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1 | | (b) The provisions of this Act shall be liberally |
2 | | construed to effectuate its purposes. |
3 | | ARTICLE II. Definitions |
4 | | Section 2-1. Definitions. As used in this Act: |
5 | | "Acting in concert" means persons knowingly acting |
6 | | together with a common goal of jointly acquiring control of a |
7 | | licensee whether or not pursuant to an express agreement. |
8 | | "Authorized delegate" means a person a licensee designates |
9 | | to engage in money transmission on behalf of the licensee. |
10 | | "Average daily money transmission liability" means the |
11 | | amount of the licensee's outstanding money transmission |
12 | | obligations in this State at the end of each day in a given |
13 | | period of time, added together, and divided by the total |
14 | | number of days in the given period of time. For purposes of |
15 | | calculating average daily money transmission liability under |
16 | | this Act for any licensee required to do so, the given period |
17 | | of time shall be the quarters ending March 31, June 30, |
18 | | September 30, and December 31. |
19 | | "Bank Secrecy Act" means the Bank Secrecy Act, 31 U.S.C. |
20 | | 5311, et seq. and its implementing rules and regulations, as |
21 | | amended and recodified from time to time. |
22 | | "Bill payment service" means the business of transmitting |
23 | | money on behalf of an Illinois person for the purposes of |
24 | | paying the person's bills. |
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1 | | "Closed loop stored value" means stored value that is |
2 | | redeemable by the issuer only for goods or services provided |
3 | | by the issuer or its affiliate or franchisees of the issuer or |
4 | | its affiliate, except to the extent required by applicable law |
5 | | to be redeemable in cash for its cash value. |
6 | | "Control" means: |
7 | | (1) the power to vote, directly or indirectly, at |
8 | | least 25% of the outstanding voting shares or voting |
9 | | interests of a licensee or person in control of a |
10 | | licensee; |
11 | | (2) the power to elect or appoint a majority of key |
12 | | individuals or executive officers, managers, directors, |
13 | | trustees, or other persons exercising managerial authority |
14 | | of a person in control of a licensee; or |
15 | | (3) the power to exercise, directly or indirectly, a |
16 | | controlling influence over the management or policies of a |
17 | | licensee or person in control of a licensee. |
18 | | For purposes of determining the percentage of a person |
19 | | controlled by any other person, the person's interest shall be |
20 | | aggregated with the interest of any other immediate family |
21 | | member, including the person's spouse, parents, children, |
22 | | siblings, mothers-in-law and fathers-in-law, sons-in-law and |
23 | | daughters-in-law, brothers-in-law and sisters-in-law, and any |
24 | | other person who shares such person's home. |
25 | | "Department" means the Department of Financial and |
26 | | Professional Regulation. |
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1 | | "Division" means the Division of Financial Institutions of |
2 | | the Department of Financial and Professional Regulation. |
3 | | "Eligible rating" means a credit rating of any of the 3 |
4 | | highest rating categories provided by an eligible rating |
5 | | service, whereby each category may include rating category |
6 | | modifiers such as "plus" or "minus" for S&P, or the equivalent |
7 | | for any other eligible rating service. For purposes of this |
8 | | definition, long-term credit ratings are deemed eligible if |
9 | | the rating is equal to "A-" or higher by S&P, or the equivalent |
10 | | from any other eligible rating service; short-term credit |
11 | | ratings are deemed eligible if the rating is equal to or higher |
12 | | than "A-2" or "SP-2" by S&P, or the equivalent from any other |
13 | | eligible rating service; if ratings differ among eligible |
14 | | rating services, the highest rating shall apply when |
15 | | determining whether a security bears an eligible rating. |
16 | | "Eligible rating service" means any nationally recognized |
17 | | statistical rating organization as defined by the U.S. |
18 | | Securities and Exchange Commission, and any other organization |
19 | | designated by the Secretary by rule or order. |
20 | | "Federally insured depository financial institution" means |
21 | | a bank, credit union, savings and loan association, trust |
22 | | company, savings association, savings bank, industrial bank, |
23 | | or industrial loan company organized under the laws of the |
24 | | United States or any state of the United States, if the bank, |
25 | | credit union, savings and loan association, trust company, |
26 | | savings association, savings bank, industrial bank, or |
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1 | | industrial loan company has federally insured deposits. |
2 | | "In this State" means at a physical location within this |
3 | | State for a transaction requested in person. For a transaction |
4 | | requested electronically or by phone, the provider of money |
5 | | transmission may determine if the person requesting the |
6 | | transaction is in this State by relying on other information |
7 | | provided by the person regarding the location of the |
8 | | individual's residential address or a business entity's |
9 | | principal place of business or other physical address |
10 | | location, and any records associated with the person that the |
11 | | provider of money transmission may have that indicate such |
12 | | location, including, but not limited to, an address associated |
13 | | with an account. Solely for purposes of payroll processing |
14 | | services, "in this State" for a transaction requested |
15 | | electronically or by phone, means the mailing address the |
16 | | person requesting the payroll processing services uses with |
17 | | the Internal Revenue Service is in Illinois. |
18 | | "Individual" means a natural person. |
19 | | "Key individual" means any individual ultimately |
20 | | responsible for establishing or directing policies and |
21 | | procedures of the licensee, such as an executive officer, |
22 | | manager, director, or trustee. |
23 | | "Licensee" means a person licensed under this Act. |
24 | | "Material litigation" means litigation, that according to |
25 | | United States generally accepted accounting principles, is |
26 | | significant to a person's financial health and would be |
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1 | | required to be disclosed in the person's annual audited |
2 | | financial statements, report to shareholders, or similar |
3 | | records. |
4 | | "Money" means a medium of exchange that is authorized or |
5 | | adopted by the United States or a foreign government as part of |
6 | | its currency and that is customarily used and accepted as a |
7 | | medium of exchange in the country of issuance. "Money" |
8 | | includes a monetary unit of account established by an |
9 | | intergovernmental organization or by agreement between 2 or |
10 | | more governments. |
11 | | "Monetary value" means a medium of exchange, whether or |
12 | | not redeemable in money unless excluded by rule by the |
13 | | Secretary. |
14 | | "Money transmission" means any of the following: |
15 | | (1) Selling or issuing payment instruments to a person |
16 | | located in this State. |
17 | | (2) Selling or issuing stored value to a person |
18 | | located in this State. |
19 | | (3) Receiving money for transmission from a person |
20 | | located in this State or transmitting money in this State. |
21 | | "Money transmission" includes bill payment services and |
22 | | payroll processing services. "Money transmission" does not |
23 | | include the provision solely of online or telecommunications |
24 | | services or network access. |
25 | | "MSB accredited state agency" means a state agency that is |
26 | | accredited by the Conference of State Bank Supervisors and |
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1 | | Money Transmitter Regulators Association for money |
2 | | transmission licensing and supervision. |
3 | | "Multistate licensing process" means any agreement entered |
4 | | into by and among state regulators relating to coordinated |
5 | | processing of applications for money transmission licenses, |
6 | | applications for the acquisition of control of a licensee, |
7 | | control determinations, or notice and information requirements |
8 | | for a change of key individuals. |
9 | | "NMLS" means the Nationwide Multistate Licensing System |
10 | | and Registry developed by the Conference of State Bank |
11 | | Supervisors and the American Association of Residential |
12 | | Mortgage Regulators and owned and operated by the State |
13 | | Regulatory Registry, LLC, or any successor or affiliated |
14 | | entity, for the licensing and registration of persons in |
15 | | financial services industries. |
16 | | "Outstanding money transmission obligations" means any of |
17 | | the following: |
18 | | (1) Any payment instrument or stored value issued or |
19 | | sold by the licensee to a person located in the United |
20 | | States or reported as sold by an authorized delegate of |
21 | | the licensee to a person that is located in the United |
22 | | States that has not yet been paid or refunded by or for the |
23 | | licensee or escheated in accordance with applicable |
24 | | abandoned property laws; or |
25 | | (2) Any money received for transmission by the |
26 | | licensee or an authorized delegate in the United States |
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1 | | from a person located in the United States that has not |
2 | | been received by the payee, refunded to the sender, or |
3 | | escheated in accordance with applicable abandoned property |
4 | | laws. |
5 | | For purposes of this definition, "in the United States" |
6 | | includes, to the extent applicable, a person in any state, |
7 | | territory, or possession of the United States; the District of |
8 | | Columbia; the Commonwealth of Puerto Rico; or a U.S. military |
9 | | installation that is located in a foreign country. |
10 | | "Passive investor" means a person that: |
11 | | (1) does not have the power to elect a majority of key |
12 | | individuals or executive officers, managers, directors, |
13 | | trustees, or other persons exercising managerial authority |
14 | | of a person in control of a licensee; |
15 | | (2) is not employed by and does not have any |
16 | | managerial duties of the licensee or person in control of |
17 | | a licensee; |
18 | | (3) does not have the power to exercise, directly or |
19 | | indirectly, a controlling influence over the management or |
20 | | policies of a licensee or person in control of a licensee; |
21 | | and |
22 | | (4) either: |
23 | | (A) attests to items (1), (2), and (3), in a form |
24 | | and in a medium prescribed by the Secretary; or |
25 | | (B)commits to the passivity characteristics of |
26 | | items (1), (2), and (3), in a written document. |
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1 | | "Payment instrument" means a written or electronic check, |
2 | | draft, money order, traveler's check, or other written or |
3 | | electronic instrument for the transmission or payment of money |
4 | | or monetary value, whether or not negotiable. "Payment |
5 | | instrument" does not include stored value or any instrument |
6 | | that (1) is redeemable by the issuer only for goods or services |
7 | | provided by the issuer or its affiliate or franchisees of the |
8 | | issuer or its affiliate, except to the extent required by |
9 | | applicable law to be redeemable in cash for its cash value; or |
10 | | (2) not sold to the public but issued and distributed as part |
11 | | of a loyalty, rewards, or promotional program. |
12 | | "Payroll processing services" means receiving money for |
13 | | transmission pursuant to a contract with a person to deliver |
14 | | wages or salaries, make payment of payroll taxes to State and |
15 | | federal agencies, make payments relating to employee benefit |
16 | | plans, or make distributions of other authorized deductions |
17 | | from wages or salaries. "Payroll processing services" does not |
18 | | include an employer performing payroll processing services on |
19 | | its own behalf or on behalf of its affiliate. |
20 | | "Person" means any individual, general partnership, |
21 | | limited partnership, limited liability company, corporation, |
22 | | trust, association, joint stock corporation, or other |
23 | | corporate entity identified by the Secretary. |
24 | | "Receiving money for transmission" or "money received for |
25 | | transmission" means receiving money or monetary value in the |
26 | | United States for transmission within or outside the United |
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1 | | States by electronic or other means. |
2 | | "Secretary" means the Secretary of Financial and |
3 | | Professional Regulation, the acting Secretary, or a person |
4 | | authorized by the Secretary. |
5 | | "Stored value" means monetary value representing a claim |
6 | | against the issuer evidenced by an electronic or digital |
7 | | record, and that is intended and accepted for use as a means of |
8 | | redemption for money or monetary value, or payment for goods |
9 | | or services. "Stored value" includes, but is not limited to, |
10 | | "prepaid access" as defined by 31 CFR Section 1010.100, as |
11 | | amended or recodified from time to time. Notwithstanding the |
12 | | foregoing, "stored value" does not include a payment |
13 | | instrument or closed loop stored value, or stored value not |
14 | | sold to the public but issued and distributed as part of a |
15 | | loyalty, rewards, or promotional program. |
16 | | "Tangible net worth" means the aggregate assets of a |
17 | | licensee excluding all intangible assets, less liabilities, as |
18 | | determined in accordance with United States generally accepted |
19 | | accounting principles. |
20 | | ARTICLE III. Exemptions |
21 | | Section 3-1. Exemptions. This Act does not apply to: |
22 | | (1) An operator of a payment system to the extent that it |
23 | | provides processing, clearing, or settlement services, between |
24 | | or among persons exempted by this Section or licensees, in |
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1 | | connection with wire transfers, credit card transactions, |
2 | | debit card transactions, stored value transactions, automated |
3 | | clearinghouse transfers, or similar funds transfers. |
4 | | (2) A person appointed as an agent of a payee to collect |
5 | | and process a payment from a payor to the payee for goods or |
6 | | services, other than money transmission itself, provided to |
7 | | the payor by the payee, if: |
8 | | (A) there exists a written agreement between the payee |
9 | | and the agent directing the agent to collect and process |
10 | | payments from payors on the payee's behalf; and |
11 | | (B) payment for the goods and services is treated as |
12 | | received by the payee upon receipt by the agent so that the |
13 | | payor's obligation is extinguished and there is no risk of |
14 | | loss to the payor if the agent fails to remit the funds to |
15 | | the payee. |
16 | | (3) A person that acts as an intermediary by processing |
17 | | payments between an entity that has directly incurred an |
18 | | outstanding money transmission obligation to a sender, and the |
19 | | sender's designated recipient, if the entity: |
20 | | (A) is properly licensed or exempt from licensing |
21 | | requirements under this Act; |
22 | | (B) provides a receipt, electronic record, or other |
23 | | written confirmation to the sender identifying the entity |
24 | | as the provider of money transmission in the transaction; |
25 | | and |
26 | | (C) bears sole responsibility to satisfy the |
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1 | | outstanding money transmission obligation to the sender, |
2 | | including the obligation to make the sender whole in |
3 | | connection with any failure to transmit the funds to the |
4 | | sender's designated recipient. |
5 | | (4) The United States or a department, agency, or |
6 | | instrumentality thereof, or its agent. |
7 | | (5) Money transmission by the United States Postal Service |
8 | | or by an agent of the United States Postal Service. |
9 | | (6) A State, county, city, or any other governmental |
10 | | agency or governmental subdivision or instrumentality of a |
11 | | State, or its agent. |
12 | | (7) A federally insured depository financial institution, |
13 | | bank holding company, office of an international banking |
14 | | corporation, foreign bank that establishes a federal branch |
15 | | pursuant to the International Bank Act, 12 U.S.C. 3102, as |
16 | | amended or recodified from time to time, corporation organized |
17 | | pursuant to the Bank Service Corporation Act, 12 U.S.C. |
18 | | Sections 1861 through 1867, as amended or recodified from time |
19 | | to time, or corporation organized under the Edge Act, 12 |
20 | | U.S.C. Sections 611 through 633, as amended or recodified from |
21 | | time to time, under the laws of a state or the United States. |
22 | | (8) Electronic funds transfer of governmental benefits for |
23 | | a federal, State, county, or governmental agency by a |
24 | | contractor on behalf of the United States or a department, |
25 | | agency, or instrumentality thereof, or on behalf of a State or |
26 | | governmental subdivision, agency, or instrumentality thereof. |
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1 | | (9) A board of trade designated as a contract market under |
2 | | the federal Commodity Exchange Act, 7 U.S.C. Sections 1 |
3 | | through 25, as amended or recodified from time to time, or a |
4 | | person that, in the ordinary course of business, provides |
5 | | clearance and settlement services for a board of trade to the |
6 | | extent of its operation as or for such a board. |
7 | | (10) A registered futures commission merchant under the |
8 | | federal commodities laws to the extent of its operation as |
9 | | such a merchant. |
10 | | (11) A person registered as a securities broker-dealer |
11 | | under federal or State securities laws to the extent of its |
12 | | operation as such a broker-dealer. |
13 | | (12) An individual employed by a licensee, authorized |
14 | | delegate, or any person exempted from the licensing |
15 | | requirements of the Act when acting within the scope of |
16 | | employment and under the supervision of the licensee, |
17 | | authorized delegate, or exempted person as an employee and not |
18 | | as an independent contractor. |
19 | | (13) A person expressly appointed as a third-party service |
20 | | provider to or agent of an entity exempt under paragraph (7) or |
21 | | (16), solely to the extent that: |
22 | | (A) such service provider or agent is engaging in |
23 | | money transmission on behalf of and pursuant to a written |
24 | | agreement with the exempt entity that sets forth the |
25 | | specific functions that the service provider or agent is |
26 | | to perform; and |
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1 | | (B) the exempt entity assumes all risk of loss and all |
2 | | legal responsibility for satisfying the outstanding money |
3 | | transmission obligations owed to purchasers and holders of |
4 | | the outstanding money transmission obligations upon |
5 | | receipt of the purchaser's or holder's money or monetary |
6 | | value by the service provider or agent. |
7 | | (14) Any other person, transaction, or class of persons or |
8 | | transactions exempted by rule or any other person or |
9 | | transaction exempted by the Secretary's order on a finding |
10 | | that the licensing of the person is not necessary to achieve |
11 | | the purposes of this Act. |
12 | | (15) Currency exchanges licensed under the Currency |
13 | | Exchange Act to the extent of its operation as such a currency |
14 | | exchange. |
15 | | (16) An insured depository credit union organized under |
16 | | the laws of the United States or any state of the United States |
17 | | with deposits insured by an insurer approved by the credit |
18 | | union's primary regulator. |
19 | | Section 3-2. Authority to require demonstration of |
20 | | exemption. The Secretary may require that any person or entity |
21 | | claiming to be exempt from licensing pursuant to Section 3-1 |
22 | | provide information and documentation to the Secretary |
23 | | demonstrating that it qualifies for any claimed exemption. The |
24 | | burden of proving the applicability of an exemption is upon |
25 | | the person claiming the exclusion or exception. |
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1 | | ARTICLE IV. Implementation, Confidentiality, Supervision & |
2 | | Relationship to Federal Law |
3 | | Section 4-1. Implementation. |
4 | | (a) In order to carry out the purposes of this Act, the |
5 | | Secretary may, subject to the provisions of subsections (a) |
6 | | and (b) of Section 4-2: |
7 | | (1) enter into agreements or relationships with other |
8 | | government officials or federal and State regulatory |
9 | | agencies and regulatory associations in order to improve |
10 | | efficiencies and reduce regulatory burden by standardizing |
11 | | methods or procedures, and sharing resources, records or |
12 | | related information obtained under this Act; |
13 | | (2) use, hire, contract, or employ analytical systems, |
14 | | methods, or software to examine or investigate any person |
15 | | subject to this Act. |
16 | | (3) accept, from other state or federal government |
17 | | agencies or officials, licensing, examination, or |
18 | | investigation reports made by such other state or federal |
19 | | government agencies or officials; and |
20 | | (4) accept audit reports made by an independent |
21 | | certified public accountant or other qualified third-party |
22 | | auditor for an applicant or licensee and incorporate the |
23 | | audit report in any report of examination or |
24 | | investigation. |
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1 | | (b) The Department shall have the broad administrative |
2 | | authority to administer, interpret and enforce this Act, and |
3 | | adopt rules or regulations implementing this Act and to |
4 | | recover the cost of administering and enforcing this Act by |
5 | | imposing and collecting proportionate and equitable fees and |
6 | | costs associated with applications, examinations, |
7 | | investigations, and other actions required to achieve the |
8 | | purpose of this Act. The Department's rulemaking authority |
9 | | shall include, but not be limited to: |
10 | | (1) such rules and regulations in connection with the |
11 | | activities of licensees as may be necessary and |
12 | | appropriate for the protection of consumers in this State; |
13 | | (2) such rules and regulations as may be necessary and |
14 | | appropriate to define improper or fraudulent business |
15 | | practices in connection with the activities of licensees; |
16 | | (3) such rules and regulations as may define the terms |
17 | | used in this Act and as may be necessary and appropriate to |
18 | | interpret and implement the provisions of this Act; |
19 | | (4) such rules and regulations as may be necessary for |
20 | | the implementation or enforcement of this Act; and |
21 | | (5) such rules and regulations establishing fees the |
22 | | Secretary deems necessary to cover the cost of |
23 | | administration of this Act. |
24 | | Section 4-2. Confidentiality. |
25 | | (a) Except as otherwise provided in this Section, all |
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1 | | information or reports obtained by the Secretary from an |
2 | | applicant, licensee, or authorized delegate, and all |
3 | | information contained in or related to an examination, |
4 | | investigation, operating report, or condition report prepared |
5 | | by, on behalf of, or for the use of the Secretary, or financial |
6 | | statements, balance sheets, or authorized delegate |
7 | | information, are confidential and are not subject to |
8 | | disclosure under the Freedom of Information Act. |
9 | | (b) The Secretary may disclose information not otherwise |
10 | | subject to disclosure under subsection (a) to representatives |
11 | | of State or federal agencies who promise in a record that they |
12 | | will maintain the confidentiality of the information or where |
13 | | the Secretary finds that the release is reasonably necessary |
14 | | for the protection and interest of the public. |
15 | | (c) This Section does not prohibit the Secretary from |
16 | | disclosing to the public a list of all licensees or the |
17 | | aggregated financial or transactional data concerning those |
18 | | licensees. |
19 | | (d) Information contained in the records of the Department |
20 | | that is not confidential and may be made available to the |
21 | | public either on the Department's website, upon receipt by the |
22 | | Department of a written request, or in NMLS shall include: |
23 | | (1) the name, business address, telephone number, and |
24 | | unique identifier of a licensee; |
25 | | (2) the business address of a licensee's registered |
26 | | agent for service; |
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1 | | (3) the name, business address, and telephone number |
2 | | of all authorized delegates; |
3 | | (4) the terms of or a copy of any bond filed by a |
4 | | licensee, if confidential information, including, but not |
5 | | limited to, prices and fees, for such bond is redacted; |
6 | | (5) copies of any final orders of the Department |
7 | | relating to any violation of this Act or regulations |
8 | | implementing this Act; and |
9 | | (e) Imposition of an administrative action under this Act |
10 | | is not confidential. |
11 | | (f) The Secretary, in his or her sole discretion, may |
12 | | disclose otherwise confidential information when he or she |
13 | | determines disclosure is in the public interest. |
14 | | Section 4-3. Supervision. |
15 | | (a) The Secretary may conduct an examination or |
16 | | investigation of a licensee or authorized delegate or |
17 | | otherwise take independent action authorized by this Act or by |
18 | | a rule adopted or order issued under this Act as reasonably |
19 | | necessary or appropriate to administer and enforce this Act, |
20 | | rules and regulations implementing this Act, and other |
21 | | applicable law, including the Bank Secrecy Act and the USA |
22 | | PATRIOT ACT. The Secretary may: |
23 | | (1) conduct an examination either on-site or off-site |
24 | | as the Secretary may reasonably require; |
25 | | (2) conduct an examination in conjunction with an |
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1 | | examination conducted by representatives of other state |
2 | | agencies or agencies of another state or of the federal |
3 | | government; |
4 | | (3) accept the examination report of another state |
5 | | agency or an agency of another state or of the federal |
6 | | government, or a report prepared by an independent |
7 | | accounting firm, which on being accepted is considered for |
8 | | all purposes as an official report of the Secretary; and |
9 | | (4) summon and examine under oath a key individual or |
10 | | employee of a licensee or authorized delegate and require |
11 | | the person to produce records regarding any matter related |
12 | | to the condition and business of the licensee or |
13 | | authorized delegate. |
14 | | (b) A licensee or authorized delegate shall provide, and |
15 | | the Secretary shall have full and complete access to, all |
16 | | records the Secretary may reasonably require to conduct a |
17 | | complete examination. The records must be provided at the |
18 | | location and in the format specified by the Secretary, |
19 | | however, the Secretary may use multistate record production |
20 | | standards and examination procedures when such standards will |
21 | | reasonably achieve the requirements of this subsection. |
22 | | (c) Unless otherwise directed by the Secretary, a licensee |
23 | | shall pay all costs reasonably incurred in connection with an |
24 | | examination of the licensee or the licensee's authorized |
25 | | delegates. |
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1 | | Section 4-4. Networked supervision. |
2 | | (a) To efficiently and effectively administer and enforce |
3 | | this Act and to minimize regulatory burden, the Secretary is |
4 | | authorized and encouraged to participate in multistate |
5 | | supervisory processes established between states and |
6 | | coordinated through the Conference of State Bank Supervisors, |
7 | | Money Transmitter Regulators Association, and affiliates and |
8 | | successors thereof for all licensees that hold licenses in |
9 | | this State and other states. As a participant in multistate |
10 | | supervision, the Secretary may: |
11 | | (1) cooperate, coordinate, and share information with |
12 | | other state and federal regulators in accordance with |
13 | | Section 4-2; |
14 | | (2) enter into written cooperation, coordination, or |
15 | | information-sharing contracts or agreements with |
16 | | organizations the membership of which is made up of state |
17 | | or federal governmental agencies; and |
18 | | (3) cooperate, coordinate, and share information with |
19 | | organizations the membership of which is made up of state |
20 | | or federal governmental agencies, if the organizations |
21 | | agree in writing to maintain the confidentiality and |
22 | | security of the shared information in accordance with |
23 | | Section 4-2. |
24 | | (b) The Secretary may not waive, and nothing in this |
25 | | Section constitutes a waiver of, the Secretary's authority to |
26 | | conduct an examination or investigation or otherwise take |
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1 | | independent action authorized by this Act or a rule adopted or |
2 | | order issued under this Act to enforce compliance with |
3 | | applicable state or federal law. |
4 | | (c) A joint examination or investigation, or acceptance of |
5 | | an examination or investigation report, does not waive an |
6 | | examination assessment provided for in this Act. |
7 | | Section 4-5. Relationship to federal law. |
8 | | (a) If state money transmission jurisdiction is |
9 | | conditioned on a federal law, any inconsistencies between a |
10 | | provision of this Act and the federal law governing money |
11 | | transmission shall be governed by the applicable federal law |
12 | | to the extent of the inconsistency. |
13 | | (b) In the event of any inconsistencies between this Act |
14 | | and a federal law that governs pursuant to subsection (a), the |
15 | | Secretary may provide interpretive rule or guidance that: |
16 | | (1) identifies the inconsistency; and |
17 | | (2) identifies the appropriate means of compliance |
18 | | with federal law. |
19 | | ARTICLE V. Money Transmission Licenses |
20 | | Section 5-1. License required. |
21 | | (a) A person may not engage in the business of money |
22 | | transmission or advertise, solicit, or hold oneself out as |
23 | | providing money transmission unless the person is licensed |
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1 | | under this Act. |
2 | | (b) Subsection (a) does not apply to: |
3 | | (1) A person who is an authorized delegate of a person |
4 | | licensed under this Act acting within the scope of |
5 | | authority conferred by a written contract with the |
6 | | licensee; or |
7 | | (2) A person who is exempt pursuant to Section 3-1 and |
8 | | does not engage in money transmission outside the scope of |
9 | | such exemption. |
10 | | (c) A license issued under Section 5-5 is not transferable |
11 | | or assignable. |
12 | | Section 5-2. Consistent State licensing. |
13 | | (a) To establish consistent licensing between this State |
14 | | and other states, the Secretary is authorized and encouraged |
15 | | to: |
16 | | (1) implement all licensing provisions of this Act in |
17 | | a manner that is consistent with other states that have |
18 | | adopted this Act or multistate licensing processes; and |
19 | | (2) participate in nationwide protocols for licensing |
20 | | cooperation and coordination among state regulators |
21 | | provided that such protocols are consistent with this Act. |
22 | | (b) In order to fulfill the purposes of this Act, the |
23 | | Secretary is authorized and encouraged to establish |
24 | | relationships or contracts with NMLS or other entities |
25 | | designated by NMLS to enable the Secretary to: |
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1 | | (1) collect and maintain records; |
2 | | (2) coordinate multistate licensing processes and |
3 | | supervision processes; |
4 | | (3) process fees; and |
5 | | (4) facilitate communication between this State and |
6 | | licensees or other persons subject to this Act. |
7 | | (c) The Secretary is authorized and encouraged to use NMLS |
8 | | for all aspects of licensing in accordance with this Act, |
9 | | including, but not limited to, license applications, |
10 | | applications for acquisitions of control, surety bonds, |
11 | | reporting, criminal history background checks, credit checks, |
12 | | fee processing, and examinations. |
13 | | (d) The Secretary is authorized and encouraged to use NMLS |
14 | | forms, processes, and functionalities in accordance with this |
15 | | Act. If NMLS does not provide functionality, forms, or |
16 | | processes for a provision of this Act, the Secretary is |
17 | | authorized and encouraged to strive to implement the |
18 | | requirements in a manner that facilitates uniformity with |
19 | | respect to licensing, supervision, reporting, and regulation |
20 | | of licensees which are licensed in multiple jurisdictions. |
21 | | (e) For the purpose of participating in NMLS, the |
22 | | Secretary is authorized to waive or modify, in whole or in |
23 | | part, by rule, regulation or order, any or all of the |
24 | | requirements and to establish new requirements as reasonably |
25 | | necessary to participate in NMLS. |
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1 | | Section 5-3. Application for license. |
2 | | (a) Applicants for a license shall apply in a form and in a |
3 | | medium as prescribed by the Secretary. Each such form shall |
4 | | contain content as set forth by rule, regulation, instruction |
5 | | or procedure of the Secretary and may be changed or updated by |
6 | | the Secretary in accordance with applicable law in order to |
7 | | carry out the purposes of this Act and maintain consistency |
8 | | with NMLS licensing standards and practices. The application |
9 | | must state or contain, as applicable: |
10 | | (1) the legal name and residential and business |
11 | | addresses of the applicant and any fictitious or trade |
12 | | name used by the applicant in conducting its business; |
13 | | (2) a list of any criminal convictions of the |
14 | | applicant and any material litigation in which the |
15 | | applicant has been involved in the 10-year period |
16 | | preceding the submission of the application; |
17 | | (3) a description of any money transmission previously |
18 | | provided by the applicant and the money transmission that |
19 | | the applicant seeks to provide in this State; |
20 | | (4) a list of the applicant's proposed authorized |
21 | | delegates and the locations in this State where the |
22 | | applicant and its authorized delegates propose to engage |
23 | | in money transmission; |
24 | | (5) a list of other states in which the applicant is |
25 | | licensed to engage in money transmission and any license |
26 | | revocations, suspensions, or other disciplinary action |
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1 | | taken against the applicant in another state; |
2 | | (6) information concerning any bankruptcy or |
3 | | receivership proceedings affecting the licensee or a |
4 | | person in control of a licensee; |
5 | | (7) a sample form of contract for authorized |
6 | | delegates, if applicable; |
7 | | (8) a sample form of payment instrument or stored |
8 | | value, as applicable; |
9 | | (9) the name and address of any federally insured |
10 | | depository financial institution through which the |
11 | | applicant plans to conduct money transmission; and |
12 | | (10) any other information the Secretary or NMLS |
13 | | reasonably requires with respect to the applicant. |
14 | | (b) If an applicant is a corporation, limited liability |
15 | | company, partnership, or other legal entity, the applicant |
16 | | shall also provide: |
17 | | (1) the date of the applicant's incorporation or |
18 | | formation and State or country of incorporation or |
19 | | formation; |
20 | | (2) if applicable, a certificate of good standing from |
21 | | the State or country in which the applicant is |
22 | | incorporated or formed; |
23 | | (3) a brief description of the structure or |
24 | | organization of the applicant, including any parents or |
25 | | subsidiaries of the applicant, and whether any parents or |
26 | | subsidiaries are publicly traded; |
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1 | | (4) the legal name, any fictitious or trade name, all |
2 | | business and residential addresses, and the employment, as |
3 | | applicable, in the 10-year period preceding the submission |
4 | | of the application of each key individual and person in |
5 | | control of the applicant; |
6 | | (5) a list of any criminal convictions and material |
7 | | litigation in which a person in control of the applicant |
8 | | that is not an individual has been involved in the 10-year |
9 | | period preceding the submission of the application; |
10 | | (6) a copy of audited financial statements of the |
11 | | applicant for the most recent fiscal year and for the |
12 | | 2-year period preceding the submission of the application |
13 | | or, if determined to be acceptable to the Secretary; |
14 | | (7) a certified copy of unaudited financial statements |
15 | | of the applicant for the most recent fiscal quarter; |
16 | | (8) if the applicant is a publicly traded corporation, |
17 | | a copy of the most recent report filed with the United |
18 | | States Securities and Exchange Commission under Section 13 |
19 | | of the federal Securities Exchange Act of 1934, 15 U.S.C. |
20 | | 78m, as amended or recodified from time to time; |
21 | | (9) if the applicant is a wholly owned subsidiary of: |
22 | | (A) a corporation publicly traded in the United |
23 | | States, a copy of audited financial statements for the |
24 | | parent corporation for the most recent fiscal year or |
25 | | a copy of the parent corporation's most recent report |
26 | | filed under Section 13 of the federal Securities |
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1 | | Exchange Act of 1934, 15 U.S.C. 78m, as amended or |
2 | | recodified from time to time; or |
3 | | (B) a corporation publicly traded outside the |
4 | | United States, a copy of similar documentation filed |
5 | | with the regulator of the parent corporation's |
6 | | domicile outside the United States; |
7 | | (10) the name and address of the applicant's |
8 | | registered agent in this State; and |
9 | | (11) any other information the Secretary reasonably |
10 | | requires with respect to the applicant. |
11 | | A nonrefundable application fee must accompany an |
12 | | application for a license under this Section in accordance |
13 | | with 38 Ill. Adm. Code 205.35, as amended or recodified from |
14 | | time to time. |
15 | | (c) The Secretary may waive one or more requirements of |
16 | | subsections (a) and (b) or permit an applicant to submit other |
17 | | information instead of the required information. |
18 | | Section 5-4. Information requirements for certain |
19 | | individuals. |
20 | | (a) Any individual in control of a licensee or applicant, |
21 | | any individual that seeks to acquire control of a licensee, |
22 | | and each key individual shall furnish to the Secretary through |
23 | | NMLS the following items: |
24 | | (1) The individual's fingerprints for submission to |
25 | | the Federal Bureau of Investigation and the Secretary for |
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1 | | purposes of a national criminal history background check |
2 | | unless the person currently resides outside of the United |
3 | | States and has resided outside of the United States for |
4 | | the last 10 years. |
5 | | (2) Personal history and experience in a form and in a |
6 | | medium prescribed by the Secretary, to obtain the |
7 | | following: |
8 | | (A) an independent credit report from a consumer |
9 | | reporting agency unless the individual does not have a |
10 | | social security number, in which case, this |
11 | | requirement shall be waived; |
12 | | (B) information related to any criminal |
13 | | convictions or pending charges; and |
14 | | (C) information related to any regulatory or |
15 | | administrative action and any civil litigation |
16 | | involving claims of fraud, misrepresentation, |
17 | | conversion, mismanagement of funds, breach of |
18 | | fiduciary duty, or breach of contract. |
19 | | (b) If the individual has resided outside of the United |
20 | | States at any time in the last 10 years, the individual shall |
21 | | also provide an investigative background report prepared by an |
22 | | independent search firm that meets the following requirements: |
23 | | (1) At a minimum, the search firm shall: |
24 | | (A) demonstrate that it has sufficient knowledge, |
25 | | resources, and employs accepted and reasonable |
26 | | methodologies to conduct the research of the |
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1 | | background report; and |
2 | | (B) not be affiliated with or have an interest |
3 | | with the individual it is researching. |
4 | | (2) At a minimum, the investigative background report |
5 | | shall be written in the English language and shall contain |
6 | | the following: |
7 | | (A) if available in the individual's current |
8 | | jurisdiction of residency, a comprehensive credit |
9 | | report, or any equivalent information obtained or |
10 | | generated by the independent search firm to accomplish |
11 | | such report, including a search of the court data in |
12 | | the countries, provinces, states, cities, towns, and |
13 | | contiguous areas where the individual resided and |
14 | | worked; |
15 | | (B) criminal records information for the past 10 |
16 | | years, including, but not limited to, felonies, |
17 | | misdemeanors, or similar convictions for violations of |
18 | | law in the countries, provinces, states, cities, |
19 | | towns, and contiguous areas where the individual |
20 | | resided and worked; |
21 | | (C) employment history; |
22 | | (D) media history, including an electronic search |
23 | | of national and local publications, wire services, and |
24 | | business applications; and |
25 | | (E) financial services-related regulatory history, |
26 | | including, but not limited to, money transmission, |
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1 | | securities, banking, insurance, and mortgage related |
2 | | industries. |
3 | | Section 5-5. Issuance of license. |
4 | | (a) When an application for an original license under this |
5 | | Act appears to include all the items and addresses of all of |
6 | | the matters that are required, the application is complete and |
7 | | the Secretary shall promptly notify the applicant in a record |
8 | | of the date on which the application is determined to be |
9 | | complete, and: |
10 | | (1) unless extended by the Secretary pursuant to the |
11 | | Secretary's discretion, the Secretary shall approve or |
12 | | deny the application within 120 days after the completion |
13 | | date; or |
14 | | (2) if the application is not approved or denied |
15 | | within 120 days after the completion date or any extension |
16 | | thereof: |
17 | | (A) the application is approved; and |
18 | | (B) the license takes effect as of the first |
19 | | business day after expiration of the 120-day period. |
20 | | (b) A determination by the Secretary that an application |
21 | | is complete and is accepted for processing means only that the |
22 | | application, on its face, appears to include all of the items, |
23 | | including the Criminal Background Check response from the FBI, |
24 | | and address all of the matters that are required, and is not an |
25 | | assessment of the substance of the application or of the |
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1 | | sufficiency of the information provided. |
2 | | (c) When an application is filed and considered complete |
3 | | under this Section, the Secretary shall investigate the |
4 | | applicant's financial condition and responsibility, financial |
5 | | and business experience, character, and general fitness. The |
6 | | Secretary may conduct an on-site investigation of the |
7 | | applicant, the reasonable cost of which the applicant must |
8 | | pay. The Secretary shall issue a license to an applicant under |
9 | | this Section if the Secretary finds that all of the following |
10 | | conditions have been fulfilled: |
11 | | (1) the applicant has complied with Sections 5-3 and |
12 | | 5-4; and |
13 | | (2) the financial condition and responsibility, |
14 | | financial and business experience, competence, character, |
15 | | and general fitness of the applicant and the competence, |
16 | | experience, character, and general fitness of the key |
17 | | individuals and persons in control of the applicant |
18 | | indicate that it is in the interest of the public to permit |
19 | | the applicant to engage in money transmission. |
20 | | (d) If an applicant avails itself or is otherwise subject |
21 | | to a multistate licensing process: |
22 | | (1) the Secretary is authorized and encouraged to |
23 | | accept the investigation results of a lead investigative |
24 | | state for the purpose of subsection (c) if the lead |
25 | | investigative state has sufficient staffing, expertise, |
26 | | and minimum standards; or |
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1 | | (2) if Illinois is a lead investigative state, the |
2 | | Secretary is authorized and encouraged to investigate the |
3 | | applicant pursuant to subsection (c) and the timeframes |
4 | | established by agreement through the multistate licensing |
5 | | process, however, in no case shall such timeframe be |
6 | | noncompliant with the application period in paragraph (1) |
7 | | of subsection (a). |
8 | | (e) The Secretary shall issue a formal written notice of |
9 | | the denial of a license application within 30 days after the |
10 | | decision to deny the application. The Secretary shall set |
11 | | forth the specific reasons for the denial of the application |
12 | | in the notice of denial and serve the applicant, either |
13 | | personally or by certified mail. Service by certified mail |
14 | | shall be deemed completed when the notice is deposited into |
15 | | the U.S. Mail. An applicant whose application is denied by the |
16 | | Secretary under this Section may submit a written request for |
17 | | a hearing that shall include the particular reasons why the |
18 | | applicant believes that the decision to deny the application |
19 | | was incorrect, within 10 days after service of the notice of |
20 | | the denial. If an applicant submits a timely request for a |
21 | | hearing, the Secretary shall schedule a hearing after the |
22 | | request for a hearing unless otherwise agreed to by the |
23 | | parties. The Secretary shall conduct hearings pursuant to this |
24 | | Section and in accordance with 38 Ill. Adm. Code 100, as |
25 | | amended or recodified from time to time. |
26 | | (f) The initial license term shall begin on the day that |
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1 | | the application is approved. The license shall expire on |
2 | | December 31 of the year in which the license term began, unless |
3 | | the initial license date is between November 1 and December |
4 | | 31, in which instance the initial license term shall run |
5 | | through December 31 of the following year. |
6 | | Section 5-6. Renewal of license. |
7 | | (a) A license under this Act shall be renewed annually. |
8 | | (b) An annual renewal fee in accordance with 38 Ill. Adm. |
9 | | Code 205.35 as amended or recodified from time to time shall be |
10 | | paid to the Department. The renewal term shall be for a period |
11 | | of one year and shall begin on January 1 of each year after the |
12 | | initial license term and shall expire on December 31 of the |
13 | | year the renewal term begins. |
14 | | (c) A licensee shall submit a renewal report, in a form and |
15 | | in a medium prescribed by the Secretary by December 1 of each |
16 | | year. The form requires any information deemed necessary by |
17 | | the Secretary to review a renewal application. At a minimum, |
18 | | the renewal report must state or contain a description of each |
19 | | material change in information submitted by the licensee in |
20 | | its original license application which has not been reported |
21 | | to the Secretary and a statement of the dollar amount and |
22 | | number of money transmissions and payment instruments sold, |
23 | | issued, exchanged, or transmitted in this State by the |
24 | | licensee and its authorized delegates for the past 4 completed |
25 | | calendar quarters. |
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1 | | (d) The Secretary, in his or her discretion, may grant an |
2 | | extension of the renewal date. |
3 | | (e) The Secretary is authorized and encouraged to use NMLS |
4 | | to process license renewals if such functionality is |
5 | | consistent with this Section. |
6 | | (f) The Secretary shall issue a formal written notice of |
7 | | the denial of renewal within 30 days after the decision to deny |
8 | | the renewal. The Secretary shall set forth the specific |
9 | | reasons for denying the renewal in the notice of denial and |
10 | | serve the licensee, either personally or by certified mail. |
11 | | Service by certified mail shall be deemed completed when the |
12 | | notice is deposited into the U.S. Mail. A licensee whose |
13 | | renewal is denied by the Secretary under this Section may |
14 | | submit a written request for a hearing that shall include the |
15 | | particular reasons why the licensee believes that the decision |
16 | | to deny the renewal was incorrect within 10 days after service |
17 | | of the notice of the denial. If a licensee submits a timely |
18 | | request for a hearing, the Secretary shall schedule a hearing |
19 | | unless otherwise agreed to by the parties. The Secretary shall |
20 | | conduct hearings pursuant to this Section and in accordance |
21 | | with 38 Ill. Adm. Code 100, as amended or recodified from time |
22 | | to time. The expiring license shall be deemed to continue in |
23 | | force until 10 days after the service of the notice of denial |
24 | | or, if a timely hearing is requested during that period, until |
25 | | a final order is entered pursuant to a hearing. |
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1 | | Section 5-7. Maintenance of license. |
2 | | (a) If a licensee does not continue to meet the |
3 | | qualifications or satisfy the requirements that apply to an |
4 | | applicant for a new money transmission license, the Secretary |
5 | | may suspend or revoke the licensee's license in accordance |
6 | | with the procedures established by this Act or other |
7 | | applicable State law for such suspension or revocation. |
8 | | (b) An applicant for a money transmission license must |
9 | | demonstrate that it meets or will meet, and a money |
10 | | transmission licensee must at all times meet, the requirements |
11 | | in Article X of this Act. |
12 | | Section 5-8. Fees. |
13 | | (a) The expenses of administering this Act, including |
14 | | investigations and examinations provided for in this Act, |
15 | | shall be borne by and assessed against entities regulated by |
16 | | this Act. The Department may establish fees by rule, including |
17 | | in the following categories: |
18 | | (1) investigation of licensees and license applicant |
19 | | fees; |
20 | | (2) examination fees; |
21 | | (3) contingent fees; and |
22 | | (4) such other categories as may be required to |
23 | | administer this Act. |
24 | | (b) The Secretary shall charge and collect fees, which |
25 | | shall be nonrefundable unless otherwise indicated. |
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1 | | (c) All fees currently assessed in accordance with 38 Ill. |
2 | | Adm. Code 205.35, as amended or recodified from time to time, |
3 | | shall remain in effect. Except for money required to be |
4 | | deposited into the TOMA Consumer Protection Fund pursuant to |
5 | | this Act, all moneys received by the Department shall be |
6 | | deposited into the Financial Institution Fund. Failure to pay |
7 | | any required fee by the due date shall subject the licensee to |
8 | | a penalty fee of $25 per day and disciplinary action. |
9 | | Section 5-9. Liability of licensees. A licensee is liable |
10 | | for the payment of all moneys covered by payment instruments |
11 | | that it sells or issues in any form in this State through its |
12 | | authorized delegate and all moneys it receives itself or |
13 | | through its authorized delegate for transmission by any means |
14 | | whether or not any instrument is a negotiable instrument under |
15 | | the laws of this State. |
16 | | ARTICLE VI. Acquisition of Control and Change of Key |
17 | | Individual |
18 | | Section 6-1. Acquisition of control. |
19 | | (a) Any person, or group of persons acting in concert, |
20 | | seeking to acquire control of a licensee shall obtain the |
21 | | written approval of the Secretary before acquiring control. An |
22 | | individual is not deemed to acquire control of a licensee and |
23 | | is not subject to this Section when that individual becomes a |
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1 | | key individual in the ordinary course of business. |
2 | | (b) A person, or group of persons acting in concert, |
3 | | seeking to acquire control of a licensee shall, in cooperation |
4 | | with the licensee: |
5 | | (1) submit an application in a form and in a medium |
6 | | prescribed by the Secretary; and |
7 | | (2) submit a nonrefundable fee of $1,000 with the |
8 | | request for approval. |
9 | | (c) Upon request, the Secretary may permit a licensee or |
10 | | the person, or group of persons acting in concert, to submit |
11 | | some or all information required by the Secretary pursuant to |
12 | | subsection (b) without using NMLS. |
13 | | (d) The application required by subsection (b) shall |
14 | | include information required by Section 5-4 for any new key |
15 | | individuals that have not previously completed the |
16 | | requirements of Section 5-4 for a licensee. |
17 | | (e) When an application for acquisition of control under |
18 | | this Section appears to include all the items and address all |
19 | | of the matters that are required, the application shall be |
20 | | considered complete and: |
21 | | (1) unless extended by the Secretary pursuant to the |
22 | | Secretary's discretion, the Secretary shall approve or |
23 | | deny the application within 60 days after the completion |
24 | | date; or |
25 | | (2) if the application is not approved or denied |
26 | | within 60 days after the completion date or any extension |
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1 | | thereof: |
2 | | (A) the application is approved; and |
3 | | (B) the person, or group of persons acting in |
4 | | concert, are not prohibited from acquiring control. |
5 | | (f) A determination by the Secretary that an application |
6 | | is complete and is accepted for processing means only that the |
7 | | application, on its face, appears to include all of the items |
8 | | and address all of the matters that are required, and is not an |
9 | | assessment of the substance of the application or of the |
10 | | sufficiency of the information provided. |
11 | | (g) When an application is filed and considered complete |
12 | | under subsection (e), the Secretary shall investigate the |
13 | | financial condition and responsibility, financial and business |
14 | | experience, character, and general fitness of the person, or |
15 | | group of persons acting in concert, seeking to acquire |
16 | | control. The Secretary shall approve an acquisition of control |
17 | | pursuant to this Section if the Secretary finds that all of the |
18 | | following conditions have been fulfilled: |
19 | | (1) The requirements of subsections (b) and (d) have |
20 | | been met, as applicable; and |
21 | | (2) the financial condition and responsibility, |
22 | | financial and business experience, competence, character, |
23 | | and general fitness of the person, or group of persons |
24 | | acting in concert, seeking to acquire control; and the |
25 | | competence, experience, character, and general fitness of |
26 | | the key individuals and persons that would be in control |
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1 | | of the licensee after the acquisition of control indicate |
2 | | that it is in the interest of the public to permit the |
3 | | person, or group of persons acting in concert, to control |
4 | | the licensee. |
5 | | (h) If an applicant avails itself or is otherwise subject |
6 | | to a multistate licensing process: |
7 | | (1) the Secretary is authorized and encouraged to |
8 | | accept the investigation results of a lead investigative |
9 | | state for the purpose of subsection (g) if the lead |
10 | | investigative state has sufficient staffing, expertise, |
11 | | and minimum standards; or |
12 | | (2) if the Department is a lead investigative state, |
13 | | the Secretary is authorized and encouraged to investigate |
14 | | the applicant pursuant to subsection (g) and the |
15 | | timeframes established by agreement through the multistate |
16 | | licensing process. |
17 | | (i) The Secretary shall issue a formal written notice of |
18 | | the denial of an application to acquire control within 30 days |
19 | | after the decision to deny the application. The Secretary |
20 | | shall set forth the specific reasons for the denial of the |
21 | | application in the notice of denial and serve the applicant, |
22 | | either personally or by certified mail. Service by certified |
23 | | mail shall be deemed completed when the notice is deposited |
24 | | into the U.S. mail. An applicant whose application is denied |
25 | | by the Secretary under this subsection (i) may submit a |
26 | | written request for hearing which shall include the particular |
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1 | | reasons why the applicant believes that the decision to deny |
2 | | the application was incorrect, within 10 days after service of |
3 | | the notice of denial. If an applicant submits a timely request |
4 | | for a hearing, the Secretary shall schedule a hearing unless |
5 | | otherwise agreed to by the parties. The Secretary shall |
6 | | conduct hearings pursuant to this Section and in accordance |
7 | | with 38 Ill. Adm. Code 100, as amended or recodified from time |
8 | | to time. |
9 | | (j) The requirements of subsections (a) and (b) do not |
10 | | apply to any of the following: |
11 | | (1) a person that acts as a proxy for the sole purpose |
12 | | of voting at a designated meeting of the shareholders or |
13 | | holders of voting shares or voting interests of a licensee |
14 | | or a person in control of a licensee; |
15 | | (2) a person that acquires control of a licensee by |
16 | | devise or descent; |
17 | | (3) a person that acquires control of a licensee as a |
18 | | personal representative, custodian, guardian, |
19 | | conservator, or trustee, or as an officer appointed by a |
20 | | court of competent jurisdiction or by operation of law; |
21 | | (4) a person that is exempt under subsection (g) of |
22 | | Section 3-1; |
23 | | (5) A person that the Secretary determines is not |
24 | | subject to subsection (a) based on the public interest; |
25 | | (6) A public offering of securities of a licensee or a |
26 | | person in control of a licensee; or |
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1 | | (7) An internal reorganization of a person in control |
2 | | of the licensee where the ultimate person in control of |
3 | | the licensee remains the same. |
4 | | (k) Persons in paragraphs (2), (3), (4), (6), and (7) of |
5 | | subsection (j) in cooperation with the licensee shall notify |
6 | | the Secretary within 15 days after the acquisition of control. |
7 | | (l) Streamlined acquisition of control. |
8 | | (1) The requirements of subsections (a) and (b) do not |
9 | | apply to a person that has complied with and received |
10 | | approval to engage in money transmission under this Act or |
11 | | was identified as a person in control in a prior |
12 | | application filed with and approved by the Secretary or by |
13 | | an MSB accredited state agency pursuant to a multistate |
14 | | licensing process, if: |
15 | | (A) the person has not had a license revoked or |
16 | | suspended or controlled a licensee that has had a |
17 | | license revoked or suspended while the person was in |
18 | | control of the licensee in the previous 5 years; |
19 | | (B) if the person is a licensee, the person is well |
20 | | managed and has received at least a satisfactory |
21 | | rating for compliance at its most recent examination |
22 | | by an MSB accredited state agency if such rating was |
23 | | given; |
24 | | (C) the licensee to be acquired is projected to |
25 | | meet the requirements of Article X of this Act after |
26 | | the acquisition of control is completed, and if the |
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1 | | person acquiring control is a licensee, that licensee |
2 | | is also projected to meet the requirements of Article |
3 | | X of this Act after the acquisition of control is |
4 | | completed; |
5 | | (D) the licensee to be acquired will not implement |
6 | | any material changes to its business plan as a result |
7 | | of the acquisition of control, and if the person |
8 | | acquiring control is a licensee, that licensee also |
9 | | will not implement any material changes to its |
10 | | business plan as a result of the acquisition of |
11 | | control; and |
12 | | (E) the person provides notice of the acquisition |
13 | | in cooperation with the licensee and attests to this |
14 | | subsection in a form and in a medium prescribed by the |
15 | | Secretary. |
16 | | (2) If the notice is not denied within 30 days after |
17 | | the date on which the notice was determined to be |
18 | | complete, the notice is deemed approved. |
19 | | (m) Before filing an application for approval to acquire |
20 | | control of a licensee a person may request in writing a |
21 | | determination from the Secretary as to whether the person |
22 | | would be considered a person in control of a licensee upon |
23 | | consummation of a proposed transaction. If the Secretary |
24 | | determines that the person would not be a person in control of |
25 | | a licensee, the proposed person and transaction is not subject |
26 | | to the requirements of subsections (a) and (b). |
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1 | | (n) If a multistate licensing process includes a |
2 | | determination pursuant to subsection (m) and an applicant |
3 | | avails itself or is otherwise subject to the multistate |
4 | | licensing process: |
5 | | (1) The Secretary is authorized and encouraged to |
6 | | accept the control determination of a lead investigative |
7 | | state with sufficient staffing, expertise, and minimum |
8 | | standards for the purpose of subsection (m); or |
9 | | (2) If the Department is a lead investigative state, |
10 | | the Secretary is authorized and encouraged to investigate |
11 | | the applicant pursuant to subsection (m) and the |
12 | | timeframes established by agreement through the multistate |
13 | | licensing process. |
14 | | Section 6-2. Notice and information requirements for a |
15 | | change of key individuals. |
16 | | (a) A licensee adding or replacing any key individual |
17 | | shall: |
18 | | (1) provide notice in a manner prescribed by the |
19 | | Secretary within 15 days after the effective date of the |
20 | | key individual's appointment; and |
21 | | (2) provide information as required by Section 5-4 |
22 | | within 45 days after the effective date. |
23 | | (b) The Secretary may issue a formal written notice of |
24 | | denial of key individual within 90 days after the date on which |
25 | | the notice provided pursuant to subsection (a) was determined |
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1 | | to be complete if the competence, experience, character, or |
2 | | integrity of the individual would not be in the best interests |
3 | | of the public or the customers of the licensee to permit the |
4 | | individual to be a key individual of such licensee. |
5 | | (c) The Secretary shall set forth the specific reasons for |
6 | | the denial in the notice of denial and serve the licensee and |
7 | | the denied individual, either personally, or by certified |
8 | | mail. Service by certified mail shall be deemed completed when |
9 | | the notice is deposited into the U.S. Mail. A licensee who has |
10 | | been denied by the Secretary under this subsection (c) may |
11 | | submit a written request for hearing which shall include the |
12 | | particular reasons why the licensee believes that the decision |
13 | | to deny was incorrect, within 10 days after service of the |
14 | | notice of the denial. If a licensee submits a timely request |
15 | | for a hearing, the Secretary shall schedule a hearing after |
16 | | the request for a hearing unless otherwise agreed to by the |
17 | | parties. The Secretary shall conduct hearings pursuant to this |
18 | | Section and in accordance with 38 Ill. Adm. Code 100. |
19 | | (d) If the notice provided pursuant to subsection (a) is |
20 | | not denied within 90 days after the date on which the notice |
21 | | was determined to be complete, or any extension thereof, the |
22 | | key individual is deemed approved. |
23 | | (e) If a multistate licensing process includes a key |
24 | | individual notice review and denial process pursuant to this |
25 | | Section and the licensee avails itself or is otherwise subject |
26 | | to the multistate licensing process: |
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1 | | (1) the Secretary is authorized and encouraged to |
2 | | accept the determination of another state; |
3 | | (2) if the investigating state has sufficient |
4 | | staffing, expertise, and minimum standards for the purpose |
5 | | of this Section; or |
6 | | (3) if the Department is a lead investigative state, |
7 | | the Secretary is authorized and encouraged to investigate |
8 | | the applicant pursuant to subsection (b) and the |
9 | | timeframes established by agreement through the multistate |
10 | | licensing process. |
11 | | ARTICLE VII. Reporting and Records |
12 | | Section 7-1. Report of condition. |
13 | | (a) Each licensee, under penalty of perjury, shall submit |
14 | | a report of condition within 45 days of the end of the calendar |
15 | | quarter, or within any extended time as the Secretary may |
16 | | prescribe. |
17 | | (b) The report of condition shall include: |
18 | | (1) financial information at the licensee level; |
19 | | (2) nationwide and state-specific money transmission |
20 | | transaction information in every jurisdiction in the |
21 | | United States where the licensee is licensed to engage in |
22 | | money transmission; |
23 | | (3) permissible investments report; |
24 | | (4) transaction destination country reporting for |
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1 | | money received for transmission, if applicable; and |
2 | | (5) any other information the Secretary reasonably |
3 | | requires with respect to the licensee. The Secretary is |
4 | | authorized and encouraged to use NMLS for the submission |
5 | | of the report required by subsection (a) and is authorized |
6 | | to change or update as necessary the requirements of this |
7 | | Section to carry out the purposes of this Act and maintain |
8 | | consistency with NMLS reporting. |
9 | | (c) The information required by paragraph (4) of |
10 | | subsection (b) shall only be included in a report of condition |
11 | | submitted within 45 days of the end of the fourth calendar |
12 | | quarter. |
13 | | Section 7-2. Audited financials. |
14 | | (a) Each licensee shall, within 90 days after the end of |
15 | | each fiscal year, or within any extended time as the Secretary |
16 | | may prescribe, file with the Secretary: |
17 | | (1) an audited financial statement of the licensee for |
18 | | the fiscal year prepared in accordance with United States |
19 | | generally accepted accounting principles; and |
20 | | (2) any other information as the Secretary may |
21 | | reasonably require. |
22 | | (b) The audited financial statements shall be prepared by |
23 | | an independent certified public accountant or independent |
24 | | public accountant who is satisfactory to the Secretary; |
25 | | (c) The audited financial statements shall include or be |
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1 | | accompanied by a certificate of opinion of the independent |
2 | | certified public accountant or independent public accountant |
3 | | that is satisfactory in form and content to the Secretary. If |
4 | | the opinion or certificate is qualified, the licensee must |
5 | | make a separate report to the Secretary notifying them of the |
6 | | qualified opinion or certification. If the certificate or |
7 | | opinion is qualified, the Secretary may order the licensee to |
8 | | take any action as the Secretary may find necessary to enable |
9 | | the certified public accountant or independent public |
10 | | accountant to remove the qualification. |
11 | | Section 7-3. Authorized delegate reporting. |
12 | | (a) Each licensee shall submit a report of authorized |
13 | | delegates within 45 days of the end of the calendar quarter. |
14 | | The Secretary is authorized and encouraged to use NMLS for the |
15 | | submission of the report required by this Section provided |
16 | | that such functionality is consistent with the requirements of |
17 | | this Section. |
18 | | (b) The authorized delegate report shall include, at a |
19 | | minimum, each authorized delegate's: |
20 | | (1) company legal name; |
21 | | (2) taxpayer employer identification number; |
22 | | (3) principal provider identifier; |
23 | | (4) physical address; |
24 | | (5) mailing address; |
25 | | (6) any business conducted in other states; |
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1 | | (7) any fictitious or trade name; |
2 | | (8) contact person name, phone number, and email; |
3 | | (9) start date as licensee's authorized delegate; |
4 | | (10) end date acting as licensee's authorized |
5 | | delegate, if applicable; |
6 | | (11) court orders pursuant to Section 8-3; and |
7 | | (12) Any other information the Secretary reasonably |
8 | | requires with respect to the authorized delegate. |
9 | | Section 7-4. Reports of certain events. |
10 | | (a) A licensee shall file a report with the Secretary |
11 | | within one business day after the licensee has reason to know |
12 | | of the occurrence of any of the following events: |
13 | | (1) the filing of a petition by or against the |
14 | | licensee under the United States Bankruptcy Code, 11 |
15 | | U.S.C. Sections 101 through 110, as amended or recodified |
16 | | from time to time, for bankruptcy or reorganization; |
17 | | (2) the filing of a petition by or against the |
18 | | licensee for receivership, the commencement of any other |
19 | | judicial or administrative proceeding for its dissolution |
20 | | or reorganization, or the making of a general assignment |
21 | | for the benefit of its creditors; or |
22 | | (3) the commencement of a proceeding to revoke or |
23 | | suspend its license in a state or country in which the |
24 | | licensee engages in business or is licensed. |
25 | | (b) A licensee shall file a report with the Secretary |
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1 | | within 3 business days after the licensee has reason to know of |
2 | | the occurrence of any of the following events: |
3 | | (1) a charge or conviction of the licensee or of a key |
4 | | individual or person in control of the licensee for a |
5 | | felony; or |
6 | | (2) a charge or conviction of an authorized delegate |
7 | | for a felony. |
8 | | Section 7-5. Bank Secrecy Act reports. A licensee and an |
9 | | authorized delegate shall file all reports required by federal |
10 | | currency reporting, record keeping, and suspicious activity |
11 | | reporting requirements as set forth in the Bank Secrecy Act |
12 | | and other federal and State laws pertaining to money |
13 | | laundering. The timely filing of a complete and accurate |
14 | | report required under this Section with the appropriate |
15 | | federal agency is deemed compliant with the requirements of |
16 | | this Section. |
17 | | Section 7-6. Records. |
18 | | (a) Licensee shall maintain the following records, for |
19 | | determining its compliance with this Act, for at least 3 |
20 | | years: |
21 | | (1) a record of each outstanding money transmission |
22 | | obligation sold; |
23 | | (2) a general ledger posted at least monthly |
24 | | containing all asset, liability, capital, income, and |
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1 | | expense accounts; |
2 | | (3) bank statements and bank reconciliation records; |
3 | | (4) records of outstanding money transmission |
4 | | obligations; |
5 | | (5) records of each outstanding money transmission |
6 | | obligation paid within the 3-year period; |
7 | | (6) a list of the last known names and addresses of all |
8 | | of the licensee's authorized delegates; and |
9 | | (7) any other records the Secretary reasonably |
10 | | requires by rule. |
11 | | (b) The records specified in subsection (a) may be |
12 | | maintained in electronic or other retrievable form of record. |
13 | | (c) The records specified in subsection (a) shall be |
14 | | maintained at the licensee's principal place of business or, |
15 | | with notice to the Secretary, at another location designated |
16 | | by the licensee. If the records are maintained outside this |
17 | | State, the licensee shall make them accessible to the |
18 | | Secretary on 7 business-days' notice. |
19 | | (d) All records maintained by the licensee as required in |
20 | | subsections (a) through (c) are open to inspection by the |
21 | | Secretary pursuant to subsection (a) of Section 4-3. |
22 | | (e) A licensee shall require and its authorized sellers |
23 | | must preserve for at least 3 years all documents relating to |
24 | | money transmission activities, unless the data embodied in |
25 | | those documents has been transmitted for recordation by the |
26 | | licensee. |
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1 | | ARTICLE VIII. Authorized Delegates |
2 | | Section 8-1. Relationship Between licensee and authorized |
3 | | delegate. |
4 | | (a) As used in this Section, "remit" means to make direct |
5 | | payments of money to a licensee or its representative |
6 | | authorized to receive money or to deposit money in a bank in an |
7 | | account specified by the licensee. |
8 | | (b) Before a licensee is authorized to conduct business |
9 | | through an authorized delegate or allows a person to act as the |
10 | | licensee's authorized delegate, the licensee must: |
11 | | (1) adopt, and update as necessary, written policies |
12 | | and procedures reasonably designed to ensure that the |
13 | | licensee's authorized delegates comply with applicable |
14 | | State and federal law; |
15 | | (2) enter into a written contract that complies with |
16 | | subsection (d); and |
17 | | (3) conduct a reasonable risk-based background |
18 | | investigation sufficient for the licensee to determine |
19 | | whether the authorized delegate has complied and will |
20 | | likely comply with applicable state and federal law. |
21 | | (c) An authorized delegate must operate in full compliance |
22 | | with this Act. |
23 | | (d) The written contract required by subsection (b) must |
24 | | be signed by the licensee and the authorized delegate and, at a |
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1 | | minimum, must: |
2 | | (1) expressly appoint the person signing the contract |
3 | | as the licensee's authorized delegate with the authority |
4 | | to conduct money transmission on behalf of the licensee; |
5 | | (2) set forth the nature and scope of the relationship |
6 | | between the licensee and the authorized delegate and the |
7 | | respective rights and responsibilities of the parties; |
8 | | (3) require the authorized delegate to agree to fully |
9 | | comply with all applicable State and federal laws, rules, |
10 | | and regulations pertaining to money transmission, |
11 | | including this Act and regulations implementing this Act, |
12 | | relevant provisions of the Bank Secrecy Act, and the USA |
13 | | PATRIOT ACT; |
14 | | (4) require the authorized delegate to remit and |
15 | | handle money and monetary value in accordance with the |
16 | | terms of the contract between the licensee and the |
17 | | authorized delegate; |
18 | | (5) impose a trust on money and monetary value net of |
19 | | fees received for money transmission for the benefit of |
20 | | the licensee; |
21 | | (6) require the authorized delegate to prepare and |
22 | | maintain records as required by this Act or regulations |
23 | | implementing this Act, or as reasonably requested by the |
24 | | Secretary; |
25 | | (7) acknowledge that the authorized delegate consents |
26 | | to examination or investigation by the Secretary; |
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1 | | (8) state that the licensee is subject to regulation |
2 | | by the Secretary and that, as part of that regulation, the |
3 | | Secretary may suspend or revoke an authorized delegate |
4 | | designation or require the licensee to terminate an |
5 | | authorized delegate designation; and |
6 | | (9) acknowledge receipt of the written policies and |
7 | | procedures required under paragraph (1) of subsection (b). |
8 | | (e) If the licensee's license is suspended, revoked, |
9 | | surrendered, or expired, the licensee must, within 5 business |
10 | | days, provide documentation to the Secretary that the licensee |
11 | | has notified all applicable authorized delegates of the |
12 | | licensee whose names are in a record filed with the Secretary |
13 | | of the suspension, revocation, surrender, or expiration of a |
14 | | license. Upon suspension, revocation, surrender, or expiration |
15 | | of a license, applicable authorized delegates shall |
16 | | immediately cease to provide money transmission as an |
17 | | authorized delegate of the licensee. |
18 | | (f) An authorized delegate of a licensee holds in trust |
19 | | for the benefit of the licensee all money net of fees received |
20 | | from money transmission. If any authorized delegate commingles |
21 | | any funds received from money transmission with any other |
22 | | funds or property owned or controlled by the authorized |
23 | | delegate, all commingled funds and other property shall be |
24 | | considered held in trust in favor of the licensee in an amount |
25 | | equal to the amount of money net of fees received from money |
26 | | transmission. |
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1 | | (g) An authorized delegate may not use a subdelegate to |
2 | | conduct money transmission on behalf of a licensee. |
3 | | Section 8-2. Unauthorized activities. A person shall not |
4 | | engage in the business of money transmission on behalf of a |
5 | | person not licensed under this Act or not exempt pursuant to |
6 | | Article III of this Act. A person that engages in such activity |
7 | | provides money transmission to the same extent as if the |
8 | | person were a licensee, and shall be jointly and severally |
9 | | liable with the unlicensed or nonexempt person. |
10 | | Section 8-3. Prohibited authorized delegates. |
11 | | (a) The circuit court in an action brought by a licensee |
12 | | shall have jurisdiction to grant appropriate equitable or |
13 | | legal relief, including, without limitation, prohibiting the |
14 | | authorized delegate from directly or indirectly acting as an |
15 | | authorized delegate for any licensee in this State and the |
16 | | payment of restitution, damages or other monetary relief, if |
17 | | the circuit court finds that an authorized delegate failed to |
18 | | remit money in accordance with the written contract required |
19 | | by subsection (b) of Section 8-1 or as otherwise directed by |
20 | | the licensee or required by law. |
21 | | (b) If the circuit court issues an order prohibiting a |
22 | | person from acting as an authorized delegate for any licensee |
23 | | pursuant to subsection (a), the licensee that brought the |
24 | | action shall report the order to the Secretary within 30 days |
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1 | | and shall report the order through NMLS within 90 days. |
2 | | (c) An authorized delegate who holds money in trust for |
3 | | the benefit of a licensee and knowingly fails to remit more |
4 | | than $1,000 of such money is guilty of a Class 3 felony. |
5 | | (d) An authorized delegate who holds money in trust for |
6 | | the benefit of a licensee and knowingly fails to remit no more |
7 | | than $999 of such money is guilty of a Class A misdemeanor. |
8 | | ARTICLE IX. Timely Transmission, Refunds, and Disclosures |
9 | | Section 9-1. Timely transmission. |
10 | | (a) Every licensee shall forward all money received for |
11 | | transmission in accordance with the terms of the agreement |
12 | | between the licensee and the sender, which shall be no more |
13 | | than 3 business days after the receipt of the money to be |
14 | | transmitted, unless the licensee has a reasonable belief or a |
15 | | reasonable basis to believe that the sender may be a victim of |
16 | | fraud or that a crime or violation of law, rule, or regulation |
17 | | has occurred, is occurring, or may occur. |
18 | | (b) If a licensee fails to forward money received for |
19 | | transmission in accordance with this Section, the licensee |
20 | | must respond to inquiries by the sender with the reason for the |
21 | | failure unless providing a response would violate a State or |
22 | | federal law, rule, or regulation. |
23 | | Section 9-2. Refunds. |
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1 | | (a) This Section does not apply to: |
2 | | (1) money received for transmission subject to the |
3 | | federal Remittance Rule, 12 CFR Part 1005, Subpart B, as |
4 | | amended or recodified from time to time; or |
5 | | (2) money received for transmission pursuant to a |
6 | | written agreement between the licensee and payee to |
7 | | process payments for goods or services provided by the |
8 | | payee. |
9 | | (b) Every licensee shall refund to the sender within 10 |
10 | | days after receipt of the sender's written request for a |
11 | | refund of any and all money received for transmission unless |
12 | | any of the following occurs: |
13 | | (1) the money has been forwarded within 10 days after |
14 | | the date on which the money was received for transmission; |
15 | | (2) instructions have been given committing an |
16 | | equivalent amount of money to the person designated by the |
17 | | sender within 10 days of the date on which the money was |
18 | | received for transmission; |
19 | | (3) the agreement between the licensee and the sender |
20 | | instructs the licensee to forward the money at a time that |
21 | | is beyond 10 days after the date on which the money was |
22 | | received for transmission; if funds have not yet been |
23 | | forwarded in accordance with the terms of the agreement |
24 | | between the licensee and the sender, the licensee shall |
25 | | issue a refund in accordance with the other provisions of |
26 | | this Section; or |
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1 | | (4) the refund is requested for a transaction that the |
2 | | licensee has not completed based on a reasonable belief or |
3 | | a reasonable basis to believe that a crime or violation of |
4 | | law, rule, or regulation has occurred, is occurring, or |
5 | | may occur. |
6 | | (5) the refund request does not enable the licensee |
7 | | to: |
8 | | (A) identify the sender's name and address or |
9 | | telephone number; or |
10 | | (B) identify the particular transaction to be |
11 | | refunded if the sender has multiple transactions |
12 | | outstanding. |
13 | | Section 9-3. Receipts. |
14 | | (a) As used in this Section, "receipt" means a paper |
15 | | receipt, electronic record, or other written confirmation. For |
16 | | a transaction conducted in person, the receipt may be provided |
17 | | electronically if the sender requests or agrees to receive an |
18 | | electronic receipt. For a transaction conducted electronically |
19 | | or by phone, a receipt may be provided electronically. All |
20 | | electronic receipts shall be provided in a retainable form. |
21 | | (b) This Section does not apply to: |
22 | | (1) Money received for transmission subject to the |
23 | | federal Remittance Rule, 12 CFR Part 1005, Subpart B, as |
24 | | amended or recodified from time to time; |
25 | | (2) money received for transmission pursuant to a |
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1 | | written agreement between the licensee and payee to |
2 | | process payments for goods or services provided by the |
3 | | payee; |
4 | | (3) payroll processing services; or |
5 | | (4) as authorized in the Secretary's sole discretion. |
6 | | (c) Every licensee or its authorized delegate shall |
7 | | provide the sender a receipt for money received for |
8 | | transmission. |
9 | | (1) The receipt shall contain the following |
10 | | information, as applicable: |
11 | | (A) the name of the sender; |
12 | | (B) the name of the designated recipient; |
13 | | (C) the date of the transaction; |
14 | | (D) the unique transaction or identification |
15 | | number; |
16 | | (E) the name of the licensee, NMLS Unique ID, the |
17 | | licensee's business address, and the licensee's |
18 | | customer service telephone number; |
19 | | (F) the amount of the transaction in United States |
20 | | dollars; |
21 | | (G) any fee charged by the licensee to the sender |
22 | | for the transaction; and |
23 | | (H) any taxes collected by the licensee from the |
24 | | sender for the transaction. |
25 | | (2) The receipt required by this Section shall be in |
26 | | English and in the language principally used by the |
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1 | | licensee or authorized delegate to advertise, solicit, or |
2 | | negotiate, either orally or in writing, for a transaction |
3 | | conducted in person, electronically or by phone, if other |
4 | | than English. |
5 | | Section 9-4. Notice. Every licensee or authorized delegate |
6 | | shall include on a receipt or disclose on the licensee's |
7 | | website or mobile application the name and phone number of the |
8 | | Department and a statement that the licensee's customers can |
9 | | contact the Department with questions or complaints about the |
10 | | licensee's money transmission services. |
11 | | Section 9-5. Disclosures for payroll processing services. |
12 | | (a) A licensee that provides payroll processing services |
13 | | shall: |
14 | | (1) issue reports to clients detailing client payroll |
15 | | obligations in advance of the payroll funds being deducted |
16 | | from an account; and |
17 | | (2) make worker paystubs or an equivalent statement |
18 | | available to workers. |
19 | | (b) Subsection (a) does not apply to a licensee providing |
20 | | payroll processing services where the licensee's client |
21 | | designates the intended recipients to the licensee and is |
22 | | responsible for providing the disclosures required by |
23 | | paragraph (2) of subsection (a). |
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1 | | ARTICLE X. Prudential Standards |
2 | | Section 10-1. Net worth. |
3 | | (a) A licensee under this Act shall maintain at all times a |
4 | | tangible net worth of the greater of $100,000 or 3% of total |
5 | | assets for the first $100,000,000, 2% of additional assets for |
6 | | $100,000,000 to $1,000,000,000, and 0.5% of additional assets |
7 | | for over $1,000,000,000. |
8 | | (b) Tangible net worth must be demonstrated at initial |
9 | | application by the applicant's most recent audited or |
10 | | unaudited financial statements pursuant to paragraph (6) of |
11 | | subsection (b) of Section 5-3. |
12 | | (c) Notwithstanding the provisions of this Section, the |
13 | | Secretary shall have discretionary authority to exempt, in |
14 | | part or in whole, from the requirements of this Section any |
15 | | applicant or licensee. |
16 | | Section 10-2. Surety bond. |
17 | | (a) An applicant for a money transmission license must |
18 | | provide, and a licensee at all times must maintain, security |
19 | | consisting of a surety bond in a form satisfactory to the |
20 | | Secretary. The bond shall run to the State of Illinois for the |
21 | | benefit of any claimant against the applicant or licensee with |
22 | | respect to the receipt, handling, transmission, and payment of |
23 | | money by the licensee or authorized delegate in connection |
24 | | with the licensed operations. A claimant damaged by a breach |
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1 | | of the conditions of a bond shall have a right to action upon |
2 | | the bond for damages suffered thereby and may bring suit |
3 | | directly on the bond, or the Secretary may bring suit on behalf |
4 | | of the claimant. |
5 | | (b) The amount of the required security shall be the |
6 | | greater of $100,000 or an amount equal to 100% of the |
7 | | licensee's average daily money transmission liability in this |
8 | | State calculated for the most recently completed quarter, up |
9 | | to a maximum of $2,000,000; |
10 | | (c) A licensee that maintains a bond in the maximum amount |
11 | | provided for in subsection (b) is not required to calculate |
12 | | its average daily money transmission liability in this State |
13 | | for purposes of this Section. |
14 | | (d) A licensee may exceed the maximum required bond amount |
15 | | pursuant to paragraph (5) of subsection (a) of Section 10-4. |
16 | | (e) After receiving a license, the licensee must maintain |
17 | | the required bond plus net worth until 3 years after it ceases |
18 | | to do business in this State unless all outstanding payment |
19 | | instruments are eliminated or the provisions under the Revised |
20 | | Uniform Unclaimed Property Act have become operative and are |
21 | | adhered to by the licensee. Notwithstanding this provision, |
22 | | however, the amount required to be maintained may be reduced |
23 | | to the extent that the amount of the licensee's payment |
24 | | instruments outstanding in this State are reduced. |
25 | | (f) Instead of a paper surety bond, each licensee and |
26 | | applicant shall file and maintain an electronic surety bond in |
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1 | | NMLS or in a manner otherwise authorized by the Secretary. |
2 | | Section 10-3. Maintenance of permissible investments. |
3 | | (a) A licensee shall maintain at all times permissible |
4 | | investments that have a market value computed in accordance |
5 | | with United States generally accepted accounting principles of |
6 | | not less than the aggregate amount of all of its outstanding |
7 | | money transmission obligations. |
8 | | (b) Except for permissible investments enumerated in |
9 | | subsection (a) of Section 10-4, the Secretary, with respect to |
10 | | any licensee, may by rule or order limit the extent to which a |
11 | | specific investment maintained by a licensee within a class of |
12 | | permissible investments may be considered a permissible |
13 | | investment, if the specific investment represents undue risk |
14 | | to customers, not reflected in the market value of |
15 | | investments. |
16 | | (c) Permissible investments, even if commingled with other |
17 | | assets of the licensee, are held in trust for the benefit of |
18 | | the purchasers and holders of the licensee's outstanding money |
19 | | transmission obligations in the event of insolvency, the |
20 | | filing of a petition by or against the licensee under the |
21 | | United States Bankruptcy Code, 11 U.S.C. Sections 101 through |
22 | | 110, as amended or recodified from time to time, for |
23 | | bankruptcy or reorganization, the filing of a petition by or |
24 | | against the licensee for receivership, the commencement of any |
25 | | other judicial or administrative proceeding for its |
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1 | | dissolution or reorganization, or in the event of an action by |
2 | | a creditor against the licensee who is not a beneficiary of |
3 | | this statutory trust. No permissible investments impressed |
4 | | with a trust pursuant to this subsection shall be subject to |
5 | | attachment, levy of execution, or sequestration by order of |
6 | | any court, except for a beneficiary of this statutory trust. |
7 | | (d) Upon the establishment of a statutory trust in |
8 | | accordance with subsection (c) or when any funds are drawn on a |
9 | | letter of credit pursuant to paragraph (4) of subsection (a) |
10 | | of Section 10-4, the Secretary shall notify the applicable |
11 | | regulator of each state in which the licensee is licensed to |
12 | | engage in money transmission, if any, of the establishment of |
13 | | the trust or the funds drawn on the letter of credit, as |
14 | | applicable. Notice shall be deemed satisfied if performed |
15 | | pursuant to a multistate agreement or through NMLS. Funds |
16 | | drawn on a letter of credit, and any other permissible |
17 | | investments held in trust for the benefit of the purchasers |
18 | | and holders of the licensee's outstanding money transmission |
19 | | obligations, are deemed held in trust for the benefit of such |
20 | | purchasers and holders on a pro rata and equitable basis in |
21 | | accordance with statutes pursuant to which permissible |
22 | | investments are required to be held in this State, and other |
23 | | states, as applicable. Any statutory trust established |
24 | | hereunder shall be terminated upon extinguishment of all of |
25 | | the licensee's outstanding money transmission obligations. |
26 | | (e) The Secretary by rule or by order may allow other types |
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1 | | of investments that the Secretary determines are of sufficient |
2 | | liquidity and quality to be a permissible investment. The |
3 | | Secretary is authorized to participate in efforts with other |
4 | | state regulators to determine that other types of investments |
5 | | are of sufficient liquidity and quality to be a permissible |
6 | | investment. |
7 | | Section 10-4. Types of permissible investments. |
8 | | (a) The following investments are permissible under |
9 | | Section 10-3: |
10 | | (1) Cash, including demand deposits, savings deposits, |
11 | | and funds in such accounts held for the benefit of the |
12 | | licensee's customers in an insured depository financial |
13 | | institution, and cash equivalents including ACH items in |
14 | | transit to the licensee and ACH items or international |
15 | | wires in transit to a payee, cash in transit via armored |
16 | | car, cash in smart safes, cash in licensee-owned |
17 | | locations, debit card or credit card-funded transmission |
18 | | receivables owed by any bank, or money market mutual funds |
19 | | rated "AAA" by S&P, or the equivalent from any eligible |
20 | | rating service; |
21 | | (2) certificates of deposit or senior debt obligations |
22 | | of an insured depository institution, as defined in |
23 | | Section 3 of the Federal Deposit Insurance Act, 12 U.S.C. |
24 | | 1813, as amended or recodified from time to time, or as |
25 | | defined under the federal Credit Union Act, 12 U.S.C. |
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1 | | 1781, as amended or recodified from time to time; |
2 | | (3) an obligation of the United States or a |
3 | | commission, agency, or instrumentality thereof; an |
4 | | obligation that is guaranteed fully as to principal and |
5 | | interest by the United States; or an obligation of a State |
6 | | or a governmental subdivision, agency, or instrumentality |
7 | | thereof; |
8 | | (4) the full drawable amount of an irrevocable standby |
9 | | letter of credit for which the stated beneficiary is the |
10 | | Secretary that stipulates that the beneficiary need only |
11 | | draw a sight draft under the letter of credit and present |
12 | | it to obtain funds up to the letter of credit amount within |
13 | | 7 days of presentation of the items required by |
14 | | subparagraph (C) of this paragraph. |
15 | | (A) The letter of credit must: |
16 | | (i) be issued by an insured depository |
17 | | financial institution, a foreign bank that is |
18 | | authorized under federal law to maintain a federal |
19 | | agency or federal branch office in a State or |
20 | | states, or a foreign bank that is authorized under |
21 | | State law to maintain a branch in a State that (I) |
22 | | bears an eligible rating or whose parent company |
23 | | bears an eligible rating; and (II) is regulated, |
24 | | supervised, and examined by United States federal |
25 | | or State authorities having regulatory authority |
26 | | over banks, credit unions, and trust companies; |
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1 | | (ii) be irrevocable, unconditional, and |
2 | | indicate that it is not subject to any condition |
3 | | or qualifications outside of the letter of credit; |
4 | | (iii) not contain reference to any other |
5 | | agreements, documents, or entities, or otherwise |
6 | | provide for any security interest in the licensee; |
7 | | and |
8 | | (iv) contain an issue date and expiration date |
9 | | and expressly provide for automatic extension, |
10 | | without a written amendment, for an additional |
11 | | period of one year from the present or each future |
12 | | expiration date, unless the issuer of the letter |
13 | | of credit notifies the Secretary in writing by |
14 | | certified or registered mail or courier mail or |
15 | | other receipted means, at least 60 days before any |
16 | | expiration date, that the irrevocable letter of |
17 | | credit will not be extended. |
18 | | (B) In the event of any notice of expiration or |
19 | | nonextension of a letter of credit issued under |
20 | | subdivision (iv) of subparagraph (A), the licensee |
21 | | shall be required to demonstrate to the satisfaction |
22 | | of the Secretary, 15 days before expiration, that the |
23 | | licensee maintains and will maintain permissible |
24 | | investments in accordance with subsection (a) of |
25 | | Section 10-3 upon the expiration of the letter of |
26 | | credit. If the licensee is not able to do so, the |
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1 | | Secretary may draw on the letter of credit in an amount |
2 | | up to the amount necessary to meet the licensee's |
3 | | requirements to maintain permissible investments in |
4 | | accordance with subsection (a) of Section 10-3. Any |
5 | | such draw shall be offset against the licensee's |
6 | | outstanding money transmission obligations. The drawn |
7 | | funds shall be held in trust by the Secretary or the |
8 | | Secretary's designated agent, to the extent authorized |
9 | | by law, as agent for the benefit of the purchasers and |
10 | | holders of the licensee's outstanding money |
11 | | transmission obligations. |
12 | | (C) The letter of credit shall provide that the |
13 | | issuer of the letter of credit will honor, at sight, a |
14 | | presentation made by the beneficiary to the issuer of |
15 | | the following documents on or before the expiration |
16 | | date of the letter of credit: |
17 | | (i) the original letter of credit (including |
18 | | any amendments); and |
19 | | (ii) a written statement from the beneficiary |
20 | | stating that any of the following events have |
21 | | occurred: |
22 | | (I) the filing of a petition by or against |
23 | | the licensee under the United States |
24 | | Bankruptcy Code, 11 U.S.C. 101 through 110, as |
25 | | amended or recodified from time to time, for |
26 | | bankruptcy or reorganization; |
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1 | | (II) the filing of a petition by or |
2 | | against the licensee for receivership, or the |
3 | | commencement of any other judicial or |
4 | | administrative proceeding for its dissolution |
5 | | or reorganization; |
6 | | (III) the seizure of assets of a licensee |
7 | | by a Secretary pursuant to an emergency |
8 | | order issued in accordance with applicable |
9 | | law, on the basis of an action, violation, |
10 | | or condition that has caused or is likely |
11 | | to cause the insolvency of the licensee; |
12 | | or |
13 | | (IV) the beneficiary has received notice |
14 | | of expiration or nonextension of a letter |
15 | | of credit and the licensee failed to |
16 | | demonstrate to the satisfaction of the |
17 | | beneficiary that the licensee will |
18 | | maintain permissible investments in |
19 | | accordance with subsection (a) of Section |
20 | | 10-3 upon the expiration or nonextension |
21 | | of the letter of credit. |
22 | | (D) The Secretary may designate an agent to serve |
23 | | on the Secretary's behalf as beneficiary to a letter |
24 | | of credit so long as the agent and letter of credit |
25 | | meet requirements established by the Secretary. The |
26 | | Secretary's agent may serve as agent for multiple |
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1 | | licensing authorities for a single irrevocable letter |
2 | | of credit if the proceeds of the drawable amount for |
3 | | the purposes of this Section are assigned to the |
4 | | Secretary. |
5 | | (E) The Secretary is authorized and encouraged to |
6 | | participate in multistate processes designed to |
7 | | facilitate the issuance and administration of letters |
8 | | of credit, including, but not limited to, services |
9 | | provided by the NMLS and State Regulatory Registry, |
10 | | LLC. |
11 | | (5) 100% of the surety bond or deposit provided for |
12 | | under Section 10-2 that exceeds the average daily money |
13 | | transmission liability in this State. |
14 | | (b) Unless permitted by the Secretary by rule or by order |
15 | | to exceed the limit as set forth herein, the following |
16 | | investments are permissible under Section 10-3 to the extent |
17 | | specified: |
18 | | (1) receivables that are payable to a licensee from |
19 | | its authorized delegates in the ordinary course of |
20 | | business that are less than 7 days old, up to 50% of the |
21 | | aggregate value of the licensee's total permissible |
22 | | investments; |
23 | | (2) of the receivables permissible under paragraph (1) |
24 | | of this subsection (b), receivables that are payable to a |
25 | | licensee from a single authorized delegate in the ordinary |
26 | | course of business may not exceed 10% of the aggregate |
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1 | | value of the licensee's total permissible investments. |
2 | | (3) the following investments are permissible up to |
3 | | 20% per category and combined up to 50% of the aggregate |
4 | | value of the licensee's total permissible investments: |
5 | | (A) a short-term, of up to 6 months, investment |
6 | | bearing an eligible rating; |
7 | | (B) commercial paper bearing an eligible rating; |
8 | | (C) a bill, note, bond, or debenture bearing an |
9 | | eligible rating; |
10 | | (D) U.S. tri-party repurchase agreements |
11 | | collateralized at 100% or more with U.S. government or |
12 | | agency securities, municipal bonds, or other |
13 | | securities bearing an eligible rating; |
14 | | (E) money market mutual funds rated less than |
15 | | "AAA" and equal to or higher than "A-" by S&P, or the |
16 | | equivalent from any other eligible rating service; and |
17 | | (F) a mutual fund or other investment fund |
18 | | composed solely and exclusively of one or more |
19 | | permissible investments listed in paragraphs (1) |
20 | | through (3) of subsection (a). |
21 | | (4) cash, including demand deposits, savings deposits, |
22 | | and funds in such accounts held for the benefit of the |
23 | | licensee's customers, at foreign depository institutions |
24 | | are permissible up to 10% of the aggregate value of the |
25 | | licensee's total permissible investments if the licensee |
26 | | has received a satisfactory rating in its most recent |
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1 | | examination and the foreign depository institution: |
2 | | (A) has an eligible rating; |
3 | | (B) is registered under the Foreign Account Tax |
4 | | Compliance Act; |
5 | | (C) is not located in any country subject to |
6 | | sanctions from the Office of Foreign Asset Control; |
7 | | and |
8 | | (D) is not located in a high-risk or |
9 | | non-cooperative jurisdiction as designated by the |
10 | | Financial Action Task Force. |
11 | | ARTICLE XI. Enforcement |
12 | | Section 11-1. Prohibited acts and practices for licensees. |
13 | | It is a violation of this Act for a licensee, or other person |
14 | | subject to this Act to: |
15 | | (1) directly or indirectly employ any scheme, device, |
16 | | or artifice to defraud or mislead any person, including, |
17 | | but not limited to, engaging in bait and switch |
18 | | advertising or sales practices; |
19 | | (2) directly or indirectly engage in any unfair or |
20 | | deceptive act or practice toward any person, including, |
21 | | but not limited to, any false or deceptive statement about |
22 | | fees or other terms of a money transmission or currency |
23 | | exchange; |
24 | | (3) directly or indirectly obtain property by fraud or |
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1 | | misrepresentation; |
2 | | (4) knowingly make, publish, or disseminate any false, |
3 | | deceptive, or misleading information in the provision of |
4 | | money services; |
5 | | (5) knowingly receive or take possession for personal |
6 | | use of any property of any money services business, other |
7 | | than in payment for services rendered, and with intent to |
8 | | defraud, omit to make, or cause or direct to omit to make, |
9 | | a full and true entry thereof in the books and accounts of |
10 | | the business; |
11 | | (6) make or concur in making any false entry, or omit |
12 | | or concur in omitting any material entry, in the books or |
13 | | accounts of the business; |
14 | | (7) knowingly make or publish to the Director or the |
15 | | Director's designee, or concur in making or publishing to |
16 | | the Director or the Director's designee any written |
17 | | report, exhibit, or statement of its affairs or pecuniary |
18 | | condition containing any material statement which is |
19 | | false, or omit or concur in omitting any statement |
20 | | required by law to be contained therein; |
21 | | (8) fail to make any report or statement lawfully |
22 | | required by the Director or other public official. |
23 | | (9) demonstrate by course of conduct, negligence or |
24 | | incompetence in performing any act directly or indirectly |
25 | | relating to licensed activity; |
26 | | (10) engage in unsafe and unsound practices directly |
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1 | | or indirectly relating to licensed activity; or |
2 | | (11) fail to comply with the provisions of this Act or |
3 | | with any lawful order or agreement, rule, or regulations |
4 | | made or issued under the provisions of this Act. |
5 | | Section 11-2. Suspension and revocation of licenses. |
6 | | (a) The Secretary may issue an order to suspend or revoke a |
7 | | license of a licensee or order a licensee to revoke the |
8 | | designation of an authorized delegate if: |
9 | | (1) the licensee has failed to comply with any |
10 | | provision of this Act, or any order, decision, finding, |
11 | | rule, regulation or direction of the Secretary lawfully |
12 | | made pursuant to the authority of this Act; |
13 | | (2) the licensee does not cooperate with an |
14 | | examination or investigation by the Secretary; |
15 | | (3) the licensee engages in fraud, intentional |
16 | | misrepresentation, or gross negligence; |
17 | | (4) an authorized delegate is convicted of a violation |
18 | | of a State or federal anti-money laundering statute, or |
19 | | violates a rule adopted or an order issued under this Act, |
20 | | as a result of the licensee's willful misconduct or |
21 | | grossly negligent inattention to its legal obligations; |
22 | | (5) the competence, experience, character, or general |
23 | | fitness of the licensee, authorized delegate, person in |
24 | | control of a licensee, key individual, or responsible |
25 | | person of the authorized delegate indicates that it is not |
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1 | | in the public interest to permit the person to provide |
2 | | money transmission; |
3 | | (6) the licensee engages in an unsafe or unsound |
4 | | practice; |
5 | | (7) the licensee is insolvent, suspends payment of its |
6 | | obligations, or makes a general assignment for the benefit |
7 | | of its creditors; |
8 | | (8) the licensee does not remove an authorized |
9 | | delegate after the Secretary issues and serves upon the |
10 | | licensee a final order including a finding that the |
11 | | authorized delegate has violated this Act; |
12 | | (9) a fact or condition exists that, if it had existed |
13 | | or had been known at the time the licensee applied for its |
14 | | license, would have been ground for denying the |
15 | | application; |
16 | | (10) the licensee knowingly fails to make a report |
17 | | required by this Act; |
18 | | (11) the licensee fails to pay a judgment entered in |
19 | | favor of a claimant, plaintiff, or credit in an action |
20 | | arising out of the licensee's business regulated under |
21 | | this Act within 30 days after the judgment becomes final |
22 | | or within 30 days after the expiration or termination of a |
23 | | stay of execution; |
24 | | (12) the licensee has been convicted under the laws of |
25 | | this State, another state, or the United States of a |
26 | | felony or of a crime involving breach of trust or |
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1 | | dishonesty; or |
2 | | (13) the licensee violates the Illinois Uniform |
3 | | Revised Unclaimed Property Act. |
4 | | (b) In determining whether a licensee is engaging in an |
5 | | unsafe or unsound practice, the Secretary may consider the |
6 | | size and condition of the licensee's money transmission, the |
7 | | magnitude of the loss, the gravity of the violation of this |
8 | | Act, and the previous conduct of the person involved. |
9 | | (c) In every case in which a license is suspended or |
10 | | revoked, the Secretary shall issue a formal written notice of |
11 | | the suspension or revocation, setting forth the specific |
12 | | reasons for the suspension or revocation of the license and |
13 | | serve the licensee, either personally or by certified mail. |
14 | | Service by certified mail shall be deemed completed when the |
15 | | notice is deposited into U.S. Mail and the order of suspension |
16 | | or revocation of a license shall take effect upon service of |
17 | | the order. |
18 | | (d) A licensee whose license has been suspended or revoked |
19 | | by the Secretary under this Section may request a hearing, in |
20 | | writing, within 10 days after the date of service. If a |
21 | | licensee submits a timely request for a hearing, the order |
22 | | shall be stayed until a final administrative order is entered |
23 | | and the Secretary shall schedule a hearing unless otherwise |
24 | | agreed to by the parties. |
25 | | (e) The Secretary shall conduct hearings pursuant to this |
26 | | Section and in accordance with 38 Ill. Adm. Code 100, as |
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1 | | amended or recodified from time to time. |
2 | | Section 11-3. Suspension and revocation of authorized |
3 | | delegates. |
4 | | (a) The Secretary may issue an order to suspend or revoke |
5 | | the designation of an authorized delegate, if the Secretary |
6 | | finds that: |
7 | | (1) the authorized delegate has failed to comply with |
8 | | any provision of this Act or any order, decision, finding, |
9 | | rule, regulation, or direction of the Secretary lawfully |
10 | | made pursuant to the authority of this Act; |
11 | | (2) the authorized delegate does not cooperate with an |
12 | | examination or investigation by the Secretary; |
13 | | (3) the authorized delegate engages in fraud, |
14 | | intentional misrepresentation, or gross negligence; |
15 | | (4) the authorized delegate is convicted of a |
16 | | violation of a State or federal anti-money laundering |
17 | | statute; |
18 | | (5) the competence, experience, character, or general |
19 | | fitness of the authorized delegate or a person in control |
20 | | of the authorized delegate indicates that it is not in the |
21 | | public interest to permit the authorized delegate to |
22 | | provide money transmission; or |
23 | | (6) the authorized delegate engages in an unsafe or |
24 | | unsound practice. |
25 | | (b) In determining whether an authorized delegate is |
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1 | | engaging in an unsafe or unsound practice, the Secretary may |
2 | | consider the size and condition of the authorized delegate's |
3 | | provision of money transmission, the magnitude of the loss, |
4 | | the gravity of the violation of this Act or a rule adopted or |
5 | | order issued under this Act, and the previous conduct of the |
6 | | authorized delegate. |
7 | | (c) In every case in which the designation of an |
8 | | authorized delegate is suspended or revoked, the Secretary |
9 | | shall issue a formal written notice of the suspension or |
10 | | revocation, setting forth the specific reasons for the |
11 | | suspension or revocation of the designation and serve the |
12 | | authorized delegate, either personally or by certified mail. |
13 | | Service by certified mail shall be deemed completed when the |
14 | | notice is deposited into U.S. Mail and the order of suspension |
15 | | or revocation of a license shall take effect upon service of |
16 | | the order. |
17 | | (d) An authorized delegate whose designation has been |
18 | | suspended or revoked by the Secretary under this Section may |
19 | | request a hearing, in writing, within 10 days after the date of |
20 | | service. If an authorized delegate submits a timely request |
21 | | for a hearing, the order shall be stayed until a final |
22 | | administrative order is entered and the Secretary shall |
23 | | schedule a hearing unless otherwise agreed to by the parties. |
24 | | (e) The Secretary shall conduct hearings pursuant to this |
25 | | Section and in accordance with 38 Ill. Adm. Code 100, as |
26 | | amended or recodified from time to time. |
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1 | | Section 11-4. Orders to cease and desist and civil |
2 | | penalties. |
3 | | (a) If the Secretary determines that a licensee, an |
4 | | authorized delegate, or any other person has engaged or is |
5 | | engaged in practices contrary to this Act, the rules adopted |
6 | | under this Act, or an order issued under this Act, the |
7 | | Secretary may issue an order requiring the licensee or |
8 | | authorized delegate to cease and desist from the violation. |
9 | | The order becomes effective upon service of it upon the |
10 | | licensee or authorized delegate. |
11 | | (b) The Secretary may issue an order against a licensee to |
12 | | cease and desist from providing money transmission through an |
13 | | authorized delegate that is the subject of a separate order by |
14 | | the Secretary. |
15 | | (c) The Secretary may, in addition to or without the |
16 | | issuance of a cease and desist order, assess a penalty up to |
17 | | $1,000 against a licensee or other person for each violation |
18 | | of this Act, the rules adopted under this Act, or an order |
19 | | issued under this Act as set forth in Section 11-6. The |
20 | | issuance of an order under this Section shall not be a |
21 | | prerequisite to the taking of any action by the Secretary |
22 | | under this or any other Section of this Act. |
23 | | (d) The Secretary shall issue a formal written notice of |
24 | | the cease and desist order, setting forth the specific reasons |
25 | | for the order and serve the licensee or the authorized |
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1 | | delegate, either personally or by certified mail. Service by |
2 | | certified mail shall be deemed completed when the notice is |
3 | | deposited in the U.S. Mail. |
4 | | Section 11-5. Consent orders; settlements. |
5 | | (a) The Secretary may enter into a consent order or |
6 | | settlement agreement at any time with a person to resolve a |
7 | | matter arising under this Act, the rules adopted under this |
8 | | Act, or order issued under this Act. A consent order or |
9 | | settlement agreement must be signed by the person to whom it is |
10 | | issued or by the person's authorized representative, and must |
11 | | indicate agreement with the terms contained in the order. A |
12 | | consent order or settlement agreement may provide that it does |
13 | | not constitute an admission by a person that this Act or a rule |
14 | | adopted or an order issued under this Act has been violated. |
15 | | (b) Notwithstanding the issuance of a consent order or |
16 | | settlement agreement, the Secretary may seek civil or criminal |
17 | | penalties or compromise civil penalties concerning matter |
18 | | encompassed by the consent order unless the consent order by |
19 | | its terms expressly precludes the Secretary from doing so. |
20 | | (c) The Secretary is authorized to compromise, settle, and |
21 | | collect civil penalties and administrative penalties, as set |
22 | | by rule, with any person for violations of this Act or of any |
23 | | rule or order issued or adopted under this Act. |
24 | | Section 11-6. Criminal penalties. A person who engages in |
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1 | | conduct requiring a license under this Act and fails to obtain |
2 | | a license from the Secretary or knowingly makes a false |
3 | | statement, misrepresentation, or false certification in an |
4 | | application, financial statement, account record, report, or |
5 | | other document filed or required to be maintained or filed |
6 | | under this Act or who knowingly makes a false entry or omits a |
7 | | material entry in a document is guilty of a Class 3 felony. |
8 | | Section 11-7. Civil penalties. The Secretary may assess a |
9 | | civil penalty against a person that violates this Act, a rule |
10 | | adopted or an order issued under this Act in an amount not to |
11 | | exceed $1,000 per day for each day the violation is |
12 | | outstanding, plus this State's costs and expenses for the |
13 | | investigation and prosecution of the matter, including |
14 | | reasonable attorney's fees. Each transaction in violation of |
15 | | this Act or the rules adopted under this Act or issued under |
16 | | this Act, for each day that a violation continues shall be a |
17 | | separate offense. |
18 | | Section 11-8. Unlicensed persons. Any person who, without |
19 | | the required license, engages in conduct requiring a license |
20 | | under this Act shall be liable to the Department in an amount |
21 | | equal to the greater of (1) $5,000 or (2) an amount of money |
22 | | accepted for transmission plus an amount equal to 3 times the |
23 | | amount accepted for transmission. The Department shall cause |
24 | | any funds so recovered to be deposited into the TOMA Consumer |
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1 | | Protection Fund. |
2 | | Section 11-9. Judicial review. All final administrative |
3 | | decisions of the Department under this Act are subject to |
4 | | judicial review under the Administrative Review Law and any |
5 | | rules adopted under the Administrative Review Law. |
6 | | ARTICLE XII. Miscellaneous Provisions |
7 | | Section 12-1. Uniformity of application and construction. |
8 | | In applying and construing this Act, consideration must be |
9 | | given to the need to promote uniformity of the law with respect |
10 | | to its subject matter among states that enact it. |
11 | | Section 12-2. Severability. The provisions of this Act are |
12 | | severable under Section 1.31 of the Statute on Statutes. |
13 | | Section 12-3. Transition period. |
14 | | (a) Licensees pursuant to the Transmitters of Money Act in |
15 | | good standing on the effective date of this Act shall be |
16 | | licensed under this Act upon the filing of and approval by the |
17 | | Department of a renewal application in accordance with Section |
18 | | 5-6 and may continue to operate lawfully as a licensee in this |
19 | | State unless and until their next renewal application after |
20 | | the effective date is denied by the Department. An authorized |
21 | | seller of licensee pursuant to the Transmitters of Money Act |
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1 | | in good standing as of the effective date shall become an |
2 | | authorized delegate of a licensee upon the filing of and |
3 | | approval by the Department of a renewal application by the |
4 | | licensee in accordance with Section 5-6 and may continue to |
5 | | operate lawfully in this State as an authorized delegate of a |
6 | | licensee unless and until the licensee's next renewal |
7 | | application after the effective date is denied by the |
8 | | Department. |
9 | | (b) A person licensed in this State to engage in the |
10 | | business of money transmission and their authorized sellers |
11 | | shall not be subject to the provisions of this Act, to the |
12 | | extent that they conflict with the Transmitters of Money Act |
13 | | or establish new requirements not imposed under the |
14 | | Transmitters of Money Act, until the licensee renews its |
15 | | current license or for 6 months after the effective date of |
16 | | this Act, whichever is later, so long as they comply with the |
17 | | Transmitters of Money Act and its implementing rules. |
18 | | (c) Notwithstanding subsection (a), a licensee shall only |
19 | | be required to amend its authorized delegate contracts for |
20 | | contracts entered into or amended after the effective date of |
21 | | this Act or the completion of any transition period |
22 | | contemplated under subsection (b). Nothing herein shall be |
23 | | construed as limiting an authorized delegate's obligations to |
24 | | operate in full compliance with this Act as required by |
25 | | subsection (c) of Section 8-1 after the time period set forth |
26 | | in subsection (b). |
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1 | | (d) A person not required to be licensed pursuant to the |
2 | | Transmitters of Money Act shall not be required to be licensed |
3 | | and comply with this Act until January 1, 2026, unless the |
4 | | Secretary extends the time by rule. |
5 | | (e) A provider of payroll processing services that was not |
6 | | licensed pursuant to the Transmitters of Money Act on the |
7 | | effective date of this Act and transmitted no more than |
8 | | $50,000,000 in this State in calendar year 2023 shall not be |
9 | | required to be licensed and comply with this Act until January |
10 | | 1, 2025. A provider of payroll processing services that was |
11 | | not licensed pursuant to the Transmitters of Money Act on the |
12 | | effective date of this Act and transmitted no more than |
13 | | $50,000,000 in this State in calendar year 2023 shall not be |
14 | | penalized for providing such services before January 1, 2025 |
15 | | if the provider submits a completed application for licensure |
16 | | prior to January 1, 2025. |
17 | | (f) Except as otherwise stated, this Act supersedes the |
18 | | Transmitters of Money Act. |
19 | | Section 12-4. TOMA Consumer Protection Fund. |
20 | | (a) The special income-earning fund in the State treasury |
21 | | is known as the TOMA Consumer Protection Fund. |
22 | | (b) All moneys paid into the fund together with all |
23 | | accumulated undistributed income thereon shall be held as a |
24 | | special fund in the State treasury. The fund shall be used |
25 | | solely for the purpose of providing restitution to consumers |
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1 | | who have suffered monetary loss arising out of a transaction |
2 | | regulated by this Act. |
3 | | (c) The fund shall be applied only to restitution when |
4 | | restitution has been ordered by the Secretary. Restitution |
5 | | shall not exceed the amount actually lost by the consumer. The |
6 | | fund shall not be used for the payment of any attorney or other |
7 | | fees. |
8 | | (d) The fund shall be subrogated to the amount of the |
9 | | restitution, and the Secretary shall request the Attorney |
10 | | General to engage in all reasonable collection steps to |
11 | | collect restitution from the party responsible for the loss |
12 | | and reimburse the fund. |
13 | | (e) Notwithstanding any other provisions of this Section, |
14 | | the payment of restitution from the fund shall be a matter of |
15 | | grace and not of right, and no consumer shall have any vested |
16 | | rights in the fund as a beneficiary or otherwise. Before |
17 | | seeking restitution from the fund, the consumer or beneficiary |
18 | | seeking payment of restitution shall apply for restitution on |
19 | | a form provided by the Secretary. The form shall include any |
20 | | information the Secretary may reasonably require in order to |
21 | | determine that restitution is appropriate. |
22 | | (f) Notwithstanding any other provision of this Section, |
23 | | moneys in the TOMA Consumer Protection Fund may be transferred |
24 | | to the Professions Indirect Cost Fund, as authorized under |
25 | | Section 2105-300 of the Department of Professional Regulation |
26 | | Law of the Civil Administrative Code of Illinois. |
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1 | | Article 900. Amendatory provisions |
2 | | Section 900-5. The Freedom of Information Act is amended |
3 | | by changing Section 7.5 as follows: |
4 | | (5 ILCS 140/7.5) |
5 | | (Text of Section before amendment by P.A. 103-472 ) |
6 | | Sec. 7.5. Statutory exemptions. To the extent provided for |
7 | | by the statutes referenced below, the following shall be |
8 | | exempt from inspection and copying: |
9 | | (a) All information determined to be confidential |
10 | | under Section 4002 of the Technology Advancement and |
11 | | Development Act. |
12 | | (b) Library circulation and order records identifying |
13 | | library users with specific materials under the Library |
14 | | Records Confidentiality Act. |
15 | | (c) Applications, related documents, and medical |
16 | | records received by the Experimental Organ Transplantation |
17 | | Procedures Board and any and all documents or other |
18 | | records prepared by the Experimental Organ Transplantation |
19 | | Procedures Board or its staff relating to applications it |
20 | | has received. |
21 | | (d) Information and records held by the Department of |
22 | | Public Health and its authorized representatives relating |
23 | | to known or suspected cases of sexually transmissible |
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1 | | disease or any information the disclosure of which is |
2 | | restricted under the Illinois Sexually Transmissible |
3 | | Disease Control Act. |
4 | | (e) Information the disclosure of which is exempted |
5 | | under Section 30 of the Radon Industry Licensing Act. |
6 | | (f) Firm performance evaluations under Section 55 of |
7 | | the Architectural, Engineering, and Land Surveying |
8 | | Qualifications Based Selection Act. |
9 | | (g) Information the disclosure of which is restricted |
10 | | and exempted under Section 50 of the Illinois Prepaid |
11 | | Tuition Act. |
12 | | (h) Information the disclosure of which is exempted |
13 | | under the State Officials and Employees Ethics Act, and |
14 | | records of any lawfully created State or local inspector |
15 | | general's office that would be exempt if created or |
16 | | obtained by an Executive Inspector General's office under |
17 | | that Act. |
18 | | (i) Information contained in a local emergency energy |
19 | | plan submitted to a municipality in accordance with a |
20 | | local emergency energy plan ordinance that is adopted |
21 | | under Section 11-21.5-5 of the Illinois Municipal Code. |
22 | | (j) Information and data concerning the distribution |
23 | | of surcharge moneys collected and remitted by carriers |
24 | | under the Emergency Telephone System Act. |
25 | | (k) Law enforcement officer identification information |
26 | | or driver identification information compiled by a law |
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1 | | enforcement agency or the Department of Transportation |
2 | | under Section 11-212 of the Illinois Vehicle Code. |
3 | | (l) Records and information provided to a residential |
4 | | health care facility resident sexual assault and death |
5 | | review team or the Executive Council under the Abuse |
6 | | Prevention Review Team Act. |
7 | | (m) Information provided to the predatory lending |
8 | | database created pursuant to Article 3 of the Residential |
9 | | Real Property Disclosure Act, except to the extent |
10 | | authorized under that Article. |
11 | | (n) Defense budgets and petitions for certification of |
12 | | compensation and expenses for court appointed trial |
13 | | counsel as provided under Sections 10 and 15 of the |
14 | | Capital Crimes Litigation Act (repealed) . This subsection |
15 | | (n) shall apply until the conclusion of the trial of the |
16 | | case, even if the prosecution chooses not to pursue the |
17 | | death penalty prior to trial or sentencing. |
18 | | (o) Information that is prohibited from being |
19 | | disclosed under Section 4 of the Illinois Health and |
20 | | Hazardous Substances Registry Act. |
21 | | (p) Security portions of system safety program plans, |
22 | | investigation reports, surveys, schedules, lists, data, or |
23 | | information compiled, collected, or prepared by or for the |
24 | | Department of Transportation under Sections 2705-300 and |
25 | | 2705-616 of the Department of Transportation Law of the |
26 | | Civil Administrative Code of Illinois, the Regional |
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1 | | Transportation Authority under Section 2.11 of the |
2 | | Regional Transportation Authority Act, or the St. Clair |
3 | | County Transit District under the Bi-State Transit Safety |
4 | | Act (repealed) . |
5 | | (q) Information prohibited from being disclosed by the |
6 | | Personnel Record Review Act. |
7 | | (r) Information prohibited from being disclosed by the |
8 | | Illinois School Student Records Act. |
9 | | (s) Information the disclosure of which is restricted |
10 | | under Section 5-108 of the Public Utilities Act. |
11 | | (t) (Blank). |
12 | | (u) Records and information provided to an independent |
13 | | team of experts under the Developmental Disability and |
14 | | Mental Health Safety Act (also known as Brian's Law). |
15 | | (v) Names and information of people who have applied |
16 | | for or received Firearm Owner's Identification Cards under |
17 | | the Firearm Owners Identification Card Act or applied for |
18 | | or received a concealed carry license under the Firearm |
19 | | Concealed Carry Act, unless otherwise authorized by the |
20 | | Firearm Concealed Carry Act; and databases under the |
21 | | Firearm Concealed Carry Act, records of the Concealed |
22 | | Carry Licensing Review Board under the Firearm Concealed |
23 | | Carry Act, and law enforcement agency objections under the |
24 | | Firearm Concealed Carry Act. |
25 | | (v-5) Records of the Firearm Owner's Identification |
26 | | Card Review Board that are exempted from disclosure under |
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1 | | Section 10 of the Firearm Owners Identification Card Act. |
2 | | (w) Personally identifiable information which is |
3 | | exempted from disclosure under subsection (g) of Section |
4 | | 19.1 of the Toll Highway Act. |
5 | | (x) Information which is exempted from disclosure |
6 | | under Section 5-1014.3 of the Counties Code or Section |
7 | | 8-11-21 of the Illinois Municipal Code. |
8 | | (y) Confidential information under the Adult |
9 | | Protective Services Act and its predecessor enabling |
10 | | statute, the Elder Abuse and Neglect Act, including |
11 | | information about the identity and administrative finding |
12 | | against any caregiver of a verified and substantiated |
13 | | decision of abuse, neglect, or financial exploitation of |
14 | | an eligible adult maintained in the Registry established |
15 | | under Section 7.5 of the Adult Protective Services Act. |
16 | | (z) Records and information provided to a fatality |
17 | | review team or the Illinois Fatality Review Team Advisory |
18 | | Council under Section 15 of the Adult Protective Services |
19 | | Act. |
20 | | (aa) Information which is exempted from disclosure |
21 | | under Section 2.37 of the Wildlife Code. |
22 | | (bb) Information which is or was prohibited from |
23 | | disclosure by the Juvenile Court Act of 1987. |
24 | | (cc) Recordings made under the Law Enforcement |
25 | | Officer-Worn Body Camera Act, except to the extent |
26 | | authorized under that Act. |
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1 | | (dd) Information that is prohibited from being |
2 | | disclosed under Section 45 of the Condominium and Common |
3 | | Interest Community Ombudsperson Act. |
4 | | (ee) Information that is exempted from disclosure |
5 | | under Section 30.1 of the Pharmacy Practice Act. |
6 | | (ff) Information that is exempted from disclosure |
7 | | under the Revised Uniform Unclaimed Property Act. |
8 | | (gg) Information that is prohibited from being |
9 | | disclosed under Section 7-603.5 of the Illinois Vehicle |
10 | | Code. |
11 | | (hh) Records that are exempt from disclosure under |
12 | | Section 1A-16.7 of the Election Code. |
13 | | (ii) Information which is exempted from disclosure |
14 | | under Section 2505-800 of the Department of Revenue Law of |
15 | | the Civil Administrative Code of Illinois. |
16 | | (jj) Information and reports that are required to be |
17 | | submitted to the Department of Labor by registering day |
18 | | and temporary labor service agencies but are exempt from |
19 | | disclosure under subsection (a-1) of Section 45 of the Day |
20 | | and Temporary Labor Services Act. |
21 | | (kk) Information prohibited from disclosure under the |
22 | | Seizure and Forfeiture Reporting Act. |
23 | | (ll) Information the disclosure of which is restricted |
24 | | and exempted under Section 5-30.8 of the Illinois Public |
25 | | Aid Code. |
26 | | (mm) Records that are exempt from disclosure under |
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1 | | Section 4.2 of the Crime Victims Compensation Act. |
2 | | (nn) Information that is exempt from disclosure under |
3 | | Section 70 of the Higher Education Student Assistance Act. |
4 | | (oo) Communications, notes, records, and reports |
5 | | arising out of a peer support counseling session |
6 | | prohibited from disclosure under the First Responders |
7 | | Suicide Prevention Act. |
8 | | (pp) Names and all identifying information relating to |
9 | | an employee of an emergency services provider or law |
10 | | enforcement agency under the First Responders Suicide |
11 | | Prevention Act. |
12 | | (qq) Information and records held by the Department of |
13 | | Public Health and its authorized representatives collected |
14 | | under the Reproductive Health Act. |
15 | | (rr) Information that is exempt from disclosure under |
16 | | the Cannabis Regulation and Tax Act. |
17 | | (ss) Data reported by an employer to the Department of |
18 | | Human Rights pursuant to Section 2-108 of the Illinois |
19 | | Human Rights Act. |
20 | | (tt) Recordings made under the Children's Advocacy |
21 | | Center Act, except to the extent authorized under that |
22 | | Act. |
23 | | (uu) Information that is exempt from disclosure under |
24 | | Section 50 of the Sexual Assault Evidence Submission Act. |
25 | | (vv) Information that is exempt from disclosure under |
26 | | subsections (f) and (j) of Section 5-36 of the Illinois |
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1 | | Public Aid Code. |
2 | | (ww) Information that is exempt from disclosure under |
3 | | Section 16.8 of the State Treasurer Act. |
4 | | (xx) Information that is exempt from disclosure or |
5 | | information that shall not be made public under the |
6 | | Illinois Insurance Code. |
7 | | (yy) Information prohibited from being disclosed under |
8 | | the Illinois Educational Labor Relations Act. |
9 | | (zz) Information prohibited from being disclosed under |
10 | | the Illinois Public Labor Relations Act. |
11 | | (aaa) Information prohibited from being disclosed |
12 | | under Section 1-167 of the Illinois Pension Code. |
13 | | (bbb) Information that is prohibited from disclosure |
14 | | by the Illinois Police Training Act and the Illinois State |
15 | | Police Act. |
16 | | (ccc) Records exempt from disclosure under Section |
17 | | 2605-304 of the Illinois State Police Law of the Civil |
18 | | Administrative Code of Illinois. |
19 | | (ddd) Information prohibited from being disclosed |
20 | | under Section 35 of the Address Confidentiality for |
21 | | Victims of Domestic Violence, Sexual Assault, Human |
22 | | Trafficking, or Stalking Act. |
23 | | (eee) Information prohibited from being disclosed |
24 | | under subsection (b) of Section 75 of the Domestic |
25 | | Violence Fatality Review Act. |
26 | | (fff) Images from cameras under the Expressway Camera |
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1 | | Act. This subsection (fff) is inoperative on and after |
2 | | July 1, 2025. |
3 | | (ggg) Information prohibited from disclosure under |
4 | | paragraph (3) of subsection (a) of Section 14 of the Nurse |
5 | | Agency Licensing Act. |
6 | | (hhh) Information submitted to the Illinois State |
7 | | Police in an affidavit or application for an assault |
8 | | weapon endorsement, assault weapon attachment endorsement, |
9 | | .50 caliber rifle endorsement, or .50 caliber cartridge |
10 | | endorsement under the Firearm Owners Identification Card |
11 | | Act. |
12 | | (iii) Data exempt from disclosure under Section 50 of |
13 | | the School Safety Drill Act. |
14 | | (jjj) (hhh) Information exempt from disclosure under |
15 | | Section 30 of the Insurance Data Security Law. |
16 | | (kkk) (iii) Confidential business information |
17 | | prohibited from disclosure under Section 45 of the Paint |
18 | | Stewardship Act. |
19 | | (mmm) Information prohibited from being disclosed |
20 | | under Section 4-2 of the Uniform Money Transmission |
21 | | Modernization Act. |
22 | | (Source: P.A. 102-36, eff. 6-25-21; 102-237, eff. 1-1-22; |
23 | | 102-292, eff. 1-1-22; 102-520, eff. 8-20-21; 102-559, eff. |
24 | | 8-20-21; 102-813, eff. 5-13-22; 102-946, eff. 7-1-22; |
25 | | 102-1042, eff. 6-3-22; 102-1116, eff. 1-10-23; 103-8, eff. |
26 | | 6-7-23; 103-34, eff. 6-9-23; 103-142, eff. 1-1-24; 103-372, |
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1 | | eff. 1-1-24; 103-508, eff. 8-4-23; revised 9-5-23.) |
2 | | (Text of Section after amendment by P.A. 103-472 ) |
3 | | Sec. 7.5. Statutory exemptions. To the extent provided for |
4 | | by the statutes referenced below, the following shall be |
5 | | exempt from inspection and copying: |
6 | | (a) All information determined to be confidential |
7 | | under Section 4002 of the Technology Advancement and |
8 | | Development Act. |
9 | | (b) Library circulation and order records identifying |
10 | | library users with specific materials under the Library |
11 | | Records Confidentiality Act. |
12 | | (c) Applications, related documents, and medical |
13 | | records received by the Experimental Organ Transplantation |
14 | | Procedures Board and any and all documents or other |
15 | | records prepared by the Experimental Organ Transplantation |
16 | | Procedures Board or its staff relating to applications it |
17 | | has received. |
18 | | (d) Information and records held by the Department of |
19 | | Public Health and its authorized representatives relating |
20 | | to known or suspected cases of sexually transmissible |
21 | | disease or any information the disclosure of which is |
22 | | restricted under the Illinois Sexually Transmissible |
23 | | Disease Control Act. |
24 | | (e) Information the disclosure of which is exempted |
25 | | under Section 30 of the Radon Industry Licensing Act. |
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1 | | (f) Firm performance evaluations under Section 55 of |
2 | | the Architectural, Engineering, and Land Surveying |
3 | | Qualifications Based Selection Act. |
4 | | (g) Information the disclosure of which is restricted |
5 | | and exempted under Section 50 of the Illinois Prepaid |
6 | | Tuition Act. |
7 | | (h) Information the disclosure of which is exempted |
8 | | under the State Officials and Employees Ethics Act, and |
9 | | records of any lawfully created State or local inspector |
10 | | general's office that would be exempt if created or |
11 | | obtained by an Executive Inspector General's office under |
12 | | that Act. |
13 | | (i) Information contained in a local emergency energy |
14 | | plan submitted to a municipality in accordance with a |
15 | | local emergency energy plan ordinance that is adopted |
16 | | under Section 11-21.5-5 of the Illinois Municipal Code. |
17 | | (j) Information and data concerning the distribution |
18 | | of surcharge moneys collected and remitted by carriers |
19 | | under the Emergency Telephone System Act. |
20 | | (k) Law enforcement officer identification information |
21 | | or driver identification information compiled by a law |
22 | | enforcement agency or the Department of Transportation |
23 | | under Section 11-212 of the Illinois Vehicle Code. |
24 | | (l) Records and information provided to a residential |
25 | | health care facility resident sexual assault and death |
26 | | review team or the Executive Council under the Abuse |
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1 | | Prevention Review Team Act. |
2 | | (m) Information provided to the predatory lending |
3 | | database created pursuant to Article 3 of the Residential |
4 | | Real Property Disclosure Act, except to the extent |
5 | | authorized under that Article. |
6 | | (n) Defense budgets and petitions for certification of |
7 | | compensation and expenses for court appointed trial |
8 | | counsel as provided under Sections 10 and 15 of the |
9 | | Capital Crimes Litigation Act (repealed) . This subsection |
10 | | (n) shall apply until the conclusion of the trial of the |
11 | | case, even if the prosecution chooses not to pursue the |
12 | | death penalty prior to trial or sentencing. |
13 | | (o) Information that is prohibited from being |
14 | | disclosed under Section 4 of the Illinois Health and |
15 | | Hazardous Substances Registry Act. |
16 | | (p) Security portions of system safety program plans, |
17 | | investigation reports, surveys, schedules, lists, data, or |
18 | | information compiled, collected, or prepared by or for the |
19 | | Department of Transportation under Sections 2705-300 and |
20 | | 2705-616 of the Department of Transportation Law of the |
21 | | Civil Administrative Code of Illinois, the Regional |
22 | | Transportation Authority under Section 2.11 of the |
23 | | Regional Transportation Authority Act, or the St. Clair |
24 | | County Transit District under the Bi-State Transit Safety |
25 | | Act (repealed) . |
26 | | (q) Information prohibited from being disclosed by the |
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| | SB3412 Enrolled | - 97 - | LRB103 35570 RPS 65642 b |
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1 | | Personnel Record Review Act. |
2 | | (r) Information prohibited from being disclosed by the |
3 | | Illinois School Student Records Act. |
4 | | (s) Information the disclosure of which is restricted |
5 | | under Section 5-108 of the Public Utilities Act. |
6 | | (t) (Blank). |
7 | | (u) Records and information provided to an independent |
8 | | team of experts under the Developmental Disability and |
9 | | Mental Health Safety Act (also known as Brian's Law). |
10 | | (v) Names and information of people who have applied |
11 | | for or received Firearm Owner's Identification Cards under |
12 | | the Firearm Owners Identification Card Act or applied for |
13 | | or received a concealed carry license under the Firearm |
14 | | Concealed Carry Act, unless otherwise authorized by the |
15 | | Firearm Concealed Carry Act; and databases under the |
16 | | Firearm Concealed Carry Act, records of the Concealed |
17 | | Carry Licensing Review Board under the Firearm Concealed |
18 | | Carry Act, and law enforcement agency objections under the |
19 | | Firearm Concealed Carry Act. |
20 | | (v-5) Records of the Firearm Owner's Identification |
21 | | Card Review Board that are exempted from disclosure under |
22 | | Section 10 of the Firearm Owners Identification Card Act. |
23 | | (w) Personally identifiable information which is |
24 | | exempted from disclosure under subsection (g) of Section |
25 | | 19.1 of the Toll Highway Act. |
26 | | (x) Information which is exempted from disclosure |
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1 | | under Section 5-1014.3 of the Counties Code or Section |
2 | | 8-11-21 of the Illinois Municipal Code. |
3 | | (y) Confidential information under the Adult |
4 | | Protective Services Act and its predecessor enabling |
5 | | statute, the Elder Abuse and Neglect Act, including |
6 | | information about the identity and administrative finding |
7 | | against any caregiver of a verified and substantiated |
8 | | decision of abuse, neglect, or financial exploitation of |
9 | | an eligible adult maintained in the Registry established |
10 | | under Section 7.5 of the Adult Protective Services Act. |
11 | | (z) Records and information provided to a fatality |
12 | | review team or the Illinois Fatality Review Team Advisory |
13 | | Council under Section 15 of the Adult Protective Services |
14 | | Act. |
15 | | (aa) Information which is exempted from disclosure |
16 | | under Section 2.37 of the Wildlife Code. |
17 | | (bb) Information which is or was prohibited from |
18 | | disclosure by the Juvenile Court Act of 1987. |
19 | | (cc) Recordings made under the Law Enforcement |
20 | | Officer-Worn Body Camera Act, except to the extent |
21 | | authorized under that Act. |
22 | | (dd) Information that is prohibited from being |
23 | | disclosed under Section 45 of the Condominium and Common |
24 | | Interest Community Ombudsperson Act. |
25 | | (ee) Information that is exempted from disclosure |
26 | | under Section 30.1 of the Pharmacy Practice Act. |
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1 | | (ff) Information that is exempted from disclosure |
2 | | under the Revised Uniform Unclaimed Property Act. |
3 | | (gg) Information that is prohibited from being |
4 | | disclosed under Section 7-603.5 of the Illinois Vehicle |
5 | | Code. |
6 | | (hh) Records that are exempt from disclosure under |
7 | | Section 1A-16.7 of the Election Code. |
8 | | (ii) Information which is exempted from disclosure |
9 | | under Section 2505-800 of the Department of Revenue Law of |
10 | | the Civil Administrative Code of Illinois. |
11 | | (jj) Information and reports that are required to be |
12 | | submitted to the Department of Labor by registering day |
13 | | and temporary labor service agencies but are exempt from |
14 | | disclosure under subsection (a-1) of Section 45 of the Day |
15 | | and Temporary Labor Services Act. |
16 | | (kk) Information prohibited from disclosure under the |
17 | | Seizure and Forfeiture Reporting Act. |
18 | | (ll) Information the disclosure of which is restricted |
19 | | and exempted under Section 5-30.8 of the Illinois Public |
20 | | Aid Code. |
21 | | (mm) Records that are exempt from disclosure under |
22 | | Section 4.2 of the Crime Victims Compensation Act. |
23 | | (nn) Information that is exempt from disclosure under |
24 | | Section 70 of the Higher Education Student Assistance Act. |
25 | | (oo) Communications, notes, records, and reports |
26 | | arising out of a peer support counseling session |
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1 | | prohibited from disclosure under the First Responders |
2 | | Suicide Prevention Act. |
3 | | (pp) Names and all identifying information relating to |
4 | | an employee of an emergency services provider or law |
5 | | enforcement agency under the First Responders Suicide |
6 | | Prevention Act. |
7 | | (qq) Information and records held by the Department of |
8 | | Public Health and its authorized representatives collected |
9 | | under the Reproductive Health Act. |
10 | | (rr) Information that is exempt from disclosure under |
11 | | the Cannabis Regulation and Tax Act. |
12 | | (ss) Data reported by an employer to the Department of |
13 | | Human Rights pursuant to Section 2-108 of the Illinois |
14 | | Human Rights Act. |
15 | | (tt) Recordings made under the Children's Advocacy |
16 | | Center Act, except to the extent authorized under that |
17 | | Act. |
18 | | (uu) Information that is exempt from disclosure under |
19 | | Section 50 of the Sexual Assault Evidence Submission Act. |
20 | | (vv) Information that is exempt from disclosure under |
21 | | subsections (f) and (j) of Section 5-36 of the Illinois |
22 | | Public Aid Code. |
23 | | (ww) Information that is exempt from disclosure under |
24 | | Section 16.8 of the State Treasurer Act. |
25 | | (xx) Information that is exempt from disclosure or |
26 | | information that shall not be made public under the |
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1 | | Illinois Insurance Code. |
2 | | (yy) Information prohibited from being disclosed under |
3 | | the Illinois Educational Labor Relations Act. |
4 | | (zz) Information prohibited from being disclosed under |
5 | | the Illinois Public Labor Relations Act. |
6 | | (aaa) Information prohibited from being disclosed |
7 | | under Section 1-167 of the Illinois Pension Code. |
8 | | (bbb) Information that is prohibited from disclosure |
9 | | by the Illinois Police Training Act and the Illinois State |
10 | | Police Act. |
11 | | (ccc) Records exempt from disclosure under Section |
12 | | 2605-304 of the Illinois State Police Law of the Civil |
13 | | Administrative Code of Illinois. |
14 | | (ddd) Information prohibited from being disclosed |
15 | | under Section 35 of the Address Confidentiality for |
16 | | Victims of Domestic Violence, Sexual Assault, Human |
17 | | Trafficking, or Stalking Act. |
18 | | (eee) Information prohibited from being disclosed |
19 | | under subsection (b) of Section 75 of the Domestic |
20 | | Violence Fatality Review Act. |
21 | | (fff) Images from cameras under the Expressway Camera |
22 | | Act. This subsection (fff) is inoperative on and after |
23 | | July 1, 2025. |
24 | | (ggg) Information prohibited from disclosure under |
25 | | paragraph (3) of subsection (a) of Section 14 of the Nurse |
26 | | Agency Licensing Act. |
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1 | | (hhh) Information submitted to the Illinois State |
2 | | Police in an affidavit or application for an assault |
3 | | weapon endorsement, assault weapon attachment endorsement, |
4 | | .50 caliber rifle endorsement, or .50 caliber cartridge |
5 | | endorsement under the Firearm Owners Identification Card |
6 | | Act. |
7 | | (iii) Data exempt from disclosure under Section 50 of |
8 | | the School Safety Drill Act. |
9 | | (jjj) (hhh) Information exempt from disclosure under |
10 | | Section 30 of the Insurance Data Security Law. |
11 | | (kkk) (iii) Confidential business information |
12 | | prohibited from disclosure under Section 45 of the Paint |
13 | | Stewardship Act. |
14 | | (lll) (iii) Data exempt from disclosure under Section |
15 | | 2-3.196 of the School Code. |
16 | | (mmm) Information prohibited from being disclosed |
17 | | under Section 4-2 of the Uniform Money Transmission |
18 | | Modernization Act. |
19 | | (Source: P.A. 102-36, eff. 6-25-21; 102-237, eff. 1-1-22; |
20 | | 102-292, eff. 1-1-22; 102-520, eff. 8-20-21; 102-559, eff. |
21 | | 8-20-21; 102-813, eff. 5-13-22; 102-946, eff. 7-1-22; |
22 | | 102-1042, eff. 6-3-22; 102-1116, eff. 1-10-23; 103-8, eff. |
23 | | 6-7-23; 103-34, eff. 6-9-23; 103-142, eff. 1-1-24; 103-372, |
24 | | eff. 1-1-24; 103-472, eff. 8-1-24; 103-508, eff. 8-4-23; |
25 | | revised 9-5-23.) |
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| | SB3412 Enrolled | - 103 - | LRB103 35570 RPS 65642 b |
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1 | | (205 ILCS 657/Act rep.) |
2 | | Section 900-30. The Transmitters of Money Act is repealed. |
3 | | Article 999. |
4 | | Section 999-95. No acceleration or delay. Where this Act |
5 | | makes changes in a statute that is represented in this Act by |
6 | | text that is not yet or no longer in effect (for example, a |
7 | | Section represented by multiple versions), the use of that |
8 | | text does not accelerate or delay the taking effect of (i) the |
9 | | changes made by this Act or (ii) provisions derived from any |
10 | | other Public Act. |
11 | | Section 999-99. Effective date. This Act takes effect upon |
12 | | becoming law, except that the changes to the Transmitters of |
13 | | Money Act take effect January 1, 2026. |