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1 | AN ACT concerning regulation.
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2 | Be it enacted by the People of the State of Illinois,
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3 | represented in the General Assembly:
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4 | Section 5. The Illinois Public Accounting Act is amended by | ||||||
5 | changing Sections 0.03, 6.1, 9.01, 14.3, 16, 20.01, 20.1, and | ||||||
6 | 27 and by adding Section 9.3 as follows:
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7 | (225 ILCS 450/0.03) (from Ch. 111, par. 5500.03)
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8 | (Section scheduled to be repealed on January 1, 2014)
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9 | Sec. 0.03. Definitions. As used in this Act, unless the | ||||||
10 | context
otherwise requires:
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11 | (a) "Registered Certified Public Accountant" means any | ||||||
12 | person who has been issued
a registration under this Act as a | ||||||
13 | Registered Certified Public Accountant.
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14 | (b) "Licensed Certified Public Accountant" means any | ||||||
15 | person licensed
under this Act as a Licensed Certified Public | ||||||
16 | Accountant.
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17 | (c) "Committee" means the Public Accountant Registration | ||||||
18 | Committee appointed by the Director.
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19 | (d) "Department" means the Department of Professional | ||||||
20 | Regulation.
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21 | (e) "Director" means the Director of Professional | ||||||
22 | Regulation.
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23 | (f) "License", "licensee" , and "licensure" refers to the | ||||||
24 | authorization
to practice under the provisions of this Act.
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25 | (g) "Peer review program" means a study, appraisal, or | ||||||
26 | review of one or
more aspects of the professional work of
a | ||||||
27 | person or firm or sole practitioner in the practice of public | ||||||
28 | accounting to determine the degree of compliance by the firm or | ||||||
29 | sole practitioner with professional standards and practices, | ||||||
30 | conducted by persons who hold current licenses to practice | ||||||
31 | public accounting under the laws of this or another state and | ||||||
32 | who are not affiliated with the firm or sole practitioner being |
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1 | reviewed
certified or licensed
under this Act, including | ||||||
2 | quality review, peer review, practice monitoring,
quality | ||||||
3 | assurance, and similar programs undertaken voluntarily or as a
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4 | prerequisite to the providing of professional services under | ||||||
5 | government
requirements, or any similar internal review or | ||||||
6 | inspection that is required by
professional standards .
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7 | (h) "Review committee" means any person or persons | ||||||
8 | conducting, reviewing,
administering, or supervising a peer | ||||||
9 | review program.
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10 | (i) "University" means the University of Illinois.
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11 | (j) "Board" means the Board of Examiners established under | ||||||
12 | Section 2.
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13 | (k) "Registration", "registrant", and "registered" refer | ||||||
14 | to the authorization to hold oneself out as or use the title | ||||||
15 | "Registered Certified Public Accountant" or "Certified Public | ||||||
16 | Accountant", unless the context otherwise requires.
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17 | (l) "Peer Review Administrator" means an organization | ||||||
18 | designated by the Department that meets the requirements of | ||||||
19 | subsection (f) of Section 16 of this Act and other rules that | ||||||
20 | the Department may adopt.
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21 | (Source: P.A. 92-457, eff. 7-1-04; 93-683, eff. 7-2-04.)
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22 | (225 ILCS 450/6.1) | ||||||
23 | (Section scheduled to be repealed on January 1, 2014) | ||||||
24 | Sec. 6.1. Examinations. | ||||||
25 | (a) The examination shall test the applicant's knowledge of | ||||||
26 | accounting, auditing, and other related subjects, if any, as | ||||||
27 | the Board may deem advisable. A candidate shall be required to | ||||||
28 | pass all sections of the examination in order to qualify for a | ||||||
29 | certificate. A candidate may take the required test sections | ||||||
30 | individually and in any order, as long as the examination is | ||||||
31 | taken within a timeframe established by Board rule. | ||||||
32 | (b) On and after January 1, 2005, applicants shall also be | ||||||
33 | required to pass an examination on the rules of professional | ||||||
34 | conduct, as determined by Board rule to be appropriate, before | ||||||
35 | they may be awarded a certificate as a Certified Public |
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1 | Accountant. | ||||||
2 | (c) Pursuant to compliance with the Americans with | ||||||
3 | Disabilities Act, the Board may provide alternative test | ||||||
4 | administration arrangements that are reasonable in the context | ||||||
5 | of the Certified Public Accountant examination for applicants | ||||||
6 | who are unable to take the examination under standard | ||||||
7 | conditions upon an applicant's submission of evidence as the | ||||||
8 | Board may require, which may include a signed statement from a | ||||||
9 | medical or other licensed medical professional, identifying | ||||||
10 | the applicant's disabilities and the specific alternative | ||||||
11 | accommodations the applicant may need. Any alteration in test | ||||||
12 | administration arrangements does not waive the requirement of | ||||||
13 | sitting for and passing the examination.
The Board may in | ||||||
14 | certain cases waive or defer any of the requirements of this | ||||||
15 | Section regarding the circumstances in which the various | ||||||
16 | Sections of the examination must be passed upon a showing that, | ||||||
17 | by reasons of circumstances beyond the applicant's control, the | ||||||
18 | applicant was unable to meet the requirement. | ||||||
19 | (d) Any application, document, or other information filed | ||||||
20 | by or concerning an applicant and any examination grades of an | ||||||
21 | applicant shall be deemed confidential and shall not be | ||||||
22 | disclosed to anyone without the prior written permission of the | ||||||
23 | applicant, except that the names and addresses only of all | ||||||
24 | applicants shall be a public record and be released as public | ||||||
25 | information. Nothing in this subsection shall prevent the Board | ||||||
26 | from making public announcement of the names of persons | ||||||
27 | receiving certificates under this Act.
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28 | (Source: P.A. 93-683, eff. 7-2-04.)
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29 | (225 ILCS 450/9.01)
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30 | (Section scheduled to be repealed on January 1, 2014)
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31 | Sec. 9.01. Unlicensed practice; violation; civil penalty.
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32 | (a) Any person or firm that
who practices, offers to | ||||||
33 | practice, attempts to practice, or
holds oneself out to | ||||||
34 | practice as a licensed certified public accountant
without | ||||||
35 | being licensed
under this Act shall, in
addition to any other |
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1 | penalty provided by law, pay a civil penalty to the
Department | ||||||
2 | in an amount not to exceed $5,000 for each offense as
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3 | determined by
the Department. The civil penalty shall be | ||||||
4 | assessed by the
Department after a
hearing is held in | ||||||
5 | accordance with the provisions set forth in this Act
regarding | ||||||
6 | the provision of a hearing for the discipline of a licensee.
| ||||||
7 | (b) The Department has the authority and power to | ||||||
8 | investigate
any and all
unlicensed activity.
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9 | (c) The civil penalty shall be paid within 60 days after | ||||||
10 | the effective date
of the order imposing the civil penalty. The | ||||||
11 | order shall constitute a judgment
and may be filed and | ||||||
12 | execution had thereon in the same manner as any judgment
from | ||||||
13 | any court of record.
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14 | (Source: P.A. 92-457, eff. 7-1-04; 93-683, eff. 7-2-04.)
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15 | (225 ILCS 450/9.3 new)
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16 | (Section scheduled to be repealed on January 1, 2014) | ||||||
17 | Sec. 9.3. Sharing of information. Notwithstanding any | ||||||
18 | other provision of this Act, for the purpose of carrying out | ||||||
19 | their respective duties and responsibilities under this Act and | ||||||
20 | to effectuate the purpose of this Act, both the Board of | ||||||
21 | Examiners and the Department of Financial and Professional | ||||||
22 | Regulation are authorized and directed to share information | ||||||
23 | with each other regarding those individuals and entities | ||||||
24 | licensed or certified or applying for licensure or | ||||||
25 | certification under this Act.
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26 | (225 ILCS 450/14.3)
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27 | (Section scheduled to be repealed on January 1, 2014)
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28 | Sec. 14.3. Additional requirements for firms. In
addition | ||||||
29 | to the ownership requirements set forth in subsection (b) of | ||||||
30 | Section
14, all firms licensed under this Act shall meet the
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31 | following requirements:
| ||||||
32 | (a) All owners of the firm, whether licensed or not, shall
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33 | be active participants in the firm or its affiliated
entities.
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34 | (b) An individual who supervises services for which a
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1 | license is required under Section 8 of this Act or who signs
or | ||||||
2 | authorizes another to sign any report for which a license
is | ||||||
3 | required under Section 8 of this Act shall hold a valid,
active
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4 | unrevoked Licensed Certified Public Accountant license from | ||||||
5 | this State or another state and shall comply with such
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6 | additional experience requirements as may be required by rule
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7 | of the Board.
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8 | (c) The firm shall require that all owners of the
firm, | ||||||
9 | whether or not certified or licensed under this Act,
comply | ||||||
10 | with rules promulgated under this Act.
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11 | (d) The firm shall designate to the Department in
writing | ||||||
12 | an individual licensed under this Act who shall be
responsible | ||||||
13 | for the proper registration of the firm.
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14 | (e) Applicants have 3 years from the date of application to | ||||||
15 | complete the application process. If the process has not been | ||||||
16 | completed in 3 years, the application shall be denied, the fee | ||||||
17 | shall be forfeited, and the applicant must reapply and meet the | ||||||
18 | requirements in effect at the time of reapplication.
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19 | (Source: P.A. 92-457, eff. 7-1-04; 93-683, eff. 7-2-04.)
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20 | (225 ILCS 450/16) (from Ch. 111, par. 5517)
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21 | (Section scheduled to be repealed on January 1, 2014)
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22 | Sec. 16. Expiration and renewal of licenses; renewal of | ||||||
23 | registration;
continuing education.
| ||||||
24 | (a) The expiration date and renewal period for each license
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25 | issued under this Act shall be set by rule.
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26 | (b) Every holder of a license or registration under this | ||||||
27 | Act may renew such license or registration before the | ||||||
28 | expiration date upon payment of the required renewal fee as set | ||||||
29 | by rule.
| ||||||
30 | (c) Every application for renewal of a license by a | ||||||
31 | licensed certified public accountant who has been licensed | ||||||
32 | under this Act for 3 years or more shall be accompanied or | ||||||
33 | supported by any evidence the Department shall prescribe, in | ||||||
34 | satisfaction of completing, each 3 years, not less than 120 | ||||||
35 | hours of continuing professional education programs in |
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1 | subjects given by continuing education sponsors registered by | ||||||
2 | the Department upon recommendation of the Committee. Of the 120 | ||||||
3 | hours, not less than 4 hours shall be courses covering the | ||||||
4 | subject of professional ethics. All continuing education | ||||||
5 | sponsors applying to the Department for registration shall be | ||||||
6 | required to submit an initial nonrefundable application fee set | ||||||
7 | by Department rule. Each registered continuing education | ||||||
8 | sponsor shall be required to pay an annual renewal fee set by | ||||||
9 | Department rule. Publicly supported colleges, universities, | ||||||
10 | and governmental agencies located in Illinois are exempt from | ||||||
11 | payment of any fees required for continuing education sponsor | ||||||
12 | registration. Failure by a continuing education sponsor to be | ||||||
13 | licensed or pay the fees prescribed in this Act, or to comply | ||||||
14 | with the rules and regulations established by the Department | ||||||
15 | under this Section regarding requirements for continuing | ||||||
16 | education courses or sponsors, shall constitute grounds for | ||||||
17 | revocation or denial of renewal of the sponsor's registration. | ||||||
18 | (d) Licensed Certified Public Accountants are exempt from | ||||||
19 | the continuing professional education requirement for the | ||||||
20 | first renewal period following the original issuance of the | ||||||
21 | license. | ||||||
22 | Notwithstanding the provisions of this subsection (c), the | ||||||
23 | Department may accept courses and sponsors approved by other | ||||||
24 | states, by the American Institute of Certified Public | ||||||
25 | Accountants, by other state CPA societies, or by national | ||||||
26 | accrediting organizations such as the National Association of | ||||||
27 | State Boards of Accountancy. | ||||||
28 | Failure by an applicant for renewal of a license as a | ||||||
29 | licensed certified public accountant to furnish the evidence | ||||||
30 | shall constitute grounds for disciplinary action, unless the | ||||||
31 | Department in its discretion shall determine the failure to | ||||||
32 | have been due to reasonable cause. The Department, in its | ||||||
33 | discretion, may renew a license despite failure to furnish | ||||||
34 | evidence of satisfaction of requirements of continuing | ||||||
35 | education upon condition that the applicant follow a particular | ||||||
36 | program or schedule of continuing education. In issuing rules |
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1 | and individual orders in respect of requirements of continuing | ||||||
2 | education, the Department in its discretion may, among other | ||||||
3 | things, use and rely upon guidelines and pronouncements of | ||||||
4 | recognized educational and professional associations; may | ||||||
5 | prescribe rules for the content, duration, and organization of | ||||||
6 | courses; shall take into account the accessibility to | ||||||
7 | applicants of such continuing education as it may require, and | ||||||
8 | any impediments to interstate practice of public accounting | ||||||
9 | that may result from differences in requirements in other | ||||||
10 | states; and may provide for relaxation or suspension of | ||||||
11 | requirements in regard to applicants who certify that they do | ||||||
12 | not intend to engage in the practice of public accounting, and | ||||||
13 | for instances of individual hardship. | ||||||
14 | The Department shall establish by rule a means for the | ||||||
15 | verification of completion of the continuing education | ||||||
16 | required by this Section. This verification may be accomplished | ||||||
17 | through audits of records maintained by licensees; by requiring | ||||||
18 | the filing of continuing education certificates with the | ||||||
19 | Department; or by other means established by the Department. | ||||||
20 | The Department may establish, by rule, guidelines for | ||||||
21 | acceptance of continuing education on behalf of licensed | ||||||
22 | certified public accountants taking continuing education | ||||||
23 | courses in other jurisdictions.
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24 | (e) For renewals on and after July 1, 2012, as a condition | ||||||
25 | for granting a renewal license to firms and sole practitioners | ||||||
26 | who provide services requiring a license under this Act, the | ||||||
27 | Department shall require that the firm or sole practitioner | ||||||
28 | satisfactorily complete a peer review during the immediately | ||||||
29 | preceding 3-year period, accepted by a Peer Review | ||||||
30 | Administrator in accordance with established standards for | ||||||
31 | performing and reporting on peer reviews, unless the firm or | ||||||
32 | sole practitioner is exempted under the provisions of | ||||||
33 | subsection (i) of this Section. A firm or sole practitioner | ||||||
34 | shall, at the request of the Department, submit to the | ||||||
35 | Department a letter from the Peer Review Administrator stating | ||||||
36 | the date on which the peer review was satisfactorily completed. |
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1 | A new firm or sole practitioner not subject to subsection | ||||||
2 | (l) of this Section shall undergo its first peer review during | ||||||
3 | the first full renewal cycle after it is granted its initial | ||||||
4 | license.
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5 | The requirements of this subsection (e) shall not apply to | ||||||
6 | any person providing services requiring a license under this | ||||||
7 | Act to the extent that such services are provided in the | ||||||
8 | capacity of an employee of the Office of the Auditor General or | ||||||
9 | to a nonprofit cooperative association engaged in the rendering | ||||||
10 | of licensed service to its members only under paragraph (3) of | ||||||
11 | subsection (b) of Section 14 of this Act or any of its | ||||||
12 | employees to the extent that such services are provided in the | ||||||
13 | capacity of an employee of the association. | ||||||
14 | (f) The Department shall approve only Peer Review | ||||||
15 | Administrators that the Department finds comply with | ||||||
16 | established standards for performing and reporting on peer | ||||||
17 | reviews. The Department may adopt rules establishing | ||||||
18 | guidelines for peer reviews, which shall do all of the | ||||||
19 | following:
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20 | (1) Require that a peer review be conducted by a | ||||||
21 | reviewer that is independent of the firm reviewed and | ||||||
22 | approved by the Peer Review Administrator under | ||||||
23 | established standards. | ||||||
24 | (2) Other than in the peer review process, prohibit the | ||||||
25 | use or public disclosure of information obtained by the | ||||||
26 | reviewer, the Peer Review Administrator, or the Department | ||||||
27 | during or in connection with the peer review process. The | ||||||
28 | requirement that information not be publicly disclosed | ||||||
29 | shall not apply to a hearing before the Department that the | ||||||
30 | firm or sole practitioner requests be public or to the | ||||||
31 | information described in paragraph (3) of subsection (i) of | ||||||
32 | this Section. | ||||||
33 | (g) If a firm or sole practitioner fails to satisfactorily | ||||||
34 | complete a peer review as required by subsection (e) of this | ||||||
35 | Section or does not comply with any remedial actions determined | ||||||
36 | necessary by the Peer Review Administrator, the Peer Review |
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1 | Administrator shall notify the Department of the failure and | ||||||
2 | shall submit a record with specific references to the rule, | ||||||
3 | statutory provision, professional standards, or other | ||||||
4 | applicable authority upon which the Peer Review Administrator | ||||||
5 | made its determination and the specific actions taken or failed | ||||||
6 | to be taken by the licensee that in the opinion of the Peer | ||||||
7 | Review Administrator constitutes a failure to comply. The | ||||||
8 | Department may at its discretion or shall upon submission of a | ||||||
9 | written application by the firm or sole practitioner hold a | ||||||
10 | hearing under Section 20.1 of this Act to determine whether the | ||||||
11 | firm or sole practitioner has complied with subsection (e) of | ||||||
12 | this Section. The hearing shall be confidential and shall not | ||||||
13 | be open to the public unless requested by the firm or sole | ||||||
14 | practitioner. | ||||||
15 | (h) The firm or sole practitioner reviewed shall pay for | ||||||
16 | any peer review performed. The Peer Review Administrator may | ||||||
17 | charge a fee to each firm and sole practitioner sufficient to | ||||||
18 | cover costs of administering the peer review program. | ||||||
19 | (i) A firm or sole practitioner shall be exempt from the | ||||||
20 | requirement to undergo a peer review if: | ||||||
21 | (1) Within 3 years before the date of application for | ||||||
22 | renewal licensure, the sole practitioner or firm has | ||||||
23 | undergone a peer review conducted in another state or | ||||||
24 | foreign jurisdiction that meets the requirements of | ||||||
25 | paragraphs (1) and (2) of subsection (f) of this Section. | ||||||
26 | The sole practitioner or firm shall submit to the | ||||||
27 | Department a letter from the organization administering | ||||||
28 | the most recent peer review stating the date on which the | ||||||
29 | peer review was completed; or | ||||||
30 | (2) The sole practitioner or firm satisfies all of the | ||||||
31 | following conditions: | ||||||
32 | (A) during the preceding 2 years, the firm or sole | ||||||
33 | practitioner has not accepted or performed any | ||||||
34 | services requiring a license under this Act; | ||||||
35 | (B) the firm or sole practitioner agrees to notify | ||||||
36 | the Department within 30 days of accepting an |
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1 | engagement for services requiring a license under this | ||||||
2 | Act and to undergo a peer review within 18 months after | ||||||
3 | the end of the period covered by the engagement; or | ||||||
4 | (3) For reasons of personal health, military service, | ||||||
5 | or other good cause, the Department determines that the | ||||||
6 | sole practitioner or firm is entitled to an exemption, | ||||||
7 | which may be granted for a period of time not to exceed 12 | ||||||
8 | months. | ||||||
9 | (j) If a peer review report indicates that a firm or sole | ||||||
10 | practitioner complies with the appropriate professional | ||||||
11 | standards and practices set forth in the rules of the | ||||||
12 | Department and no further remedial action is required, the Peer | ||||||
13 | Review Administrator shall destroy all working papers and | ||||||
14 | documents, other than report-related documents, related to the | ||||||
15 | peer review within 90 days after issuance of the letter of | ||||||
16 | acceptance by the Peer Review Administrator. If a peer review | ||||||
17 | letter of acceptance indicates that corrective action is | ||||||
18 | required, the Peer Review Administrator may retain documents | ||||||
19 | and reports related to the peer review until completion of the | ||||||
20 | next peer review or other agreed-to corrective actions. | ||||||
21 | (k) In the event the practices of 2 or more firms or sole | ||||||
22 | practitioners are merged or otherwise combined, the surviving | ||||||
23 | firm shall retain the peer review year of the largest firm, as | ||||||
24 | determined by the number of accounting and auditing hours of | ||||||
25 | each of the practices. In the event that the practice of a firm | ||||||
26 | is divided or a portion of its practice is sold or otherwise | ||||||
27 | transferred, any firm or sole practitioner acquiring some or | ||||||
28 | all of the practice that does not already have its own review | ||||||
29 | year shall retain the review year of the former firm. In the | ||||||
30 | event that the first peer review of a firm that would otherwise | ||||||
31 | be required by this subsection (k) would be less than 12 months | ||||||
32 | after its previous review, a review year shall be assigned by | ||||||
33 | Peer Review Administrator so that the firm's next peer review | ||||||
34 | occurs after not less than 12 months of operation, but not | ||||||
35 | later than 18 months of operation. | ||||||
36 | (Source: P.A. 92-457, eff. 7-1-04; 93-683, eff. 7-2-04; revised |
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1 | 10-11-05.)
| ||||||
2 | (225 ILCS 450/20.01) (from Ch. 111, par. 5521.01)
| ||||||
3 | (Section scheduled to be repealed on January 1, 2014)
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4 | Sec. 20.01. Grounds for discipline; license or | ||||||
5 | registration.
| ||||||
6 | (a) The Department may refuse to issue or renew, or may | ||||||
7 | revoke, suspend, or
reprimand any registration or registrant,
| ||||||
8 | any license or licensee, place a licensee or registrant on | ||||||
9 | probation for a period
of time subject to any conditions the | ||||||
10 | Department may specify including requiring
the licensee or | ||||||
11 | registrant to attend continuing education courses or to work | ||||||
12 | under the
supervision of another licensee or registrant, impose | ||||||
13 | a fine not to exceed $5,000 for each
violation, restrict the | ||||||
14 | authorized scope of practice, or require a licensee
or | ||||||
15 | registrant to undergo a peer review program, for any one or | ||||||
16 | more of the following:
| ||||||
17 | (1) Violation of any provision of this Act.
| ||||||
18 | (2) Attempting to procure a license or registration to | ||||||
19 | practice under this Act by
bribery or fraudulent | ||||||
20 | misrepresentations.
| ||||||
21 | (3) Having a license to practice public accounting or | ||||||
22 | registration revoked, suspended,
or otherwise acted | ||||||
23 | against, including the denial of licensure or | ||||||
24 | registration, by the licensing or registering
authority of | ||||||
25 | another state, territory, or country, including but not | ||||||
26 | limited to the District of Columbia, or any United States
| ||||||
27 | territory. No disciplinary action shall be taken in | ||||||
28 | Illinois if the action
taken in another jurisdiction was | ||||||
29 | based upon failure to meet the continuing
professional | ||||||
30 | education requirements of that jurisdiction and the | ||||||
31 | applicable
Illinois continuing professional education | ||||||
32 | requirements are met.
| ||||||
33 | (4) Being convicted or found guilty, regardless of | ||||||
34 | adjudication, of a
crime in any jurisdiction which directly | ||||||
35 | relates to the practice of public
accounting or the ability |
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| |||||||
1 | to practice public accounting or as a Registered Certified | ||||||
2 | Public Accountant.
| ||||||
3 | (5) Making or filing a report or record which the | ||||||
4 | registrant or licensee knows to
be false, willfully failing | ||||||
5 | to file a report or record required by state
or federal | ||||||
6 | law, willfully impeding or obstructing the filing, or | ||||||
7 | inducing
another person to impede or obstruct the filing. | ||||||
8 | The reports or records shall
include only those that are | ||||||
9 | signed in the capacity of a licensed certified
public | ||||||
10 | accountant or a registered certified public accountant.
| ||||||
11 | (6) Conviction in this or another State or the District | ||||||
12 | of Columbia, or
any United States Territory, of any crime | ||||||
13 | that is punishable by one year or
more in prison or | ||||||
14 | conviction of a crime in a federal court that is punishable
| ||||||
15 | by one year or more in prison.
| ||||||
16 | (7) Proof that the licensee or registrant is guilty of | ||||||
17 | fraud or deceit, or of gross
negligence, incompetency, or | ||||||
18 | misconduct, in the practice of public
accounting.
| ||||||
19 | (8) Violation of any rule adopted under this Act.
| ||||||
20 | (9) Practicing on a revoked, suspended, or inactive | ||||||
21 | license or registration.
| ||||||
22 | (10) Suspension or revocation of the right to practice | ||||||
23 | before any
state or federal agency.
| ||||||
24 | (11) Conviction of any crime under the laws of the | ||||||
25 | United States or any
state or territory of the United | ||||||
26 | States that is a felony or misdemeanor and
has dishonesty | ||||||
27 | as an essential element, or of any crime that is directly
| ||||||
28 | related to the practice of the profession.
| ||||||
29 | (12) Making any misrepresentation for the purpose of | ||||||
30 | obtaining a license,
or registration or material | ||||||
31 | misstatement in furnishing information to the Department.
| ||||||
32 | (13) Aiding or assisting another person in violating | ||||||
33 | any provision of
this Act or rules promulgated hereunder.
| ||||||
34 | (14) Engaging in dishonorable, unethical, or | ||||||
35 | unprofessional conduct of a
character likely to deceive, | ||||||
36 | defraud, or harm the public and violating the
rules of |
| |||||||
| |||||||
1 | professional conduct adopted by the Department .
| ||||||
2 | (15) Habitual or excessive use or addiction to alcohol, | ||||||
3 | narcotics,
stimulants, or any other chemical agent or drug | ||||||
4 | that results in the inability
to practice with reasonable | ||||||
5 | skill, judgment, or safety.
| ||||||
6 | (16) Directly or indirectly giving to or receiving from | ||||||
7 | any person, firm,
corporation, partnership, or association | ||||||
8 | any fee, commission, rebate, or other
form of compensation | ||||||
9 | for any professional service not actually rendered.
| ||||||
10 | (17) Physical or mental disability, including | ||||||
11 | deterioration through the
aging process or loss of | ||||||
12 | abilities and skills that results in the inability to
| ||||||
13 | practice the profession with reasonable judgment, skill or | ||||||
14 | safety.
| ||||||
15 | (18) Solicitation of professional services by using | ||||||
16 | false or misleading
advertising.
| ||||||
17 | (19) Failure to file a return, or pay the tax, penalty | ||||||
18 | or interest shown
in a filed return, or to pay any final | ||||||
19 | assessment of tax, penalty or interest,
as required by any | ||||||
20 | tax Act administered by the Illinois Department of Revenue
| ||||||
21 | or any successor agency or the Internal Revenue Service or | ||||||
22 | any successor
agency.
| ||||||
23 | (20) Practicing or attempting to practice under a name | ||||||
24 | other than the
full name as shown on the license or | ||||||
25 | registration or any other legally authorized name.
| ||||||
26 | (21) A finding by the Department that a licensee or | ||||||
27 | registrant has not complied with a
provision of any lawful | ||||||
28 | order issued by the Department.
| ||||||
29 | (22) Making a false statement to the Department
| ||||||
30 | regarding compliance with
continuing professional | ||||||
31 | education or peer review requirements.
| ||||||
32 | (23) Failing to make a substantive response to a | ||||||
33 | request for information
by the Department within 30 days of | ||||||
34 | the request.
| ||||||
35 | (b) (Blank).
| ||||||
36 | (c) In rendering an order, the Department shall take into |
| |||||||
| |||||||
1 | consideration
the facts and circumstances involving the type of | ||||||
2 | acts or omissions in
subsection (a) including, but not limited | ||||||
3 | to:
| ||||||
4 | (1) the extent to which public confidence in the public | ||||||
5 | accounting
profession was, might have been, or may be | ||||||
6 | injured;
| ||||||
7 | (2) the degree of trust and dependence among the | ||||||
8 | involved parties;
| ||||||
9 | (3) the character and degree of financial or economic | ||||||
10 | harm which did or
might have resulted; and
| ||||||
11 | (4) the intent or mental state of the person charged at | ||||||
12 | the time of the
acts or omissions.
| ||||||
13 | (d) The Department shall reissue the license or | ||||||
14 | registration upon a showing that the disciplined
licensee or | ||||||
15 | registrant has complied with all of the terms and conditions | ||||||
16 | set forth in the
final order.
| ||||||
17 | (e) The Department shall deny any application for a | ||||||
18 | license, registration, or renewal,
without hearing, to any | ||||||
19 | person who has defaulted on an educational loan
guaranteed by | ||||||
20 | the Illinois Student Assistance Commission; however, the
| ||||||
21 | Department
may issue a license, registration, or renewal if the | ||||||
22 | person in default has
established a satisfactory repayment | ||||||
23 | record as determined by the Illinois
Student Assistance | ||||||
24 | Commission.
| ||||||
25 | (f) The determination by a court that a licensee or | ||||||
26 | registrant is subject to involuntary
admission or judicial | ||||||
27 | admission as provided in the Mental Health and
Developmental | ||||||
28 | Disabilities Code will result in the automatic suspension of | ||||||
29 | his
or her license or registration. The licensee or registrant | ||||||
30 | shall be responsible for notifying the Department of the | ||||||
31 | determination by the court that the licensee or registrant is | ||||||
32 | subject to involuntary admission or judicial admission as | ||||||
33 | provided in the Mental Health and Developmental Disabilities | ||||||
34 | Code. The licensee or registrant shall also notify the | ||||||
35 | Department upon discharge so that a determination may be made | ||||||
36 | under item (17) of subsection (a) whether the licensee or |
| |||||||
| |||||||
1 | registrant may resume practice.
| ||||||
2 | (Source: P.A. 92-457, eff. 7-1-04; 93-629, eff. 12-23-03; | ||||||
3 | 93-683, eff. 7-2-04.)
| ||||||
4 | (225 ILCS 450/20.1) (from Ch. 111, par. 5522)
| ||||||
5 | (Section scheduled to be repealed on January 1, 2014)
| ||||||
6 | Sec. 20.1. Investigations; notice; hearing. The Department
| ||||||
7 | may, upon
its own motion, and shall, upon the
verified | ||||||
8 | complaint in writing of any person setting forth facts which, | ||||||
9 | if
proved, would constitute grounds for disciplinary action
as | ||||||
10 | set forth in Section 20.01, investigate the actions of any
| ||||||
11 | person or entity. The
Department may refer complaints and | ||||||
12 | investigations to a
disciplinary body
of the accounting | ||||||
13 | profession for technical assistance. The results of
an | ||||||
14 | investigation and recommendations of the disciplinary body
may | ||||||
15 | be considered
by the Department, but shall not be considered | ||||||
16 | determinative and
the Department
shall not in any way be | ||||||
17 | obligated to take any action or be bound by the
results of the | ||||||
18 | accounting profession's disciplinary proceedings. The
| ||||||
19 | Department, before taking disciplinary action, shall afford | ||||||
20 | the
concerned
party or parties an opportunity to request a | ||||||
21 | hearing and if so requested
shall set a time and place for a | ||||||
22 | hearing of the complaint. With respect to determinations by a | ||||||
23 | Peer Review Administrator duly appointed by the Department | ||||||
24 | under subsection (f) of Section 16 of this Act that a licensee | ||||||
25 | has failed to satisfactorily complete a peer review as required | ||||||
26 | under subsection (e) of Section 16, the Department may consider | ||||||
27 | the Peer Review Administrator's findings of fact as prima facie | ||||||
28 | evidence, and upon request by a licensee for a hearing the | ||||||
29 | Department shall review the record presented and hear arguments | ||||||
30 | by the licensee or the licensee's counsel but need not conduct | ||||||
31 | a trial or hearing de novo or accept additional evidence. The
| ||||||
32 | Department shall notify the
applicant or the licensed or | ||||||
33 | registered
person or entity of any
charges made and the date | ||||||
34 | and place of the hearing of those charges by
mailing notice | ||||||
35 | thereof to that person or entity by
registered or certified |
| |||||||
| |||||||
1 | mail to the place last specified by the
accused person or | ||||||
2 | entity in the last
notification to the
Department, at least 30 | ||||||
3 | days prior to the date set for the
hearing or by
serving a | ||||||
4 | written notice by delivery of the notice to the accused
person | ||||||
5 | or entity at least 15 days prior to
the date set
for the | ||||||
6 | hearing, and shall
direct the applicant or licensee or | ||||||
7 | registrant to file a written
answer to the Department
under | ||||||
8 | oath within 20 days after the service of the notice and inform | ||||||
9 | the
applicant or licensee or registrant that failure to file an | ||||||
10 | answer
will result in default
being taken against the applicant | ||||||
11 | or licensee or registrant and that
the license or registration
| ||||||
12 | may be
suspended, revoked, placed on probationary status, or | ||||||
13 | other disciplinary
action may be taken, including limiting the | ||||||
14 | scope, nature or extent of
practice, as the Director may deem | ||||||
15 | proper.
In case the person fails to file an answer after | ||||||
16 | receiving notice, his or
her license or registration may, in | ||||||
17 | the discretion of the Department, be
suspended, revoked, or | ||||||
18 | placed on probationary status, or the Department may
take | ||||||
19 | whatever disciplinary action deemed proper, including limiting | ||||||
20 | the
scope, nature, or extent of the person's practice or the | ||||||
21 | imposition of a
fine, without a hearing, if the act or acts | ||||||
22 | charged constitute sufficient
grounds for such action under | ||||||
23 | this Act.
The Department
shall afford the accused person or | ||||||
24 | entity an
opportunity to be heard
in person or by counsel at | ||||||
25 | the hearing. At the conclusion of
the hearing
the Committee | ||||||
26 | shall present to the Director a
written report setting forth | ||||||
27 | its finding
of facts, conclusions of law, and recommendations. | ||||||
28 | The report shall contain
a finding whether or not the accused | ||||||
29 | person violated this Act or failed to
comply with the | ||||||
30 | conditions required in this Act. If the Director disagrees in | ||||||
31 | any regard with the report, he or she may issue an order in | ||||||
32 | contravention of the report. The Director shall provide a | ||||||
33 | written explanation to the Committee of any such deviations and | ||||||
34 | shall specify with particularity the reasons for the | ||||||
35 | deviations.
| ||||||
36 | The finding is not admissible in evidence against the |
| |||||||
| |||||||
1 | person in a criminal
prosecution brought for the violation of | ||||||
2 | this Act, but the hearing and
findings are not a bar to a | ||||||
3 | criminal prosecution brought for the violation
of this Act.
| ||||||
4 | (Source: P.A. 92-457, eff. 7-1-04; 93-683, eff. 7-2-04.)
| ||||||
5 | (225 ILCS 450/27) (from Ch. 111, par. 5533)
| ||||||
6 | (Section scheduled to be repealed on January 1, 2014) | ||||||
7 | Sec. 27. A licensed or registered certified public | ||||||
8 | accountant shall not be required by
any court to divulge
| ||||||
9 | information or evidence which has been obtained by him in his | ||||||
10 | confidential
capacity as a licensed or registered certified
| ||||||
11 | public accountant. This Section shall not apply to any
| ||||||
12 | investigation or hearing undertaken pursuant to this Act.
| ||||||
13 | (Source: P.A. 92-457, eff. 7-1-04 .)
| ||||||
14 | Section 99. Effective date. This Act takes effect upon | ||||||
15 | becoming law.
|