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Public Act 102-0664 |
SB0539 Re-Enrolled | LRB102 04041 RJF 14057 b |
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AN ACT concerning State government.
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Be it enacted by the People of the State of Illinois,
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represented in the General Assembly:
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Section 5. The Illinois Governmental Ethics Act is amended |
by changing Sections 1-109, 1-110, 2-101, 4A-102, 4A-103, |
4A-107, and 4A-108 and by adding Sections 1-102.5, 1-104.3, |
1-104.4, 1-104.5, 1-105.2, 1-105.3, 1-105.5, 1-105.6, 1-105.7, |
1-112.5, 1-113.6, 1-113.7, and 3A-50 as follows: |
(5 ILCS 420/1-102.5 new) |
Sec. 1-102.5. "Asset" means, for the purposes of Sections |
4A-102 and 4A-103, an item that is owned and has monetary |
value. For the purposes of Sections 4A-102 and 4A-103, assets |
include, but are not limited to: stocks, bonds, sector mutual |
funds, sector exchange traded funds, commodity futures, |
investment real estate, beneficial interests in trusts, |
business interests, and partnership interests. For the |
purposes of Sections 4A-102 and 4A-103, assets do not include: |
personal residences; personal vehicles; savings or checking |
accounts; bonds, notes, or securities issued by any branch of |
federal, state, or local government; Medicare benefits; |
inheritances or bequests, other than beneficial interests in |
trusts; diversified funds; annuities; pensions (including |
government pensions); retirement accounts; college savings |
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plans that are qualified tuition plans; qualified |
tax-advantaged savings programs that allow individuals to save |
for disability-related expenses; or tangible personal |
property. |
(5 ILCS 420/1-104.3 new) |
Sec. 1-104.3. "Creditor" means, for the purposes of |
Sections 4A-102 and 4A-103, an individual, organization, or |
other business entity to whom money or its equivalent is owed, |
no matter whether that obligation is secured or unsecured, |
except that if a filer makes a loan to members of his or her |
family, then that filer does not, by making such a loan, become |
a creditor of that individual for the purposes of Sections |
4A-102 and 4A-103 of this Act. |
(5 ILCS 420/1-104.4 new) |
Sec. 1-104.4. "Debt" means, for the purposes of Sections |
4A-102 and 4A-103, any money or monetary obligation owed at |
any time during the preceding calendar year to an individual, |
company, or other organization, other than a loan that is from |
a financial institution, government agency, or business entity |
and that is granted on terms made available to the general |
public. For the purposes of Sections 4A-102 and 4A-103, "debt" |
includes, but is not limited to: personal loans from friends |
or business associates, business loans made outside the |
lender's regular course of business, and loans made at below |
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market rates. For the purposes of Sections 4A-102 and 4A-103, |
"debt" does not include: (i) debts to or from financial |
institutions or government entities, such as mortgages, |
student loans, credit card debts, or loans secured by |
automobiles, household furniture, or appliances, as long as |
those loans were made on terms available to the general public |
and do not exceed the purchase price of the items securing |
them; (ii) debts to or from a political committee registered |
with the Illinois State Board of Elections or political |
committees, principal campaign committees, or authorized |
committees registered with the Federal Election Commission; or |
(iii) a loan from a member of the filer's family not known by |
the filer to be registered to lobby under the Lobbyist |
Registration Act. |
(5 ILCS 420/1-104.5 new) |
Sec. 1-104.5. "Diversified funds" means investment |
products, such as mutual funds, exchange traded funds, or unit |
investment trusts, that invest in a wide variety of securities |
across multiple sectors or asset classes. "Diversified funds" |
does not include sector funds. |
(5 ILCS 420/1-105.2 new) |
Sec. 1-105.2. "Economic relationship" means, for the |
purposes of Sections 4A-102 and 4A-103, any joint or shared |
ownership interests in businesses and creditor-debtor |
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relationships with third parties, other than commercial |
lending institutions, where: (a) the filer is entitled to |
receive (i) more than 7.5% of the total distributable income, |
or (ii) an amount in excess of the salary of the Governor; or |
(b) the filer together with his or her spouse or minor children |
is entitled to receive (i) more than 15%, in the aggregate, of |
the total distributable income, or (ii) an amount in excess of |
2 times the salary of the Governor. |
(5 ILCS 420/1-105.3 new) |
Sec. 1-105.3. "Family" means, for the purposes of Sections |
4A-102 and 4A-103, a filer's spouse, children, step-children, |
parents, step-parents, siblings, step-siblings, |
half-siblings, sons-in-law, daughters-in-law, grandparents, |
and grandchildren, as well as the parents and grandparents of |
the filer's spouse, and any person living with the filer. |
(5 ILCS 420/1-105.5 new) |
Sec. 1-105.5. "Filer" means, for the purposes of Sections |
4A-102 and 4A-103, a person required to file a statement of |
economic interests pursuant to this Act. |
(5 ILCS 420/1-105.6 new) |
Sec. 1-105.6. "Income" means, for the purposes of Sections |
4A-102 and 4A-103, pension income and any income from whatever |
source derived, required to be reported on the filer's federal |
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income tax return, including, but not limited to: compensation |
received for services rendered or to be rendered (as required |
to be reported on any Internal Revenue Service forms, |
including, but not limited to, Forms W-2, 1099, or K-1); |
earnings or capital gains from the sale of assets; profit; |
interest or dividend income from all assets; revenue from |
leases and rentals, royalties, prizes, awards, or barter; |
forgiveness of debt; and earnings derived from annuities or |
trusts other than testamentary trusts. "Income" does not |
include compensation earned for service in the position that |
necessitates the filing of the statement of economic |
interests, or investment or interest returns on items excluded |
from the definition of "asset", or income from the sale of a |
personal residence or personal vehicle. |
(5 ILCS 420/1-105.7 new) |
Sec. 1-105.7. "Investment real estate" means any real |
property, other than a filer's personal residences, purchased |
to produce a profit, whether from income or resale. Investment |
real estate may be described by the city and state where the |
real estate is located.
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(5 ILCS 420/1-109) (from Ch. 127, par. 601-109)
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Sec. 1-109.
"Lobbying" means engaging in activities that |
require registration under the Lobbyist Registration |
Act promoting or opposing in any manner the
passage by the |
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General Assembly of any legislative matter affecting the
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interests of any individual, association or corporation as |
distinct from
those of the people of the State as a whole .
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(Source: Laws 1967, p. 3401.)
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(5 ILCS 420/1-110) (from Ch. 127, par. 601-110)
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Sec. 1-110.
"Lobbyist" means an individual who is required |
to be registered to engage in lobbying activities pursuant to |
the Lobbyist Registration Act any person required to be |
registered under
"An Act concerning lobbying and providing a |
penalty for violation thereof",
approved July 10, 1957, as |
amended .
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(Source: Laws 1967, p. 3401.)
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(5 ILCS 420/1-112.5 new) |
Sec. 1-112.5. "Personal residence" means, for the purposes |
of Sections 4A-102 and 4A-103, a filer's primary home |
residence and any residential real property held by the filer |
and used by the filer for residential rather than commercial |
or income generating purposes. |
(5 ILCS 420/1-113.6 new) |
Sec. 1-113.6. "Sector funds" means mutual funds or |
exchange traded funds invested in a particular industry or |
business. |
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(5 ILCS 420/1-113.7 new) |
Sec. 1-113.7. "Spouse" means a party to a marriage, a |
party to a civil union, or a registered domestic partner.
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(5 ILCS 420/2-101) (from Ch. 127, par. 602-101)
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Sec. 2-101. Government official lobbying. |
(a) No legislator may engage in promoting or opposing in |
any manner the passage by the General Assembly of any |
legislative matter affecting the interests of any individual, |
association, or corporation as distinct from those of the |
people of the State as a whole lobbying, as that term is |
defined
in Section 1-109 , if he or she accepts compensation |
specifically attributable
to such lobbying, other than that |
provided by law for members of the
General Assembly. Nothing |
in this Section prohibits a legislator from
lobbying without |
compensation.
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No legislator or executive branch constitutional officer |
shall engage in compensated lobbying of the governing body of |
a municipality, county, or township, or an official thereof, |
on behalf of any lobbyist or lobbying entity that is |
registered to lobby the General Assembly or the executive |
branch of the State of Illinois. |
(b) No elected or appointed county executive or |
legislative official shall engage in compensated lobbying of |
the governing body of a county, municipality, township, the |
General Assembly, a State executive branch office or agency, |
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or an official thereof, on behalf of any lobbyist or lobbying |
entity that is registered to lobby the county in which the |
official is elected or appointed. |
(c) No elected or appointed municipal executive or |
legislative official shall engage in compensated lobbying of |
the governing body of a county, municipality, township, the |
General Assembly, a State executive branch office or agency, |
or an official thereof, on behalf of any lobbyist or lobbying |
entity that is registered to lobby the municipality in which |
the official is elected or appointed. |
(d) No elected or appointed township executive or |
legislative official shall engage in compensated lobbying of |
the governing body of a county, municipality, township, the |
General Assembly, a State executive branch office or agency, |
or an official thereof, on behalf of any lobbyist or lobbying |
entity that is registered to lobby the township in which the |
official is elected or appointed. |
(e) No elected or appointed municipal executive or |
legislative official shall engage in compensated lobbying of |
the governing body of a county, municipality, or township, the |
General Assembly, a State executive branch office or agency, |
or an official thereof, on behalf of any lobbyist or lobbying |
entity if the person is an elected or appointed municipal |
executive or legislative official from a municipality exempted |
by the preemption provision of Section 11.2 of the Lobbyist |
Registration Act. |
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(f) A violation of this Section shall constitute a Class A |
misdemeanor.
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(Source: P.A. 77-2830.)
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(5 ILCS 420/3A-50 new) |
Sec. 3A-50. Appointee political activity. |
(a) No person who is appointed to an affected office |
shall: (i) serve as an officer of a candidate political |
committee; or (ii) be a candidate who is designated as the |
candidate to be supported by a candidate political committee. |
(b) A person appointed to an affected office who is either |
an officer of a candidate political committee or a candidate |
who is designated as the candidate to be supported by a |
candidate political committee shall within 30 days after |
confirmation by the Senate: (i) resign as an officer of the |
candidate political committee; (ii) have his or her name |
removed as the candidate to be supported by a candidate |
political committee; (iii) notify the State Board of Elections |
of the person's intent to convert the candidate political |
committee to a limited activity committee under Section 9-1.8 |
of the Election Code and complete the transition to a limited |
activity committee within 60 days after confirmation; or (iv) |
dissolve the candidate political committee. A person appointed |
to an affected office who is in violation of this subsection |
(b) on the effective date of this amendatory Act of the 102nd |
General Assembly must come into compliance within 30 days |
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after the effective date of this amendatory Act of the 102nd |
General Assembly. |
(c) As used in this Section: |
"Affected office" means any office in which the appointee |
receives any form of compensation, other than the |
reimbursement of expenses, and whose appointment requires |
advice and consent of the Senate. |
"Candidate political committee" has the meaning given to |
that term in Section 9-1.8 of the Election Code in which the |
person subject to confirmation by the Senate is designated as |
the candidate to be supported by the candidate political |
committee under Section 9-2 of the Code. |
(5 ILCS 420/4A-102) (from Ch. 127, par. 604A-102)
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Sec. 4A-102. The statement of economic interests required |
by this Article
shall include the economic interests of the |
person making the statement as
provided in this Section. |
(a) The interest (if constructively controlled by the
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person making the statement) of a spouse or any other party, |
shall be
considered to be the same as the interest of the |
person making the
statement. Campaign receipts shall not be |
included in this statement. The following interests shall be |
listed by all persons required to file: |
(1) each asset that has a value of more than $10,000 as |
of the end of the preceding calendar year and is: (i) held |
in the filer's name, (ii) held jointly by the filer with |
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his or her spouse, or (iii) held jointly by the filer with |
his or her minor child or children. For a beneficial |
interest in a trust, the value is based on the total value |
of the assets either subject to the beneficial interest, |
or from which income is to be derived for the benefit of |
the beneficial interest, regardless of whether any |
distributions have been made for the benefit of the |
beneficial interest; |
(2) excluding the income from the position that |
requires the filing of a statement of economic interests |
under this Act, each source of income in excess of $7,500 |
during the preceding calendar year (as required to be |
reported on the filer's federal income tax return covering |
the preceding calendar year) for the filer and his or her |
spouse and, if the sale or transfer of an asset produced |
more than $7,500 in capital gains during the preceding |
calendar year, the transaction date on which that asset |
was sold or transferred; |
(3) each creditor of a debt in excess of $10,000 that, |
during the preceding calendar year, was: (i) owed by the |
filer, (ii) owed jointly by the filer with his or her |
spouse or (iii) owed jointly by the filer with his or her |
minor child or children; |
(4) the name of each unit of government of which the |
filer or his or her spouse was an employee, contractor, or |
office holder during the preceding calendar year other |
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than the unit or units of government in relation to which |
the person is required to file and the title of the |
position or nature of the contractual services; |
(5) each person known to the filer to be registered as |
a lobbyist with any unit of government in the State of |
Illinois: (i) with whom the filer maintains an economic |
relationship, or (ii) who is a member of the filer's |
family; and |
(6) each source and type of gift or gifts, or |
honorarium or honoraria, valued singly or in the aggregate |
in excess of $500 that was received during the preceding |
calendar year, excluding any gift or gifts from a member |
of the filer's family that was not known to the filer to be |
registered as a lobbyist with any unit of government in |
the State of Illinois. |
For the purposes of this Section, the unit of local |
government in relation to which a person is required to file |
under item (e) of Section 4A-101.5 shall be the unit of local |
government that contributes to the pension fund of which such |
person is a member of the board. |
(b) Beginning December 1, 2025, and for every 5 years |
thereafter, the Secretary of State shall adjust the amounts |
specified under this Section that prompt disclosure under this |
Act for purposes of inflation as determined by the Consumer |
Price Index for All Urban Consumers as issued by the United |
States Department of Labor and rounded to the nearest $100. |
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The Secretary shall publish this information on the official |
website of the Secretary of State, and make changes to the |
statement of economic interests form to be completed for the |
following year. |
(c) The Secretary of State shall develop and make publicly |
available on his or her website written guidance relating to |
the completion and filing of the statement of economic |
interests upon which a filer may reasonably and in good faith |
rely. |
The interest (if constructively controlled by the
person |
making the statement) of a spouse or any other party, shall be
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considered to be the same as the interest of the person making |
the
statement. Campaign receipts shall not be included in this |
statement.
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(a) The following interests shall be listed by all |
persons required to
file:
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(1) The name, address and type of practice of any |
professional
organization or individual professional |
practice in which the person making
the statement was |
an officer, director, associate, partner or |
proprietor,
or served in any advisory capacity, from |
which income in excess of $1200
was derived during the |
preceding calendar year;
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(2) The nature of professional services (other |
than services rendered to
the unit or units of |
government in relation to which the person is required
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to file)
and the nature of the entity to which they |
were rendered if fees exceeding
$5,000 were received |
during the preceding calendar year from the entity for
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professional services rendered by the person making |
the statement.
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(3) The identity (including the address or legal |
description of real
estate) of any capital asset from |
which a capital gain of $5,000 or more
was realized in |
the preceding calendar year.
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(4) The name of any unit of government which has |
employed the person
making the statement during the |
preceding calendar year other than the unit
or units |
of government in relation to which the person is |
required to file.
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(5) The name of any entity from which a gift or |
gifts, or honorarium or
honoraria, valued singly or in |
the aggregate in excess of $500, was
received during |
the preceding calendar year.
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(b) The following interests shall also be listed by |
persons listed in
items (a) through (f), item (l), item |
(n), and item (p) of Section 4A-101:
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(1) The name and instrument of ownership in any |
entity doing business in
the State of Illinois, in |
which an ownership interest held by the person at
the |
date of filing is in excess of $5,000 fair market value |
or from which
dividends of in excess of $1,200 were |
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derived during the preceding calendar
year. (In the |
case of real estate, location thereof shall be listed |
by
street address, or if none, then by legal |
description). No time or demand
deposit in a financial |
institution, nor any debt instrument need be listed;
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(2) Except for professional service entities, the |
name of any entity and
any position held therein from |
which income of in excess of $1,200 was
derived during |
the preceding calendar year, if the entity does |
business in
the State of Illinois. No time or demand |
deposit in a financial
institution, nor any debt |
instrument need be listed.
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(3) The identity of any compensated lobbyist with |
whom the person making
the statement maintains a close |
economic association, including the name of
the |
lobbyist and specifying the legislative matter or |
matters which are the
object of the lobbying activity, |
and describing the general type of
economic activity |
of the client or principal on whose behalf that person |
is
lobbying.
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(c) The following interests shall also be listed by |
persons listed in
items (a) through (c) and item (e) of |
Section 4A-101.5:
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(1) The name and instrument of ownership in any |
entity doing business
with a unit of local government |
in relation to which the person is
required to file if |
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the ownership interest of the person filing is greater
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than $5,000 fair market value as of the date of filing |
or if dividends in
excess of $1,200 were received from |
the entity during the preceding
calendar year. (In the |
case of real estate, location thereof shall be
listed |
by street address, or if none, then by legal |
description). No time
or demand deposit in a financial |
institution, nor any debt instrument need
be listed.
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(2) Except for professional service entities, the |
name of any entity and
any position held therein from |
which income in excess of $1,200 was derived
during |
the preceding calendar year if the entity does |
business with a
unit of local government in relation |
to which the person is required to
file. No time or |
demand deposit in a financial institution, nor any |
debt
instrument need be listed.
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(3) The name of any entity and the nature of the |
governmental action
requested by any entity which has |
applied to a unit of local
government
in relation to |
which the person must file for any license, franchise |
or
permit for annexation, zoning or rezoning of real |
estate during the
preceding calendar year if the |
ownership interest of the person filing is
in excess |
of $5,000 fair market value at the time of filing or if |
income or
dividends in excess of $1,200 were received |
by the person filing from the
entity during the |
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preceding calendar year.
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For the purposes of this Section, the unit of local |
government in relation to which a person required to file |
under item (e) of Section 4A-101.5 shall be the unit of local |
government that contributes to the pension fund of which such |
person is a member of the board. |
(Source: P.A. 101-221, eff. 8-9-19.)
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(5 ILCS 420/4A-103) (from Ch. 127, par. 604A-103)
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Sec. 4A-103.
The statement of economic interests required |
by this Article to be filed
with the Secretary of State or |
county clerk shall be filled in by
typewriting or hand |
printing, shall be verified, dated, and signed by the
person |
making the statement and shall contain substantially the |
following:
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STATEMENT OF ECONOMIC INTERESTS |
INSTRUCTIONS: |
You may find the following documents helpful to you in |
completing this form: |
(1) federal income tax returns, including any related |
schedules, attachments, and forms; and |
(2) investment and brokerage statements. |
To complete this form, you do not need to disclose |
specific amounts or values or report interests relating either |
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to political committees registered with the Illinois State |
Board of Elections or to political committees, principal |
campaign committees, or authorized committees registered with |
the Federal Election Commission. |
The information you disclose will be available to the |
public. |
You must answer all 6 questions. Certain questions will |
ask you to report any applicable assets or debts held in, or |
payable to, your name; held jointly by, or payable to, you with |
your spouse; or held jointly by, or payable to, you with your |
minor child. If you have any concerns about whether an |
interest should be reported, please consult your department's |
ethics officer, if applicable. |
Please ensure that the information you provide is complete |
and accurate. If you need more space than the form allows, |
please attach additional pages for your response. If you are |
subject to the State Officials and Employees Ethics Act, your |
ethics officer must review your statement of economic |
interests before you file it. Failure to complete the |
statement in good faith and within the prescribed deadline may |
subject you to fines, imprisonment, or both. |
BASIC INFORMATION: |
Name: ........................................................ |
Job title: ................................................... |
Office, department, or agency that requires you to file this |
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form: ........................................................ |
Other offices, departments, or agencies that require you to |
file a Statement of Economic Interests form: ................ |
Full mailing address: ........................................ |
Preferred e-mail address (optional): ......................... |
QUESTIONS: |
1. If you have any single asset that was worth more than |
$10,000 as of the end of the preceding calendar year and is |
held in, or payable to, your name, held jointly by, or payable |
to, you with your spouse, or held jointly by, or payable to, |
you with your minor child,
list such assets below. In the case |
of investment real estate, list the city and state where the |
investment real estate is located. If you do not have any such |
assets, list "none" below. |
............................................................. |
............................................................. |
............................................................. |
............................................................. |
............................................................. |
2. Excluding the position for which you are required to |
file this form, list the source of any income in excess of |
$7,500 required to be reported during the preceding calendar |
year. If you sold an asset that produced more than $7,500 in |
capital gains in the preceding calendar year, list the name of |
the asset and the transaction date on which the sale or |
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transfer took place. If you had no such sources of income or |
assets, list "none" below. |
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Source of Income / Name of |
Date Sold (if applicable) |
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Asset | |
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............................... |
............................... |
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............................... |
............................... |
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............................... |
............................... |
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3. Excluding debts incurred on terms available to the |
general public, such as mortgages, student loans, and credit |
card debts, if you owed any single debt in the preceding |
calendar year exceeding $10,000, list the creditor of the debt |
below. If you had no such debts, list "none" below. |
List the creditor for all applicable debts owed by you, |
owed jointly by you with your spouse, or owed jointly by you |
with your minor child. In addition to the types of debts listed |
above, you do not need to report any debts to or from financial |
institutions or government agencies, such as debts secured by |
automobiles, household furniture or appliances, as long as the |
debt was made on terms available to the general public, debts |
to members of your family, or debts to or from a political |
committee registered with the Illinois State Board of |
Elections or any political committee, principal campaign |
committee, or authorized committee registered with the Federal |
Election Commission. |
............................................................. |
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............................................................. |
............................................................. |
............................................................. |
4. List the name of each unit of government of which you or |
your spouse were an employee, contractor, or office holder |
during the preceding calendar year other than the unit or |
units of government in relation to which the person is |
required to file and the title of the position or nature of the |
contractual services. |
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Name of Unit of Government |
Title or Nature of Services |
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............................... |
............................... |
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............................... |
............................... |
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............................... |
............................... |
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5. If you maintain an economic relationship with a |
lobbyist or if a member of your family is known to you to be a |
lobbyist registered with any unit of government in the State |
of Illinois, list the name of the lobbyist below and identify |
the nature of your relationship with the lobbyist. If you do |
not have an economic relationship with a lobbyist or a family |
member known to you to be a lobbyist registered with any unit |
of government in the State of Illinois, list "none" below. |
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Name of Lobbyist |
Relationship to Filer |
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............................... |
............................... |
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............................... |
............................... |
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............................... |
............................... |
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6. List the name of each person, organization, or entity |
that was the source of a gift or gifts, or honorarium or |
honoraria, valued singly or in the aggregate in excess of $500 |
received during the preceding calendar year and the type of |
gift or gifts, or honorarium or honoraria, excluding any gift |
or gifts from a member of your family that was not known to be |
a lobbyist registered with any unit of government in the State |
of Illinois. If you had no such gifts, list "none" below. |
............................................................. |
............................................................. |
............................................................. |
VERIFICATION: |
"I declare that this statement of economic interests |
(including any attachments) has been examined by me and to the |
best of my knowledge and belief is a true, correct and complete |
statement of my economic interests as required by the Illinois |
Governmental Ethics Act. I understand that the penalty for |
willfully filing a false or incomplete statement is a fine not |
to exceed $2,500 or imprisonment in a penal institution other |
than the penitentiary not to exceed one year, or both fine and |
imprisonment." |
Printed Name of Filer: ....................................... |
Date: ........................................................ |
Signature: ................................................... |
|
If this statement of economic interests requires ethics |
officer review prior to filing, the applicable ethics officer |
must complete the following: |
CERTIFICATION OF ETHICS OFFICER REVIEW: |
"In accordance with law, as Ethics Officer, I reviewed |
this statement of economic interests prior to its filing." |
Printed Name of Ethics Officer: .............................. |
Date: ........................................................ |
Signature: ................................................... |
Preferred e-mail address (optional): ......................... |
STATEMENT OF ECONOMIC INTEREST
|
(TYPE OR HAND PRINT)
|
.............................................................
|
(name)
|
.............................................................
|
(each office or position of employment for which this
|
statement is filed)
|
.............................................................
|
(full mailing address)
|
GENERAL DIRECTIONS:
|
The interest (if constructively controlled by the person |
making the
statement) of a spouse or any other party, shall be |
considered to be the
same as the interest of the person making |
|
the statement.
|
Campaign receipts shall not be included in this statement.
|
If additional space is needed, please attach supplemental |
listing.
|
1. List the name and instrument of ownership in any entity |
doing
business in the State of Illinois, in which the |
ownership interest held by
the person at the date of filing is |
in excess of $5,000 fair market value
or from which dividends |
in excess of $1,200 were derived during the
preceding calendar |
year. (In the case of real estate, location thereof
shall be |
listed by street address, or if none, then by legal |
description.)
No time or demand deposit in a financial |
institution, nor any debt
instrument need be listed.
|
|
Business Entity |
Instrument of Ownership |
|
............................... |
............................... |
|
............................... |
............................... |
|
............................... |
............................... |
|
............................... |
............................... |
|
2. List the name, address and type of practice of any |
professional
organization in which the person making the |
statement was an officer,
director, associate, partner or |
proprietor or served in any advisory
capacity, from which |
income in excess of $1,200 was derived during the
preceding |
calendar year.
|
|
Name |
Address |
Type of Practice |
|
.................... |
.................... |
..................... |
|
|
|
.................... |
.................... |
..................... |
|
.................... |
.................... |
..................... |
|
3. List the nature of professional services rendered |
(other than to the
State of Illinois) to each entity from which |
income exceeding $5,000 was
received for professional services |
rendered during the preceding calendar
year by the person |
making the statement.
|
.............................................................
|
.............................................................
|
4. List the identity (including the address or legal |
description of real
estate) of any capital asset from which a |
capital gain of $5,000 or more
was realized during the |
preceding calendar year.
|
.............................................................
|
.............................................................
|
5. List the identity of any compensated lobbyist with whom |
the person
making the statement maintains a close economic |
association, including the
name of the lobbyist and specifying |
the legislative matter or matters which
are the object of the |
lobbying activity, and describing the general type of
economic |
activity of the client or principal on whose behalf that |
person is
lobbying.
|
|
Lobbyist |
Legislative Matter |
Client or Principal |
|
.................... |
.................... |
..................... |
|
.................... |
.................... |
..................... |
|
6. List the name of any entity doing business in the State |
|
of Illinois
from which income in excess of $1,200 was derived |
during the preceding
calendar year other than for professional |
services and the title or
description of any position held in |
that entity. (In the case of real
estate, location thereof |
shall be listed by street address, or if none,
then by legal |
description). No time or demand deposit in a financial
|
institution nor any debt instrument need be listed.
|
|
Entity |
Position Held |
|
............................... |
............................... |
|
............................... |
............................... |
|
............................... |
............................... |
|
7. List the name of any unit of government which employed |
the person
making the statement during the preceding calendar |
year other than the unit
or units
of government in relation to |
which the person is required to file.
|
.............................................................
|
.............................................................
|
8. List the name of any entity from which a gift or gifts, |
or honorarium
or honoraria, valued singly or in the aggregate |
in excess of $500, was
received during the preceding calendar |
year.
|
.............................................................
|
VERIFICATION:
|
"I declare that this statement of economic interests |
(including any
accompanying schedules and statements) has been |
examined by me and to the
best of my knowledge and belief is a |
|
true, correct and complete statement
of my economic interests |
as required by the Illinois Governmental Ethics
Act. I |
understand that the penalty for willfully filing a false or
|
incomplete statement shall be a fine not to exceed $1,000 or |
imprisonment
in a penal institution other than the |
penitentiary not to exceed one year,
or both fine and |
imprisonment."
|
................ ..........................................
|
(date of filing) (signature of person making the statement)
|
(Source: P.A. 95-173, eff. 1-1-08.)
|
(5 ILCS 420/4A-107) (from Ch. 127, par. 604A-107)
|
Sec. 4A-107. Any person required to file a statement of |
economic interests
under this Article who willfully files a |
false or incomplete statement shall be
guilty of a Class A |
misdemeanor ; provided, a filer's statement made in reasonable, |
good faith reliance on the guidance provided by the Secretary |
of State pursuant to Section 4A-102 or his or her ethics |
officer shall not constitute a willful false or incomplete |
statement .
|
Except when the fees and penalties for late filing have |
been waived under Section 4A-105, failure to file a statement |
within the time prescribed shall result in
ineligibility for, |
or forfeiture of, office or position of employment, as
the |
case may be; provided, however, that if the notice of failure |
to
file a statement of economic interests provided in Section |
|
4A-105 of this
Act is not given by the Secretary of State or |
the county clerk, as the case
may be, no forfeiture shall |
result if a statement is filed within 30 days
of actual notice |
of the failure to file. The Secretary of State shall provide |
the Attorney General with the names of persons who failed to |
file a statement. The county clerk shall provide the State's |
Attorney of the county of the entity for which the filing of |
statement of economic interest is required with the name of |
persons who failed to file a statement.
|
The Attorney General, with respect to offices or positions |
described in
items (a) through (f) and items (j), (l), (n), and |
(p) of Section 4A-101 of this
Act, or the State's
Attorney of |
the county of the entity for which the filing of statements of
|
economic interests is required, with respect to offices or |
positions
described in items (a) through (e) of
Section |
4A-101.5,
shall bring an action in quo warranto against any |
person who has failed to file
by either May 31 or June 30 of |
any given year and for whom the fees and penalties for late |
filing have not been waived under Section 4A-105.
|
(Source: P.A. 101-221, eff. 8-9-19.)
|
(5 ILCS 420/4A-108) |
Sec. 4A-108. Internet-based systems of filing. |
(a) Notwithstanding any other provision of this Act or any |
other law, the Secretary of State and county clerks are |
authorized to institute an Internet-based system for the |
|
filing of statements of economic interests in their offices. |
With respect to county clerk systems, the determination to |
institute such a system shall be in the sole discretion of the |
county clerk and shall meet the requirements set out in this |
Section. With respect to a Secretary of State system, the |
determination to institute such a system shall be in the sole |
discretion of the Secretary of State and shall meet the |
requirements set out in this Section and those Sections of the |
State Officials and Employees Ethics Act requiring ethics |
officer review prior to filing. The system shall be capable of |
allowing an ethics officer to approve a statement of economic |
interests and shall include a means to amend a statement of |
economic interests. When this Section does not modify or |
remove the requirements set forth elsewhere in this Article, |
those requirements shall apply to any system of Internet-based |
filing authorized by this Section. When this Section does |
modify or remove the requirements set forth elsewhere in this |
Article, the provisions of this Section shall apply to any |
system of Internet-based filing authorized by this Section. |
(b) In any system of Internet-based filing of statements |
of economic interests instituted by the Secretary of State or |
a county clerk: |
(1) Any filing of an Internet-based statement of |
economic interests shall be the equivalent of the filing |
of a verified, written statement of economic interests as |
required by Section 4A-101 or 4A-101.5 and the equivalent |
|
of the filing of a verified, dated, and signed statement |
of economic interests as required by Section 4A-103 |
4A-104 . |
(2) The Secretary of State and county clerks who |
institute a system of Internet-based filing of statements |
of economic interests shall establish a password-protected |
website to receive the filings of such statements. A |
website established under this Section shall set forth and |
provide a means of responding to the items set forth in |
Section 4A-103 4A-102 that are required of a person who |
files a statement of economic interests with that officer. |
A website established under this Section shall set forth |
and provide a means of generating a printable receipt page |
acknowledging filing. |
(3) The times for the filing of statements of economic |
interests set forth in Section 4A-105 shall be followed in |
any system of Internet-based filing of statements of |
economic interests; provided that a candidate for elective |
office who is required to file a statement of economic |
interests in relation to his or her candidacy pursuant to |
Section 4A-105(a) shall receive a written or printed |
receipt for his or her filing. |
A candidate filing for Governor, Lieutenant Governor, |
Attorney General, Secretary of State, Treasurer, |
Comptroller, State Senate, or State House of |
Representatives , Supreme Court Justice, appellate court |
|
judge, circuit court judge, or judicial retention shall |
not use the Internet to file his or her statement of |
economic interests, but shall file his or her statement of |
economic interests in a written or printed form and shall |
receive a written or printed receipt for his or her |
filing. Annually, the duly appointed ethics officer for |
each legislative caucus shall certify to the Secretary of |
State whether his or her caucus members will file their |
statements of economic interests electronically or in a |
written or printed format for that year. If the ethics |
officer for a caucus certifies that the statements of |
economic interests shall be written or printed, then |
members of the General Assembly of that caucus shall not |
use the Internet to file his or her statement of economic |
interests, but shall file his or her statement of economic |
interests in a written or printed form and shall receive a |
written or printed receipt for his or her filing. If no |
certification is made by an ethics officer for a |
legislative caucus, or if a member of the General Assembly |
is not affiliated with a legislative caucus, then the |
affected member or members of the General Assembly may |
file their statements of economic interests using the |
Internet. |
(4) In the first year of the implementation of a |
system of Internet-based filing of statements of economic |
interests, each person required to file such a statement |
|
is to be notified in writing of his or her obligation to |
file his or her statement of economic interests by way of |
the Internet-based system. If access to the website web |
site requires a code or password, this information shall |
be included in the notice prescribed by this paragraph. |
(5) When a person required to file a statement of |
economic interests has supplied the Secretary of State or |
a county clerk, as applicable, with an email address for |
the purpose of receiving notices under this Article by |
email, a notice sent by email to the supplied email |
address shall be the equivalent of a notice sent by first |
class mail, as set forth in Section 4A-106 or 4A-106.5. A |
person who has supplied such an email address shall notify |
the Secretary of State or county clerk, as applicable, |
when his or her email address changes or if he or she no |
longer wishes to receive notices by email. |
(6) If any person who is required to file a statement |
of economic interests and who has chosen to receive |
notices by email fails to file his or her statement by May |
10, then the Secretary of State or county clerk, as |
applicable, shall send an additional email notice on that |
date, informing the person that he or she has not filed and |
describing the penalties for late filing and failing to |
file. This notice shall be in addition to other notices |
provided for in this Article. |
(7) The Secretary of State and each county clerk who |
|
institutes a system of Internet-based filing of statements |
of economic interests may also institute an Internet-based |
process for the filing of the list of names and addresses |
of persons required to file statements of economic |
interests by the chief administrative officers that must |
file such information with the Secretary of State or |
county clerk, as applicable, pursuant to Section 4A-106 or |
4A-106.5. Whenever the Secretary of State or a county |
clerk institutes such a system under this paragraph, every |
chief administrative officer must use the system to file |
this information. |
(8) The Secretary of State and any county clerk who |
institutes a system of Internet-based filing of statements |
of economic interests shall post the contents of such |
statements filed with him or her available for inspection |
and copying on a publicly accessible website. Such |
postings shall not include the addresses or signatures of |
the filers.
|
(Source: P.A. 100-1041, eff. 1-1-19; 101-221, eff. 8-9-19; |
revised 9-12-19.)
|
(5 ILCS 420/4A-104 rep.)
|
Section 10. The Illinois Governmental Ethics Act is |
amended by repealing Section 4A-104 on January 1, 2022. |
Section 15. The State Officials and Employees Ethics Act |
|
is amended by changing Sections 5-40, 5-45, 20-20, 20-95, |
25-5, 25-10, 25-15, 25-20, and 25-85 as follows: |
(5 ILCS 430/5-40)
|
Sec. 5-40. Fundraising during session in Sangamon County . |
Except as provided in this
Section, any executive branch |
constitutional officer, any candidate for an
executive branch |
constitutional office, any member of the General Assembly,
any |
candidate for the General Assembly, any political caucus of |
the General
Assembly, or any political committee on behalf of |
any of the foregoing may not
hold a political fundraising |
function in Sangamon County on any day the legislature is
in |
session or the day immediately prior to such day. This Section |
does not apply to a political fundraising function scheduled |
at least 14 days in advance of a day the legislature is in |
special session or the day immediately prior to such day (i) |
during the period beginning February 1 and ending on the later
|
of the actual adjournment dates
of either house of the spring |
session and (ii) during fall veto session . For purposes of |
this Section, the legislature is not considered to be in
|
session on a day that is solely a perfunctory session day or on |
a day when only
a committee is meeting.
|
During the period beginning June 1 and ending on the first |
day of fall veto
session each year, this Section does not apply |
to (i) a member of the General
Assembly whose legislative or |
representative district is entirely within
Sangamon County or |
|
(ii) a candidate for the General Assembly from that
|
legislative or representative district.
|
(Source: P.A. 96-555, eff. 8-18-09.) |
(5 ILCS 430/5-45)
|
Sec. 5-45. Procurement; revolving door prohibition.
|
(a) No former officer, member, or State employee, or |
spouse or
immediate family member living with such person, |
shall, within a period of one
year immediately after |
termination of State employment, knowingly accept
employment |
or receive compensation or fees for services from a person or |
entity
if the officer, member, or State employee, during the |
year immediately
preceding termination of State employment, |
participated personally and
substantially in the award or |
fiscal administration of State contracts, or the issuance of |
State contract change orders, with a cumulative value
of |
$25,000
or more to the person or entity, or its parent or |
subsidiary.
|
(a-5) No officer, member, or spouse or immediate family |
member living with such person shall, during the officer or |
member's term in office or within a period of 2 years |
immediately leaving office, hold an ownership interest, other |
than a passive interest in a publicly traded company, in any |
gaming license under the Illinois Gambling Act, the Video |
Gaming Act, the Illinois Horse Racing Act of 1975, or the |
Sports Wagering Act. Any member of the General Assembly or |
|
spouse or immediate family member living with such person who |
has an ownership interest, other than a passive interest in a |
publicly traded company, in any gaming license under the |
Illinois Gambling Act, the Illinois Horse Racing Act of 1975, |
the Video Gaming Act, or the Sports Wagering Act at the time of |
the effective date of this amendatory Act of the 101st General |
Assembly shall divest himself or herself of such ownership |
within one year after the effective date of this amendatory |
Act of the 101st General Assembly. No State employee who works |
for the Illinois Gaming Board or Illinois Racing Board or |
spouse or immediate family member living with such person |
shall, during State employment or within a period of 2 years |
immediately after termination of State employment, hold an |
ownership interest, other than a passive interest in a |
publicly traded company, in any gaming license under the |
Illinois Gambling Act, the Video Gaming Act, the Illinois |
Horse Racing Act of 1975, or the Sports Wagering Act. |
(a-10) This subsection (a-10) applies on and after June |
25, 2021. No officer, member, or spouse or immediate family |
member living with such person, shall, during the officer or |
member's term in office or within a period of 2 years |
immediately after leaving office, hold an ownership interest, |
other than a passive interest in a publicly traded company, in |
any cannabis business establishment which is licensed under |
the Cannabis Regulation and Tax Act. Any member of the General |
Assembly or spouse or immediate family member living with such |
|
person who has an ownership interest, other than a passive |
interest in a publicly traded company, in any cannabis |
business establishment which is licensed under the Cannabis |
Regulation and Tax Act at the time of the effective date of |
this amendatory Act of the 101st General Assembly shall divest |
himself or herself of such ownership within one year after the |
effective date of this amendatory Act of the 101st General |
Assembly. |
No State employee who works for any State agency that |
regulates cannabis business establishment license holders who |
participated personally and substantially in the award of |
licenses under the Cannabis Regulation and Tax Act or a spouse |
or immediate family member living with such person shall, |
during State employment or within a period of 2 years |
immediately after termination of State employment, hold an |
ownership interest, other than a passive interest in a |
publicly traded company, in any cannabis license under the |
Cannabis Regulation and Tax Act. |
(b) No former officer of the executive branch or State |
employee of the
executive branch with regulatory or
licensing |
authority, or spouse or immediate family member living with |
such
person, shall, within a period of one year immediately |
after termination of
State employment, knowingly accept |
employment or receive compensation or fees
for services from a |
person or entity if the officer
or State
employee, during the |
year immediately preceding
termination of State employment, |
|
participated personally and substantially in making a |
regulatory or licensing decision that
directly applied to the |
person or entity, or its parent or subsidiary. |
(b-5) Beginning January 1, 2022, no former officer of the |
executive branch shall engage in activities at the State level |
that require registration under the Lobbyist Registration Act |
during the term of which he or she was elected or appointed |
until 6 months after leaving office.
|
(b-7) Beginning the second Wednesday in January of 2023, |
no former member shall engage in activities at the State level |
that require registration under the Lobbyist Registration Act |
in a General Assembly of which he or she was a member until 6 |
months after leaving office. |
(c) Within 6 months after the effective date of this |
amendatory Act of the 96th General Assembly, each executive |
branch constitutional officer and legislative leader, the |
Auditor General, and the Joint Committee on Legislative |
Support Services shall adopt a policy delineating which State |
positions under his or her jurisdiction and control, by the |
nature of their duties, may have the authority to participate |
personally and substantially in the award or fiscal |
administration of State contracts or in regulatory or |
licensing decisions. The Governor shall adopt such a policy |
for all State employees of the executive branch not under the |
jurisdiction and control of any other executive branch |
constitutional officer.
|
|
The policies required under subsection (c) of this Section |
shall be filed with the appropriate ethics commission |
established under this Act or, for the Auditor General, with |
the Office of the Auditor General. |
(d) Each Inspector General shall have the authority to |
determine that additional State positions under his or her |
jurisdiction, not otherwise subject to the policies required |
by subsection (c) of this Section, are nonetheless subject to |
the notification requirement of subsection (f) below due to |
their involvement in the award or fiscal administration of |
State contracts or in regulatory or licensing decisions. |
(e) The Joint Committee on Legislative Support Services, |
the Auditor General, and each of the executive branch |
constitutional officers and legislative leaders subject to |
subsection (c) of this Section shall provide written |
notification to all employees in positions subject to the |
policies required by subsection (c) or a determination made |
under subsection (d): (1) upon hiring, promotion, or transfer |
into the relevant position; and (2) at the time the employee's |
duties are changed in such a way as to qualify that employee. |
An employee receiving notification must certify in writing |
that the person was advised of the prohibition and the |
requirement to notify the appropriate Inspector General in |
subsection (f). |
(f) Any State employee in a position subject to the |
policies required by subsection (c) or to a determination |
|
under subsection (d), but who does not fall within the |
prohibition of subsection (h) below, who is offered non-State |
employment during State employment or within a period of one |
year immediately after termination of State employment shall, |
prior to accepting such non-State employment, notify the |
appropriate Inspector General. Within 10 calendar days after |
receiving notification from an employee in a position subject |
to the policies required by subsection (c), such Inspector |
General shall make a determination as to whether the State |
employee is restricted from accepting such employment by |
subsection (a) or (b). In making a determination, in addition |
to any other relevant information, an Inspector General shall |
assess the effect of the prospective employment or |
relationship upon decisions referred to in subsections (a) and |
(b), based on the totality of the participation by the former |
officer, member, or State employee in those decisions. A |
determination by an Inspector General must be in writing, |
signed and dated by the Inspector General, and delivered to |
the subject of the determination within 10 calendar days or |
the person is deemed eligible for the employment opportunity. |
For purposes of this subsection, "appropriate Inspector |
General" means (i) for members and employees of the |
legislative branch, the Legislative Inspector General; (ii) |
for the Auditor General and employees of the Office of the |
Auditor General, the Inspector General provided for in Section |
30-5 of this Act; and (iii) for executive branch officers and |
|
employees, the Inspector General having jurisdiction over the |
officer or employee. Notice of any determination of an |
Inspector General and of any such appeal shall be given to the |
ultimate jurisdictional authority, the Attorney General, and |
the Executive Ethics Commission. |
(g) An Inspector General's determination regarding |
restrictions under subsection (a) or (b) may be appealed to |
the appropriate Ethics Commission by the person subject to the |
decision or the Attorney General no later than the 10th |
calendar day after the date of the determination. |
On appeal, the Ethics Commission or Auditor General shall |
seek, accept, and consider written public comments regarding a |
determination. In deciding whether to uphold an Inspector |
General's determination, the appropriate Ethics Commission or |
Auditor General shall assess, in addition to any other |
relevant information, the effect of the prospective employment |
or relationship upon the decisions referred to in subsections |
(a) and (b), based on the totality of the participation by the |
former officer, member, or State employee in those decisions. |
The Ethics Commission shall decide whether to uphold an |
Inspector General's determination within 10 calendar days or |
the person is deemed eligible for the employment opportunity. |
(h) The following officers, members, or State employees |
shall not, within a period of one year immediately after |
termination of office or State employment, knowingly accept |
employment or receive compensation or fees for services from a |
|
person or entity if the person or entity or its parent or |
subsidiary, during the year immediately preceding termination |
of State employment, was a party to a State contract or |
contracts with a cumulative value of $25,000 or more involving |
the officer, member, or State employee's State agency, or was |
the subject of a regulatory or licensing decision involving |
the officer, member, or State employee's State agency, |
regardless of whether he or she participated personally and |
substantially in the award or fiscal administration of the |
State contract or contracts or the making of the regulatory or |
licensing decision in question: |
(1) members or officers; |
(2) members of a commission or board created by the |
Illinois Constitution; |
(3) persons whose appointment to office is subject to |
the advice and consent of the Senate; |
(4) the head of a department, commission, board, |
division, bureau, authority, or other administrative unit |
within the government of this State; |
(5) chief procurement officers, State purchasing |
officers, and their designees whose duties are directly |
related to State procurement; |
(6) chiefs of staff, deputy chiefs of staff, associate |
chiefs of staff, assistant chiefs of staff, and deputy |
governors , or any other position that holds an equivalent |
level of managerial oversight ; |
|
(7) employees of the Illinois Racing Board; and |
(8) employees of the Illinois Gaming Board. |
(i) For the purposes of this Section, with respect to |
officers or employees of a regional transit board, as defined |
in this Act, the phrase "person or entity" does not include: |
(i) the United States government, (ii) the State, (iii) |
municipalities, as defined under Article VII, Section 1 of the |
Illinois Constitution, (iv) units of local government, as |
defined under Article VII, Section 1 of the Illinois |
Constitution, or (v) school districts. |
(Source: P.A. 101-31, eff. 6-28-19; 101-593, eff. 12-4-19.) |
(5 ILCS 430/20-20)
|
Sec. 20-20. Duties of the Executive Inspectors
General. In |
addition to duties otherwise assigned by law,
each Executive |
Inspector General shall have the following duties:
|
(1) To receive and investigate allegations of |
violations of this
Act. An investigation may not be |
initiated
more than one year after the most recent act of |
the alleged violation or of a
series of alleged violations |
except where there is reasonable cause to believe
that |
fraudulent concealment has occurred. To constitute |
fraudulent concealment
sufficient to toll this limitations |
period, there must be an affirmative act or
representation |
calculated to prevent discovery of the fact that a |
violation or other wrongful act has
occurred. The
|
|
Executive Inspector General shall have the discretion to |
determine the
appropriate means of investigation as |
permitted by law.
|
(2) To request information relating to an |
investigation from any
person when the Executive Inspector |
General deems that information necessary in
conducting an |
investigation.
|
(3) To issue subpoenas
to compel the attendance of |
witnesses for the
purposes of testimony and production of |
documents and other items for
inspection and copying and |
to make service of those subpoenas and subpoenas
issued |
under item (7) of Section 20-15.
|
(4) To submit reports as required by this Act.
|
(5) To file
pleadings in the name of
the Executive |
Inspector General with the Executive Ethics
Commission, |
through the Attorney General, as provided in this Article |
if the
Attorney General finds that reasonable cause exists |
to believe that a violation
has
occurred.
|
(6) To assist and coordinate the ethics officers
for |
State agencies under the jurisdiction of the
Executive |
Inspector General and to work with those ethics officers.
|
(7) To participate in or conduct, when appropriate, |
multi-jurisdictional
investigations.
|
(8) To request, as the Executive Inspector General |
deems appropriate, from
ethics officers
of State agencies |
under his or her jurisdiction, reports or information
on |
|
(i) the content of a State agency's ethics
training |
program and (ii) the percentage of new officers and
|
employees who have completed ethics training.
|
(9) To review hiring and employment files of each |
State agency within the Executive Inspector General's |
jurisdiction to ensure compliance with Rutan v. Republican |
Party of Illinois, 497 U.S. 62 (1990), and with all |
applicable employment laws. |
(10) To establish a policy that ensures the |
appropriate handling and correct recording of all |
investigations conducted by the Office, and to ensure that |
the policy is accessible via the Internet in order that |
those seeking to report those allegations are familiar |
with the process and that the subjects of those |
allegations are treated fairly. |
(11) To post information to the Executive Inspector |
General's website explaining to complainants and subjects |
of an investigation the legal limitations on the Executive |
Inspector General's ability to provide information to them |
and a general overview of the investigation process. |
(Source: P.A. 100-588, eff. 6-8-18.) |
(5 ILCS 430/20-95)
|
Sec. 20-95. Exemptions.
|
(a) Documents generated by an ethics
officer under this |
Act, except Section 5-50, are exempt from the provisions of
|
|
the Freedom
of Information Act.
|
(b) Any allegations
and related documents
submitted to an |
Executive Inspector General and any pleadings and
related |
documents brought before the Executive Ethics
Commission are |
exempt from the provisions of the Freedom of
Information Act |
so long as the Executive Ethics Commission
does not make a |
finding of a violation of this Act.
If the Executive
Ethics |
Commission finds that a violation has occurred, the
entire |
record of proceedings before the Commission, the decision and
|
recommendation, and the response from the agency head or
|
ultimate jurisdictional authority to the Executive Ethics
|
Commission are not exempt from the provisions of the Freedom |
of
Information Act but information contained therein that is |
otherwise exempt from
the
Freedom of Information Act must be |
redacted before disclosure as provided in
the Freedom of |
Information Act. A summary report released by the Executive |
Ethics Commission under Section 20-52 is a public record, but |
information redacted by the Executive Ethics Commission shall |
not be part of the public record.
|
(c) Meetings of the Commission are exempt from the |
provisions of the Open
Meetings Act.
|
(d) Unless otherwise provided in this Act, all |
investigatory files and
reports of the Office of an Executive |
Inspector General, other than monthly
reports required under |
Section 20-85, are confidential and privileged , are exempt |
from disclosure
under the Freedom of Information Act, and |
|
shall not be divulged to
any person or agency, except as |
necessary (i) to a law
enforcement
authority, (ii) to the |
ultimate
jurisdictional authority, (iii) to the
Executive |
Ethics Commission, (iv) to another Inspector General appointed
|
pursuant to this Act, or (v) to an Inspector General appointed |
or employed by a Regional Transit Board in accordance with |
Section 75-10.
|
(Source: P.A. 96-555, eff. 8-18-09; 96-1528, eff. 7-1-11 .) |
(5 ILCS 430/25-5)
|
Sec. 25-5. Legislative Ethics Commission.
|
(a) The Legislative Ethics Commission is created.
|
(b) The Legislative Ethics Commission shall consist of 8
|
commissioners appointed 2 each by the
President and Minority |
Leader of the Senate and the Speaker and Minority Leader
of the |
House of Representatives.
|
The terms of the initial commissioners shall commence upon |
qualification.
Each appointing authority shall designate one |
appointee who
shall serve for a 2-year term running through
|
June 30, 2005.
Each appointing authority shall designate one |
appointee who
shall serve for a
4-year term running through |
June 30, 2007.
The initial appointments shall be made within |
60 days
after the effective date of this Act.
|
After the initial terms, commissioners shall serve for |
4-year terms
commencing on July 1 of the year of appointment |
and running
through June 30 of the fourth following year. |
|
Commissioners may be
reappointed to one or more subsequent |
terms.
|
A vacancy shall occur upon a commissioner's death, |
resignation, removal, disqualification, termination of |
legislative service in the house or caucus of the appointing |
authority, or other inability to act. Vacancies occurring |
other than at the end of a term shall be filled
by the |
appointing authority only for the balance of the
term of the |
commissioner whose office is vacant.
|
Terms shall run regardless of whether the position is |
filled.
|
(c) The appointing authorities shall appoint commissioners |
who
have experience holding governmental office or employment |
and may
appoint commissioners who are members of the General |
Assembly as well as
commissioners from the general public.
A |
commissioner who is a member of the General Assembly must |
recuse himself or
herself from participating in any matter |
relating to any investigation or
proceeding in which he or she |
is the subject or is a complainant.
A person is not eligible to
|
serve as a commissioner if that person (i) has been convicted |
of a
felony or a crime of dishonesty or moral turpitude, (ii) |
is, or was
within the preceding 12 months, engaged in |
activities that
require registration under the Lobbyist |
Registration Act, (iii) is a
relative of the appointing |
authority, (iv) is a State officer or employee
other than a |
member of the General Assembly, or (v) is a candidate for |
|
statewide office , federal office , or judicial office.
|
(c-5) If a commissioner is required to recuse himself or |
herself from participating in a matter as provided in |
subsection (c), the recusal shall create a temporary vacancy |
for the limited purpose of consideration of the matter for |
which the commissioner recused himself or herself, and the |
appointing authority for the recusing commissioner shall make |
a temporary appointment to fill the vacancy for consideration |
of the matter for which the commissioner recused himself or |
herself. |
(d) The Legislative Ethics Commission shall have
|
jurisdiction over current and former members of the General |
Assembly regarding events occurring during a member's term of |
office and
current and former State
employees regarding events |
occurring during any period of employment where the State |
employee's ultimate jurisdictional authority is
(i) a |
legislative leader, (ii) the Senate Operations Commission, or |
(iii) the
Joint Committee on Legislative Support Services. The |
Legislative Ethics Commission shall have jurisdiction over |
complainants and respondents in violation of subsection (d) of |
Section 25-90. The jurisdiction of the
Commission is limited |
to matters arising under this Act.
|
An officer or executive branch State employee serving on a |
legislative branch board or commission remains subject to the |
jurisdiction of the Executive Ethics Commission and is not |
subject to the jurisdiction of the Legislative Ethics |
|
Commission. |
(e) The Legislative Ethics Commission must meet, either
in |
person or by other technological means, monthly or as
often as |
necessary. At the first meeting of the Legislative
Ethics |
Commission, the commissioners shall choose from their
number a |
chairperson and other officers that they deem appropriate.
The |
terms of officers shall be for 2 years commencing July 1 and
|
running through June 30 of the second following year. Meetings |
shall be held at
the call
of the chairperson or any 3 |
commissioners. Official action by the
Commission shall require |
the affirmative vote of 5 commissioners, and
a quorum shall |
consist of 5 commissioners. Commissioners shall receive
no |
compensation but
may be
reimbursed for their reasonable |
expenses actually incurred in the
performance of their duties.
|
(f) No commissioner, other than a commissioner who is a |
member of the
General
Assembly, or employee of the Legislative
|
Ethics Commission may during his or her term of appointment or |
employment:
|
(1) become a candidate for any elective office;
|
(2) hold any other elected or appointed public office
|
except for appointments on governmental advisory boards
or |
study commissions or as otherwise expressly authorized by |
law;
|
(3) be actively involved in the affairs of any |
political party or political
organization; or
|
(4) advocate for the appointment of another person to |
|
an appointed or elected office or position or actively |
participate in any campaign for any
elective office.
|
(f-5) No commissioner who is a member of the General |
Assembly may be a candidate for statewide office , federal |
office , or judicial office. If a commissioner who is a member |
of the General Assembly files petitions to be a candidate for a |
statewide office , federal office , or judicial office, he or |
she shall be deemed to have resigned from his or her position |
as a commissioner on the date his or her name is certified for |
the ballot by the State Board of Elections or local election |
authority and his or her position as a commissioner shall be |
deemed vacant. Such person may not be reappointed to the |
Commission during any time he or she is a candidate for |
statewide office , federal office , or judicial office. |
(g) An appointing authority may remove a
commissioner only |
for cause.
|
(h) The Legislative Ethics Commission shall appoint an
|
Executive Director subject to the approval of at least 3 of the |
4 legislative leaders. The compensation of the Executive |
Director shall
be as determined by the Commission. The |
Executive Director of the Legislative
Ethics Commission may |
employ, subject to the approval of at least 3 of the 4 |
legislative leaders, and determine the
compensation of staff, |
as appropriations permit.
|
(i) In consultation with the Legislative Inspector |
General, the Legislative Ethics Commission may develop |
|
comprehensive training for members and employees under its |
jurisdiction that includes, but is not limited to, sexual |
harassment, employment discrimination, and workplace civility. |
The training may be recommended to the ultimate jurisdictional |
authorities and may be approved by the Commission to satisfy |
the sexual harassment training required under Section 5-10.5 |
or be provided in addition to the annual sexual harassment |
training required under Section 5-10.5. The Commission may |
seek input from governmental agencies or private entities for |
guidance in developing such training. |
(Source: P.A. 100-588, eff. 6-8-18; 101-81, eff. 7-12-19; |
101-221, eff. 8-9-19; 101-617, eff. 12-20-19.) |
(5 ILCS 430/25-10)
|
Sec. 25-10. Office of Legislative Inspector General.
|
(a) The independent Office of the Legislative Inspector |
General is created.
The Office shall be under the direction |
and supervision of the
Legislative Inspector General and shall |
be a fully independent office with its
own appropriation.
|
(b) The Legislative Inspector General shall be appointed |
without regard to
political
affiliation and solely on the |
basis of integrity and
demonstrated ability.
The Legislative |
Ethics
Commission shall diligently search out qualified |
candidates for Legislative
Inspector General
and shall make |
recommendations to the General Assembly. The Legislative |
Inspector General may serve in a full-time, part-time, or |
|
contractual capacity.
|
The Legislative Inspector General shall be appointed by a |
joint resolution of
the
Senate and the House of |
Representatives, which may specify the date on
which the |
appointment takes effect.
A joint resolution, or other |
document as may be specified by the
Joint Rules of the General |
Assembly, appointing the Legislative Inspector
General must be |
certified by
the Speaker
of the House of Representatives and |
the President of the Senate as having been
adopted by the
|
affirmative vote of three-fifths of the members elected to |
each house,
respectively,
and be filed with the Secretary of |
State.
The appointment of the Legislative Inspector General |
takes effect on the day
the
appointment is completed by the |
General Assembly, unless the appointment
specifies a later |
date on which it is to become effective.
|
The Legislative Inspector General shall have the following |
qualifications:
|
(1) has not been convicted of any felony under the |
laws of this State,
another state, or the United States;
|
(2) has earned a baccalaureate degree from an |
institution of higher
education; and
|
(3) has 5 or more years of cumulative service (A) with |
a federal,
State, or
local law enforcement agency, at |
least 2 years of which have been in a
progressive |
investigatory capacity; (B)
as a
federal, State, or local |
prosecutor; (C)
as a
senior manager or executive of a |
|
federal, State, or local
agency; (D) as a member, an |
officer,
or a State
or federal judge; or (E) representing |
any combination of items (A) through (D).
|
The Legislative Inspector General may not be a relative of |
a commissioner.
|
The term of the initial Legislative Inspector General |
shall
commence upon qualification and shall run through June |
30, 2008.
|
After the initial term, the Legislative Inspector General |
shall serve
for 5-year terms commencing on July 1 of the year |
of appointment
and running through June 30 of the fifth |
following year. The
Legislative Inspector General may be |
reappointed to one or more
subsequent terms. Terms shall run |
regardless of whether the position is filled.
|
(b-5) A vacancy occurring other than at the end of a term |
shall be filled in the
same manner as an appointment only for |
the balance of the term of the
Legislative
Inspector General |
whose office is vacant. Within 7 days of the Office becoming |
vacant or receipt of a Legislative Inspector General's |
prospective resignation, the vacancy shall be publicly posted |
on the Commission's website, along with a description of the |
requirements for the position and where applicants may apply. |
Within 45 days of the vacancy, the Commission shall |
designate an Acting Legislative Inspector General who shall |
serve until the vacancy is filled. The Commission shall file |
the designation in writing with the Secretary of State. |
|
Within 60 days prior to the end of the term of the |
Legislative Inspector General or within 30 days of the |
occurrence of a vacancy in the Office of the Legislative |
Inspector General, the Legislative Ethics Commission shall |
establish a four-member search committee within the Commission |
for the purpose of conducting a search for qualified |
candidates to serve as Legislative Inspector General. The |
Speaker of the House of Representatives, Minority Leader of |
the House, Senate President, and Minority Leader of the Senate |
shall each appoint one member to the search committee. A |
member of the search committee shall be either a retired judge |
or former prosecutor and may not be a member or employee of the |
General Assembly or a registered lobbyist. If the Legislative |
Ethics Commission wishes to recommend that the Legislative |
Inspector General be re-appointed, a search committee does not |
need to be appointed. |
The search committee shall conduct a search for qualified |
candidates, accept applications, and conduct interviews. The |
search committee shall recommend up to 3 candidates for |
Legislative Inspector General to the Legislative Ethics |
Commission. The search committee shall be disbanded upon an |
appointment of the Legislative Inspector General. Members of |
the search committee are not entitled to compensation but |
shall be entitled to reimbursement of reasonable expenses |
incurred in connection with the performance of their duties. |
Within 30 days after June 8, 2018 ( the effective date of |
|
Public Act 100-588) this amendatory Act of the 100th General |
Assembly , the Legislative Ethics Commission shall create a |
search committee in the manner provided for in this subsection |
to recommend up to 3 candidates for Legislative Inspector |
General to the Legislative Ethics Commission by October 31, |
2018. |
If a vacancy exists and the Commission has not appointed |
an Acting Legislative Inspector General, either the staff of |
the Office of the Legislative Inspector General, or if there |
is no staff, the Executive Director, shall advise the |
Commission of all open investigations and any new allegations |
or complaints received in the Office of the Inspector General. |
These reports shall not include the name of any person |
identified in the allegation or complaint, including, but not |
limited to, the subject of and the person filing the |
allegation or complaint. Notification shall be made to the |
Commission on a weekly basis unless the Commission approves of |
a different reporting schedule.
|
If the Office of the Inspector General is vacant for 6 |
months or more beginning on or after January 1, 2019, and the |
Legislative Ethics Commission has not appointed an Acting |
Legislative Inspector General, all complaints made to the |
Legislative Inspector General or the Legislative Ethics |
Commission shall be directed to the Inspector General for the |
Auditor General, and he or she shall have the authority to act |
as provided in subsection (c) of this Section and Section |
|
25-20 of this Act, and shall be subject to all laws and rules |
governing a Legislative Inspector General or Acting |
Legislative Inspector General. The authority for the Inspector |
General of the Auditor General under this paragraph shall |
terminate upon appointment of a Legislative Inspector General |
or an Acting Legislative Inspector General.
|
(c) The Legislative Inspector General
shall have |
jurisdiction over the current and former members of the |
General Assembly regarding events occurring during a member's |
term of office and
current and former State employees |
regarding events occurring during any period of employment |
where the State employee's ultimate jurisdictional authority |
is
(i) a legislative leader, (ii) the Senate Operations |
Commission, or (iii) the
Joint Committee on Legislative |
Support Services.
|
The jurisdiction of each Legislative Inspector General is |
to investigate
allegations of violations of this Act, |
violations of other related laws and rules regarding events |
related to the member's or employee's public duties or use of |
State office, employment, or resources, or fraud, waste, |
abuse, mismanagement, misconduct, nonfeasance,
misfeasance,
or |
malfeasance related to the member's or employee's public |
duties or use of State office, employment, or resources. The |
jurisdiction shall not include violations of the Rules of the |
House of Representatives or the Senate , or violations of this |
Act or violations of other related
laws and rules .
|
|
The Legislative Inspector General shall have jurisdiction |
over complainants in violation of subsection (e) of Section |
25-63 of this Act. |
(d) The compensation of the Legislative Inspector General |
shall
be the greater of an amount (i) determined by the |
Commission or (ii) by joint
resolution of the General Assembly |
passed by a majority of members elected in
each chamber.
|
Subject to Section 25-45 of this Act, the Legislative |
Inspector General has
full
authority to organize the Office of |
the Legislative Inspector General,
including the employment |
and determination of the compensation of
staff, such as |
deputies, assistants, and other employees, as
appropriations |
permit. Employment of staff is subject to the approval of at |
least 3 of the 4 legislative leaders.
|
(e) No Legislative Inspector General or employee of the |
Office of
the Legislative Inspector General may, during his or |
her term of appointment or
employment:
|
(1) become a candidate for any elective office;
|
(2) hold any other elected or appointed public office
|
except for appointments on governmental advisory boards
or |
study commissions or as otherwise expressly authorized by |
law;
|
(3) be actively involved in the affairs of any |
political party or
political organization; or
|
(4) actively participate in any campaign for any
|
elective office.
|
|
A full-time Legislative Inspector General shall not engage |
in the practice of law or any other business, employment, or |
vocation. |
In this subsection an appointed public office means a |
position authorized by
law that is filled by an appointing |
authority as provided by law and does not
include employment |
by hiring in the ordinary course of business.
|
(e-1) No Legislative Inspector General or employee of the |
Office of the
Legislative Inspector General may, for one year |
after the termination of his or
her appointment or employment:
|
(1) become a candidate for any elective office;
|
(2) hold any elected public office; or
|
(3) hold any appointed State, county, or local |
judicial office.
|
(e-2) The requirements of item (3) of subsection (e-1) may |
be waived by the
Legislative Ethics Commission.
|
(f) The Commission may remove the Legislative Inspector |
General only for
cause. At the time of the removal, the |
Commission must report to the General
Assembly the |
justification for the removal.
|
(Source: P.A. 100-588, eff. 6-8-18; 101-221, eff. 8-9-19; |
revised 9-12-19.) |
(5 ILCS 430/25-15)
|
Sec. 25-15. Duties of the Legislative Ethics Commission. |
In addition to
duties otherwise assigned by law, the |
|
Legislative Ethics Commission shall have
the following duties:
|
(1) To promulgate rules governing the performance of |
its duties and the
exercise of its powers and governing |
the investigations of the Legislative
Inspector General ; |
except that, the Legislative Ethics Commission shall adopt |
no rule requiring the Legislative Inspector General to |
seek the Commission's advance approval before commencing |
any investigation authorized under this Article. Any |
existing rule, as of the effective date of this amendatory |
Act of the 102nd General Assembly, requiring the |
Legislative Inspector General to seek the Commission's |
advance approval before commencing any investigation is |
void . The rules shall be available on the Commission's |
website and any proposed changes to the rules must be made |
available to the public on the Commission's website no |
less than 7 days before the adoption of the changes. Any |
person shall be given an opportunity to provide written or |
oral testimony before the Commission in support of or |
opposition to proposed rules.
|
(2) To conduct administrative hearings and rule on |
matters
brought before the Commission only upon the |
receipt of pleadings
filed by the Legislative Inspector |
General and not upon its own
prerogative, but may appoint |
special Legislative Inspectors General as provided
in |
Section 25-21. Any other allegations of misconduct |
received by the
Commission from a person other than the |
|
Legislative Inspector General
shall be referred to the |
Office of the Legislative Inspector General.
|
(3) To prepare and publish manuals and guides and, |
working with
the Office of the Attorney General, oversee
|
training of employees under its jurisdiction that explains |
their duties.
|
(4) To prepare public information materials to |
facilitate
compliance, implementation, and enforcement of |
this Act.
|
(5) To submit reports as required by this Act.
|
(6) To the extent authorized by this Act, to make |
rulings, issue
recommendations, and impose administrative |
fines,
if appropriate,
in
connection with the |
implementation and interpretation of this Act.
The powers |
and duties of the
Commission are limited to matters |
clearly within the purview of this
Act.
|
(7) To issue subpoenas with respect to matters pending |
before the Commission,
subject to the provisions of this |
Article and in the
discretion of the Commission,
to compel |
the attendance of witnesses for purposes of testimony and
|
the production of documents and other items for inspection |
and
copying.
|
(8) To appoint special Legislative Inspectors General |
as provided in Section
25-21.
|
(9) To conspicuously display on the Commission's |
website the procedures for reporting a violation of this |
|
Act, including how to report violations via email or |
online. |
(10) To conspicuously display on the Commission's |
website any vacancies within the Office of the Legislative |
Inspector General. |
(11) To appoint an Acting Legislative Inspector |
General in the event of a vacancy in the Office of the |
Legislative Inspector General. |
(Source: P.A. 100-554, eff. 11-16-17; 100-588, eff. 6-8-18.) |
(5 ILCS 430/25-20)
|
Sec. 25-20. Duties of the Legislative Inspector
General. |
In addition to duties otherwise assigned by law,
the |
Legislative Inspector General shall have the following duties:
|
(1) To receive and investigate , without advance |
approval of the Legislative Ethics Commission, allegations |
of violations of this Act and other wrongful acts within |
his or her jurisdiction based on a complaint. Except as |
otherwise provided in paragraph (1.5), an investigation |
may not be initiated more than one year after the alleged |
wrongful act or the most recent act of a series of alleged |
wrongful acts based on the same wrongful conduct except if |
there is reasonable cause to believe that fraudulent |
concealment has occurred allegations of violations of this
|
Act. Except as otherwise provided in paragraph (1.5), an |
investigation may not be initiated
more than one year |
|
after the most recent act of the alleged violation or of a
|
series of alleged violations except where there is |
reasonable cause to believe
that fraudulent concealment |
has occurred . To constitute fraudulent concealment
|
sufficient to toll this limitations period, there must be |
an affirmative act or
representation calculated to prevent |
discovery of the fact that a violation or other wrongful |
act
has occurred. The
Legislative Inspector General shall |
have the discretion to determine the
appropriate means of |
investigation as permitted by law. |
(1.5) Notwithstanding any provision of law to the |
contrary, the Legislative Inspector General, whether |
appointed by the Legislative Ethics Commission or the |
General Assembly, may initiate an investigation based on |
information provided to the Office of the Legislative |
Inspector General or the Legislative Ethics Commission |
during the period from December 1, 2014 through November |
3, 2017. Any investigation initiated under this paragraph |
(1.5) must be initiated within one year after the |
effective date of this amendatory Act of the 100th General |
Assembly.
|
Notwithstanding any provision of law to the contrary, |
the Legislative Inspector General, through the Attorney |
General, shall have the authority to file a complaint |
related to any founded violations that occurred during the |
period December 1, 2014 through November 3, 2017 to the |
|
Legislative Ethics Commission, and the Commission shall |
have jurisdiction to conduct administrative hearings |
related to any pleadings filed by the Legislative |
Inspector General, provided the complaint is filed with |
the Commission no later than 6 months after the summary |
report is provided to the Attorney General in accordance |
with subsection (c) of Section 25-50. |
(2) To request information relating to an |
investigation from any
person when the Legislative |
Inspector General deems that information necessary
in
|
conducting an investigation.
|
(3) To issue subpoenas, with the advance approval of |
the Commission,
to compel the attendance of witnesses for |
the
purposes of testimony and production of documents and |
other items for
inspection and copying and to make service |
of those subpoenas and subpoenas
issued under item (7) of |
Section 25-15.
|
(4) To submit reports as required by this Act.
|
(5) To file
pleadings in the name of
the Legislative |
Inspector General with the Legislative Ethics
Commission, |
through the Attorney General, as provided in this Article |
if the
Attorney General finds that reasonable cause exists |
to believe that a violation
has
occurred.
|
(6) To assist and coordinate the ethics officers
for |
State agencies under the jurisdiction of the
Legislative |
Inspector General and to work with those ethics officers.
|
|
(7) To participate in or conduct, when appropriate, |
multi-jurisdictional
investigations.
|
(8) To request, as the Legislative Inspector General |
deems appropriate,
from ethics officers
of State agencies |
under his or her jurisdiction, reports or information
on |
(i) the content of a State agency's ethics
training |
program and (ii) the percentage of new officers and
|
employees who have completed ethics training.
|
(9) To establish a policy that ensures the appropriate |
handling and correct recording of all investigations of |
allegations and to ensure that the policy is accessible |
via the Internet in order that those seeking to report |
those allegations are familiar with the process and that |
the subjects of those allegations are treated fairly. |
(10) To post information to the Legislative Inspector |
General's website explaining to complainants and subjects |
of an investigation the legal limitations on the |
Legislative Inspector General's ability to provide |
information to them and a general overview of the |
investigation process. |
(Source: P.A. 100-553, eff. 11-16-17; 100-588, eff. 6-8-18.) |
(5 ILCS 430/25-85)
|
Sec. 25-85. Quarterly reports by the Legislative Inspector |
General.
The Legislative Inspector General shall submit |
quarterly
reports of claims within his or her jurisdiction |
|
filed with the Office of the Legislative Inspector General to |
the General Assembly and the
Legislative Ethics Commission, on |
dates determined by the
Legislative Ethics Commission, |
indicating:
|
(1) the total number of allegations received since the |
date of the last report and the total number of |
allegations received since the date of the last report by |
category of claim; |
(2) the total number of investigations initiated since |
the date of
the last report and the total number of |
investigations initiated since the date of the last report |
by category of claim;
|
(3) the total number of investigations concluded since |
the date of
the last report and the total number of |
investigations concluded since the date of the last report |
by category of claim;
|
(4) the total number of investigations pending as of |
the reporting
date and the total number of investigations |
pending as of the reporting date by category of claim;
|
(5) the total number of summary reports complaints |
forwarded to the Attorney General pursuant to subsection |
(c) of Section 25-50 since the
date of the last report;
|
(6) the total number of actions filed with the |
Legislative Ethics Commission
since the date of the last |
report, the total number of
actions pending before the |
Legislative Ethics Commission as of the reporting
date, |
|
the total number of actions filed with the Legislative |
Ethics Commission since the date of the last report by |
category of claim, and the total number of actions pending |
before the Legislative Ethics Commission as of the |
reporting date by category of claim; |
(7) the number of allegations referred to any law |
enforcement agency since the date of the last report; |
(8) the total number of allegations referred to |
another investigatory body since the date of the last |
report; and |
(9) the cumulative number of each of the foregoing for |
the current calendar year. |
For the purposes of this Section, "category of claim" |
shall include discrimination claims, harassment claims, sexual |
harassment claims, retaliation claims, gift ban claims, |
prohibited political activity claims, revolving door |
prohibition claims, and other, miscellaneous, or |
uncharacterized claims. |
The quarterly report shall be available on the website of |
the Legislative Inspector General.
|
(Source: P.A. 100-588, eff. 6-8-18.) |
Section 20. The Election Code is amended by changing |
Sections 1A-14, 9-1.8, and 9-8.5 and by adding Section 9-3.5 |
as follows:
|
|
(10 ILCS 5/1A-14) (from Ch. 46, par. 1A-14)
|
Sec. 1A-14. Political activity by members of the State |
Board of Elections. |
(a) No member of the State Board of Elections may become a |
candidate
for nomination for, or election to,
or accept |
appointment to or hold any other remunerative public office or |
public
employment or any office in a political party. No |
member of the State Board of Elections shall: (i) contribute, |
either financially or in services or goods or any other way, to |
any political committee; (ii) serve as an officer of any |
political committee; or (iii) be a candidate who is designated |
as the candidate to be supported by a candidate political |
committee. |
(b) A member of the State Board of Elections who is either |
an officer of a political committee or a candidate who is |
designated as the candidate to be supported by a candidate |
political committee shall within 30 days after confirmation by |
the Senate: (i) resign as an officer of the political |
committee; (ii) have his or her name removed as the candidate |
to be supported by a political committee; (iii) notify the |
Board of the member's intent to convert the political |
committee to a limited activity committee under Section 9-1.8, |
and complete the transition to a limited activity committee |
within 60 days after confirmation; or (iv) dissolve the |
committee. A member of the State Board of Elections who is in |
violation of this subsection (b) on the effective date of this |
|
amendatory Act of the 102nd General Assembly must come into |
compliance within 30 days after the effective date of this |
amendatory Act of the 102nd General Assembly. |
(c) Violation of any prohibition
in this Section shall |
disqualify a member of the Board and a
vacancy is thereby |
created. A vacancy also exists upon the occurrence of
any of |
the events enumerated in Section 25-2 of this Act as in the |
case
of an elective office. |
(d) As used in this Section, "political committee" |
includes both the meaning provided in Section 9-1.8 of this |
Code and the meaning provided in 52 U.S.C. 30101.
|
(Source: P.A. 80-1178.)
|
(10 ILCS 5/9-1.8)
(from Ch. 46, par. 9-1.8)
|
Sec. 9-1.8. Political committees. |
(a) "Political committee" includes a candidate political |
committee, a political party committee, a political action |
committee, a ballot initiative committee, and an independent |
expenditure committee. |
(b) "Candidate political committee" means the candidate |
himself or herself or any natural person, trust, partnership, |
corporation, or other organization or group of persons |
designated by the candidate that accepts contributions or |
makes expenditures during any 12-month period in an aggregate |
amount exceeding $5,000 on behalf of the candidate. |
(c) "Political party committee" means the State central |
|
committee of a political party, a county central committee of |
a political party, a legislative caucus committee, or a |
committee formed by a ward or township committeeperson of a |
political party. For purposes of this Article, a "legislative |
caucus committee" means a committee established for the |
purpose of electing candidates to the General Assembly by the |
person elected President of the Senate, Minority Leader of the |
Senate, Speaker of the House of Representatives, Minority |
Leader of the House of Representatives, or a committee |
established by 5 or more members of the same caucus of the |
Senate or 10 or more members of the same caucus of the House of |
Representatives. |
(d) "Political action committee" means any natural person, |
trust, partnership, committee, association, corporation, or |
other organization or group of persons, other than a |
candidate, political party, candidate political committee, or |
political party committee, that accepts contributions or makes |
expenditures during any 12-month period in an aggregate amount |
exceeding $5,000 on behalf of or in opposition to a candidate |
or candidates for public office. "Political action committee" |
includes any natural person, trust, partnership, committee, |
association, corporation, or other organization or group of |
persons, other than a candidate, political party, candidate |
political committee, or political party committee, that makes |
electioneering communications during any 12-month period in an |
aggregate amount exceeding $5,000 related to any candidate or |
|
candidates for public office. |
(e) "Ballot initiative committee" means any natural |
person, trust, partnership, committee, association, |
corporation, or other organization or group of persons that |
accepts contributions or makes expenditures during any |
12-month period in an aggregate amount exceeding $5,000 in |
support of or in opposition to any question of public policy to |
be submitted to the electors. "Ballot initiative committee" |
includes any natural person, trust, partnership, committee, |
association, corporation, or other organization or group of |
persons that makes electioneering communications during any |
12-month period in an aggregate amount exceeding $5,000 |
related to any question of public policy to be submitted to the |
voters. The $5,000 threshold applies to any contributions or |
expenditures received or made with the purpose of securing a |
place on the ballot for, advocating the defeat or passage of, |
or engaging in electioneering communication regarding the |
question of public policy, regardless of the method of |
initiation of the question of public policy and regardless of |
whether petitions have been circulated or filed with the |
appropriate office or whether the question has been adopted |
and certified by the governing body. |
(f) "Independent expenditure committee" means any trust, |
partnership, committee, association, corporation, or other |
organization or group of persons formed for the exclusive
|
purpose of making independent expenditures during any 12-month |
|
period in an aggregate amount exceeding $5,000 in support of |
or in opposition to (i) the nomination for election, election, |
retention, or defeat of any public official or candidate or |
(ii) any question of public policy to be submitted to the |
electors. "Independent expenditure committee" also includes |
any trust, partnership, committee, association, corporation, |
or other organization or group of persons that makes |
electioneering communications that are not made in connection, |
consultation, or concert with or at the request or suggestion |
of a public official or candidate, a public official's or |
candidate's designated political committee or campaign, or an |
agent or agents of the public official, candidate, or |
political committee or campaign during any 12-month period in |
an aggregate amount exceeding $5,000 related to (i) the |
nomination for election, election, retention, or defeat of any |
public official or candidate or (ii) any question of public |
policy to be submitted to the voters. |
(g) "Limited activity committee" means a political |
committee for which a person who is nominated to a position |
that is subject to confirmation by the Senate, including a |
member of the State Board of Elections, is either an officer or |
a candidate the committee has designated to support.
|
(Source: P.A. 100-1027, eff. 1-1-19 .)
|
(10 ILCS 5/9-3.5 new) |
Sec. 9-3.5. Candidate political committee restrictions. |
|
(a) A person who is nominated to an affected office shall |
not: (i) serve as an officer of a candidate political |
committee that is designated to support or oppose that person |
as a candidate; or (ii) be a candidate who is designated as the |
candidate to be supported by a candidate political committee. |
(b) Within 30 days after appointment, the person shall: |
(i) dissolve the candidate political committee; (ii) resign as |
an officer of the candidate political committee; (iii) have |
his or her name removed as the candidate to be supported by the |
candidate political committee; or (iv) notify the Board of the |
person's intent to convert the candidate political committee |
to a limited activity candidate political committee. |
(c) As used in this Section, "affected office" has the |
meaning provided in subsection (c) of Section 3A-50 of the |
Illinois Governmental Ethics Act. |
(10 ILCS 5/9-8.5) |
Sec. 9-8.5. Limitations on campaign contributions. |
(a) It is unlawful for a political committee to accept |
contributions except as provided in this Section. |
(b) During an election cycle, a candidate political |
committee may not accept contributions with an aggregate value |
over the following: (i) $5,000 from any individual, (ii) |
$10,000 from any corporation, labor organization, or |
association, or (iii) $50,000 from a candidate political |
committee or political action committee. A candidate political |
|
committee may accept contributions in any amount from a |
political party committee except during an election cycle in |
which the candidate seeks nomination at a primary election. |
During an election cycle in which the candidate seeks |
nomination at a primary election, a candidate political |
committee may not accept contributions from political party |
committees with an aggregate value over the following: (i) |
$200,000 for a candidate political committee established to |
support a candidate seeking nomination to statewide office, |
(ii) $125,000 for a candidate political committee established |
to support a candidate seeking nomination to the Senate, the |
Supreme Court or Appellate Court in the First Judicial |
District, or an office elected by all voters in a county with |
1,000,000 or more residents, (iii) $75,000 for a candidate |
political committee established to support a candidate seeking |
nomination to the House of Representatives, the Supreme Court |
or Appellate Court for a Judicial District other than the |
First Judicial District, an office elected by all voters of a |
county of fewer than 1,000,000 residents, and municipal and |
county offices in Cook County other than those elected by all |
voters of Cook County, and (iv) $50,000 for a candidate |
political committee established to support the nomination of a |
candidate to any other office.
A candidate political committee |
established to elect a candidate to the General Assembly may |
accept contributions from only one legislative caucus |
committee. A candidate political committee may not accept |
|
contributions from a ballot initiative committee or from an
|
independent expenditure committee. |
(c) During an election cycle, a political party committee |
may not accept contributions with an aggregate value over the |
following: (i) $10,000 from any individual, (ii) $20,000 from |
any corporation, labor organization, or association, or (iii) |
$50,000 from a political action committee. A political party |
committee may accept contributions in any amount from another |
political party committee or a candidate political committee, |
except as provided in subsection (c-5). Nothing in this |
Section shall limit the amounts that may be transferred |
between a political party committee established under |
subsection (a) of Section 7-8 of this Code and an affiliated |
federal political committee established under the Federal |
Election Code by the same political party. A political party |
committee may not accept contributions from a ballot |
initiative committee or from an
independent expenditure |
committee. A political party committee established by a |
legislative caucus may not accept contributions from another |
political party committee established by a legislative caucus. |
(c-5) During the period beginning on the date candidates |
may begin circulating petitions for a primary election and |
ending on the day of the primary election, a political party |
committee may not accept contributions with an aggregate value |
over $50,000 from a candidate political committee or political |
party committee. A political party committee may accept |
|
contributions in any amount from a candidate political |
committee or political party committee if the political party |
committee receiving the contribution filed a statement of |
nonparticipation in the primary as provided in subsection |
(c-10). The Task Force on Campaign Finance Reform shall study |
and make recommendations on the provisions of this subsection |
to the Governor and General Assembly by September 30, 2012. |
This subsection becomes inoperative on July 1, 2013 and |
thereafter no longer applies. |
(c-10) A political party committee that does not intend to |
make contributions to candidates to be nominated at a general |
primary election or consolidated primary election may file a |
Statement of Nonparticipation in a Primary Election with the |
Board. The Statement of Nonparticipation shall include a |
verification signed by the chairperson and treasurer of the |
committee that (i) the committee will not make contributions |
or coordinated expenditures in support of or opposition to a |
candidate or candidates to be nominated at the general primary |
election or consolidated primary election (select one) to be |
held on (insert date), (ii) the political party committee may |
accept unlimited contributions from candidate political |
committees and political party committees, provided that the |
political party committee does not make contributions to a |
candidate or candidates to be nominated at the primary |
election, and (iii) failure to abide by these requirements |
shall deem the political party committee in violation of this |
|
Article and subject the committee to a fine of no more than |
150% of the total contributions or coordinated expenditures |
made by the committee in violation of this Article. This |
subsection becomes inoperative on July 1, 2013 and thereafter |
no longer applies. |
(d) During an election cycle, a political action committee |
may not accept contributions with an aggregate value over the |
following: (i) $10,000 from any individual, (ii) $20,000 from |
any corporation, labor organization, political party |
committee, or association, or (iii) $50,000 from a political |
action committee or candidate political committee. A political |
action committee may not accept contributions from a ballot |
initiative committee or from an
independent expenditure |
committee. |
(e) A ballot initiative committee may accept contributions |
in any amount from any source, provided that the committee |
files the document required by Section 9-3 of this Article and |
files the disclosure reports required by the provisions of |
this Article. |
(e-5) An independent expenditure committee may accept |
contributions in any amount from any source, provided that the |
committee files the document required by Section 9-3 of this |
Article and files the disclosure reports required by the |
provisions of this Article. |
(e-10) A limited activity committee shall not accept |
contributions, except that the officer or a candidate the |
|
committee has designated to support may contribute personal |
funds in order to pay for maintenance expenses. A limited |
activity committee may only make expenditures that are: (i) |
necessary for maintenance of the committee; (ii) for rent or |
lease payments until the end of the lease in effect at the time |
the officer or candidate is confirmed by the Senate; (iii) |
contributions to 501(c)(3) charities; or (iv) returning |
contributions to original contributors. |
(f) Nothing in this Section shall prohibit a political |
committee from dividing the proceeds of joint fundraising |
efforts; provided that no political committee may receive more |
than the limit from any one contributor, and provided that an |
independent
expenditure committee may not conduct joint |
fundraising efforts with a
candidate political committee or a |
political party committee. |
(g) On January 1 of each odd-numbered year, the State |
Board of Elections shall adjust the amounts of the |
contribution limitations established in this Section for |
inflation as determined by the Consumer Price Index for All |
Urban Consumers as issued by the United States Department of |
Labor and rounded to the nearest $100. The State Board shall |
publish this information on its official website. |
(h) Self-funding candidates. If a public official, a |
candidate, or the public official's or candidate's immediate |
family contributes or loans to the public official's or |
candidate's political committee or to other political |
|
committees that transfer funds to the public official's or |
candidate's political committee or makes independent |
expenditures for the benefit of the public official's or |
candidate's campaign during the 12 months prior to an election |
in an aggregate amount of more than (i) $250,000 for statewide |
office or (ii) $100,000 for all other elective offices, then |
the public official or candidate shall file with the State |
Board of Elections, within one day, a Notification of |
Self-funding that shall detail each contribution or loan made |
by the public official, the candidate, or the public |
official's or candidate's immediate family. Within 2 business |
days after the filing of a Notification of Self-funding, the |
notification shall be posted on the Board's website and the |
Board shall give official notice of the filing to each |
candidate for the same office as the public official or |
candidate making the filing, including the public official or |
candidate filing the Notification of Self-funding. Notice |
shall be sent via first class mail to the candidate and the |
treasurer of the candidate's committee. Notice shall also be |
sent by e-mail to the candidate and the treasurer of the |
candidate's committee if the candidate and the treasurer, as |
applicable, have provided the Board with an e-mail address. |
Upon posting of the notice on the Board's website, all |
candidates for that office, including the public official or |
candidate who filed a Notification of Self-funding, shall be |
permitted to accept contributions in excess of any |
|
contribution limits imposed by subsection (b). If a public |
official or candidate filed a Notification of Self-funding |
during an election cycle that includes a general primary |
election or consolidated primary election and that public |
official or candidate is nominated, all candidates for that |
office, including the nominee who filed the notification of |
self-funding, shall be permitted to accept contributions in |
excess of any contribution limit imposed by subsection (b) for |
the subsequent election cycle. For the purposes of this |
subsection, "immediate family" means the spouse, parent, or |
child of a public official or candidate. |
(h-5) If a natural person or independent expenditure |
committee makes independent expenditures in support of or in |
opposition to the campaign of a particular public official or |
candidate in an aggregate amount of more than (i) $250,000 for |
statewide office or (ii) $100,000 for all other elective |
offices in an election cycle, as reported in a written |
disclosure filed under subsection (a) of Section 9-8.6 or |
subsection (e-5) of Section 9-10, then the State Board of |
Elections shall, within 2 business days after the filing of |
the disclosure, post the disclosure on the Board's website and |
give official notice of the disclosure to each candidate for |
the same office as the public official or candidate for whose |
benefit or detriment the natural person or independent |
expenditure committee made independent expenditures. Upon |
posting of the notice on the Board's website, all candidates |
|
for that office in that election, including the public |
official or candidate for whose benefit or detriment the |
natural person or independent expenditure committee made |
independent expenditures, shall be permitted to accept |
contributions in excess of any contribution limits imposed by |
subsection (b). |
(h-10) If the State Board of Elections receives |
notification or determines that a natural person or persons, |
an independent expenditure committee or committees, or |
combination thereof has made independent expenditures in |
support of or in opposition to the campaign of a particular |
public official or candidate in an aggregate amount of more |
than (i) $250,000 for statewide office or (ii) $100,000 for |
all other elective offices in an election cycle, then the |
Board shall, within 2 business days after discovering the |
independent expenditures that, in the aggregate, exceed the |
threshold set forth in (i) and (ii) of this subsection, post |
notice of this fact on the Board's website and give official |
notice to each candidate for the same office as the public |
official or candidate for whose benefit or detriment the |
independent expenditures were made. Notice shall be sent via |
first class mail to the candidate and the treasurer of the |
candidate's committee. Notice shall also be sent by e-mail to |
the candidate and the treasurer of the candidate's committee |
if the candidate and the treasurer, as applicable, have |
provided the Board with an e-mail address. Upon posting of the |
|
notice on the Board's website, all candidates of that office |
in that election, including the public official or candidate |
for whose benefit or detriment the independent expenditures |
were made, may accept contributions in excess of any |
contribution limits imposed by subsection (b). |
(i) For the purposes of this Section, a corporation, labor |
organization, association, or a political action committee |
established by a corporation, labor organization, or |
association may act as a conduit in facilitating the delivery |
to a political action committee of contributions made through |
dues, levies, or similar assessments and the political action |
committee may report the contributions in the aggregate, |
provided that: (i) contributions made through dues, levies, or |
similar assessments paid by any natural person, corporation, |
labor organization, or association in a calendar year may not |
exceed the limits set forth in this Section; (ii) the |
corporation, labor organization, association, or a political |
action committee established by a corporation, labor |
organization, or association facilitating the delivery of |
contributions maintains a list of natural persons, |
corporations, labor organizations, and associations that paid |
the dues, levies, or similar assessments from which the |
contributions comprising the aggregate amount derive; and |
(iii) contributions made through dues, levies, or similar |
assessments paid by any natural person, corporation, labor |
organization, or association that exceed $500 in a quarterly |
|
reporting period shall be itemized on the committee's |
quarterly report and may not be reported in the aggregate. A |
political action committee facilitating the delivery of |
contributions or receiving contributions shall disclose the |
amount of contributions made through dues delivered or |
received and the name of the corporation, labor organization, |
association, or political action committee delivering the |
contributions, if applicable. On January 1 of each |
odd-numbered year, the State Board of Elections shall adjust |
the amounts of the contribution limitations established in |
this subsection for inflation as determined by the Consumer |
Price Index for All Urban Consumers as issued by the United |
States Department of Labor and rounded to the nearest $100. |
The State Board shall publish this information on its official |
website. |
(j) A political committee that receives a contribution or |
transfer in violation of this Section shall dispose of the |
contribution or transfer by returning the contribution or |
transfer, or an amount equal to the contribution or transfer, |
to the contributor or transferor or donating the contribution |
or transfer, or an amount equal to the contribution or |
transfer, to a charity. A contribution or transfer received in |
violation of this Section that is not disposed of as provided |
in this subsection within 30 days after the Board sends |
notification to the political committee of the excess |
contribution by certified mail shall escheat to the General |
|
Revenue Fund and the political committee shall be deemed in |
violation of this Section and subject to a civil penalty not to |
exceed 150% of the total amount of the contribution. |
(k) For the purposes of this Section, "statewide office" |
means the Governor, Lieutenant Governor, Attorney General, |
Secretary of State, Comptroller, and Treasurer. |
(l) This Section is repealed if and when the United States |
Supreme Court invalidates contribution limits on committees |
formed to assist candidates, political parties, corporations, |
associations, or labor organizations established by or |
pursuant to federal law.
|
(Source: P.A. 97-766, eff. 7-6-12; 98-115, eff. 7-29-13.) |
Section 25. The General Assembly Compensation Act is |
amended by changing Section 1 as follows: |
(25 ILCS 115/1) (from Ch. 63, par. 14) |
Sec. 1. Each member of the General Assembly shall receive |
an annual salary
of $28,000 or as set by the Compensation |
Review Board, whichever is
greater. The
following named |
officers, committee chairmen and committee minority spokesmen
|
shall receive additional amounts per year for
their services |
as such officers, committee chairmen and committee
minority |
spokesmen respectively, as set by the Compensation
Review |
Board or, as follows, whichever is greater: Beginning the |
second
Wednesday in January 1989, the Speaker and the minority |
|
leader of the
House of Representatives and the
President and |
the minority leader of the Senate, $16,000 each; the
majority |
leader in the House of Representatives $13,500;
5 assistant
|
majority leaders and 5 assistant minority leaders in the |
Senate,
$12,000
each; 6 assistant majority leaders and 6 |
assistant minority leaders in
the House of Representatives, |
$10,500 each; 2 Deputy
Majority leaders in the House of |
Representatives $11,500 each; and 2 Deputy
Minority leaders in |
the House of Representatives, $11,500 each; the majority
|
caucus chairman and minority caucus chairman in the Senate, |
$12,000 each;
and beginning the second Wednesday in January, |
1989, the majority
conference chairman and the minority |
conference chairman
in the House of Representatives, $10,500 |
each; beginning
the second Wednesday in January, 1989, the |
chairman and minority spokesman
of each standing committee of |
the Senate, except the Rules Committee, the
Committee on |
Committees, and the Committee on Assignment of Bills, $6,000
|
each; and beginning the second Wednesday in January, 1989, the |
chairman and
minority spokesman of each standing and select |
committee of the House of
Representatives, $6,000 each; and |
beginning fiscal year 2020 , the majority leader in the Senate, |
an amount equal to the majority leader in the House. A member |
who serves in more than one
position as an officer, committee |
chairman, or committee minority spokesman
shall receive only |
one additional amount based on the position paying the
highest |
additional amount. Prior to the 103rd General Assembly, the |
|
The
compensation provided for in this Section to be paid per |
year to members
of the General Assembly, including the |
additional sums payable per year
to officers of the General |
Assembly shall be paid in 12 equal monthly
installments. The |
first such installment is payable on January 31,
1977. All |
subsequent equal monthly installments are payable on the last
|
working day of the month. Prior to the 103rd General Assembly, |
a A member who has held office any part of a
month is entitled |
to compensation for an entire month. |
Beginning with the 103rd General Assembly, the |
compensation provided for in this Section to be paid per year |
to members of the General Assembly, including additional sums |
payable per year to officers of the General Assembly, shall be |
paid bi-monthly. Members who resign before completing the |
entire term in office shall be compensated on a prorated |
basis. Members completing the term of a vacancy shall be |
compensated on a prorated basis. |
Mileage shall be paid at the rate of 20 cents per mile |
before January
9, 1985, and at the mileage allowance rate in |
effect under regulations
promulgated pursuant to 5 U.S.C. |
5707(b)(2) beginning January 9, 1985, for the number
of actual |
highway miles necessarily and conveniently traveled by the
|
most feasible route to be present upon convening of the |
sessions of the
General Assembly by such member in each and |
every trip during each
session in going to and returning from |
the seat of government, to be
computed by the Comptroller. A |
|
member traveling by public
transportation for such purposes, |
however, shall be paid his actual cost
of that transportation |
instead of on the mileage rate if his cost of
public |
transportation exceeds the amount to which he would be |
entitled
on a mileage basis. No member may be paid, whether on |
a mileage basis
or for actual costs of public transportation, |
for more than one such
trip for each week the General Assembly |
is actually in session. Each
member shall also receive an |
allowance of $36 per day for lodging and
meals while in |
attendance at sessions
of the General Assembly before January |
9, 1985; beginning January 9,
1985, such food and lodging |
allowance shall be equal to the amount per day
permitted to be |
deducted for such expenses under the Internal Revenue Code;
|
however, beginning May 31, 1995, no allowance for food and |
lodging while in
attendance at sessions is authorized for |
periods of time after the last day in
May of each calendar |
year, except (i) if the General Assembly is convened in
|
special session by either the Governor or the presiding |
officers of both
houses, as provided by subsection (b) of |
Section 5 of Article IV of the
Illinois Constitution or (ii) if |
the
General Assembly is convened to consider bills vetoed, |
item vetoed, reduced, or
returned with specific |
recommendations for change by the Governor as provided
in |
Section 9 of Article IV of the Illinois Constitution. For |
fiscal year 2011 and for session days in fiscal years 2012, |
2013, 2014, 2015, 2016, 2017, 2018, and 2019 only (i) the |
|
allowance for lodging and meals is $111 per day and (ii) |
mileage for automobile travel shall be reimbursed at a rate of |
$0.39 per mile. |
Notwithstanding any other provision of law to the |
contrary, beginning in fiscal year 2012, travel reimbursement |
for
General Assembly members on non-session days shall be
|
calculated using the guidelines set forth by the Legislative
|
Travel Control Board, except that fiscal year 2012, 2013, |
2014, 2015, 2016, 2017, 2018, and 2019 mileage reimbursement |
is set at a rate of $0.39 per mile. |
If a member dies having received only a portion of the |
amount payable
as compensation, the unpaid balance shall be |
paid to the surviving
spouse of such member, or, if there be |
none, to the estate of such member. |
(Source: P.A. 100-25, eff. 7-26-17; 100-587, eff. 6-4-18; |
101-10, eff. 6-5-19; revised 7-17-19.) |
Section 30. The Lobbyist Registration Act is amended by |
changing Sections 2, 3, 4.5, 4.7, 5, 6, 8, and 11.2 as follows: |
(25 ILCS 170/2) (from Ch. 63, par. 172) |
Sec. 2. Definitions. As used in this Act, unless the |
context otherwise
requires: |
(a) "Person" means any individual, firm, partnership, |
committee,
association, corporation, or any other organization |
or group of persons. |
|
(b) "Expenditure" means a payment, distribution, loan, |
advance, deposit,
or gift of money or anything of value, and |
includes a contract, promise, or
agreement, whether or not |
legally enforceable, to make an expenditure, for
the ultimate |
purpose of influencing executive, legislative, or |
administrative
action, other than compensation as defined in |
subsection (d). |
(c) "Official" means: |
(1) the Governor, Lieutenant Governor, Secretary of |
State, Attorney
General, State Treasurer, and State |
Comptroller; |
(2) Chiefs of Staff for officials described in item |
(1) , the Deputy Governor, the Deputy Secretary of State, |
the Deputy Attorney General, the Deputy Treasurer, and the |
Deputy Comptroller ; |
(3) Cabinet members of any elected constitutional |
officer, including Directors, Assistant Directors and |
Chief Legal Counsel or General Counsel; |
(4) Members of the General Assembly; and |
(5) Members of any board, commission, authority, or |
task force of the State authorized or created by State law |
or by executive order of the Governor ; . |
(6) Mayors, presidents, aldermen, commissioners, and |
trustees of a city, village, or town; |
(7) County board members and countywide elected |
officials; |
|
(8) Township board members and township elected |
officials; and |
(9) Members of any board, commission, authority, or |
task force created by a local ordinance or order of a mayor |
or village or town president. |
(d) "Compensation" means any money, thing of value or |
financial benefits
received or to be received in return for |
services rendered or to be
rendered, for lobbying or as a |
consultant as defined in subsection (e) . |
Monies paid to members of the General Assembly by the |
State as
remuneration for performance of their Constitutional |
and statutory duties
as members of the General Assembly shall |
not constitute compensation as
defined by this Act. |
(e) "Lobby" and "lobbying"
means to communicate, including |
the soliciting of others to communicate, any communication |
with an official of the
executive or legislative branch of |
State government as defined in subsection
(c) for the ultimate |
purpose of influencing any executive, legislative, or
|
administrative action at the State, municipal, county, or |
township government level. Soliciting of others to communicate |
shall not include (i) the making of a grant by an organization |
recognized as tax exempt under Section 501(c)(3) of the |
Internal Revenue Code made in accordance with Section 4945 and |
the regulations thereunder or (ii) a communication by an |
organization recognized as tax exempt under Section 501(c)(3) |
or 501(c)(5) of the Internal Revenue Code to the public or a |
|
segment thereof or to its members to communicate with |
legislators, executives, or administrators with respect to a |
proposed action by the legislature, executive, or |
administrator . |
(f) "Influencing" means any communication, action, |
reportable
expenditure as prescribed in Section 6 or other |
means used to promote,
support, affect, modify, oppose or |
delay any executive, legislative or
administrative action or |
to promote goodwill with officials as defined in
subsection |
(c). |
(g) "Executive action" means the proposal, drafting, |
development,
consideration, amendment, adoption, approval, |
promulgation, issuance,
modification, rejection or |
postponement by a State , municipal, county, or township |
government entity of a rule,
regulation, order, decision, |
determination, contractual arrangement, purchasing
agreement |
or other quasi-legislative or quasi-judicial action or |
proceeding. |
(h) "Legislative action" means the development, drafting, |
introduction,
consideration, modification, adoption, |
rejection, review, enactment, or passage
or defeat of any |
bill, amendment, resolution, ordinance, report, nomination,
|
administrative rule or other matter by either house of the |
General Assembly or
a committee thereof, or by a legislator , |
by the legislative body of a municipality, county, or |
township, or by an alderman, trustee, or township board |
|
member . Legislative action also means the
action of the |
Governor , mayor, or village or township board president, or |
county executive in approving or vetoing any bill , ordinance, |
or resolution or portion thereof, and
the action of such |
officials the Governor or any agency under their jurisdiction |
in the development of a legislative proposal for
introduction |
in the legislature . |
(i) "Administrative action" means the execution or |
rejection of any rule,
regulation, legislative rule, standard, |
fee, rate, contractual arrangement,
purchasing agreement or |
other delegated legislative or quasi-legislative action
to be |
taken or withheld by any executive agency, department, board |
or
commission of the State , municipal, county, or township . |
(j) "Lobbyist" means any natural person who undertakes to |
lobby State , municipal, county, or township government
as |
provided in subsection (e). |
(k) "Lobbying entity" means any entity that hires, |
retains, employs, or compensates a natural person to lobby |
State , municipal, county, or township government as provided |
in subsection (e).
|
(l) "Authorized agent" means the person designated by an |
entity or lobbyist registered under this Act as the person |
responsible for submission and retention of reports required |
under this Act. |
(m) "Client" means any person or entity that provides |
compensation to a lobbyist to lobby State , municipal, county, |
|
or township government as provided in subsection (e) of this |
Section. |
(n) "Client registrant" means a client who is required to |
register under this Act. |
(o) "Unit of local government" has the meaning ascribed to |
it in Section 1 of Article VII of the Illinois Constitution and |
also includes school districts and community college |
districts. |
(p) "Consultant" means any natural person or entity who, |
for compensation, provides advisory services, including but |
not limited to, rendering opinions on or developing strategies |
for lobbying or influencing, to a lobbyist or lobbying entity |
for the ultimate purpose of influencing any executive, |
legislative, or administrative action. "Consultant" does not |
include (i) an employee of the lobbyist or lobbying entity or |
(ii) an attorney or law firm providing legal services, |
including drafting legislation or advising and rendering |
opinions to clients as to the construction and legal effect of |
proposed or pending legislation or any executive, legislative, |
or administrative action. |
(Source: P.A. 101-595, eff. 12-5-19.) |
(25 ILCS 170/3) (from Ch. 63, par. 173) |
Sec. 3. Persons required to register. |
(a) Except as provided in Section
9, any natural
person |
who, for compensation or otherwise,
undertakes to lobby, or |
|
any
person or entity who employs or compensates another person |
for the purposes
of lobbying, shall register with the |
Secretary of State as provided in this Act, unless that person |
or entity qualifies for one or more of the following |
exemptions. |
(1) Persons or entities who, for the purpose of |
influencing any executive, legislative, or administrative |
action and who do not make expenditures that are |
reportable pursuant to Section 6, appear without |
compensation or promise thereof only as witnesses before a |
legislative committee committees of the House and Senate |
for the purpose of explaining or arguing for or against |
the passage of or action upon any legislation , ordinance, |
or regulation then pending before the committee those |
committees , or who seek without compensation or promise |
thereof the approval or veto of any legislation or |
ordinance by the Governor . |
(1.4) A unit of local government , State government, or |
agencies, departments, commissions, boards, or task forces |
thereof or a school district . |
(1.5) An elected or appointed official or an employee |
of a unit of local government or school district who, in |
the scope of his or her public office or employment, seeks |
to influence executive, legislative, or administrative |
action exclusively on behalf of that unit of local |
government or school district . |
|
(2) Persons or entities who own, publish, or are |
employed by a newspaper or other regularly published |
periodical, or who own or are employed by a radio station, |
television station, or other bona fide news medium that in |
the ordinary course of business disseminates news, |
editorial or other comment, or paid advertisements that |
directly urge the passage or defeat of legislation. This |
exemption is not applicable to such an individual insofar |
as he or she receives additional compensation or expenses |
from some source other than the bona fide news medium for |
the purpose of influencing executive, legislative, or |
administrative action. This exemption does not apply to |
newspapers and periodicals owned by or published by trade |
associations and not-for-profit corporations engaged |
primarily in endeavors other than dissemination of news. |
(3) Persons or entities performing professional |
services in drafting bills or in advising and rendering |
opinions to clients as to the construction and effect of |
proposed or pending legislation when those professional |
services are not otherwise, directly or indirectly, |
connected with executive, legislative, or administrative |
action. |
(4) Persons or entities who are employees of |
departments, divisions, or agencies of State or local |
government and who appear before committees of the House |
and Senate for the purpose of explaining how the |
|
executive, legislative, or administrative action passage |
of or action upon any legislation then pending before |
those committees will affect those departments, divisions, |
or agencies of State or local government. |
(5) Employees of the General Assembly, legislators, |
legislative agencies, and legislative commissions who, in |
the course of their official duties only, engage in |
activities that otherwise qualify as lobbying. Legislators |
whose activities are limited to occasional communications |
with an official of a unit of local government on behalf of |
their employer in the ordinary course of their non-public |
employment where (1) the primary duties of the employment |
are not to influence executive, legislative, or |
administrative action and (2) the legislator does not make |
any expenditures that are reportable pursuant to Section |
6. |
(6) Persons or entities in possession of technical |
skills and knowledge relevant to certain areas of |
executive, legislative, or administrative actions, whose |
skills and knowledge would be helpful to officials when |
considering those actions, whose activities are limited to |
making occasional appearances for or communicating on |
behalf of a registrant, and who do not make expenditures |
that are reportable pursuant to Section 6 even though |
receiving expense reimbursement for those occasional |
appearances. |
|
(7) Any full-time employee of a bona fide church or |
religious organization who represents that organization |
solely for the purpose of protecting the right of the |
members thereof to practice the religious doctrines of |
that church or religious organization, or any such bona |
fide church or religious organization. |
(8) Persons or entities that receive no compensation |
other than reimbursement for expenses of up to $500 per |
year while engaged in lobbying State government , unless |
those persons make expenditures that are reportable under |
Section 6. |
(9) Any attorney or group or firm of attorneys (1) in |
connection with the practice of law or (2) in the course of |
representing a client in relation to any administrative , |
or judicial , quasi-judicial proceeding, or any witness |
providing testimony in any administrative , or judicial , or |
quasi-judicial proceeding, in which ex parte |
communications are not allowed and who does not make |
expenditures that are reportable pursuant to Section 6. |
(9.5) Any attorney or group or firm of attorneys in |
the course of representing a client in an administrative |
or executive action involving a contractual or purchasing |
arrangement and who does not make expenditures that are |
reportable pursuant to Section 6. |
(10) Persons or entities who, in the scope of their |
employment as a vendor, offer or solicit an official for |
|
the purchase of any goods or services when (1) the |
solicitation is limited to either an oral inquiry or |
written advertisements and informative literature; or (2) |
the goods and services are subject to competitive bidding |
requirements of the Illinois Procurement Code ; or (3) the |
goods and services are for sale at a cost not to exceed |
$5,000; and (4) the persons or entities do not make |
expenditures that are reportable under Section 6.
|
(a-5) If, in the course of providing services as a |
consultant, the consultant communicates with an official on |
behalf of the lobbyist or lobbying entity for the ultimate |
purpose of influencing any executive, legislative, or |
administrative action, or makes an expenditure on behalf of or |
benefiting an official, the consultant shall register as a |
lobbyist within 2 business days of engaging in the |
communication with the official or making the expenditure |
benefiting the official. |
(b) It is a violation of this Act to engage in lobbying or |
to employ any
person for the purpose of lobbying who is not |
registered with the Office of the
Secretary of State, except |
upon condition that the person register and the
person does in |
fact register within 2 business days after being employed or |
retained for lobbying services. |
(c) The Secretary shall promulgate a rule establishing a |
list of the entities required to register under this Act, |
including the name of each board, commission, authority, or |
|
task force. The Secretary may require a person or entity |
claiming an exemption under this Section to certify the person |
or entity is not required to register under this Act. Nothing |
prohibits the Secretary from rejecting a certification and |
requiring a person or entity to register. |
(Source: P.A. 96-555, eff. 1-1-10; 96-1358, eff. 7-28-10.) |
(25 ILCS 170/4.5) |
Sec. 4.5. Ethics training. Each natural person required to |
register as a lobbyist under this Act must complete a program |
of ethics training provided by the Secretary of State. A |
natural person registered under this Act must complete the |
training program before no later than 30 days after |
registration or renewal is deemed complete under this Act. If |
the Secretary of State uses the ethics training developed in |
accordance with Section 5-10 of the State Officials and |
Employees Ethics Act, that training must be expanded to |
include appropriate information about the requirements, |
responsibilities, and opportunities imposed by or arising |
under this Act, including reporting requirements. |
The Secretary of State shall adopt rules for the |
implementation of this Section. |
(Source: P.A. 96-555, eff. 1-1-10; 96-1358, eff. 7-28-10.) |
(25 ILCS 170/4.7) |
Sec. 4.7. Prohibition on sexual harassment. |
|
(a) All persons have the right to work in an environment |
free from sexual harassment. All persons subject to this Act |
shall refrain from sexual harassment of any person. |
(b) (Blank). Until January 1, 2020, each natural person |
required to register as a lobbyist under this Act must |
complete, at least annually, a sexual harassment training |
program provided by the Secretary of State. A natural person |
registered under this Act must complete the training program |
no later than 30 days after registration or renewal under this |
Act. This requirement does not apply to a lobbying entity or a |
client that hires a lobbyist that (i) does not have employees |
of the lobbying entity or client registered as lobbyists, or |
(ii) does not have an actual presence in Illinois. |
(b-5) Each Beginning January 1, 2020, each natural person |
required to register as a lobbyist under this Act must |
complete, at least annually, a harassment and discrimination |
prevention training program provided by the Secretary of |
State. A natural person registered under this Act must |
complete the training program before no later than 30 days |
after registration or renewal is deemed complete under this |
Act. This requirement does not apply to a lobbying entity or a |
client that hires a lobbyist that (i) does not have employees |
of the lobbying entity or client registered as lobbyists, or |
(ii) does not have an actual presence in Illinois. For the |
purposes of this subsection, "unlawful discrimination" and |
"harassment" mean unlawful discrimination and harassment |
|
prohibited under Section 2-102 of the Illinois Human Rights |
Act. |
(c) Before registration or renewal is deemed complete |
under this Act No later than January 1, 2018 , each natural |
person and any entity required to register under this Act |
shall have a written sexual harassment policy that shall |
include, at a minimum: (i) a prohibition on sexual harassment; |
(ii) details on how an individual can report an allegation of |
sexual harassment, including options for making a confidential |
report to a supervisor, ethics officer, Inspector General, or |
the Department of Human Rights; (iii) a prohibition on |
retaliation for reporting sexual harassment allegations, |
including availability of whistleblower protections under the |
State Officials and Employee Ethics Act, the Whistleblower |
Act, and the Illinois Human Rights Act; and (iv) the |
consequences of a violation of the prohibition on sexual |
harassment and the consequences for knowingly making a false |
report. |
(d) For purposes of this Act, "sexual harassment" means |
any unwelcome sexual advances or requests for sexual favors or |
any conduct of a sexual nature when: (i) submission to such |
conduct is made either explicitly or implicitly a term or |
condition of an individual's employment; (ii) submission to or |
rejection of such conduct by an individual is used as the basis |
for employment decisions affecting such individual; or (iii) |
such conduct has the purpose or effect of substantially |
|
interfering with an individual's work performance or creating |
an intimidating, hostile, or offensive working environment. |
For the purposes of this definition, the phrase "working |
environment" is not limited to a physical location an employee |
is assigned to perform his or her duties and does not require |
an employment relationship. |
(e) The Secretary of State shall adopt rules for the |
implementation of this Section. In order to provide for the |
expeditious and timely implementation of this Section, the |
Secretary of State shall adopt emergency rules under |
subsection (z) of Section 5-45 of the Illinois Administrative |
Procedure Act for the implementation of this Section no later |
than 60 days after the effective date of this amendatory Act of |
the 100th General Assembly.
|
(Source: P.A. 100-554, eff. 11-16-17; 101-221, eff. 8-9-19.) |
(25 ILCS 170/5) |
Sec. 5. Lobbyist registration and disclosure. Every |
natural person and every entity required to
register under |
this Act shall
before any service
is performed which requires |
the natural person or entity to register, but in any event not
|
later than 2 business days after being employed or retained, |
file in the Office of the
Secretary of State a statement in a |
format prescribed by the Secretary of State containing the
|
following
information
with respect to each person or entity
|
employing, retaining, or benefitting from the services of the |
|
natural person or entity required to register:
|
(a) The registrant's name, permanent address, e-mail
|
address, if any,
fax
number, if any, business telephone |
number, and temporary address, if the
registrant has a |
temporary address while lobbying.
|
(a-5) If the registrant is an entity, the
information |
required under subsection (a) for each natural person |
associated with the
registrant who will be lobbying,
|
regardless of whether lobbying is a significant part of |
his or her duties.
|
(b) The name and address of the client or clients |
employing or retaining
the registrant to perform such |
services or on whose behalf the registrant appears.
If the |
client employing or retaining the registrant is a client |
registrant, the statement shall also include the name and |
address of the client or clients of the client registrant |
on whose behalf the registrant will be or anticipates |
performing services. |
(b-5) If the registrant employs or retains a |
sub-registrant, the statement shall include the name and |
address of the sub-registrant and identify the client or |
clients of the registrant on whose behalf the |
sub-registrant will be or is anticipated to be performing |
services. |
(b-7) If the registrant retains a consultant, the |
statement shall include the name and address of the |
|
consultant and identify the client or clients and each |
executive and legislative branch agency for which the |
consultant is to provide advisory services. |
(c) For those identified under subsections (b), (b-5), |
and (b-7), a A brief description of the executive, |
legislative, or administrative
action in reference to |
which such service is to be rendered.
|
(c-5) Each executive and legislative branch agency of |
the State and each unit of local government the registrant
|
expects
to lobby during the registration period.
|
(c-6) The nature of the client's business, by |
indicating all
of the following categories that apply: (1) |
banking and financial services, (2)
manufacturing, (3) |
education, (4) environment, (5) healthcare, (6)
insurance, |
(7) community interests, (8) labor, (9) public relations |
or
advertising, (10) marketing or sales, (11) hospitality, |
(12) engineering,
(13) information or technology products |
or services, (14) social services,
(15) public utilities, |
(16) racing or wagering, (17) real estate or
construction, |
(18) telecommunications, (19) trade or professional
|
association, (20) travel or tourism, (21) transportation, |
(22) agriculture, and (23) other
(setting forth the nature |
of that other business).
|
(d) A confirmation that the registrant has a sexual |
harassment policy as required by Section 4.7, that such |
policy shall be made available to any individual within 2 |
|
business days upon written request (including electronic |
requests), that any person may contact the authorized |
agent of the registrant to report allegations of sexual |
harassment, and that the registrant recognizes the |
Inspector General has jurisdiction to review any |
allegations of sexual harassment alleged against the |
registrant or lobbyists hired by the registrant. |
(e) (Blank). Each unit of local government in this |
State for which the registrant is or expects to be |
required to register to lobby the local government during |
the registration period. "Lobby" shall have the meaning |
ascribed to it by the relevant unit of local government. |
(f) Each elected or appointed public office in this |
State to be held by the registrant at any time during the |
registration period. |
Every natural person and every entity required to register |
under this Act shall annually submit the registration required |
by this Section on or before each January 31. The registrant |
has a continuing duty to report any substantial change or |
addition to the information contained in the registration.
A |
registrant who retains a consultant shall file an amended |
registration before any consulting services are performed, but |
in any event not later than 2 business days after the |
consultant is retained, setting forth the information required |
in subsections (b-7) and (c) of this Section. Registrants |
registered as of the effective date of this amendatory Act of |
|
the 101st General Assembly shall update their registration to |
add the information required under subsections (b-5), (e), and |
(f), if applicable, within 30 days after the effective date of |
this amendatory Act of the 101st General Assembly. |
The Secretary of State shall make all filed statements and |
amendments to statements publicly available by means of a |
searchable database that is accessible through the World Wide |
Web. The Secretary of State shall provide all software |
necessary to comply with this provision to all natural persons |
and entities required to file. The Secretary of State shall |
implement a plan to provide computer access and assistance to |
natural persons and entities required to file electronically. |
All natural persons
and entities required to register |
under this Act shall remit a single, annual, and
nonrefundable |
$300 registration fee. Each natural person required to |
register
under this Act shall submit, on an annual basis, a |
picture of the registrant. A registrant may, in lieu of |
submitting a
picture on an annual basis, authorize the |
Secretary of State to use any photo
identification available |
in any database maintained by the Secretary of State
for other |
purposes. Each registration fee collected for registrations on
|
or after January 1, 2010 shall be deposited into the Lobbyist
|
Registration Administration Fund for administration and |
enforcement
of this
Act.
|
(Source: P.A. 100-554, eff. 11-16-17; 101-595, eff. 12-5-19.) |
|
(25 ILCS 170/6) (from Ch. 63, par. 176) |
Sec. 6. Reports. |
(a) Lobbyist reports. Except as otherwise provided in this |
Section, every lobbyist registered under this Act who is |
solely employed by a lobbying entity
shall file an |
affirmation, verified under
oath pursuant to Section 1-109 of |
the Code of Civil Procedure, with
the
Secretary of
State |
attesting to the accuracy of any reports filed pursuant to |
subsection (b) as those reports pertain to work performed by |
the lobbyist. Any lobbyist registered under this Act who is |
not solely employed by a lobbying entity shall personally file |
reports required of lobbying entities pursuant to subsection |
(b). A lobbyist may, if authorized so to do by a lobbying |
entity by whom he or she is employed or retained, file lobbying |
entity reports pursuant to subsection (b) provided that the |
lobbying entity may delegate the filing of the lobbying entity |
report to only one lobbyist in any reporting period.
|
(b) Lobbying entity reports. Every lobbying entity |
registered under this Act shall report expenditures related to |
lobbying , including any expenditures made by a consultant in |
performing services for the lobbying entity . The report shall |
itemize each individual expenditure or transaction
and shall |
include the name of the official on whose behalf the
|
expenditure
was made, the name of the client if the |
expenditure was made on behalf of a client, the
total amount of |
the expenditure, a description of the expenditure, the vendor |
|
or purveyor to whom the expenditure was made (including the |
address or location of the expenditure), the date on which the |
expenditure occurred and
the subject matter of the lobbying |
activity, if any.
For those expenditures made on behalf of a |
client, if the client is a client registrant, the report shall |
also include the name and address of the client or clients of |
the client registrant or the official or officials on whose |
behalf the expenditure ultimately was made. Each expenditure |
required to be reported shall include all expenses made for or |
on behalf of an official or his or her immediate family member |
living with the official. |
(b-1) The report shall include any change or addition to |
the client list information, required in Section 5 for |
registration, since the last report, including the names and |
addresses of all clients who retained the lobbying entity |
together with an itemized description for each client of the |
following: (1) lobbying regarding executive action, including |
the name of any executive agency lobbied and the subject |
matter; (2) lobbying regarding legislative action, including |
the General Assembly and any other agencies lobbied and the |
subject matter; and (3) lobbying regarding administrative |
action, including the agency lobbied and the subject matter. |
Registrants who made no reportable expenditures during a |
reporting period shall file a report stating that no |
expenditures were incurred.
|
(b-2) Expenditures attributable to lobbying officials |
|
shall be listed and reported
according to the following |
categories:
|
(1) Travel and lodging on behalf of others, including, |
but not limited to, all travel and living accommodations |
made for or on behalf of State officials during sessions |
of the General Assembly.
|
(2) Meals, beverages and other entertainment.
|
(3) Gifts (indicating which, if any, are on the basis |
of personal friendship).
|
(4) Honoraria.
|
(5) Any other thing or service of value not listed |
under categories (1) through (4), setting forth a |
description of the expenditure.
The category travel and |
lodging includes, but is not limited to, all travel and |
living accommodations made for or on behalf of State |
officials in the State capital during sessions of the |
General Assembly.
|
(b-3) Expenditures incurred for hosting receptions, |
benefits and other large
gatherings held for purposes of |
goodwill or otherwise to influence executive,
legislative or |
administrative action to which there are 25 or more State
|
officials invited shall be reported listing only the total |
amount of
the
expenditure, the date of the event, and the |
estimated number of officials in
attendance.
|
(b-7) Matters excluded from reports. The following items |
need not be included in the report: |
|
(1) Reasonable and bona fide expenditures made by the |
registrant
who is a member of a legislative or State study |
commission or committee while
attending and participating |
in meetings and hearings of such commission or
committee.
|
(2) Reasonable and bona fide expenditures made by the |
registrant for personal
sustenance, lodging, travel, |
office expenses and clerical or support staff.
|
(3) Salaries, fees, and other compensation paid to
the |
registrant
for the
purposes of lobbying.
|
(4) Any contributions required to be reported under |
Article 9 of the Election
Code.
|
(5) Expenditures made by a registrant on behalf of an |
official that are returned or reimbursed prior to the |
deadline for submission of the report. |
(c)
A registrant who terminates employment or duties which |
required him to
register under this Act shall give the |
Secretary of State, within 30 days after
the date of such |
termination, written notice of such termination and shall
|
include therewith a report of the expenditures described |
herein, covering the
period of time since the filing of his |
last report to the date of termination
of employment. Such |
notice and report shall be final and relieve such
registrant |
of further reporting under this Act, unless and until he later |
takes
employment or assumes duties requiring him to again |
register under this Act.
|
(d) Failure to file any such report within the time |
|
designated or the
reporting of incomplete information shall |
constitute a violation of this Act.
|
A registrant shall preserve for a period of 2 years all |
receipts and records
used in preparing reports under this Act.
|
(e) Within 30 days after a filing deadline or as provided |
by rule, the lobbyist shall notify each
official on whose |
behalf an expenditure has been reported. Notification shall
|
include the name of the registrant, the total amount of the |
expenditure, a description of the expenditure, the
date on |
which the expenditure occurred, and the subject matter of the |
lobbying
activity.
|
(f) A report for the period beginning January 1, 2010 and |
ending on June 30, 2010 shall be filed no later than July 15, |
2010, and a report for the period beginning July 1, 2010 and |
ending on December 31, 2010 shall be filed no later than |
January 15, 2011. Beginning January 1, 2011, reports shall be |
filed semi-monthly as follows: (i) for the period beginning |
the first day of the month through the 15th day of the month, |
the report shall be filed no later than the 20th day of the |
month and (ii) for the period beginning on the 16th day of the |
month through the last day of the month, the report shall be |
filed no later than the 5th day of the following month. A |
report filed under this Act is due in the Office of the |
Secretary of State no later than the close of business on the |
date on which it is required to be filed. |
(g) All reports filed under this Act shall be filed in a |
|
format or on forms prescribed by the Secretary of State.
|
(Source: P.A. 98-459, eff. 1-1-14.)
|
(25 ILCS 170/8) (from Ch. 63, par. 178)
|
Sec. 8. Contingent
fees prohibited. No person shall retain |
or employ another to lobby or provide services as a consultant |
with respect to any legislative, executive, or administrative |
action for compensation contingent in whole or in part upon |
the
outcome of the action and no person shall accept any such |
employment
or render any such service for compensation |
contingent upon the outcome of the legislative, executive, or |
administrative action.
|
(Source: P.A. 93-889, eff. 8-9-04.)
|
(25 ILCS 170/11.2)
|
Sec. 11.2. Preemption Local regulation . Other than a |
municipality with a population over 500,000, no unit of local |
government, including a home rule unit, may regulate lobbying |
in a manner inconsistent with this Act, and all existing laws |
and ordinances that are inconsistent with this Act are hereby |
superseded. This Section is a limitation of home rule powers |
under subsections (h) and (i) of Section 6 of Article VII of |
the Illinois Constitution. A unit of local government or |
school
district may adopt an ordinance or resolution |
regulating lobbying activities
with that unit of local |
government or school district that imposes requirements
|