellectual functioning which exists concurrently with
3impairment in adaptive behavior.
4    "Public transportation" means the transportation or
5conveyance of persons by means available to the general
6public, and includes paratransit services.
7    "Traffic control devices" means all signs, signals,
8markings, and devices that conform to the Illinois Manual on
9Uniform Traffic Control Devices, placed or erected by
10authority of a public body or official having jurisdiction,
11for the purpose of regulating, warning, or guiding traffic.
12    (b) The following factors, related to all felonies, may be
13considered by the court as reasons to impose an extended term
14sentence under Section 5-8-2 upon any offender:
15        (1) When a defendant is convicted of any felony, after
16    having been previously convicted in Illinois or any other
17    jurisdiction of the same or similar class felony or
18    greater class felony, when such conviction has occurred
19    within 10 years after the previous conviction, excluding
20    time spent in custody, and such charges are separately
21    brought and tried and arise out of different series of
22    acts; or
23        (2) When a defendant is convicted of any felony and
24    the court finds that the offense was accompanied by
25    exceptionally brutal or heinous behavior indicative of
26    wanton cruelty; or

 

 

HB5373- 1086 -LRB104 20029 AAS 33480 b

1        (3) When a defendant is convicted of any felony
2    committed against:
3            (i) a person under 12 years of age at the time of
4        the offense or such person's property;
5            (ii) a person 60 years of age or older at the time
6        of the offense or such person's property; or
7            (iii) a person who had a physical disability at
8        the time of the offense or such person's property; or
9        (4) When a defendant is convicted of any felony and
10    the offense involved any of the following types of
11    specific misconduct committed as part of a ceremony, rite,
12    initiation, observance, performance, practice or activity
13    of any actual or ostensible religious, fraternal, or
14    social group:
15            (i) the brutalizing or torturing of humans or
16        animals;
17            (ii) the theft of human corpses;
18            (iii) the kidnapping of humans;
19            (iv) the desecration of any cemetery, religious,
20        fraternal, business, governmental, educational, or
21        other building or property; or
22            (v) ritualized abuse of a child; or
23        (5) When a defendant is convicted of a felony other
24    than conspiracy and the court finds that the felony was
25    committed under an agreement with 2 or more other persons
26    to commit that offense and the defendant, with respect to

 

 

HB5373- 1087 -LRB104 20029 AAS 33480 b

1    the other individuals, occupied a position of organizer,
2    supervisor, financier, or any other position of management
3    or leadership, and the court further finds that the felony
4    committed was related to or in furtherance of the criminal
5    activities of an organized gang or was motivated by the
6    defendant's leadership in an organized gang; or
7        (6) When a defendant is convicted of an offense
8    committed while using a firearm with a laser sight
9    attached to it. For purposes of this paragraph, "laser
10    sight" has the meaning ascribed to it in Section 26-7 of
11    the Criminal Code of 2012; or
12        (7) When a defendant who was at least 17 years of age
13    at the time of the commission of the offense is convicted
14    of a felony and has been previously adjudicated a
15    delinquent minor under the Juvenile Court Act of 1987 for
16    an act that if committed by an adult would be a Class X or
17    Class 1 felony when the conviction has occurred within 10
18    years after the previous adjudication, excluding time
19    spent in custody; or
20        (8) When a defendant commits any felony and the
21    defendant used, possessed, exercised control over, or
22    otherwise directed an animal to assault a law enforcement
23    officer engaged in the execution of his or her official
24    duties or in furtherance of the criminal activities of an
25    organized gang in which the defendant is engaged; or
26        (9) When a defendant commits any felony and the

 

 

HB5373- 1088 -LRB104 20029 AAS 33480 b

1    defendant knowingly video or audio records the offense
2    with the intent to disseminate the recording.
3    (c) The following factors may be considered by the court
4as reasons to impose an extended term sentence under Section
55-8-2 upon any offender for the listed offenses:
6        (1) When a defendant is convicted of first degree
7    murder, after having been previously convicted in Illinois
8    of any offense listed under paragraph (c)(2) of Section
9    5-5-3, when that conviction has occurred within 10 years
10    after the previous conviction, excluding time spent in
11    custody, and the charges are separately brought and tried
12    and arise out of different series of acts.
13        (1.5) When a defendant is convicted of first degree
14    murder, after having been previously convicted of domestic
15    battery or aggravated domestic battery committed on the
16    same victim or after having been previously convicted of
17    violation of an order of protection in which the same
18    victim was the protected person.
19        (2) When a defendant is convicted of voluntary
20    manslaughter, second degree murder, involuntary
21    manslaughter, or reckless homicide in which the defendant
22    has been convicted of causing the death of more than one
23    individual.
24        (3) When a defendant is convicted of aggravated
25    criminal sexual assault or criminal sexual assault, when
26    there is a finding that aggravated criminal sexual assault

 

 

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1    or criminal sexual assault was also committed on the same
2    victim by one or more other individuals, and the defendant
3    voluntarily participated in the crime with the knowledge
4    of the participation of the others in the crime, and the
5    commission of the crime was part of a single course of
6    conduct during which there was no substantial change in
7    the nature of the criminal objective.
8        (4) If the victim was under 18 years of age at the time
9    of the commission of the offense, when a defendant is
10    convicted of aggravated criminal sexual assault or
11    predatory criminal sexual assault of a child under
12    subsection (a)(1) of Section 11-1.40 or subsection (a)(1)
13    of Section 12-14.1 of the Criminal Code of 1961 or the
14    Criminal Code of 2012.
15        (5) When a defendant is convicted of a felony
16    violation of Section 24-1 of the Criminal Code of 1961 or
17    the Criminal Code of 2012 and there is a finding that the
18    defendant is a member of an organized gang.
19        (6) When a defendant was convicted of unlawful
20    possession of weapons under Section 24-1 of the Criminal
21    Code of 1961 or the Criminal Code of 2012 for possessing a
22    weapon that is not readily distinguishable as one of the
23    weapons enumerated in Section 24-1 of the Criminal Code of
24    1961 or the Criminal Code of 2012.
25        (7) When a defendant is convicted of an offense
26    involving the illegal manufacture of a controlled

 

 

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1    substance under Section 401 of the Illinois Controlled
2    Substances Act, the illegal manufacture of methamphetamine
3    under Section 25 of the Methamphetamine Control and
4    Community Protection Act, or the illegal possession of
5    explosives and an emergency response officer in the
6    performance of his or her duties is killed or injured at
7    the scene of the offense while responding to the emergency
8    caused by the commission of the offense. In this
9    paragraph, "emergency" means a situation in which a
10    person's life, health, or safety is in jeopardy; and
11    "emergency response officer" means a peace officer,
12    community policing volunteer, fireman, emergency medical
13    technician-ambulance, emergency medical
14    technician-intermediate, emergency medical
15    technician-paramedic, ambulance driver, other medical
16    assistance or first aid personnel, or hospital emergency
17    room personnel.
18        (8) When the defendant is convicted of attempted mob
19    action, solicitation to commit mob action, or conspiracy
20    to commit mob action under Section 8-1, 8-2, or 8-4 of the
21    Criminal Code of 2012, where the criminal object is a
22    violation of Section 25-1 of the Criminal Code of 2012,
23    and an electronic communication is used in the commission
24    of the offense. For the purposes of this paragraph (8),
25    "electronic communication" shall have the meaning provided
26    in Section 26.5-0.1 of the Criminal Code of 2012.

 

 

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1    (d) For the purposes of this Section, "organized gang" has
2the meaning ascribed to it in Section 10 of the Illinois
3Streetgang Terrorism Omnibus Prevention Act.
4    (e) The court may impose an extended term sentence under
5Article 4.5 of Chapter V upon an offender who has been
6convicted of a felony violation of Section 11-1.20, 11-1.30,
711-1.40, 11-1.50, 11-1.60, 12-13, 12-14, 12-14.1, 12-15, or
812-16 of the Criminal Code of 1961 or the Criminal Code of 2012
9when the victim of the offense is under 18 years of age at the
10time of the commission of the offense and, during the
11commission of the offense, the victim was under the influence
12of alcohol, regardless of whether or not the alcohol was
13supplied by the offender; and the offender, at the time of the
14commission of the offense, knew or should have known that the
15victim had consumed alcohol.
16(Source: P.A. 103-822, eff. 1-1-25; 103-825, eff. 1-1-25;
17103-1071, eff. 7-1-25; 104-245, eff. 1-1-26; 104-417, eff.
188-15-25; revised 9-17-25.)
 
19    Section 300. The Stalking No Contact Order Act is amended
20by changing Sections 80 and 115 as follows:
 
21    (740 ILCS 21/80)
22    Sec. 80. Stalking no contact orders; remedies.
23    (a) If the court finds that the petitioner has been a
24victim of stalking, a stalking no contact order shall issue;

 

 

HB5373- 1092 -LRB104 20029 AAS 33480 b

1provided that the petitioner must also satisfy the
2requirements of Section 95 on emergency orders or Section 100
3on plenary orders. The petitioner shall not be denied a
4stalking no contact order because the petitioner or the
5respondent is a minor. The court, when determining whether or
6not to issue a stalking no contact order, may not require
7physical injury on the person of the petitioner. Modification
8and extension of prior stalking no contact orders shall be in
9accordance with this Act.
10    (b) A stalking no contact order shall order one or more of
11the following:
12        (1) prohibit the respondent from threatening to commit
13    or committing stalking;
14        (2) order the respondent not to have any contact with
15    the petitioner or a third person specifically named by the
16    court;
17        (3) prohibit the respondent from knowingly coming
18    within, or knowingly remaining within a specified distance
19    of the petitioner or the petitioner's residence, school,
20    child care daycare, or place of employment, or any
21    specified place frequented by the petitioner; however, the
22    court may order the respondent to stay away from the
23    respondent's own residence, school, or place of employment
24    only if the respondent has been provided actual notice of
25    the opportunity to appear and be heard on the petition;
26        (4) prohibit the respondent from possessing a Firearm

 

 

HB5373- 1093 -LRB104 20029 AAS 33480 b

1    Owners Identification Card, or possessing or buying
2    firearms;
3        (5) prohibit the respondent from using any electronic
4    tracking system or acquiring tracking information to
5    determine the petitioner's location, movement, or travel
6    pattern; and
7        (6) order other injunctive relief the court determines
8    to be necessary to protect the petitioner or third party
9    specifically named by the court.
10    (b-5) When the petitioner and the respondent attend the
11same public, private, or non-public elementary, middle, or
12high school, the court when issuing a stalking no contact
13order and providing relief shall consider the severity of the
14act, any continuing physical danger or emotional distress to
15the petitioner, the educational rights guaranteed to the
16petitioner and respondent under federal and State law, the
17availability of a transfer of the respondent to another
18school, a change of placement or a change of program of the
19respondent, the expense, difficulty, and educational
20disruption that would be caused by a transfer of the
21respondent to another school, and any other relevant facts of
22the case. The court may order that the respondent not attend
23the public, private, or non-public elementary, middle, or high
24school attended by the petitioner, order that the respondent
25accept a change of placement or program, as determined by the
26school district or private or non-public school, or place

 

 

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1restrictions on the respondent's movements within the school
2attended by the petitioner. The respondent bears the burden of
3proving by a preponderance of the evidence that a transfer,
4change of placement, or change of program of the respondent is
5not available. The respondent also bears the burden of
6production with respect to the expense, difficulty, and
7educational disruption that would be caused by a transfer of
8the respondent to another school. A transfer, change of
9placement, or change of program is not unavailable to the
10respondent solely on the ground that the respondent does not
11agree with the school district's or private or non-public
12school's transfer, change of placement, or change of program
13or solely on the ground that the respondent fails or refuses to
14consent to or otherwise does not take an action required to
15effectuate a transfer, change of placement, or change of
16program. When a court orders a respondent to stay away from the
17public, private, or non-public school attended by the
18petitioner and the respondent requests a transfer to another
19attendance center within the respondent's school district or
20private or non-public school, the school district or private
21or non-public school shall have sole discretion to determine
22the attendance center to which the respondent is transferred.
23In the event the court order results in a transfer of the minor
24respondent to another attendance center, a change in the
25respondent's placement, or a change of the respondent's
26program, the parents, guardian, or legal custodian of the

 

 

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1respondent is responsible for transportation and other costs
2associated with the transfer or change.
3    (b-6) The court may order the parents, guardian, or legal
4custodian of a minor respondent to take certain actions or to
5refrain from taking certain actions to ensure that the
6respondent complies with the order. In the event the court
7orders a transfer of the respondent to another school, the
8parents, guardian, or legal custodian of the respondent are
9responsible for transportation and other costs associated with
10the change of school by the respondent.
11    (b-7) The court shall not hold a school district or
12private or non-public school or any of its employees in civil
13or criminal contempt unless the school district or private or
14non-public school has been allowed to intervene.
15    (b-8) The court may hold the parents, guardian, or legal
16custodian of a minor respondent in civil or criminal contempt
17for a violation of any provision of any order entered under
18this Act for conduct of the minor respondent in violation of
19this Act if the parents, guardian, or legal custodian
20directed, encouraged, or assisted the respondent minor in such
21conduct.
22    (c) The court may award the petitioner costs and attorneys
23fees if a stalking no contact order is granted.
24    (d) Monetary damages are not recoverable as a remedy.
25    (e) If the stalking no contact order prohibits the
26respondent from possessing a Firearm Owner's Identification

 

 

HB5373- 1096 -LRB104 20029 AAS 33480 b

1Card, or possessing or buying firearms; the court shall
2confiscate the respondent's Firearm Owner's Identification
3Card and immediately return the card to the Illinois State
4Police Firearm Owner's Identification Card Office.
5(Source: P.A. 102-538, eff. 8-20-21; 103-760, eff. 1-1-25.)
 
6    (740 ILCS 21/115)
7    Sec. 115. Notice of orders.
8    (a) Upon issuance of any stalking no contact order, the
9clerk shall immediately:
10        (1) enter the order on the record and file it in
11    accordance with the circuit court procedures; and
12        (2) provide a file stamped copy of the order to the
13    respondent, if present, and to the petitioner.
14    (b) The clerk of the issuing judge shall, or the
15petitioner may, on the same day that a stalking no contact
16order is issued, file a certified copy of that order with the
17sheriff or other law enforcement officials charged with
18maintaining Illinois State Police records or charged with
19serving the order upon the respondent. If the respondent, at
20the time of the issuance of the order, is committed to the
21custody of the Illinois Department of Corrections or Illinois
22Department of Juvenile Justice or is on parole, aftercare
23release, or mandatory supervised release, the sheriff or other
24law enforcement officials charged with maintaining Illinois
25State Police records shall notify the Department of

 

 

HB5373- 1097 -LRB104 20029 AAS 33480 b

1Corrections or Department of Juvenile Justice within 48 hours
2of receipt of a copy of the stalking no contact order from the
3clerk of the issuing judge or the petitioner. Such notice
4shall include the name of the respondent, the respondent's
5IDOC inmate number or IDJJ youth identification number, the
6respondent's date of birth, and the LEADS Record Index Number.
7    (c) Unless the respondent was present in court when the
8order was issued, the sheriff, other law enforcement official,
9or special process server shall promptly serve that order upon
10the respondent and file proof of such service in the manner
11provided for service of process in civil proceedings. Instead
12of serving the order upon the respondent, however, the
13sheriff, other law enforcement official, special process
14server, or other persons defined in Section 117 may serve the
15respondent with a short form notification as provided in
16Section 117. If process has not yet been served upon the
17respondent, it shall be served with the order or short form
18notification if such service is made by the sheriff, other law
19enforcement official, or special process server.
20    (d) If the person against whom the stalking no contact
21order is issued is arrested and the written order is issued in
22accordance with subsection (c) of Section 95 and received by
23the custodial law enforcement agency before the respondent or
24arrestee is released from custody, the custodial law
25enforcement agent shall promptly serve the order upon the
26respondent or arrestee before the respondent or arrestee is

 

 

HB5373- 1098 -LRB104 20029 AAS 33480 b

1released from custody. In no event shall detention of the
2respondent or arrestee be extended for hearing on the petition
3for stalking no contact order or receipt of the order issued
4under Section 95 of this Act.
5    (e) Any order extending, modifying, or revoking any
6stalking no contact order shall be promptly recorded, issued,
7and served as provided in this Section.
8    (f) Upon the request of the petitioner, within 24 hours of
9the issuance of a stalking no contact order, the clerk of the
10issuing judge shall send written notice of the order along
11with a certified copy of the order to any school, child care
12daycare, college, or university at which the petitioner is
13enrolled.
14(Source: P.A. 101-508, eff. 1-1-20; 102-538, eff. 8-20-21.)
 
15    Section 305. The Civil No Contact Order Act is amended by
16changing Section 213 as follows:
 
17    (740 ILCS 22/213)
18    Sec. 213. Civil no contact order; remedies.
19    (a) If the court finds that the petitioner has been a
20victim of non-consensual sexual conduct or non-consensual
21sexual penetration, a civil no contact order shall issue;
22provided that the petitioner must also satisfy the
23requirements of Section 214 on emergency orders or Section 215
24on plenary orders. The petitioner shall not be denied a civil

 

 

HB5373- 1099 -LRB104 20029 AAS 33480 b

1no contact order because the petitioner or the respondent is a
2minor. The court, when determining whether or not to issue a
3civil no contact order, may not require physical injury on the
4person of the victim. Modification and extension of prior
5civil no contact orders shall be in accordance with this Act.
6    (a-5) (Blank).
7    (b) (Blank).
8    (b-5) The court may provide relief as follows:
9        (1) prohibit the respondent from knowingly coming
10    within, or knowingly remaining within, a specified
11    distance from the petitioner;
12        (2) restrain the respondent from having any contact,
13    including nonphysical contact and electronic communication
14    as defined in Section 26.5-0.1 of the Criminal Code of
15    2012, with the petitioner directly, indirectly, or through
16    third parties, regardless of whether those third parties
17    know of the order;
18        (3) prohibit the respondent from knowingly coming
19    within, or knowingly remaining within, a specified
20    distance from the petitioner's residence, school, child
21    day care or other specified location;
22        (4) order the respondent to stay away from any
23    property or animal owned, possessed, leased, kept, or held
24    by the petitioner and forbid the respondent from taking,
25    transferring, encumbering, concealing, harming, or
26    otherwise disposing of the property or animal; and

 

 

HB5373- 1100 -LRB104 20029 AAS 33480 b

1        (5) order any other injunctive relief as necessary or
2    appropriate for the protection of the petitioner.
3    (b-6) When the petitioner and the respondent attend the
4same public or private elementary, middle, or high school, the
5court when issuing a civil no contact order and providing
6relief shall consider the severity of the act, any continuing
7physical danger or emotional distress to the petitioner, the
8educational rights guaranteed to the petitioner and respondent
9under federal and State law, the availability of a transfer of
10the respondent to another school, a change of placement or a
11change of program of the respondent, the expense, difficulty,
12and educational disruption that would be caused by a transfer
13of the respondent to another school, and any other relevant
14facts of the case. The court may order that the respondent not
15attend the public, private, or non-public elementary, middle,
16or high school attended by the petitioner, order that the
17respondent accept a change of placement or program, as
18determined by the school district or private or non-public
19school, or place restrictions on the respondent's movements
20within the school attended by the petitioner. The respondent
21bears the burden of proving by a preponderance of the evidence
22that a transfer, change of placement, or change of program of
23the respondent is not available. The respondent also bears the
24burden of production with respect to the expense, difficulty,
25and educational disruption that would be caused by a transfer
26of the respondent to another school. A transfer, change of

 

 

HB5373- 1101 -LRB104 20029 AAS 33480 b

1placement, or change of program is not unavailable to the
2respondent solely on the ground that the respondent does not
3agree with the school district's or private or non-public
4school's transfer, change of placement, or change of program
5or solely on the ground that the respondent fails or refuses to
6consent to or otherwise does not take an action required to
7effectuate a transfer, change of placement, or change of
8program. When a court orders a respondent to stay away from the
9public, private, or non-public school attended by the
10petitioner and the respondent requests a transfer to another
11attendance center within the respondent's school district or
12private or non-public school, the school district or private
13or non-public school shall have sole discretion to determine
14the attendance center to which the respondent is transferred.
15In the event the court order results in a transfer of the minor
16respondent to another attendance center, a change in the
17respondent's placement, or a change of the respondent's
18program, the parents, guardian, or legal custodian of the
19respondent is responsible for transportation and other costs
20associated with the transfer or change.
21    (b-7) The court may order the parents, guardian, or legal
22custodian of a minor respondent to take certain actions or to
23refrain from taking certain actions to ensure that the
24respondent complies with the order. In the event the court
25orders a transfer of the respondent to another school, the
26parents or legal guardians of the respondent are responsible

 

 

HB5373- 1102 -LRB104 20029 AAS 33480 b

1for transportation and other costs associated with the change
2of school by the respondent.
3    (c) Denial of a remedy may not be based, in whole or in
4part, on evidence that:
5        (1) the respondent has cause for any use of force,
6    unless that cause satisfies the standards for justifiable
7    use of force provided by Article 7 of the Criminal Code of
8    2012;
9        (2) the respondent was voluntarily intoxicated;
10        (3) the petitioner acted in self-defense or defense of
11    another, provided that, if the petitioner utilized force,
12    such force was justifiable under Article 7 of the Criminal
13    Code of 2012;
14        (4) the petitioner did not act in self-defense or
15    defense of another;
16        (5) the petitioner left the residence or household to
17    avoid further non-consensual sexual conduct or
18    non-consensual sexual penetration by the respondent; or
19        (6) the petitioner did not leave the residence or
20    household to avoid further non-consensual sexual conduct
21    or non-consensual sexual penetration by the respondent.
22    (d) Monetary damages are not recoverable as a remedy.
23(Source: P.A. 101-255, eff. 1-1-20; 102-220, eff. 1-1-22;
24102-831, eff. 5-13-22.)
 
25    Section 310. The Illinois Parentage Act of 2015 is amended

 

 

HB5373- 1103 -LRB104 20029 AAS 33480 b

1by changing Section 106 as follows:
 
2    (750 ILCS 46/106)
3    Sec. 106. Protection of participants. Proceedings under
4this Act are subject to other law of this State governing the
5health, safety, privacy, and liberty of a child or other
6individual who could be jeopardized by disclosure of
7identifying information, including address, telephone number,
8place of employment, social security number, and the child's
9child care day-care facility and school.
10(Source: P.A. 99-85, eff. 1-1-16.)
 
11    Section 315. The Illinois Domestic Violence Act of 1986 is
12amended by changing Sections 203 and 222 as follows:
 
13    (750 ILCS 60/203)  (from Ch. 40, par. 2312-3)
14    Sec. 203. Pleading; non-disclosure of address;
15non-disclosure of schools.
16    (a) A petition for an order of protection shall be in
17writing and verified or accompanied by affidavit and shall
18allege that petitioner has been abused by respondent, who is a
19family or household member. The petition shall further set
20forth whether there is any other pending action between the
21parties. During the pendency of this proceeding, each party
22has a continuing duty to inform the court of any subsequent
23proceeding for an order of protection in this or any other

 

 

HB5373- 1104 -LRB104 20029 AAS 33480 b

1state.
2    (b) If the petition states that disclosure of petitioner's
3address would risk abuse of petitioner or any member of
4petitioner's family or household or reveal the confidential
5address of a shelter for domestic violence victims, that
6address may be omitted from all documents filed with the
7court. If disclosure is necessary to determine jurisdiction or
8consider any venue issue, it shall be made orally and in
9camera. If petitioner has not disclosed an address under this
10subsection, petitioner shall designate an alternative address
11at which respondent may serve notice of any motions.
12    (c) If the petitioner is seeking to have a child protected
13by the order of protection, and if that child is enrolled in
14any child care day-care facility, pre-school,
15pre-kindergarten, private school, public school district,
16college, or university, the petitioner may provide the name
17and address of the child care day-care facility, pre-school,
18pre-kindergarten, private school, public school district,
19college, or university to the court. However, if the petition
20states that disclosure of this information would risk abuse to
21petitioner or to the child protected under the order, this
22information may be omitted from all documents filed with the
23court.
24(Source: P.A. 92-90, eff. 7-18-01.)
 
25    (750 ILCS 60/222)  (from Ch. 40, par. 2312-22)

 

 

HB5373- 1105 -LRB104 20029 AAS 33480 b

1    Sec. 222. Notice of orders.
2    (a) Entry and issuance. Upon issuance of any order of
3protection, the clerk shall immediately (i) enter the order on
4the record and file it in accordance with the circuit court
5procedures and (ii) provide a file stamped copy of the order to
6respondent, if present, and to petitioner.
7    (b) Filing with sheriff or other law enforcement
8officials. The clerk of the issuing judge shall, or the
9petitioner may, on the same day that an order of protection is
10issued, file a certified copy of that order with the sheriff or
11other law enforcement officials charged with maintaining
12Illinois State Police records or charged with serving the
13order upon respondent or executing any search warrant issued
14under paragraph (14.5) of subsection (b) of Section 214 of
15this Act. If a search warrant is issued under paragraph (14.5)
16of subsection (b) of Section 214 of this Act, the clerk of the
17issuing judge shall, or the petitioner may, on the same day
18that the warrant is issued, transmit the warrant to the law
19enforcement agency to which the warrant is directed. If the
20respondent, at the time of the issuance of the order, is
21committed to the custody of the Illinois Department of
22Corrections or Illinois Department of Juvenile Justice or is
23on parole, aftercare release, or mandatory supervised release,
24the sheriff or other law enforcement officials charged with
25maintaining Illinois State Police records shall notify the
26Department of Corrections or Department of Juvenile Justice

 

 

HB5373- 1106 -LRB104 20029 AAS 33480 b

1within 48 hours of receipt of a copy of the order of protection
2from the clerk of the issuing judge or the petitioner. Such
3notice shall include the name of the respondent, the
4respondent's IDOC inmate number or IDJJ youth identification
5number, the respondent's date of birth, and the LEADS Record
6Index Number.
7    (c) Service by sheriff. Unless respondent was present in
8court when the order was issued, the sheriff, other law
9enforcement official or special process server shall promptly
10serve that order upon respondent and file proof of such
11service, in the manner provided for service of process in
12civil proceedings. Instead of serving the order upon the
13respondent, however, the sheriff, other law enforcement
14official, special process server, or other persons defined in
15Section 222.10 may serve the respondent with a short form
16notification as provided in Section 222.10. If process has not
17yet been served upon the respondent, it shall be served with
18the order or short form notification if such service is made by
19the sheriff, other law enforcement official, or special
20process server. A single fee may be charged for service of an
21order obtained in civil court, or for service of such an order
22together with process, unless waived or deferred under Section
23210.
24    (c-5) If the person against whom the order of protection
25is issued is arrested and the written order is issued in
26accordance with subsection (c) of Section 217 and received by

 

 

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1the custodial law enforcement agency before the respondent or
2arrestee is released from custody, the custodial law
3enforcement agent shall promptly serve the order upon the
4respondent or arrestee before the respondent or arrestee is
5released from custody. In no event shall detention of the
6respondent or arrestee be extended for hearing on the petition
7for order of protection or receipt of the order issued under
8Section 217 of this Act.
9    (d) Extensions, modifications and revocations. Any order
10extending, modifying or revoking any order of protection shall
11be promptly recorded, issued and served as provided in this
12Section.
13    (e) Notice to schools. Upon the request of the petitioner,
14within 24 hours of the issuance of an order of protection, the
15clerk of the issuing judge shall send a certified copy of the
16order of protection to the child care day-care facility,
17pre-school or pre-kindergarten, or private school or the
18principal office of the public school district or any college
19or university in which any child who is a protected person
20under the order of protection or any child of the petitioner is
21enrolled as requested by the petitioner at the mailing address
22provided by the petitioner. If the child transfers enrollment
23to another child care day-care facility, pre-school,
24pre-kindergarten, private school, public school, college, or
25university, the petitioner may, within 24 hours of the
26transfer, send to the clerk written notice of the transfer,

 

 

HB5373- 1108 -LRB104 20029 AAS 33480 b

1including the name and address of the institution to which the
2child is transferring. Within 24 hours of receipt of notice
3from the petitioner that a child is transferring to another
4child care day-care facility, pre-school, pre-kindergarten,
5private school, public school, college, or university, the
6clerk shall send a certified copy of the order to the
7institution to which the child is transferring.
8    (f) Disclosure by schools. After receiving a certified
9copy of an order of protection that prohibits a respondent's
10access to records, neither a child care day-care facility,
11pre-school, pre-kindergarten, public or private school,
12college, or university nor its employees shall allow a
13respondent access to a protected child's records or release
14information in those records to the respondent. The school
15shall file the copy of the order of protection in the records
16of a child who is a protected person under the order of
17protection. When a child who is a protected person under the
18order of protection transfers to another child care day-care
19facility, pre-school, pre-kindergarten, public or private
20school, college, or university, the institution from which the
21child is transferring may, at the request of the petitioner,
22provide, within 24 hours of the transfer, written notice of
23the order of protection, along with a certified copy of the
24order, to the institution to which the child is transferring.
25    (g) Notice to health care facilities and health care
26practitioners. Upon the request of the petitioner, the clerk

 

 

HB5373- 1109 -LRB104 20029 AAS 33480 b

1of the circuit court shall send a certified copy of the order
2of protection to any specified health care facility or health
3care practitioner requested by the petitioner at the mailing
4address provided by the petitioner.
5    (h) Disclosure by health care facilities and health care
6practitioners. After receiving a certified copy of an order of
7protection that prohibits a respondent's access to records, no
8health care facility or health care practitioner shall allow a
9respondent access to the records of any child who is a
10protected person under the order of protection, or release
11information in those records to the respondent, unless the
12order has expired or the respondent shows a certified copy of
13the court order vacating the corresponding order of protection
14that was sent to the health care facility or practitioner.
15Nothing in this Section shall be construed to require health
16care facilities or health care practitioners to alter
17procedures related to billing and payment. The health care
18facility or health care practitioner may file the copy of the
19order of protection in the records of a child who is a
20protected person under the order of protection, or may employ
21any other method to identify the records to which a respondent
22is prohibited access. No health care facility or health care
23practitioner shall be civilly or professionally liable for
24reliance on a copy of an order of protection, except for
25willful and wanton misconduct.
26(Source: P.A. 102-538, eff. 8-20-21; 103-1065, eff. 5-11-25.)
 

 

 

HB5373- 1110 -LRB104 20029 AAS 33480 b

1    Section 320. The Illinois Human Rights Act is amended by
2changing Section 5-101 as follows:
 
3    (775 ILCS 5/5-101)  (from Ch. 68, par. 5-101)
4    Sec. 5-101. Definitions. The following definitions are
5applicable strictly in the context of this Article:
6    (A) Place of Public Accommodation. "Place of public
7accommodation" includes, but is not limited to:
8        (1) an inn, hotel, motel, or other place of lodging,
9    except for an establishment located within a building that
10    contains not more than 5 units for rent or hire and that is
11    actually occupied by the proprietor of such establishment
12    as the residence of such proprietor;
13        (2) a restaurant, bar, or other establishment serving
14    food or drink;
15        (3) a motion picture house, theater, concert hall,
16    stadium, or other place of exhibition or entertainment;
17        (4) an auditorium, convention center, lecture hall, or
18    other place of public gathering;
19        (5) a bakery, grocery store, clothing store, hardware
20    store, shopping center, or other sales or rental
21    establishment;
22        (6) a laundromat, dry-cleaner, bank, barber shop,
23    beauty shop, travel service, shoe repair service, funeral
24    parlor, gas station, office of an accountant or lawyer,

 

 

HB5373- 1111 -LRB104 20029 AAS 33480 b

1    pharmacy, insurance office, professional office of a
2    health care provider, hospital, or other service
3    establishment;
4        (7) public conveyances on air, water, or land;
5        (8) a terminal, depot, or other station used for
6    specified public transportation;
7        (9) a museum, library, gallery, or other place of
8    public display or collection;
9        (10) a park, zoo, amusement park, or other place of
10    recreation;
11        (11) a non-sectarian nursery, child day care center,
12    elementary, secondary, undergraduate, or postgraduate
13    school, or other place of education;
14        (12) a senior citizen center, homeless shelter, food
15    bank, non-sectarian adoption agency, or other social
16    service center establishment; and
17        (13) a gymnasium, health spa, bowling alley, golf
18    course, or other place of exercise or recreation.
19    (B) Operator. "Operator" means any owner, lessee,
20proprietor, manager, superintendent, agent, or occupant of a
21place of public accommodation or an employee of any such
22person or persons.
23    (C) Public Official. "Public official" means any officer
24or employee of the state or any agency thereof, including
25state political subdivisions, municipal corporations, park
26districts, forest preserve districts, educational

 

 

HB5373- 1112 -LRB104 20029 AAS 33480 b

1institutions, and schools.
2(Source: P.A. 100-863, eff. 8-14-18.)
 
3    Section 325. The Minimum Wage Law is amended by changing
4Section 3 as follows:
 
5    (820 ILCS 105/3)  (from Ch. 48, par. 1003)
6    Sec. 3. As used in this Act:
7    (a) "Director" means the Director of the Department of
8Labor, and "Department" means the Department of Labor.
9    (b) "Wages" means compensation due to an employee by
10reason of his employment, including allowances determined by
11the Director in accordance with the provisions of this Act for
12gratuities and, when furnished by the employer, for meals and
13lodging actually used by the employee.
14    (c) "Employer" includes any individual, partnership,
15association, corporation, limited liability company, business
16trust, governmental or quasi-governmental body, or any person
17or group of persons acting directly or indirectly in the
18interest of an employer in relation to an employee, for which
19one or more persons are gainfully employed on some day within a
20calendar year. An employer is subject to this Act in a calendar
21year on and after the first day in such calendar year in which
22he employs one or more persons, and for the following calendar
23year.
24    (d) "Employee" includes any individual permitted to work

 

 

HB5373- 1113 -LRB104 20029 AAS 33480 b

1by an employer in an occupation, and includes, notwithstanding
2subdivision (1) of this subsection (d), one or more domestic
3workers as defined in Section 10 of the Domestic Workers' Bill
4of Rights Act, but does not include any individual permitted
5to work:
6        (1) For an employer employing fewer than 4 employees
7    exclusive of the employer's parent, spouse or child or
8    other members of his immediate family.
9        (2) As an employee employed in agriculture or
10    aquaculture (A) if such employee is employed by an
11    employer who did not, during any calendar quarter during
12    the preceding calendar year, use more than 500 man-days of
13    agricultural or aquacultural labor, (B) if such employee
14    is the parent, spouse or child, or other member of the
15    employer's immediate family, (C) if such employee (i) is
16    employed as a hand harvest laborer and is paid on a piece
17    rate basis in an operation which has been, and is
18    customarily and generally recognized as having been, paid
19    on a piece rate basis in the region of employment, (ii)
20    commutes daily from his permanent residence to the farm on
21    which he is so employed, and (iii) has been employed in
22    agriculture less than 13 weeks during the preceding
23    calendar year, (D) if such employee (other than an
24    employee described in clause (C) of this subparagraph):
25    (i) is 16 years of age or under and is employed as a hand
26    harvest laborer, is paid on a piece rate basis in an

 

 

HB5373- 1114 -LRB104 20029 AAS 33480 b

1    operation which has been, and is customarily and generally
2    recognized as having been, paid on a piece rate basis in
3    the region of employment, (ii) is employed on the same
4    farm as his parent or person standing in the place of his
5    parent, and (iii) is paid at the same piece rate as
6    employees over 16 are paid on the same farm.
7        (3) (Blank).
8        (4) As an outside salesman.
9        (5) As a member of a religious corporation or
10    organization.
11        (6) At an accredited Illinois college or university
12    employed by the college or university at which he is a
13    student who is covered under the provisions of the Fair
14    Labor Standards Act of 1938, as heretofore or hereafter
15    amended.
16        (7) For a motor carrier and with respect to whom the
17    U.S. Secretary of Transportation has the power to
18    establish qualifications and maximum hours of service
19    under the provisions of Title 49 U.S.C. or the State of
20    Illinois under Section 18b-105 (Title 92 of the Illinois
21    Administrative Code, Part 395 - Hours of Service of
22    Drivers) of the Illinois Vehicle Code.
23        (8) As an employee employed as a player who is 28 years
24    old or younger, a manager, a coach, or an athletic trainer
25    by a minor league professional baseball team not
26    affiliated with a major league baseball club, if (A) the

 

 

HB5373- 1115 -LRB104 20029 AAS 33480 b

1    minor league professional baseball team does not operate
2    for more than 7 months in any calendar year or (B) during
3    the preceding calendar year, the minor league professional
4    baseball team's average receipts for any 6-month period of
5    the year were not more than 33 1/3% of its average receipts
6    for the other 6 months of the year.
7    The above exclusions from the term "employee" may be
8further defined by regulations of the Director.
9    (e) "Occupation" means an industry, trade, business or
10class of work in which employees are gainfully employed.
11    (f) "Gratuities" means voluntary monetary contributions to
12an employee from a guest, patron or customer in connection
13with services rendered.
14    (g) "Outside salesman" means an employee regularly engaged
15in making sales or obtaining orders or contracts for services
16where a major portion of such duties are performed away from
17his employer's place of business.
18    (h) "Day camp" means a seasonal recreation program in
19operation for no more than 16 weeks intermittently throughout
20the calendar year, accommodating for profit or under
21philanthropic or charitable auspices, 5 or more children under
2218 years of age, not including overnight programs. The term
23"day camp" does not include a "child day care agency", "child
24care facility" or "foster family home" as licensed by the
25Illinois Department of Children and Family Services.
26(Source: P.A. 99-758, eff. 1-1-17; 100-192, eff. 8-18-17.)
 

 

 

HB5373- 1116 -LRB104 20029 AAS 33480 b

1    Section 330. The Domestic Workers' Bill of Rights Act is
2amended by changing Section 10 as follows:
 
3    (820 ILCS 182/10)
4    Sec. 10. Definitions. As used in this Act:
5    "Domestic work" means:
6        (1) housekeeping;
7        (2) house cleaning;
8        (3) home management;
9        (4) nanny services including child care childcare and
10    child monitoring;
11        (5) caregiving, personal care or home health services
12    for elderly persons or persons with an illness, injury, or
13    disability who require assistance in caring for
14    themselves;
15        (6) laundering;
16        (7) cooking;
17        (8) companion services;
18        (9) chauffeuring; or
19        (10) other household services for members of
20    households or their guests in or about a private home or
21    residence or any other location where the domestic work is
22    performed.
23    "Domestic worker" means a person employed to perform
24domestic work. "Domestic worker" does not include: (i) a

 

 

HB5373- 1117 -LRB104 20029 AAS 33480 b

1person performing domestic work who is the employer's parent,
2spouse, child, or other member of his or her immediate family,
3exclusive of individuals whose primary work duties are
4caregiving, companion services, personal care or home health
5services for elderly persons or persons with an illness,
6injury, or disability who require assistance in caring for
7themselves; (ii) child and day care home providers
8participating in the child care assistance program under
9Section 9A-11 of the Illinois Public Aid Code; (iii) a person
10who is employed by one or more employers in or about a private
11home or residence or any other location where the domestic
12work is performed for 8 hours or less in the aggregate in any
13workweek on a regular basis, exclusive of individuals whose
14primary work duties are caregiving, companion services,
15personal care or home health services for elderly persons or
16persons with an illness, injury, or disability who require
17assistance in caring for themselves; or (iv) a person who the
18employer establishes: (A) has been and will continue to be
19free from control and direction over the performance of his or
20her work, both under a contract of service and in fact; (B) is
21engaged in an independently established trade, occupation,
22profession or business; or (C) is deemed a legitimate sole
23proprietor or partnership. A sole proprietor or partnership
24shall be deemed to be legitimate if the employer establishes
25that:
26        (1) the sole proprietor or partnership is performing

 

 

HB5373- 1118 -LRB104 20029 AAS 33480 b

1    the service free from the direction or control over the
2    means and manner of providing the service, subject only to
3    the right of the employer for whom the service is provided
4    to specify the desired result;
5        (2) the sole proprietor or partnership is not subject
6    to cancellation or destruction upon severance of the
7    relationship with the employer;
8        (3) the sole proprietor or partnership has a
9    substantial investment of capital in the sole
10    proprietorship or partnership beyond ordinary tools and
11    equipment and a personal vehicle;
12        (4) the sole proprietor or partnership owns the
13    capital goods and gains the profits and bears the losses
14    of the sole proprietorship or partnership;
15        (5) the sole proprietor or partnership makes its
16    services available to the general public on a continuing
17    basis;
18        (6) the sole proprietor or partnership includes
19    services rendered on a Federal Income Tax Schedule as an
20    independent business or profession;
21        (7) the sole proprietor or partnership performs
22    services for the contractor under the sole
23    proprietorship's or partnership's name;
24        (8) when the services being provided require a license
25    or permit, the sole proprietor or partnership obtains and
26    pays for the license or permit in the sole

 

 

HB5373- 1119 -LRB104 20029 AAS 33480 b

1    proprietorship's or partnership's name;
2        (9) the sole proprietor or partnership furnishes the
3    tools and equipment necessary to provide the service;
4        (10) if necessary, the sole proprietor or partnership
5    hires its own employees without approval of the employer,
6    pays the employees without reimbursement from the employer
7    and reports the employees' income to the Internal Revenue
8    Service;
9        (11) the employer does not represent the sole
10    proprietorship or partnership as an employee of the
11    employer to the public; and
12        (12) the sole proprietor or partnership has the right
13    to perform similar services for others on whatever basis
14    and whenever it chooses.
15    "Employ" includes to suffer or permit to work.
16    "Employee" means a domestic worker.
17    "Employer" means: any individual; partnership;
18association; corporation; limited liability company; business
19trust; employment and labor placement agency where wages are
20made directly or indirectly by the agency or business for work
21undertaken by employees under hire to a third party pursuant
22to a contract between the business or agency with the third
23party; the State of Illinois and local governments, or any
24political subdivision of the State or local government, or
25State or local government agency; for which one or more
26persons is gainfully employed, express or implied, whether

 

 

HB5373- 1120 -LRB104 20029 AAS 33480 b

1lawfully or unlawfully employed, who employs a domestic worker
2or who exercises control over the domestic worker's wage,
3remuneration, or other compensation, hours of employment,
4place of employment, or working conditions, or whose agent or
5any other person or group of persons acting directly or
6indirectly in the interest of an employer in relation to the
7employee exercises control over the domestic worker's wage,
8remuneration or other compensation, hours of employment, place
9of employment, or working conditions.
10(Source: P.A. 99-758, eff. 1-1-17.)
 
11    Section 995. No acceleration or delay. Where this Act
12makes changes in a statute that is represented in this Act by
13text that is not yet or no longer in effect (for example, a
14Section represented by multiple versions), the use of that
15text does not accelerate or delay the taking effect of (i) the
16changes made by this Act or (ii) provisions derived from any
17other Public Act.
 
18    Section 999. Effective date. This Act takes effect July 1,
192026.

 

 

HB5373- 1121 -LRB104 20029 AAS 33480 b

1 INDEX
2 Statutes amended in order of appearance
3    5 ILCS 315/3from Ch. 48, par. 1603
4    5 ILCS 315/7from Ch. 48, par. 1607
5    5 ILCS 340/3from Ch. 15, par. 503
6    20 ILCS 505/5
7    20 ILCS 505/5afrom Ch. 23, par. 5005a
8    20 ILCS 505/5.15
9    20 ILCS 505/21
10    20 ILCS 505/22.1from Ch. 23, par. 5022.1
11    20 ILCS 505/22.4from Ch. 23, par. 5022.4
12    20 ILCS 605/605-1050
13    20 ILCS 655/8from Ch. 67 1/2, par. 612
14    20 ILCS 1305/1-75
15    20 ILCS 1305/10-22
16    20 ILCS 1705/57.5
17    20 ILCS 3501/840-5
18    20 ILCS 3510/2from Ch. 111 1/2, par. 8102
19    30 ILCS 590/2from Ch. 127, par. 3002
20    30 ILCS 590/3from Ch. 127, par. 3003
21    30 ILCS 590/4from Ch. 127, par. 3004
22    30 ILCS 590/5from Ch. 127, par. 3005
23    35 ILCS 105/2cfrom Ch. 120, par. 439.2c
24    35 ILCS 115/2cfrom Ch. 120, par. 439.102c
25    35 ILCS 120/2hfrom Ch. 120, par. 441h

 

 

HB5373- 1122 -LRB104 20029 AAS 33480 b

1    50 ILCS 350/15
2    55 ILCS 5/4-11001from Ch. 34, par. 4-11001
3    55 ILCS 5/5-1097.5
4    55 ILCS 5/5-12020
5    55 ILCS 5/5-12024
6    60 ILCS 1/85-13
7    65 ILCS 5/8-3-18
8    65 ILCS 5/11-5-1.5
9    65 ILCS 5/11-21.5-5
10    65 ILCS 5/11-74.4-3from Ch. 24, par. 11-74.4-3
11    65 ILCS 5/11-80-15from Ch. 24, par. 11-80-15
12    65 ILCS 115/10-8
13    105 ILCS 5/2-3.66from Ch. 122, par. 2-3.66
14    105 ILCS 5/10-22.18bfrom Ch. 122, par. 10-22.18b
15    105 ILCS 5/10-22.18cfrom Ch. 122, par. 10-22.18c
16    105 ILCS 5/34-18.4from Ch. 122, par. 34-18.4
17    105 ILCS 10/2from Ch. 122, par. 50-2
18    110 ILCS 305/1dfrom Ch. 144, par. 22d
19    110 ILCS 520/8b.1from Ch. 144, par. 658b.1
20    110 ILCS 660/5-95
21    110 ILCS 665/10-95
22    110 ILCS 670/15-95
23    110 ILCS 675/20-95
24    110 ILCS 680/25-95
25    110 ILCS 685/30-95
26    110 ILCS 690/35-95

 

 

HB5373- 1123 -LRB104 20029 AAS 33480 b

1    210 ILCS 3/35
2    210 ILCS 46/1-114.001
3    210 ILCS 47/1-114.001
4    210 ILCS 85/6.13from Ch. 111 1/2, par. 147.13
5    215 ILCS 5/155.31
6    215 ILCS 5/1204from Ch. 73, par. 1065.904
7    215 ILCS 5/1630
8    220 ILCS 5/8-103B
9    225 ILCS 10/2.09
10    225 ILCS 10/2.10from Ch. 23, par. 2212.10
11    225 ILCS 10/2.11from Ch. 23, par. 2212.11
12    225 ILCS 10/2.18from Ch. 23, par. 2212.18
13    225 ILCS 10/2.20from Ch. 23, par. 2212.20
14    225 ILCS 10/3
15    225 ILCS 10/3.01
16    225 ILCS 10/3.8
17    225 ILCS 10/4from Ch. 23, par. 2214
18    225 ILCS 10/4.01
19    225 ILCS 10/4.1from Ch. 23, par. 2214.1
20    225 ILCS 10/4.2from Ch. 23, par. 2214.2
21    225 ILCS 10/4.2a
22    225 ILCS 10/4.3from Ch. 23, par. 2214.3
23    225 ILCS 10/4.3a
24    225 ILCS 10/4.4from Ch. 23, par. 2214.4
25    225 ILCS 10/4.4a
26    225 ILCS 10/4.5

 

 

HB5373- 1124 -LRB104 20029 AAS 33480 b

1    225 ILCS 10/5from Ch. 23, par. 2215
2    225 ILCS 10/5.01
3    225 ILCS 10/5.1
4    225 ILCS 10/5.1a
5    225 ILCS 10/5.2
6    225 ILCS 10/5.2a
7    225 ILCS 10/5.3
8    225 ILCS 10/5.5
9    225 ILCS 10/5.6
10    225 ILCS 10/5.8
11    225 ILCS 10/5.9
12    225 ILCS 10/5.10
13    225 ILCS 10/5.11
14    225 ILCS 10/5.12
15    225 ILCS 10/6from Ch. 23, par. 2216
16    225 ILCS 10/7from Ch. 23, par. 2217
17    225 ILCS 10/7.10
18    225 ILCS 10/8from Ch. 23, par. 2218
19    225 ILCS 10/8.1from Ch. 23, par. 2218.1
20    225 ILCS 10/8.2from Ch. 23, par. 2218.2
21    225 ILCS 10/8.5
22    225 ILCS 10/8a
23    225 ILCS 10/8.1a
24    225 ILCS 10/8.2a
25    225 ILCS 10/8.6
26    225 ILCS 10/9from Ch. 23, par. 2219

 

 

HB5373- 1125 -LRB104 20029 AAS 33480 b

1    225 ILCS 10/9.01
2    225 ILCS 10/9.1c
3    225 ILCS 10/9.2
4    225 ILCS 10/10from Ch. 23, par. 2220
5    225 ILCS 10/11.2from Ch. 23, par. 2221.2
6    225 ILCS 10/11.3
7    225 ILCS 10/12from Ch. 23, par. 2222
8    225 ILCS 10/12.1
9    225 ILCS 10/15from Ch. 23, par. 2225
10    225 ILCS 10/15.1
11    225 ILCS 10/18from Ch. 23, par. 2228
12    225 ILCS 10/18.1
13    225 ILCS 10/3.7 rep.
14    225 ILCS 10/16.1 rep.
15    225 ILCS 235/2from Ch. 111 1/2, par. 2202
16    225 ILCS 235/3.03from Ch. 111 1/2, par. 2203.03
17    225 ILCS 235/3.27
18    225 ILCS 235/10.2from Ch. 111 1/2, par. 2210.2
19    225 ILCS 235/10.3
20    225 ILCS 235/21.1from Ch. 111 1/2, par. 2221.1
21    225 ILCS 605/2from Ch. 8, par. 302
22    225 ILCS 605/3from Ch. 8, par. 303
23    235 ILCS 5/6-15from Ch. 43, par. 130
24    305 ILCS 5/5-19from Ch. 23, par. 5-19
25    305 ILCS 5/9-6from Ch. 23, par. 9-6
26    305 ILCS 5/9A-7from Ch. 23, par. 9A-7

 

 

HB5373- 1126 -LRB104 20029 AAS 33480 b

1    305 ILCS 5/9A-11from Ch. 23, par. 9A-11
2    325 ILCS 3/1-10
3    325 ILCS 3/Art. 20 heading
4    325 ILCS 3/20-10
5    325 ILCS 3/20-15
6    325 ILCS 3/20-20
7    325 ILCS 3/20-25
8    325 ILCS 3/20-35
9    325 ILCS 5/2from Ch. 23, par. 2052
10    325 ILCS 5/4
11    325 ILCS 5/8.2from Ch. 23, par. 2058.2
12    325 ILCS 50/5from Ch. 23, par. 2285
13    325 ILCS 85/95-10
14    405 ILCS 5/1-111from Ch. 91 1/2, par. 1-111
15    410 ILCS 27/5
16    410 ILCS 45/7.1from Ch. 111 1/2, par. 1307.1
17    410 ILCS 50/3.4
18    410 ILCS 130/105
19    410 ILCS 130/130
20    410 ILCS 170/10
21    410 ILCS 205/3from Ch. 23, par. 2333
22    410 ILCS 625/3.06
23    415 ILCS 5/17.12
24    415 ILCS 65/2from Ch. 5, par. 852
25    415 ILCS 65/3from Ch. 5, par. 853
26    415 ILCS 65/6from Ch. 5, par. 856

 

 

HB5373- 1127 -LRB104 20029 AAS 33480 b

1    425 ILCS 65/9from Ch. 127 1/2, par. 709
2    430 ILCS 68/5-20
3    625 ILCS 5/6-205
4    625 ILCS 5/6-206
5    625 ILCS 5/12-707.01from Ch. 95 1/2, par. 12-707.01
6    720 ILCS 5/2-5.1
7    720 ILCS 5/2-5.2
8    720 ILCS 5/2-8.1
9    720 ILCS 5/11-0.1
10    720 ILCS 5/11-9.3
11    720 ILCS 5/11-24
12    720 ILCS 5/18-1from Ch. 38, par. 18-1
13    720 ILCS 5/19-1from Ch. 38, par. 19-1
14    720 ILCS 5/48-1was 720 ILCS 5/26-5
15    725 ILCS 5/112A-14.5
16    725 ILCS 5/112A-14.7
17    725 ILCS 5/112A-22from Ch. 38, par. 112A-22
18    725 ILCS 207/40
19    730 ILCS 5/3-2.5-95
20    730 ILCS 5/3-3-7from Ch. 38, par. 1003-3-7
21    730 ILCS 5/5-5-3.2
22    740 ILCS 21/80
23    740 ILCS 21/115
24    740 ILCS 22/213
25    750 ILCS 46/106
26    750 ILCS 60/203from Ch. 40, par. 2312-3

 

 

HB5373- 1128 -LRB104 20029 AAS 33480 b

1    750 ILCS 60/222from Ch. 40, par. 2312-22
2    775 ILCS 5/5-101from Ch. 68, par. 5-101
3    820 ILCS 105/3from Ch. 48, par. 1003
4    820 ILCS 182/10