(760 ILCS 100/1) (from Ch. 21, par. 64.1)
Sec. 1.
Short title.
This Act may be cited as the Cemetery Care Act.
(Source: P.A. 90-47, eff. 1-1-98 .)
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(760 ILCS 100/2) (from Ch. 21, par. 64.2)
Sec. 2.
Definitions.
The following words, terms and phrases used in this
Act, for the purpose of this Act, have the following meanings:
"Person" means any person, partnership, association, corporation, or other
entity.
"Trustee" means any person authorized to hold funds under this Act.
"Comptroller" means the Comptroller of the State of Illinois.
"Care" means the maintenance of a cemetery and of the lots, graves, crypts,
niches, family mausoleums, memorials, and markers therein; including: (i)
the cutting
and trimming of lawn, shrubs, and trees at reasonable intervals; (ii)
keeping in repair the drains, water lines, roads, buildings, fences, and
other structures, in keeping with a well maintained cemetery; (iii) maintenance of
machinery, tools, and equipment for such care; (iv) compensation of
employees, payment of insurance premiums, and reasonable payments for
employees
pension and other benefits plans; and (v) to the extent surplus income from
the
care fund is available, the payment of overhead expenses necessary for such
purposes and for maintaining necessary records of lot
ownership, transfers, and burials.
"Care funds" as distinguished from receipts from annual charges or gifts
for current or annual care, means any realty or personalty impressed with a
trust by the terms of any gift, grant, contribution, payment, legacy,
or pursuant to contract, accepted by any cemetery authority
owning, operating, controlling or managing a privately operated cemetery,
or by any trustee or licensee, agent or custodian for the same, under
Section 3 of this Act, and the amounts set aside under Section 4 of this
Act, and any income accumulated therefrom, where legally so directed by the
terms of the transaction by which the principal was established.
"Cemetery" means any land or structure in this State dedicated to and
used, or intended to be used, for the interment of human remains.
"Cemetery authority" means any person, firm, corporation, trustee,
partnership, association or municipality owning, operating, controlling or
managing a cemetery or holding lands for burial grounds or burial purposes
in this State.
"Mausoleum crypt" means a space in a mausoleum used or intended to be
used, above or under ground, to entomb human remains.
"Family burying ground" means a cemetery in which no lots are sold to
the public and in which interments are restricted to a group of persons
related to each other by blood or marriage.
"Fraternal cemetery" means a cemetery owned, operated, controlled, or
managed by any fraternal organization or auxiliary organizations thereof,
in which the sale of lots, graves, crypts or niches is restricted
principally to its members.
"Grave" means a space of ground in a cemetery, used, or intended to be
used, for burial.
"Investment Company Act of 1940" means Title 15, of the United States
Code, Sections 80a-1 to 80a-51, inclusive, as
amended.
"Investment Company" means any issuer (a) whose securities are
purchasable only with care funds or trust funds, or both; and (b) which is
an open and diversified management company as defined in and registered
under the "Investment Company Act of 1940"; and (c) which has entered into
an agreement with the Comptroller containing such provisions as the
Comptroller by regulation reasonably requires for the proper administration
of this Act.
"Municipal cemetery" means a cemetery owned, operated, controlled or
managed by any city, village, incorporated town, township, county, or other
municipal corporation, political subdivision, or instrumentality thereof
authorized by law to own, operate, or manage a cemetery.
"Niche" means a space in a columbarium used or intended to be used, for
inurnment of cremated human remains.
"Privately operated cemetery" means any entity that offers interment rights,
entombment rights, or inurnment rights, other than a
fraternal, municipal, State, federal or religious cemetery or a family burying
ground.
"Religious cemetery" means a cemetery owned, operated, controlled, or
managed by any recognized church, religious society, association or
denomination, or by any cemetery authority or any corporation
administering, or through which is administered, the temporalities of any
recognized church, religious society, association or denomination.
"State or federal cemetery" means a cemetery owned, operated,
controlled, or managed by any State or the federal government or any
political subdivision or instrumentality thereof.
"Entombment right" means the right to place individual human remains or
individual cremated human remains in a specific mausoleum crypt or lawn
crypt selected by the consumer for use as a final resting place.
"Interment right" means the right to place individual human remains or
cremated human remains in a specific underground location selected by the
consumer for use as a final resting place.
"Inurnment right" means the right to place individual cremated human
remains in a specific niche selected by the consumer for use as a final
resting place.
"Lawn crypt" means a permanent underground crypt usually constructed of
reinforced concrete or similar material installed in multiple units for the
entombment of human remains.
"Imputed value" means the retail price of comparable rights within the
same or similar area of the cemetery.
(Source: P.A. 92-651, eff. 7-11-02 .)
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(760 ILCS 100/2a) (from Ch. 21, par. 64.2a)
Sec. 2a.
Powers and duties of cemetery authorities; cemetery property
maintained by cemetery care funds.
(a) With respect to cemetery property
maintained by cemetery care funds, a cemetery authority shall be
responsible for the performance of:
(1) the care and maintenance of the cemetery property | ||
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(2) the opening and closing of all graves, crypts, or | ||
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(b) A cemetery authority owning, operating, controlling
or managing a privately operated cemetery shall
make available for inspection, and upon
reasonable request provide a copy of,
its rules and regulations and its current prices of
interment, inurnment, or entombment rights.
(c) A cemetery authority owning, operating, controlling
or managing a privately operated cemetery may, from time
to time as land in its cemetery may be required for burial
purposes, survey and subdivide those lands and make and
file in its office a map thereof delineating the lots or
plots, avenues, paths, alleys, and walks and their
respective designations. The cemetery authority
shall open the map
to public
inspection. The cemetery authority may make available a
copy of the overall map upon written request and payment of
reasonable photocopy fees. Any unsold lots, plots or parts
thereof, in which there are not human remains, may be
resurveyed and altered in shape or size, and properly
designated on such map. Nothing contained in this
subsection, however, shall prevent the cemetery authority
from enlarging an interment right by selling to the owner thereof the
excess space next to such interment right and permitting interments
therein, provided reasonable access to such interment right and to
adjoining interment rights is not thereby eliminated.
The Comptroller may waive any or all of the requirements of this subsection (c)
for good cause shown.
(d) A cemetery authority owning, operating, controlling,
or managing a privately operated cemetery shall keep a
record of every interment, entombment, and inurnment in the
cemetery. The record shall include the deceased's name,
age, and date of burial, when these particulars can be
conveniently obtained, and the lot, plot, or section where
the human remains are interred, entombed, or inurned.
The record shall be open to public inspection consistent with State and federal
law. The cemetery
authority shall make available, consistent with State and federal law, a true
copy of the record
upon written request and payment of reasonable copy costs.
(e) A cemetery authority owning, operating, controlling,
or managing a privately operated cemetery shall provide
access to the cemetery under the cemetery authority's reasonable rules and
regulations.
(Source: P.A. 92-419, eff. 1-1-02 .)
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(760 ILCS 100/3) (from Ch. 21, par. 64.3)
Sec. 3.
Gifts and contributions - Trust funds.
Any cemetery authority is
hereby authorized and empowered to accept any gift, grant, contribution,
payment, legacy, or pursuant to contract, any sum of money, funds, securities
or property of any kind, or the income or avails thereof, and to establish a
trust fund to hold the same in perpetuity for the
care of its cemetery, or for the care of any lot, grave, crypt or niche in its
cemetery; or for the special care of any lot, grave, crypt or niche or of any
family mausoleum or memorial, marker, or monument in its cemetery.
The cemetery authority shall act as trustee of all amounts received for
care until they have been deposited into the trust fund established under this
Section. The cemetery authority may continue to be the trustee of up to
$500,000 of care funds that have been deposited into the trust fund, but the
cemetery authority must retain an independent trustee for any amount of care
funds held in trust in excess of that $500,000. A cemetery authority holding
care funds in excess of $500,000 on the effective date of this amendatory Act
of 1996 shall have 36 months to retain an independent trustee for the excess
amounts held in trust; any other cemetery authority must retain an independent
trustee for its care funds in excess of $500,000 as soon as may be practical.
No gift, grant, legacy, payment or other contribution
shall be invalid by reason of any indefiniteness or uncertainty as to the
beneficiary designated in the instrument creating the gift, grant, legacy,
payment or other contribution. If any gift, grant, legacy, payment or
other contribution consists of non-income producing
property, the cemetery authority accepting it is authorized and empowered
to sell such property and to invest the funds obtained in accordance with
the provisions of the next succeeding paragraph.
The care funds authorized by this Section and provided for in Section 4 of
this Act shall be held intact and, unless otherwise restricted by the terms of
the gift, grant, legacy, contribution, payment, contract or other payment, as
to investments made after June 11, 1951 the trustee of the care funds of the cemetery authority, in
acquiring, investing, reinvesting, exchanging, retaining, selling and
managing property for any such trust, shall exercise the judgment and care
under the circumstances then prevailing, which persons of prudence, discretion
and intelligence exercise in the management of their own affairs, not in
regard to speculation but in regard to the permanent disposition of their
funds, considering the probable income as well as the probable safety of
their capital. Within the limitations of the foregoing standard, the trustee of the care funds of the cemetery
authority is authorized to acquire and retain every kind of property, real,
personal or mixed, and every kind of investment, including specifically but
without limiting the generality of the foregoing, bonds, debentures and
other corporate obligations, preferred or common stocks and real estate
mortgages, which persons of prudence, discretion and intelligence acquire or
retain for their own account. Within the limitations of the foregoing
standard,
the trustee is authorized to retain property
properly acquired, without limitation as to time and without regard to its
suitability for original purchase. The care funds authorized by this
Section may be commingled with other trust funds received by such cemetery
authority for the care of its cemetery or for the care or special care of
any lot, grave, crypt, niche, private mausoleum, memorial, marker, or
monument in its cemetery, whether received by gift, grant, legacy,
contribution, payment, contract or other conveyance heretofore or hereafter
made to such cemetery authority. Such care funds may be invested with
common trust funds as provided in The Common Trust Fund Act. The net income
only from the investment of such care funds
shall be allocated and used for the purposes specified in the transaction
by which the principal was established in the proportion that each
contribution bears to the entire sum invested.
(Source: P.A. 89-615, eff. 8-9-96 .)
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(760 ILCS 100/3a) (from Ch. 21, par. 64.3a)
Sec. 3a.
Loans to private cemeteries.
Except upon written approval of the Comptroller, no loan or
investment of any care funds by any cemetery authority owning, operating,
controlling or managing a privately operated cemetery, or by any trustee or
licensee under this Act shall be made:
(1) To any officer, director, trustee, or party | ||
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(2) On or in any real estate, or in any note, bond, | ||
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(3) On or in any unproductive real estate or real | ||
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Before a loan or investment request is submitted to the Comptroller for
approval, the loan or investment request must be duly approved by resolution of
the board of directors
of the cemetery authority and by the trustee of the care fund.
(Source: P.A. 88-477; 89-615, eff. 8-9-96 .)
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(760 ILCS 100/4) (from Ch. 21, par. 64.4)
Sec. 4.
Care funds; deposits; investments.
Whenever a cemetery authority owning, operating, controlling or
managing a privately operated cemetery accepts care funds, either in
connection with the sale or giving away at an imputed value of an
interment right, entombment right or inurnment right, or in pursuance
of a contract, or whenever, as a condition precedent to the purchase or
acceptance of an interment right, entombment right or inurnment right,
such cemetery authority requires the establishment of a care fund or a
deposit in an already existing care fund, then such cemetery authority
shall execute and deliver to the person from whom received an instrument in
writing which shall specifically state: (a) the nature and extent of the
care to be furnished, and (b) that such care shall be furnished only in so
far as the net income derived from the amount deposited in trust will
permit (the income from the amount so deposited, less necessary
expenditures of administering the trust, shall be deemed the net income),
and (c) that not less than the following amounts will be set aside and
deposited in trust:
1. For interment rights, $1 per square foot of the | ||
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2. For entombment rights, not less than 10% of the | ||
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3. For inurnment rights, not less than 10% of the | ||
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4. For any transfer of interment rights, entombment | ||
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5. Upon an interment, entombment, or inurnment in a | ||
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6. For the special care of any lot, grave, crypt, or | ||
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Such setting aside and deposit shall be made by such cemetery authority
not later than 30 days after the close of the month in which
the cemetery authority gave away for an imputed value or
received the final payment on the purchase price of interment rights,
entombment rights, or inurnment rights, or received the final payment
for the general or special care of a lot,
grave, crypt or niche or of a family mausoleum, memorial, marker or
monument; and such amounts shall be held by
the trustee of the care funds of such cemetery authority in trust in
perpetuity for the specific purposes stated in said written instrument.
For all care funds received by a cemetery authority, except for care
funds received by a cemetery authority pursuant to a specific gift, grant,
contribution, payment, legacy, or contract that are subject to investment
restrictions more restrictive than the investment provisions set forth in
this Act, and except for care funds otherwise subject to a trust agreement
executed by a person or persons responsible for transferring the specific
gift, grant, contribution, payment, or legacy to the cemetery authority
that contains investment restrictions more restrictive than the investment
provisions set forth in this Act, the cemetery authority may, without the
necessity of having to obtain prior approval from any court in this State,
designate a new trustee in accordance with this Act and invest the care
funds in accordance with this Section, notwithstanding any contrary
limitation contained in the trust agreement.
Any such cemetery authority engaged in selling or giving away at an
imputed value interment rights, entombment rights or inurnment rights, in
conjunction with the selling or giving away at an imputed value any other
merchandise or services not covered by this Act, shall be prohibited from
increasing the sales price or imputed value of those items not requiring a
care fund deposit under this Act with the purpose of allocating a lesser
sales price or imputed value to items that require a care fund deposit.
In the event any sale that would require a deposit to such cemetery
authority's care fund is made by a cemetery authority on an installment
basis, and the installment contract is factored, discounted, or sold to a
third party, the cemetery authority shall deposit the amount due to
the care fund within 30 days after the close of the month in which the
installment contract was factored, discounted, or sold. If, subsequent to
such deposit, the purchaser defaults on the contract such that no care fund
deposit on that contract would have been required, the cemetery authority may
apply the amount deposited as a credit against future required deposits.
The trust authorized by this Section shall be a single purpose trust
fund. In the event of the seller's bankruptcy, insolvency, or assignment
for the benefit of creditors, or an adverse judgment, the trust funds shall
not be available to any creditor as assets of the cemetery authority or to pay
any expenses of any bankruptcy or similar proceeding, but shall be retained
intact to provide for the future maintenance of the cemetery. Except in an
action by the Comptroller to revoke a license issued pursuant
to this Act and for creation of a receivership as provided in this Act, the
trust shall not be subject to judgment, execution, garnishment, attachment,
or other seizure by process in bankruptcy or otherwise, nor to sale, pledge,
mortgage, or other alienation, and shall not be assignable except as
approved by the Comptroller. The changes made by this amendatory Act of
the 91st General Assembly are intended to clarify existing law regarding the
inability of licensees to pledge the trust.
(Source: P.A. 91-7, eff. 6-1-99 .)
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(760 ILCS 100/5) (from Ch. 21, par. 64.5)
Sec. 5.
No cemetery authority, nor any agent, servant, or employee of it,
nor any other person, shall advertise, represent, guarantee, promise, or
contract that perpetual care, permanent care, perpetual or permanent
maintenance, care forever, continuous care, eternal care, everlasting care,
or any similar or equivalent care, or care for any number of years of any
cemetery or of any lot, grave, crypt or niche, or of any family mausoleum,
memorial, marker, or monument, will be furnished: Provided, however, that
any cemetery authority may advertise, represent, guarantee, promise or
contract that care will be furnished from the net income only derived from
funds held in trust as provided in Section 3 of this Act; and may
advertise, represent, guarantee, promise or contract that care will be
given any lot, grave, crypt, or niche, or any family mausoleum, memorial,
marker, or monument for any definite number of years, such care to be
furnished under a contract providing that the principal of the amount paid
under the contract shall be used to furnish the care and further providing
specifically the care to be given and the number of years for which it is
to be given.
(Source: Laws 1947, p. 338 .)
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(760 ILCS 100/6) (from Ch. 21, par. 64.6)
Sec. 6.
The trust funds authorized by Section 3 of this Act, and the
income therefrom, and any funds received under a contract to furnish care
of a burial space for a definite number of years, shall be held for the
general benefit of the lot owners and are exempt from taxation. The trust
funds authorized by the provisions of Section 3 of this Act, and the income
therefrom, are exempt from the operation of all laws of mortmain and the
laws against perpetuities and accumulations.
(Source: Laws 1967, p. 1188 .)
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(760 ILCS 100/7) (from Ch. 21, par. 64.7)
Sec. 7.
License to hold care funds.
No cemetery authority owning, operating, controlling or managing a
privately operated cemetery may accept the care funds authorized by the
provisions of Section 3 of this Act without securing from the Comptroller a
license to hold
the funds. The license shall be secured by the
cemetery authority whether
the cemetery authority is serving as trustee of the care funds or whether
the care funds are held by an independent trustee.
All licenses issued under the provisions of this Act by the Department
of Financial Institutions prior to the time the administration of this Act
was transferred to the Comptroller shall remain valid for all purposes
unless such license is terminated, surrendered or revoked as provided in
this Act.
(Source: P.A. 89-615, eff. 8-9-96 .)
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(760 ILCS 100/8) (from Ch. 21, par. 64.8)
Sec. 8.
Every cemetery authority shall register with the Comptroller upon
forms furnished by him or her. Such registration statement shall state whether
the cemetery authority claims that the cemetery owned, operated, controlled, or
managed by it is a fraternal cemetery, municipal, State, or federal cemetery,
or religious cemetery, or a family burying ground, as the case may be, as
defined in Section 2 of this Act, and shall state the date of incorporation if
a corporation and whether incorporated under general or private act of the
legislature. Such registration statement shall be accompanied by a fee of $5.
Such fee shall be paid to the Comptroller and no registration statement shall
be accepted by him without the payment of such fee. Every cemetery authority
that is not required to file an annual report under this Act shall bear the
responsibility of informing the Comptroller whenever a change takes place
regarding status of cemetery, name of contact person, and that person's address
and telephone number.
Upon receipt of a registration statement, if a claim is made that a
cemetery is a fraternal cemetery, municipal cemetery, or religious
cemetery, or a family burying ground, as the case may be, as defined in
Section 2 of this Act, and the Comptroller shall determine that such
cemetery is not a fraternal cemetery, a municipal cemetery, or a religious
cemetery, or a family burying ground, as the case may be, as defined in
Section 2 of this Act, the Comptroller shall notify the cemetery authority
making the claim of such determination; provided, however, that no such
claim shall be denied until the cemetery authority making such claim has
had at least 10 days' notice of a hearing thereon and an opportunity to be
heard. When any such claim is denied, the Comptroller shall within 20 days
thereafter prepare and keep on file in his office the transcript of the
evidence taken and a written order or decision of denial of such claim and
shall send by United States mail a copy of such order or decision of denial
to the cemetery authority making such claim within 5 days after the filing
in his office of such order, finding or decision. A review of any such
order, finding or decision may be had as provided in the Administrative
Review Law, as now or hereafter amended.
Where no claim is made that a cemetery is a fraternal cemetery,
municipal cemetery or religious cemetery or family burying ground, as the
case may be, as defined in Section 2 of this Act, the registration
statement shall be accompanied by a fidelity bond in the amount required by
Section 9 of this Act. Upon receipt of such application, statement and
bond, the Comptroller shall issue a license to accept the care funds
authorized by the provisions of Section 3 of this Act to each cemetery
authority owning, operating, controlling or managing a privately operated
cemetery. However, the Comptroller shall issue a license
without the filing of a bond where the filing of a bond is excused by
Section 18 of this Act.
The license issued by the Comptroller shall remain in full force and
effect until it is surrendered by the licensee or revoked by the
Comptroller as hereinafter provided.
(Source: P.A. 88-477 .)
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(760 ILCS 100/8.1) (from Ch. 21, par. 64.8a)
Sec. 8.1.
Any cemetery authority operating a fraternal cemetery, municipal
cemetery, State or federal cemetery, religious cemetery or family burying
ground which has been licensed under the provisions of this Act may have such
license terminated and may cease to be governed by the licensing provisions of
this Act if such cemetery authority:
(1) applies in writing to the Comptroller setting out | ||
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(2) sets out facts in such written application | ||
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(3) requests that such license be relinquished and | ||
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Upon receipt of such statement, the Comptroller shall determine whether
to grant such request. If the Comptroller grants the request to terminate,
the license shall be relinquished and such cemetery authority shall cease
to be governed by the licensing provisions of this Act. The Comptroller
shall not deny such request without first granting a hearing to the
cemetery authority. The hearing and review provisions of Sections 8 and 20
of this Act shall apply to the hearing provided for in this Section.
(Source: P.A. 88-477 .)
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(760 ILCS 100/9) (from Ch. 21, par. 64.9)
Sec. 9.
Application for license.
(a) Prior to the acceptance of care funds authorized by
Section 3 of this Act or the sale or transfer of the
controlling interest of a licensed cemetery authority, a
cemetery authority owning, operating, controlling, or
managing a privately operated cemetery shall make
application to the Comptroller for a license to hold the
funds.
In the case of a sale or transfer of the controlling interest of the
cemetery authority, the prior license shall remain in effect until the
Comptroller issues a new license to the newly-controlled cemetery authority as
provided in Section 15b. Upon issuance of the new license, the prior license
shall be deemed surrendered if the licensee has agreed to the sale and transfer
and has consented to the surrender of the license. A sale or transfer of the
controlling interest of a cemetery authority to an immediate family member is
not considered a transfer of the controlling interest for purposes of this
Section.
(b) Applications for license shall be filed with the Comptroller.
Applications shall be in writing under oath, signed by the applicant,
and in the form furnished by the Comptroller.
The form furnished by the Comptroller shall enable a
cemetery authority to apply for license of multiple
cemetery locations within a single license application.
A check or money order in the
amount of $25 per license seeking to be issued under the application,
payable to: Comptroller, State of Illinois, shall be
included. Each application shall contain the following:
(1) the full name and address (both of residence and | ||
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(2) a detailed statement of the applicant's assets | ||
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(2.1) the name, address, and legal boundaries of each | ||
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(3) as to the name of each individual person listed | ||
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(4) the total amount in trust and now available from | ||
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(5) any other information that the Comptroller may | ||
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Such information shall be furnished whether the care funds are held by the
applicant as trustee or by an independent trustee. If the funds are not held
by the applicant, the name of the independent trustee holding them is also to
be furnished by the applicant.
(c) Applications for license shall also be accompanied by a fidelity
bond issued by a bonding company or insurance company authorized to do
business in this State or by an irrevocable, unconditional letter of credit
issued by a bank or trust company authorized to do business in the State of
Illinois, as approved by the State Comptroller, where such care funds exceed
the sum of $15,000. Such bond or letter of credit shall run to the Comptroller
and his or her successor for the benefit of the care funds held by such
cemetery authority or by the trustee of the care funds of such cemetery
authority. Such bonds or letters of credit shall be in an amount equal to 1/10
of such care funds. However, such bond or letter of credit shall not be in an
amount less than $1,000; the first $15,000 of such care funds shall not be
considered in computing the amount of such bond or letter of credit. No
application shall be accepted by the Comptroller unless accompanied by such
bond or letter of credit.
Applications for license by newly organized cemetery authorities
after January 1, 1960 shall also be accompanied by evidence of a minimum
care fund deposit in an amount to be determined as follows: if the
number of inhabitants, either in the county in which the cemetery is to
be located or in the area included within a 10 mile radius from the
cemetery if the number of inhabitants therein is greater, is 25,000 or
less the deposit shall be $7,500; if the number of inhabitants is 25,001
to 50,000, the deposit shall be $10,000; if the number of inhabitants is
50,001 to 125,000, the deposit shall be $15,000; if the number of
inhabitants is over 125,000, the deposit shall be $25,000.
After an amount equal to and in addition to the required minimum care
fund deposit has been deposited in trust, the cemetery authority may
withhold 50% of all future care funds until it has recovered the amount
of the minimum care fund deposit.
(d) (Blank).
(e) All bonds and bonding deposits made by any cemetery authority
may be returned to the cemetery authority or cancelled as to care funds
invested with an investment company.
(Source: P.A. 92-419, eff. 1-1-02 .)
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(760 ILCS 100/10) (from Ch. 21, par. 64.10)
Sec. 10.
Upon receipt of such application for license, the Comptroller shall
issue a license to the applicant unless the Comptroller determines that:
(a) The applicant has made any misrepresentations or false statements or
has concealed any essential or material fact, or
(b) The applicant is insolvent; or
(c) The applicant is or has been using practices in the conducting of the
cemetery business that work or tend to work a fraud; or
(d) The applicant has refused to furnish or give pertinent data to
the Comptroller; or
(e) The applicant has failed to notify the Comptroller with respect
to any material facts required in the application for license under the
provisions of this Act; or
(f) The applicant has failed to satisfy any enforceable judgment entered by
the circuit court in any civil proceedings against such applicant; or
(g) The applicant has conducted or is about to conduct its business
in a fraudulent manner; or
(h) The applicant or any individual listed
in the license
application has
conducted or is about to conduct any business on behalf of the applicant in
a fraudulent manner; or has been convicted of a felony or any misdemeanor
of which an essential element is fraud; or has been involved in any civil
litigation in which a judgment has been entered against him or her based on
fraud; or has failed to satisfy any enforceable judgment entered
by the circuit court in any civil proceedings against such individual; or has
been convicted of any felony of which fraud is an essential element; or has
been convicted of any theft-related
offense;
or has failed to comply with the requirements of this Act;
or has demonstrated a pattern of
improperly failing to honor a
contract with a consumer; or
(i) The applicant has ever had a license involving cemeteries or funeral
homes revoked, suspended, or refused to be issued in Illinois or elsewhere.
If the Comptroller so determines, then he or she shall conduct a hearing to
determine whether to deny the application. However, no application shall be
denied unless the applicant has had at least 10 days' notice of a hearing on
the application and an opportunity to be heard thereon. If the application is
denied, the Comptroller shall within 20 days thereafter prepare and keep on
file in his or her office the transcript of the evidence taken and a written
order of denial thereof, which shall contain his or her findings with respect
thereto and the reasons supporting the denial, and shall send by United States
mail a copy of the written order of denial to the applicant at the address set
forth in the application, within 5 days after the filing of such order. A
review of such decision may be had as provided in Section 20 of this Act.
The license issued by the Comptroller shall remain in full force and
effect until it is surrendered by the licensee or revoked by the
Comptroller as hereinafter provided.
(Source: P.A. 92-419, eff. 1-1-02 .)
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(760 ILCS 100/11) (from Ch. 21, par. 64.11)
Sec. 11.
Issuance and display of license.
A license issued under this Act authorizes the
cemetery authority to accept care funds for the cemetery
identified in the license. If a license
application seeks licensure to accept care funds on behalf
of more than one cemetery location, the Comptroller, upon
approval of the license application, shall issue to the
cemetery authority a separate license for each cemetery
location indicated on the application. Each license issued
by the Comptroller under this Act is independent of any
other license that may be issued to a cemetery authority
under a single license application.
Every license issued by the Comptroller shall state the number of the
license and the address at which the business is to be conducted. Such
license shall be kept conspicuously posted in the place of business of the
licensee and shall not be transferable or assignable.
No more than one place of business shall be maintained under the same
license, but the Comptroller may issue more than one license to the same
licensee upon compliance with the provisions of this Act governing an
original issuance of a license, for each new license.
Whenever a licensee shall wish to change the name as originally set
forth in his license, he shall give written notice thereof to the
Comptroller together with the reasons for the change and if the change is
approved by the Comptroller he shall issue a new license.
A license issued by the Comptroller shall remain in full
force and effect until it is surrendered by the licensee or
suspended or revoked by the Comptroller as
provided in this Act.
(Source: P.A. 92-419, eff. 1-1-02 .)
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(760 ILCS 100/11.1)
Sec. 11.1.
Investigation of unlawful practices.
If it appears to the
Comptroller that a person has engaged in, is engaging in, or is about to engage
in any practice declared to be unlawful by this Act, the Comptroller may:
(1) require that person to file on such terms as the | ||
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(2) examine under oath any person in connection with | ||
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(3) examine any books and records of the licensee, | ||
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(4) require the production of a copy of any record, | ||
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(Source: P.A. 89-615, eff. 8-9-96 .)
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(760 ILCS 100/11.2)
Sec. 11.2.
Service.
Service by the Comptroller of any notice requiring a
person to file a statement or report shall be made:
(1) personally by delivery of a duly executed copy | ||
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(2) by mailing by certified mail a duly executed copy | ||
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(Source: P.A. 89-615, eff. 8-9-96 .)
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(760 ILCS 100/12) (from Ch. 21, par. 64.12)
Sec. 12.
Annual reports.
Every licensee shall prepare a written report as of the end of the
preceding calendar year or fiscal year, as the case may be, showing:
(a) The amount of the principal of the care funds held
in trust
by the trustee of the care funds at the beginning of
such year and in addition thereto all moneys or property received during
such year (1) under and by virtue of the sale of a lot, grave, crypt or
niche; (2) under or by virtue of the terms of the contract authorized by
the provisions of Section 3 of this Act; (3) under or by virtue of any
gift, grant, legacy, payment or other contribution made either
prior to or subsequent to the effective date of this Act, and (4) under or
by virtue of any contract or conveyance made either prior to or subsequent
to the effective date of this Act;
(b) The securities in which such care funds are invested and the cash on
hand as of the date of the report;
(c) The income received from such care funds during the preceding
calendar year, or fiscal year, as the case may be;
(d) The expenditures made from said income during the preceding calendar
year, or fiscal year, as the case may be; and
(e) The number of interments made during the preceding calendar year, or
fiscal year, as the case may be.
Where any of the care funds of a licensee are held by
an independent trustee, the
report filed by the licensee shall contain a certificate signed by the
trustee of the care funds of such licensee certifying to the truthfulness
of the statements in the report as to (1) the total amount of principal of
the care funds held by the trustee, (2) the securities in which such care
funds are invested and the cash on hand as of the date of the report and
(3) the income received from such care funds during the preceding calendar
year, or fiscal year, as the case may be.
Such report shall be filed by such licensee on or before March 15 of
each calendar year, in the office of the Comptroller. If the fiscal year of
such licensee is other than on a calendar year basis, then such licensee
shall file the report required by this Section within 2 1/2
months of the end of its fiscal year. The Comptroller shall for good cause
shown grant an extension for the filing of the annual report upon the
written request of the licensee. Such extension shall not exceed 60 days.
If a licensee fails to submit an annual report to the Comptroller within
the time specified in this Section, the Comptroller shall impose upon the
licensee a penalty of $5 for each and every day the licensee remains
delinquent in submitting the annual report. The Comptroller may abate all or
part of the $5 daily penalty for good cause shown.
Such report shall be made under oath and shall be in the form furnished
by the Comptroller. Each report shall be accompanied by a check or money
order in the amount of $10, payable to: Comptroller, State of Illinois.
If any annual report shows that the amount of the care funds held
in trust at the
end of the preceding calendar year or fiscal year, as the case may be, has
increased in amount over that shown by the next preceding report, then the
fidelity bond theretofore filed shall be increased to the amount required by
Section 9 of this Act. Such increased fidelity bond shall accompany the report
and no report shall be accepted by the Comptroller unless accompanied by such
bond, except where the filing of a bond is excused by Section 18 of this Act.
(Source: P.A. 92-419, eff. 1-1-02 .)
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(760 ILCS 100/13) (from Ch. 21, par. 64.13)
Sec. 13.
Books, accounts, and records.
Every licensee and the trustee of the care funds of every licensee shall
be a resident of this State and shall keep in this State and use in its
business such books, accounts and records as will enable the Comptroller to
determine whether such licensee or trustee is complying with the provisions
of this Act and with the rules, regulations and directions made by the
Comptroller hereunder. The licensee shall keep the books,
accounts, and records at the location identified in the
license issued by the Comptroller or as otherwise agreed by
the Comptroller in writing. The books, accounts, and
records shall be accessible for review upon demand of the
Comptroller.
(Source: P.A. 92-419, eff. 1-1-02 .)
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(760 ILCS 100/14) (from Ch. 21, par. 64.14)
Sec. 14.
The Comptroller may at any time investigate the cemetery business
of every licensee with respect to its care funds. The Comptroller shall
examine at least annually every licensee who holds $250,000 or more in
its care funds. For that purpose, the Comptroller shall have free access
to the office and places of business and to such records of all
licensees and of all trustees of the care funds of all licensees as
shall relate to the acceptance, use and investment of care funds. The
Comptroller may require the attendance of and examine under oath all
persons whose testimony he may require relative to such business and in
such cases the Comptroller or any qualified representative of the
Comptroller whom the Comptroller may designate, may administer oaths to
all such persons called as witnesses, and the Comptroller, or any such
qualified representative of the Comptroller, may conduct such
examinations. The cost of an initial examination
shall be borne by the
cemetery authority if it has $10,000 or more in such fund; otherwise, by
the Comptroller. The charge made by the Comptroller for such examination
shall be based upon the total amount of care funds held by the cemetery
authority as of the end of the calendar or fiscal year for which a
report is required by Section 12 of this Act and shall be in accordance
with the following schedule:
less than $10,000
no charge; $10,000 or more but less than $50,000
$10; $50,000 or more but less than $100,000
$40; $100,000 or more but less than $250,000
$80; $250,000 or more
$100.
Any licensee which is not required to be examined annually shall submit
an annual report to the Comptroller containing such information as the
Comptroller reasonably may request.
The Comptroller may order additional audits or examinations as he or she
may deem necessary or advisable to ensure the safety and stability of the trust
funds and to ensure compliance with this Act. These additional audits or
examinations shall only be made after good cause is established by the
Comptroller in the written order. The grounds for ordering these additional
audits or examinations may include, but shall not be limited to:
(1) material and unverified changes or fluctuations | ||
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(2) the licensee changing trustees more than twice in | ||
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(3) any withdrawals or attempted withdrawals from the | ||
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(4) failure to maintain or produce documentation | ||
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Prior to ordering an additional audit or examination, the Comptroller shall
request the licensee to respond and comment upon the factors identified by the
Comptroller as warranting the subsequent examination or audit. The licensee
shall have 30 days to provide a response to the Comptroller. If the
Comptroller decides to proceed with the additional examination or audit, the
licensee shall bear the full cost of that examination or audit, up to a maximum
of $7,500. The
Comptroller may elect to pay for the examination or audit and receive
reimbursement from the licensee. Payment of the costs of the examination or
audit by a licensee shall be a condition of receiving or maintaining a license
under this Act. All moneys received by the Comptroller for examination or
audit fees shall be maintained in a separate account to be known as the
Comptroller's Administrative
Fund. This Fund,
subject to appropriation by the General Assembly, may
be utilized by the Comptroller for
enforcing this Act and other purposes that may be authorized by law.
(Source: P.A. 89-615, eff. 8-9-96 .)
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(760 ILCS 100/15) (from Ch. 21, par. 64.15)
Sec. 15.
The Comptroller may, upon 10 days' notice to the licensee, by
United
States mail directed to the licensee at the address set forth in the
license, stating the contemplated action and, in general, the grounds
therefor, and upon reasonable opportunity to be heard prior to such action,
revoke any license issued hereunder if he finds that:
(a) The licensee has failed to make the annual report
or to maintain in effect the required bond or to comply with an order,
decision, or finding of the Comptroller made pursuant to this Act; or that
(b) The licensee has violated any provision of this Act or any
regulation or direction made by the Comptroller under this Act; or that
(c) Any fact or condition exists which would constitute grounds for
denying an application for a new license.
(Source: P.A. 91-7, eff. 6-1-99 .)
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(760 ILCS 100/15.1) (from Ch. 21, par. 64.15-1)
Sec. 15.1.
The Comptroller may, in accordance with Section 15, revoke only the
particular license with respect to which grounds for revocation may occur
or exist, or if he finds that such grounds for revocation are of general
application to all offices or to more than one office operated by such
licensee, he may revoke all of the licenses issued to such licensee or such
number of licenses to which grounds apply, as the case may be.
Whenever a license is revoked by the Comptroller he shall apply to the
Circuit Court of the county wherein such licensee is located for a receiver
to administer the care funds of such licensee.
(Source: P.A. 78-592 .)
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(760 ILCS 100/15.2) (from Ch. 21, par. 64.15-2)
Sec. 15.2.
A licensee may surrender any license by delivering to the Comptroller
written notice that he thereby surrenders such license but such surrender
shall not affect such licensee's civil or criminal liability for acts
committed prior to such surrender, or affect his bond. The Comptroller
shall not permit a license to be surrendered by a licensee unless and until
such licensee has furnished to the Comptroller satisfactory evidence of his
release and discharge from all trust liabilities and obligations and unless
and until the care funds of such licensee have been transferred to a
successor licensee who shall be licensed by the Comptroller in conformity
with the provisions of this Act.
However, the Comptroller shall accept the surrender of a license held by
a cemetery authority that is a cemetery association or corporation owning,
operating or controlling a cemetery not for profit, whose cemetery has been
conveyed to and accepted by any city, village, incorporated town, township
or county, upon: (a) the licensee submitting to the Comptroller a copy of
the act, resolution or ordinance under which the political subdivision
accepted or is charged with the responsibility of operating and controlling
the cemetery; (b) the making and filing with and approval by the
Comptroller of a final account for care funds from the date of last report
made by the licensee to the Comptroller to the date of transfer to the
successor cemetery authority; (c) the furnishing of a copy of the
instrument of appointment or certificate of election of trustees of the
public graveyard or managers of the municipal cemetery authorized to hold
care funds or trust funds for care, and the receipt of such trustees of the
public graveyard or managers of the municipal cemetery for the care funds
investments listed in the final account; and (d) the return of the Cemetery
Authority License to the Comptroller for cancellation. Upon satisfactory
performance of the foregoing by a licensee, the same shall be deemed
satisfactory evidence of the licensee's release and discharge from all
trust liabilities and obligations and transfer of the licensee's care funds
to an authorized successor within the meaning and intent of this Act.
(Source: P.A. 78-592 .)
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(760 ILCS 100/15.3) (from Ch. 21, par. 64.15-3)
Sec. 15.3.
Every license issued hereunder shall remain in force until the same has
been surrendered or revoked in accordance with this Act, but the
Comptroller may on his own motion, issue new licenses to a licensee whose
license or licenses have been revoked if no fact or condition then exists
which clearly would have warranted the Comptroller in refusing originally
the issuance of such license under this Act.
(Source: P.A. 78-592 .)
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(760 ILCS 100/15.4) (from Ch. 21, par. 64.15-4)
Sec. 15.4.
No license shall be revoked until the licensee has had at least
10 days' notice of a hearing thereon and an opportunity to be heard. When any
license is so revoked, the Comptroller shall within 20 days thereafter,
prepare and keep on file in his office the transcript of the evidence taken
and a written order or decision of revocation, and shall send by United
States mail a copy of such order or decision of revocation to the licensee
at the address set forth in the license within 5 days after the filing in
his office of such order, finding or decision. A review of any such order,
finding or decision may be had as provided in Section 19 of this Act.
(Source: P.A. 83-333 .)
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(760 ILCS 100/15a) (from Ch. 21, par. 64.15a)
Sec. 15a.
Where any cemetery authority owning, operating, controlling or
managing a privately operated cemetery or any trustee for the same has
accepted care funds within the meaning of this Act, and dissolution is
sought by such cemetery authority in any manner, by resolution of such
cemetery authority, or the trustees thereof, notice shall be given to the
Comptroller of such intention to dissolve, and proper disposition shall be
made of the care funds so held for the general benefit of such lot owners
by or for the benefit of such cemetery authority, as provided by law, or in
accordance with the trust provisions of any gift, grant, contribution,
payment, legacy or pursuant to any contract whereby such funds were
created. The Comptroller represented by the Attorney General may apply to
the circuit court for the appointment of a receiver, trustee, successor in
trust, or for directions of such court as to the proper disposition to be
made of such care funds, to the end that the uses and purposes for which
such trust or care funds were created may be accomplished.
(Source: P.A. 87-747; 88-477 .)
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(760 ILCS 100/15b)
Sec. 15b.
Sales; liability of purchaser for shortage.
In the case of a sale of any privately operated cemetery or any part thereof
or of any related personal property by a cemetery authority to a purchaser or
pursuant to foreclosure proceedings, except the sale of burial rights,
services, or merchandise to a person for his or her personal or family burial
or interment, the purchaser is liable for any shortages existing before or
after the sale in the care funds required to be maintained in a trust pursuant
to this Act and shall honor all instruments issued under Section 4 for that
cemetery. Any shortages existing in the care funds constitute a prior lien in
favor of the trust for the total value of the shortages, and notice of such
lien shall be provided in all sales instruments.
In the event of a sale or transfer of all or substantially all
of the assets of the cemetery authority,
the sale or transfer of
the controlling interest of the corporate stock of the cemetery
authority if the cemetery authority is a corporation, or the sale
or transfer of the controlling of the partnership if the cemetery
authority is a partnership, the cemetery authority shall, at least
21 days prior to the sale or transfer, notify the
Comptroller, in writing, of the pending date of sale or transfer so
as to permit the Comptroller to audit the books and records of the
cemetery authority. The audit must be commenced within 10 business
days of the
receipt of the notification and completed within the 21 day notification period
unless the Comptroller notifies the cemetery authority during that period that
there is a basis for determining a deficiency which will require additional
time to finalize. The sale or transfer may not be completed by
the cemetery authority unless and until:
(a) The Comptroller has completed the audit of the | ||
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(b) Any delinquency existing in the care funds has | ||
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(c) The Comptroller issues a new cemetery care | ||
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For purposes of this Section, a person, firm, corporation,
partnership, or institution that acquires the cemetery through a
real estate foreclosure shall be subject to the provisions of this
Section. The sale or transfer of the controlling interest of a
cemetery authority to an immediate family member is not subject to
the license application process required in item (c) of this Section.
In the event of a sale or transfer of any cemetery land, including any
portion of cemetery land in which no human remains have been interred, a
licensee shall, at least 21 days prior to the sale or transfer, notify the
Comptroller, in writing, of the pending sale or transfer.
(Source: P.A. 92-419, eff. 1-1-02 .)
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(760 ILCS 100/16) (from Ch. 21, par. 64.16)
Sec. 16.
Whenever a licensee refuses or neglects to make a required report
or whenever it appears to the Comptroller from any report or examination that
such licensee has committed a violation of law or that the care funds have
not been administered properly or that it is unsafe or inexpedient for such
licensee or the trustee of the care funds of such cemetery authority to
continue to administer such funds or that any officer of such licensee or
of the trustee of the care funds of such licensee has abused his trust or
has been guilty of misconduct or malversation in his official position
injurious to such licensee or that such licensee has suffered as to its
care funds a serious loss by larceny, embezzlement, burglary, repudiation
or otherwise, the Comptroller shall by an order direct the discontinuance
of such illegal, unsafe or unauthorized practices and shall direct strict
conformity with the requirements of the law and safety and security in its
transactions, shall order all funds returned, and may apply to the Circuit
Court of the county wherein such licensee is located to prevent any
disbursements or expenditures by such licensee until the care funds are in such
condition that it would not be jeopardized thereby and the Comptroller shall
communicate the facts to the Attorney General of the State of Illinois who
shall thereupon institute such proceedings against the licensee or its trustee
or the officers of either or both as the nature of the case may require.
(Source: P.A. 88-477 .)
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(760 ILCS 100/17) (from Ch. 21, par. 64.17)
Sec. 17.
If the Comptroller finds at any time that the bond is insecure or
exhausted or otherwise doubtful, an additional bond in like amount to be
approved by the Comptroller shall be filed by the licensee within 30 days
after written demand therefor upon the licensee by the Comptroller.
(Source: P.A. 78-592 .)
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(760 ILCS 100/18) (from Ch. 21, par. 64.18)
Sec. 18.
Application; when bond is unnecessary.
The provisions of this Act as
to the (a) registration, (b) application for license, (c) filing of a fidelity
bond, (d) filing of an annual report, and (e) examination by the Comptroller,
apply to a cemetery authority owning, operating, controlling or managing a
privately operated cemetery whether the care funds are held by such cemetery
authority as trustee or by any independent trustee for the same.
However, no bond need be filed with
the Comptroller as to care funds of such cemetery authority held as trustee by
a bank or trust company authorized to do business in this State as a trust
company in accordance with Section 2-10 of the Corporate Fiduciary Act or held
by an investment company.
Upon application by such cemetery authority to the Comptroller, and upon
a showing that all of the care funds of such cemetery authority are held by
such bank or trust company as trustee for such cemetery authority pursuant to
an agreement in writing approved from time to time by the Comptroller for the
handling and management of all of the care funds of such cemetery authority, or
are held by an investment company, the Comptroller in writing may permit the
licensee to operate without the filing of any bond as to such care funds except
such fidelity bond as he or she may require for the protection of such cemetery
authority against defaults by its employees engaged in the handling and
collection of funds.
(Source: P.A. 88-477; 89-615, eff. 8-9-96 .)
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(760 ILCS 100/19) (from Ch. 21, par. 64.19)
Sec. 19.
The Comptroller may make, amend, rescind and enforce such rules
and regulations and amendments thereto, as may be necessary for the purpose
of carrying out this Act. However, the Comptroller may not make or amend
any rule or regulation without holding a hearing thereon and without first
giving all cemetery authorities licensed to hold care funds at least 10
days' notice of such hearing, the notice to set forth the proposed rules,
regulations or the proposed amendments thereof. Among other things, the
Comptroller may, for the purposes of this Act, prescribe the form or forms
in which required information shall be set forth, the items or details to
be shown in any statement or report, and the methods to be followed in the
preparation of accounts and in the appraisal or evaluation of assets and
liabilities. When any regulations or amendments thereto are made after such
hearing, a written order setting forth the regulations or amendments shall
be prepared by the Comptroller and kept on file in his office and a copy
of each such order shall be sent by the Comptroller by United States mail
to all cemetery authorities within 5 days after the filing in his office of such order.
No regulations or amendments shall become effective until 10 days after
the mailing of such order. Copies of all other orders, decisions and findings
shall be mailed to the cemetery authorities affected thereby by United States
mail within 5 days of such filing. All regulations and all amendments thereto
and all orders, decisions and findings shall be filed and entered by the
Comptroller in an indexed permanent book or record, with the effective date
thereof suitably indicated, and such book or record is a public document.
A review of all orders, decisions and findings, including orders making
regulations or amendments, may be had under the Administrative Review Law,
as now or hereafter amended.
(Source: P.A. 82-783 .)
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(760 ILCS 100/21) (from Ch. 21, par. 64.21)
Sec. 21.
Except as otherwise provided for in this Act, whenever the
Comptroller is required to give notice to any applicant or licensee,
such requirement shall be considered complied with if, within the time
fixed herein, such notice is enclosed in an envelope plainly addressed
to such applicant or licensee, as the case may be, United States postage
fully prepaid, and deposited, registered, in the United States mail.
(Source: P.A. 78-592 .)
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(760 ILCS 100/22) (from Ch. 21, par. 64.22)
Sec. 22.
Nothing in this Act shall be construed to impair the obligation
of any existing contract.
(Source: Laws 1947, p. 338 .)
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(760 ILCS 100/23) (from Ch. 21, par. 64.23)
Sec. 23.
Every person having taken an oath or affirmation in any proceeding
or matter wherein an oath is required by this Act, who shall swear
wilfully, corruptly and falsely in a matter material to the issue or point
in question, or shall suborn any other person to swear as aforesaid, shall
be guilty of perjury or subornation of perjury, as the case may be and
shall be punished as provided in the Statute relative to perjury and
subornation of perjury.
(Source: Laws 1947, p. 338 .)
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(760 ILCS 100/24) (from Ch. 21, par. 64.24)
Sec. 24.
Whoever intentionally fails to deposit the required amounts into
a trust provided for in this Act, intentionally and improperly withdraws or
uses trust funds for his or her own benefit, or otherwise intentionally
violates any provision of this Act (other than the provisions of
Section 23 and subsections (b), (c), (d), and (e) of Section 2a) shall be
guilty of a Class 4 felony, and each day such provisions are violated shall
constitute a separate offense.
If any person intentionally violates this Act or fails or refuses to
comply with any order of the Comptroller or any part of an order that has
become final to such person and is still in effect, the Comptroller may, after
notice and hearing at which it is determined that a violation of this Act
or such order has been committed, further order that such person shall
forfeit and pay to the State of Illinois a sum not to exceed $5,000 for
each violation. Such liability shall be enforced in an action brought in
any court of competent jurisdiction by the Comptroller in the name of the
People of the State of Illinois.
In addition to the other penalties and remedies provided in this Act, the
Comptroller may bring a civil action in the county of residence of the
licensee or any person accepting care funds to enjoin any violation or
threatened violation of this Act.
The powers vested in the Comptroller by this Section are additional to
any and all other powers and remedies vested in the Comptroller by law.
(Source: P.A. 92-419, eff. 1-1-02 .)
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(760 ILCS 100/25)
Sec. 25.
Use of care funds.
When a township or multi-township cemetery
district takes over a cemetery or cemetery authority, the care fund and
care fund expenditures continue to be subject to
the provisions of this Act, and the township or multi-township cemetery
district
must
continue to use the care fund exclusively for the care and maintenance of the
cemetery in accordance with this Act.
(Source: P.A. 91-181, eff. 1-1-00 .)
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(760 ILCS 100/26)
Sec. 26.
Abandoned or neglected cemeteries; clean-up.
The Comptroller may
administer a program for the purpose of
cleaning up
abandoned or neglected cemeteries located in Illinois. Administration of this
program
may include the Comptroller's issuance of grants for that purpose to units of
local
government, school districts, and not-for-profit associations.
If an abandoned or neglected cemetery has been dedicated as an Illinois
nature preserve under the Illinois Natural Areas Preservation Act, any action
to cause the clean up of the cemetery under the provisions of this Section
shall be consistent with the rules and master plan governing the dedicated
nature preserve.
(Source: P.A. 92-419, eff. 1-1-02 .)
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