Public Act 099-0571 Public Act 0571 99TH GENERAL ASSEMBLY |
Public Act 099-0571 | SB2420 Enrolled | LRB099 16784 JLS 41130 b |
|
| AN ACT concerning employment.
| Be it enacted by the People of the State of Illinois,
| represented in the General Assembly:
| Section 3. The Illinois Income Tax Act is amended by | changing Section 917 as follows:
| (35 ILCS 5/917) (from Ch. 120, par. 9-917)
| Sec. 917. Confidentiality and information sharing.
| (a) Confidentiality.
Except as provided in this Section, | all information received by the Department
from returns filed | under this Act, or from any investigation conducted under
the | provisions of this Act, shall be confidential, except for | official purposes
within the Department or pursuant to official | procedures for collection
of any State tax or pursuant to an | investigation or audit by the Illinois
State Scholarship | Commission of a delinquent student loan or monetary award
or | enforcement of any civil or criminal penalty or sanction
| imposed by this Act or by another statute imposing a State tax, | and any
person who divulges any such information in any manner, | except for such
purposes and pursuant to order of the Director | or in accordance with a proper
judicial order, shall be guilty | of a Class A misdemeanor. However, the
provisions of this | paragraph are not applicable to information furnished
to (i) | the Department of Healthcare and Family Services (formerly
|
| Department of Public Aid), State's Attorneys, and the Attorney | General for child support enforcement purposes and (ii) a | licensed attorney representing the taxpayer where an appeal or | a protest
has been filed on behalf of the taxpayer. If it is | necessary to file information obtained pursuant to this Act in | a child support enforcement proceeding, the information shall | be filed under seal.
| (b) Public information. Nothing contained in this Act shall | prevent
the Director from publishing or making available to the | public the names
and addresses of persons filing returns under | this Act, or from publishing
or making available reasonable | statistics concerning the operation of the
tax wherein the | contents of returns are grouped into aggregates in such a
way | that the information contained in any individual return shall | not be
disclosed.
| (c) Governmental agencies. The Director may make available | to the
Secretary of the Treasury of the United States or his | delegate, or the
proper officer or his delegate of any other | state imposing a tax upon or
measured by income, for | exclusively official purposes, information received
by the | Department in the administration of this Act, but such | permission
shall be granted only if the United States or such | other state, as the case
may be, grants the Department | substantially similar privileges. The Director
may exchange | information with the Department of Healthcare and Family | Services and the
Department of Human Services (acting as |
| successor to the Department of Public
Aid under the Department | of Human Services Act) for
the purpose of verifying sources and | amounts of income and for other purposes
directly connected | with the administration of this Act, the Illinois Public Aid | Code, and any other health benefit program administered by the | State. The Director may exchange information with the Director | of
the Department of Employment Security for the purpose of | verifying sources
and amounts of income and for other purposes | directly connected with the
administration of this Act and Acts | administered by the Department of
Employment
Security.
The | Director may make available to the Illinois Workers' | Compensation Commission
information regarding employers for | the purpose of verifying the insurance
coverage required under | the Workers' Compensation Act and Workers'
Occupational | Diseases Act. The Director may exchange information with the | Illinois Department on Aging for the purpose of verifying | sources and amounts of income for purposes directly related to | confirming eligibility for participation in the programs of | benefits authorized by the Senior Citizens and Persons with | Disabilities Property Tax Relief and Pharmaceutical Assistance | Act. The Director may exchange information with the State | Treasurer's Office and the Department of Employment Security | for the purpose of implementing, administering, and enforcing | the Illinois Secure Choice Savings Program Act.
| The Director may make available to any State agency, | including the
Illinois Supreme Court, which licenses persons to |
| engage in any occupation,
information that a person licensed by | such agency has failed to file
returns under this Act or pay | the tax, penalty and interest shown therein,
or has failed to | pay any final assessment of tax, penalty or interest due
under | this Act.
The Director may make available to any State agency, | including the Illinois
Supreme
Court, information regarding | whether a bidder, contractor, or an affiliate of a
bidder or
| contractor has failed to file returns under this Act or pay the | tax, penalty,
and interest
shown therein, or has failed to pay | any final assessment of tax, penalty, or
interest due
under | this Act, for the limited purpose of enforcing bidder and | contractor
certifications.
For purposes of this Section, the | term "affiliate" means any entity that (1)
directly,
| indirectly, or constructively controls another entity, (2) is | directly,
indirectly, or
constructively controlled by another | entity, or (3) is subject to the control
of
a common
entity. | For purposes of this subsection (a), an entity controls another | entity
if
it owns,
directly or individually, more than 10% of | the voting securities of that
entity.
As used in
this | subsection (a), the term "voting security" means a security | that (1)
confers upon the
holder the right to vote for the | election of members of the board of directors
or similar
| governing body of the business or (2) is convertible into, or | entitles the
holder to receive
upon its exercise, a security | that confers such a right to vote. A general
partnership
| interest is a voting security.
|
| The Director may make available to any State agency, | including the
Illinois
Supreme Court, units of local | government, and school districts, information
regarding
| whether a bidder or contractor is an affiliate of a person who | is not
collecting
and
remitting Illinois Use taxes, for the | limited purpose of enforcing bidder and
contractor
| certifications.
| The Director may also make available to the Secretary of | State
information that a corporation which has been issued a | certificate of
incorporation by the Secretary of State has | failed to file returns under
this Act or pay the tax, penalty | and interest shown therein, or has failed
to pay any final | assessment of tax, penalty or interest due under this Act.
An | assessment is final when all proceedings in court for
review of | such assessment have terminated or the time for the taking
| thereof has expired without such proceedings being instituted. | For
taxable years ending on or after December 31, 1987, the | Director may make
available to the Director or principal | officer of any Department of the
State of Illinois, information | that a person employed by such Department
has failed to file | returns under this Act or pay the tax, penalty and
interest | shown therein. For purposes of this paragraph, the word
| "Department" shall have the same meaning as provided in Section | 3 of the
State Employees Group Insurance Act of 1971.
| (d) The Director shall make available for public
inspection | in the Department's principal office and for publication, at |
| cost,
administrative decisions issued on or after January
1, | 1995. These decisions are to be made available in a manner so | that the
following
taxpayer information is not disclosed:
| (1) The names, addresses, and identification numbers | of the taxpayer,
related entities, and employees.
| (2) At the sole discretion of the Director, trade | secrets
or other confidential information identified as | such by the taxpayer, no later
than 30 days after receipt | of an administrative decision, by such means as the
| Department shall provide by rule.
| The Director shall determine the
appropriate extent of the
| deletions allowed in paragraph (2). In the event the taxpayer | does not submit
deletions,
the Director shall make only the | deletions specified in paragraph (1).
| The Director shall make available for public inspection and | publication an
administrative decision within 180 days after | the issuance of the
administrative
decision. The term | "administrative decision" has the same meaning as defined in
| Section 3-101 of Article III of the Code of Civil Procedure. | Costs collected
under this Section shall be paid into the Tax | Compliance and Administration
Fund.
| (e) Nothing contained in this Act shall prevent the | Director from
divulging
information to any person pursuant to a | request or authorization made by the
taxpayer, by an authorized | representative of the taxpayer, or, in the case of
information | related to a joint return, by the spouse filing the joint |
| return
with the taxpayer.
| (Source: P.A. 99-143, eff. 7-27-15.)
| Section 5. The Illinois Secure Choice Savings Program Act | is amended by changing Sections 30, 35, and 60 as follows: | (820 ILCS 80/30)
| Sec. 30. Duties of the Board. In addition to the other | duties and responsibilities stated in this Act, the Board | shall:
| (a) Cause the Program to be designed, established and | operated in a manner that:
| (1) accords with best practices for retirement savings | vehicles;
| (2) maximizes participation, savings, and sound | investment practices; | (3) maximizes simplicity, including ease of | administration for participating employers and enrollees; | (4) provides an efficient product to enrollees by | pooling investment funds;
| (5) ensures the portability of benefits; and
| (6) provides for the deaccumulation of enrollee assets | in a manner that maximizes financial security in | retirement.
| (b) Appoint a trustee to the IRA Fund in compliance with | Section 408 of the Internal Revenue Code. |
| (c) Explore and establish investment options, subject to | Section 45 of this Act, that offer employees returns on | contributions and the conversion of individual retirement | savings account balances to secure retirement income without | incurring debt or liabilities to the State.
| (d) Establish the process by which interest, investment | earnings, and investment losses are allocated to individual | program accounts on a pro rata basis and are computed at the | interest rate on the balance of an individual's account.
| (e) Make and enter into contracts necessary for the | administration of the Program and Fund, including, but not | limited to, retaining and contracting with investment | managers, private financial institutions, other financial and | service providers, consultants, actuaries, counsel, auditors, | third-party administrators, and other professionals as | necessary.
| (e-5) Conduct a review of the performance of any investment | vendors every 4 years, including, but not limited to, a review | of returns, fees, and customer service. A copy of reviews | conducted under this subsection (e-5) shall be posted to the | Board's Internet website. | (f) Determine the number and duties of staff members needed | to administer the Program and assemble such a staff, including, | as needed, employing staff, appointing a Program | administrator, and entering into contracts with the State | Treasurer to make employees of the State Treasurer's Office |
| available to administer the Program.
| (g) Cause moneys in the Fund to be held and invested as | pooled investments described in Section 45 of this Act, with a | view to achieving cost savings through efficiencies and | economies of scale.
| (h) Evaluate and establish the process by which an enrollee | is able to contribute a portion of his or her wages to the | Program for automatic deposit of those contributions and the | process by which the participating employer provides a payroll | deposit retirement savings arrangement to forward those | contributions and related information to the Program, | including, but not limited to, contracting with financial | service companies and third-party administrators with the | capability to receive and process employee information and | contributions for payroll deposit retirement savings | arrangements or similar arrangements.
| (i) Design and establish the process for enrollment under | Section 60 of this Act, including the process by which an | employee can opt not to participate in the Program, select a | contribution level, select an investment option, and terminate | participation in the Program.
| (j) Evaluate and establish the process by which an | individual may voluntarily enroll in and make contributions to | the Program.
| (k) Accept any grants, appropriations, or other moneys from | the State, any unit of federal, State, or local government, or |
| any other person, firm, partnership, or corporation solely for | deposit into the Fund, whether for investment or administrative | purposes.
| (l) Evaluate the need for, and procure as needed, insurance | against any and all loss in connection with the property, | assets, or activities of the Program, and indemnify as needed | each member of the Board from personal loss or liability | resulting from a member's action or inaction as a member of the | Board.
| (m) Make provisions for the payment of administrative costs | and expenses for the creation, management, and operation of the | Program, including the costs associated with subsection (b) of | Section 20 of this Act, subsections (e), (f), (h), and (l) of | this Section, subsection (b) of Section 45 of this Act, | subsection (a) of Section 80 of this Act, and subsection (n) of | Section 85 of this Act. Subject to appropriation, the State may | pay administrative costs associated with the creation and | management of the Program until sufficient assets are available | in the Fund for that purpose. Thereafter, all administrative | costs of the Fund, including repayment of any start-up funds | provided by the State, shall be paid only out of moneys on | deposit therein. However, private funds or federal funding | received under subsection (k) of Section 30 of this Act in | order to implement the Program until the Fund is | self-sustaining shall not be repaid unless those funds were | offered contingent upon the promise of such repayment. The |
| Board shall keep total annual administrative expenses as low as | possible, but in no event shall they exceed 0.75% of the total | trust balance.
| (n) Allocate administrative fees to individual retirement | accounts in the Program on a pro rata basis.
| (o) Set minimum and maximum contribution levels in | accordance with limits established for IRAs by the Internal | Revenue Code.
| (p) Facilitate education and outreach to employers and | employees.
| (q) Facilitate compliance by the Program with all | applicable requirements for the Program under the Internal | Revenue Code, including tax qualification requirements or any | other applicable law and accounting requirements.
| (r) Carry out the duties and obligations of the Program in | an effective, efficient, and low-cost manner.
| (s) Exercise any and all other powers reasonably necessary | for the effectuation of the purposes, objectives, and | provisions of this Act pertaining to the Program.
| (t) Deposit into the Illinois Secure Choice Administrative | Fund all grants, gifts, donations, fees, and earnings from | investments from the Illinois Secure Choice Savings Program | Fund that are used to recover administrative costs. All | expenses of the Board shall be paid from the Illinois Secure | Choice Administrative Fund.
| (Source: P.A. 98-1150, eff. 6-1-15 .) |
| (820 ILCS 80/35)
| Sec. 35. Risk management. The Board shall annually prepare | and adopt a written statement of investment policy that | includes a risk management and oversight program. This | investment policy shall prohibit the Board, Program, and Fund | from borrowing for investment purposes. The risk management and | oversight program shall be designed to ensure that an effective | risk management system is in place to monitor the risk levels | of the Program and Fund portfolio, to ensure that the risks | taken are prudent and properly managed, to provide an | integrated process for overall risk management, and to assess | investment returns as well as risk to determine if the risks | taken are adequately compensated compared to applicable | performance benchmarks and standards. The Board shall adopt | consider the statement of investment policy and any changes in | the investment policy at a public meeting of the Board. The | investment policy and any changes to the investment policy | shall be published on the Board's or Treasurer's website at | least 30 days prior to implementation of such policy hearing .
| (Source: P.A. 98-1150, eff. 6-1-15 .) | (820 ILCS 80/60)
| Sec. 60. Program implementation and enrollment. Except as | otherwise provided in Section 93 of this Act, the Program shall | be implemented, and enrollment of employees shall begin, within |
| 24 months after the effective date of this Act. The provisions | of this Section shall be in force after the Board opens the | Program for enrollment.
| (a) Each employer shall establish a payroll deposit | retirement savings arrangement to allow each employee to | participate in the Program at most nine months after the Board | opens the Program for enrollment.
| (b) Employers shall automatically enroll in the Program | each of their employees who has not opted out of participation | in the Program using the form described in subsection (c) of | Section 55 of this Act and shall provide payroll deduction | retirement savings arrangements for such employees and | deposit, on behalf of such employees, these funds into the | Program. Small employers may, but are not required to, provide | payroll deduction retirement savings arrangements for each | employee who elects to participate in the Program. Small | employers' use of automatic enrollment for employees is subject | to final rules from the United States Department of Labor. | Utilization of automatic enrollment by small employers may be | allowed only if it does not create employer liability under the | federal Employee Retirement Income Security Act. | (c) Enrollees shall have the ability to select a | contribution level into the Fund. This level may be expressed | as a percentage of wages or as a dollar amount up to the | deductible amount for the enrollee's taxable year under Section | 219(b)(1)(A) of the Internal Revenue Code. Enrollees may change |
| their contribution level at any time, subject to rules | promulgated by the Board. If an enrollee fails to select a | contribution level using the form described in subsection (c) | of Section 55 of this Act, then he or she shall contribute 3% | of his or her wages to the Program, provided that such | contributions shall not cause the enrollee's total | contributions to IRAs for the year to exceed the deductible | amount for the enrollee's taxable year under Section | 219(b)(1)(A) of the Internal Revenue Code.
| (d) Enrollees may select an investment option from the | permitted investment options listed in Section 45 of this Act. | Enrollees may change their investment option at any time, | subject to rules promulgated by the Board. In the event that an | enrollee fails to select an investment option, that enrollee | shall be placed in the investment option selected by the Board | as the default under subsection (c) of Section 45 of this Act. | If the Board has not selected a default investment option under | subsection (c) of Section 45 of this Act, then an enrollee who | fails to select an investment option shall be placed in the | life-cycle fund investment option.
| (e) Following initial implementation of the Program | pursuant to this Section, at least once every year, | participating employers shall designate an open enrollment | period during which employees who previously opted out of the | Program may enroll in the Program.
| (f) An employee who opts out of the Program who |
| subsequently wants to participate through the participating | employer's payroll deposit retirement savings arrangement may | only enroll during the participating employer's designated | open enrollment period or if permitted by the participating | employer at an earlier time.
| (g) Employers shall retain the option at all times to set | up any type of employer-sponsored retirement plan, such as a | defined benefit plan or a 401(k), Simplified Employee Pension | (SEP) plan, or Savings Incentive Match Plan for Employees | (SIMPLE) plan, or to offer an automatic enrollment payroll | deduction IRA, instead of having a payroll deposit retirement | savings arrangement to allow employee participation in the | Program.
| (h) An employee may terminate his or her participation in | the Program at any time in a manner prescribed by the Board.
| (i) The Board shall establish and maintain an Internet | website designed to assist employers in identifying private | sector providers of retirement arrangements that can be set up | by the employer rather than allowing employee participation in | the Program under this Act; however, the Board shall only | establish and maintain an Internet website under this | subsection if there is sufficient interest in such an Internet | website by private sector providers and if the private sector | providers furnish the funding necessary to establish and | maintain the Internet website. The Board must provide public | notice of the availability of and the process for inclusion on |
| the Internet website before it becomes publicly available. This | Internet website must be available to the public before the | Board opens the Program for enrollment, and the Internet | website address must be included on any Internet website | posting or other materials regarding the Program offered to the | public by the Board.
| (Source: P.A. 98-1150, eff. 6-1-15 .) | Section 10. The Unemployment Insurance Act is amended by | changing Section 1900 as follows:
| (820 ILCS 405/1900) (from Ch. 48, par. 640)
| Sec. 1900. Disclosure of information.
| A. Except as provided in this Section, information obtained | from any
individual or employing unit during the administration | of this Act shall:
| 1. be confidential,
| 2. not be published or open to public inspection,
| 3. not be used in any court in any pending action or | proceeding,
| 4. not be admissible in evidence in any action or | proceeding other than
one arising out of this Act.
| B. No finding, determination, decision, ruling or order | (including
any finding of fact, statement or conclusion made | therein) issued pursuant
to this Act shall be admissible or | used in evidence in any action other than
one arising out of |
| this Act, nor shall it be binding or conclusive except
as | provided in this Act, nor shall it constitute res judicata, | regardless
of whether the actions were between the same or | related parties or involved
the same facts.
| C. Any officer or employee of this State, any officer or | employee of any
entity authorized to obtain information | pursuant to this Section, and any
agent of this State or of | such entity
who, except with authority of
the Director under | this Section, shall disclose information shall be guilty
of a | Class B misdemeanor and shall be disqualified from holding any
| appointment or employment by the State.
| D. An individual or his duly authorized agent may be | supplied with
information from records only to the extent | necessary for the proper
presentation of his claim for benefits | or with his existing or prospective
rights to benefits. | Discretion to disclose this information belongs
solely to the | Director and is not subject to a release or waiver by the
| individual.
Notwithstanding any other provision to the | contrary, an individual or his or
her duly authorized agent may | be supplied with a statement of the amount of
benefits paid to | the individual during the 18 months preceding the date of his
| or her request.
| E. An employing unit may be furnished with information, | only if deemed by
the Director as necessary to enable it to | fully discharge its obligations or
safeguard its rights under | the Act. Discretion to disclose this information
belongs solely |
| to the Director and is not subject to a release or waiver by | the
employing unit.
| F. The Director may furnish any information that he may | deem proper to
any public officer or public agency of this or | any other State or of the
federal government dealing with:
| 1. the administration of relief,
| 2. public assistance,
| 3. unemployment compensation,
| 4. a system of public employment offices,
| 5. wages and hours of employment, or
| 6. a public works program.
| The Director may make available to the Illinois Workers' | Compensation Commission
information regarding employers for | the purpose of verifying the insurance
coverage required under | the Workers' Compensation Act and Workers'
Occupational | Diseases Act.
| G. The Director may disclose information submitted by the | State or any
of its political subdivisions, municipal | corporations, instrumentalities,
or school or community | college districts, except for information which
specifically | identifies an individual claimant.
| H. The Director shall disclose only that information | required to be
disclosed under Section 303 of the Social | Security Act, as amended, including:
| 1. any information required to be given the United | States Department of
Labor under Section 303(a)(6); and
|
| 2. the making available upon request to any agency of | the United States
charged with the administration of public | works or assistance through
public employment, the name, | address, ordinary occupation and employment
status of each | recipient of unemployment compensation, and a statement of
| such recipient's right to further compensation under such | law as required
by Section 303(a)(7); and
| 3. records to make available to the Railroad Retirement | Board as
required by Section 303(c)(1); and
| 4. information that will assure reasonable cooperation | with every agency
of the United States charged with the | administration of any unemployment
compensation law as | required by Section 303(c)(2); and
| 5. information upon request and on a reimbursable basis | to the United
States Department of Agriculture and to any | State food stamp agency
concerning any information | required to be furnished by Section 303(d); and
| 6. any wage information upon request and on a | reimbursable basis
to any State or local child support | enforcement agency required by
Section 303(e); and
| 7. any information required under the income | eligibility and
verification system as required by Section | 303(f); and
| 8. information that might be useful in locating an | absent parent or that
parent's employer, establishing | paternity or establishing, modifying, or
enforcing child |
| support orders
for the purpose of a child support | enforcement program
under Title IV of the Social Security | Act upon the request of
and on a reimbursable basis to
the | public
agency administering the Federal Parent Locator | Service as required by
Section 303(h); and
| 9. information, upon request, to representatives of | any federal, State
or local governmental public housing | agency with respect to individuals who
have signed the | appropriate consent form approved by the Secretary of | Housing
and Urban Development and who are applying for or | participating in any housing
assistance program | administered by the United States Department of Housing and
| Urban Development as required by Section 303(i).
| I. The Director, upon the request of a public agency of | Illinois, of the
federal government or of any other state | charged with the investigation or
enforcement of Section 10-5 | of the Criminal Code of 2012 (or a similar
federal law or | similar law of another State), may furnish the public agency
| information regarding the individual specified in the request | as to:
| 1. the current or most recent home address of the | individual, and
| 2. the names and addresses of the individual's | employers.
| J. Nothing in this Section shall be deemed to interfere | with the
disclosure of certain records as provided for in |
| Section 1706 or with the
right to make available to the | Internal Revenue Service of the United
States Department of the | Treasury, or the Department of Revenue of the
State of | Illinois, information obtained under this Act.
| K. The Department shall make available to the Illinois | Student Assistance
Commission, upon request, information in | the possession of the Department that
may be necessary or | useful to the
Commission in the collection of defaulted or | delinquent student loans which
the Commission administers.
| L. The Department shall make available to the State | Employees'
Retirement System, the State Universities | Retirement System, the
Teachers' Retirement System of the State | of Illinois, and the Department of Central Management Services, | Risk Management Division, upon request,
information in the | possession of the Department that may be necessary or useful
to | the System or the Risk Management Division for the purpose of | determining whether any recipient of a
disability benefit from | the System or a workers' compensation benefit from the Risk | Management Division is gainfully employed.
| M. This Section shall be applicable to the information | obtained in the
administration of the State employment service, | except that the Director
may publish or release general labor | market information and may furnish
information that he may deem | proper to an individual, public officer or
public agency of | this or any other State or the federal government (in
addition | to those public officers or public agencies specified in this
|
| Section) as he prescribes by Rule.
| N. The Director may require such safeguards as he deems | proper to insure
that information disclosed pursuant to this | Section is used only for the
purposes set forth in this | Section.
| O. Nothing in this Section prohibits communication with an | individual or entity through unencrypted e-mail or other | unencrypted electronic means as long as the communication does | not contain the individual's or entity's name in combination | with any one or more of the individual's or entity's social | security number; driver's license or State identification | number; account number or credit or debit card number; or any | required security code, access code, or password that would | permit access to further information pertaining to the | individual or entity.
| P. Within 30 days after the effective date of this | amendatory Act of 1993
and annually thereafter, the Department | shall provide to the Department of
Financial Institutions a | list of individuals or entities that, for the most
recently | completed calendar year, report to the Department as paying | wages to
workers. The lists shall be deemed confidential and | may not be disclosed to
any other person.
| Q. The Director shall make available to an elected federal
| official the name and address of an individual or entity that | is located within
the jurisdiction from which the official was | elected and that, for the most
recently completed calendar |
| year, has reported to the Department as paying
wages to | workers, where the information will be used in connection with | the
official duties of the official and the official requests | the information in
writing, specifying the purposes for which | it will be used.
For purposes of this subsection, the use of | information in connection with the
official duties of an | official does not include use of the information in
connection | with the solicitation of contributions or expenditures, in | money or
in kind, to or on behalf of a candidate for public or | political office or a
political party or with respect to a | public question, as defined in Section 1-3
of the Election | Code, or in connection with any commercial solicitation. Any
| elected federal official who, in submitting a request for | information
covered by this subsection, knowingly makes a false | statement or fails to
disclose a material fact, with the intent | to obtain the information for a
purpose not authorized by this | subsection, shall be guilty of a Class B
misdemeanor.
| R. The Director may provide to any State or local child | support
agency, upon request and on a reimbursable basis, | information that might be
useful in locating an absent parent | or that parent's employer, establishing
paternity, or | establishing, modifying, or enforcing child support orders.
| S. The Department shall make available to a State's | Attorney of this
State or a State's Attorney's investigator,
| upon request, the current address or, if the current address is
| unavailable, current employer information, if available, of a |
| victim of
a felony or a
witness to a felony or a person against | whom an arrest warrant is
outstanding.
| T. The Director shall make available to the Department of | State Police, a county sheriff's office, or a municipal police | department, upon request, any information concerning the | current address and place of employment or former places of | employment of a person who is required to register as a sex | offender under the Sex Offender Registration Act that may be | useful in enforcing the registration provisions of that Act.
| U. The Director shall make information available to the | Department of Healthcare and Family Services and the Department | of Human Services for the purpose of determining eligibility | for public benefit programs authorized under the Illinois | Public Aid Code and related statutes administered by those | departments, for verifying sources and amounts of income, and | for other purposes directly connected with the administration | of those programs. | V. The Director shall make information available to the | State Board of Elections as may be required by an agreement the | State Board of Elections has entered into with a multi-state | voter registration list maintenance system. | W. The Director shall make information available to the | State Treasurer's office and the Department of Revenue for the | purpose of facilitating compliance with the Illinois Secure | Choice Savings Program Act, including employer contact | information for employers with 25 or more employees and any |
| other information the Director deems appropriate that is | directly related to the administration of this program. | (Source: P.A. 97-621, eff. 11-18-11; 97-689, eff. 6-14-12; | 97-1150, eff. 1-25-13; 98-1171, eff. 6-1-15 .)
| Section 99. Effective date. This Act takes effect upon | becoming law. |
Effective Date: 7/15/2016
|