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| Public Act 099-0227
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| HB3332 Enrolled | LRB099 00381 MGM 20387 b |  
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 AN ACT concerning 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 1. Short title. This Act may be cited as the  | 
Professional Limited Liability Company Act.
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 Section 5. Definitions.  In this Act: | 
 "Department" means the Department of Financial and  | 
Professional Regulation. | 
 "Professional limited liability company" means a limited  | 
liability company that intends to provide, or does provide,  | 
professional services that require the individuals engaged in  | 
the profession to be licensed by the Department of Financial  | 
and Professional Regulation.
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 Section 10. Application of the Limited Liability Company  | 
Act.  The Limited Liability Company Act, as now or hereafter  | 
amended, shall be applicable to professional limited liability  | 
companies, and they shall enjoy the powers and privileges and  | 
be subject to the duties, restrictions, and liabilities of  | 
other limited liability companies, except where inconsistent  | 
with the letter and purpose of this Act. This Act shall take  | 
precedence in the event of any conflict with the provisions of  | 
the Limited Liability Company Act or other laws.
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 Section 15. Certificate of registration. 
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 (a) No professional limited liability company may render  | 
professional services that require the issuance of a license by  | 
the Department, except through its managers, members, agents,  | 
or employees who are duly licensed or otherwise legally  | 
authorized to render such professional services within this  | 
State. An individual's association with a professional limited  | 
liability company as a manager, member, agent, or employee,  | 
shall in no way modify or diminish the jurisdiction of the  | 
Department that licensed, certified, or registered the  | 
individual for a particular profession. | 
 (b) A professional limited liability company shall not  | 
open, operate, or maintain an establishment for any of the  | 
purposes for which a limited liability company may be organized  | 
without obtaining a certificate of registration from the  | 
Department. | 
 (c) Application for a certificate of registration shall be  | 
made in writing and shall contain the name and primary mailing  | 
address of the professional limited liability company, the name  | 
and address of the company's registered agent, the address of  | 
the practice location maintained by the company, each assumed  | 
name being used by the company, and such other information as  | 
may be required by the Department. All official correspondence  | 
from the Department shall be mailed to the primary mailing  | 
address of the company except that the company may elect to  | 
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have renewal and non-renewal notices sent to the registered  | 
agent of the company. Upon receipt of such application, the  | 
Department shall make an investigation of the professional  | 
limited liability company. If this Act or any Act administered  | 
by the Department requires the organizers, managers, and  | 
members to each be licensed in the particular profession or  | 
related professions related to the professional services  | 
offered by the company, the Department shall determine that the  | 
organizers, managers, and members are each licensed pursuant to  | 
the laws of Illinois to engage in the particular profession or  | 
related professions involved (except that an initial organizer  | 
may be a licensed attorney) and that no disciplinary action is  | 
pending before the Department against any of them before  | 
issuing a certificate of registration. For all other companies  | 
submitting an application, the Department shall determine if  | 
any organizer, manager, or member claiming to hold a  | 
professional license issued by the Department is currently so  | 
licensed and that no disciplinary action is pending before the  | 
Department against any of them before issuing a certificate of  | 
registration. If it appears that the professional limited  | 
liability company will be conducted in compliance with the law  | 
and the rules and regulations of the Department, the Department  | 
shall issue, upon payment of a registration fee of $50, a  | 
certificate of registration. | 
 (d) A separate application shall be submitted for each  | 
business location in Illinois. If the professional limited  | 
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liability company is using more than one fictitious or assumed  | 
name and has an address different from that of the parent  | 
company, a separate application shall be submitted for each  | 
fictitious or assumed name. | 
 (e) Upon written application of the holder, the Department  | 
shall renew the certificate if it finds that the professional  | 
limited liability company has complied with its regulations and  | 
the provisions of this Act and the applicable licensing Act.  | 
This fee for the renewal of a certificate of registration shall  | 
be calculated at the rate of $40 per year. The certificate of  | 
registration shall be conspicuously posted upon the premises to  | 
which it is applicable. A certificate of registration shall not  | 
be assignable. | 
 (f) The Department shall not issue or renew any certificate  | 
of registration to a professional limited liability company  | 
during the period of dissolution.
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 Section 20. Failure to obtain a certificate of  | 
registration.  Whenever the Department has reason to believe a  | 
professional limited liability company has opened, operated,  | 
or maintained an establishment without a certificate of  | 
registration, the Department may issue a notice of violation to  | 
the professional limited liability company. The notice of  | 
violation shall provide a period of 30 days after the date of  | 
the notice to either file an answer to the satisfaction of the  | 
Department or submit an application for a certificate of  | 
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registration in compliance with this Act. If the professional  | 
limited liability company submits an application for a  | 
certificate of registration, it must pay the $50 application  | 
fee and a late fee of $100 for each year that the professional  | 
limited liability company opened, operated, or maintained an  | 
establishment without a certificate of registration for the  | 
purpose of providing any professional service that requires the  | 
individuals engaged in the profession to be licensed by the  | 
Department, with a maximum late fee of $500. If the  | 
professional limited liability company that is the subject of  | 
the notice of violation fails to respond, fails to respond to  | 
the satisfaction of the Department, or fails to submit an  | 
application for registration, the Department may institute  | 
disciplinary proceedings against the professional limited  | 
liability company and may impose a civil penalty up to $1,000  | 
for violation of this Act after affording the professional  | 
limited liability company a hearing in conformance with the  | 
requirements of this Act.
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 Section 25. Suspension, revocation or discipline of  | 
certificate of registration.  | 
 (a) The Department may suspend, revoke, or otherwise  | 
discipline the certificate of registration of a professional  | 
limited liability company for any of the following reasons: | 
  (1) the revocation or suspension of the license to  | 
 practice the profession of any officer, manager, member,  | 
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 agent, or employee not promptly removed or discharged by  | 
 the professional limited liability company; | 
  (2) unethical professional conduct on the part of any  | 
 officer, manager, member, agent, or employee not promptly  | 
 removed or discharged by the professional limited  | 
 liability company; | 
  (3) the death of the last remaining member; | 
  (4) upon finding that the holder of the certificate has  | 
 failed to comply with the provisions of this Act or the  | 
 regulations prescribed by the Department; or | 
  (5) the failure to file a return, to pay the tax,  | 
 penalty, or interest shown in a filed return, or to pay any  | 
 final assessment of tax, penalty, or interest, as required  | 
 by a tax Act administered by the Illinois Department of  | 
 Revenue, until such time as the requirements of any such  | 
 tax Act are satisfied. | 
 (b) Before any certificate of registration is suspended or  | 
revoked, the holder shall be given written notice of the  | 
proposed action and the reasons for the proposed action and  | 
shall be provided a public hearing by the Department with the  | 
right to produce testimony and other evidence concerning the  | 
charges made. The notice shall also state the place and date of  | 
the hearing, which shall be at least 10 days after service of  | 
the notice. | 
 (c) All orders of the Department denying an application for  | 
a certificate of registration or suspending or revoking a  | 
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certificate of registration or imposing a civil penalty shall  | 
be subject to judicial review pursuant to the Administrative  | 
Review Law. | 
 (d) The proceedings for judicial review shall be commenced  | 
in the circuit court of the county in which the party applying  | 
for review is located. If the party is not currently located in  | 
Illinois, the venue shall be in Sangamon County. The Department  | 
shall not be required to certify any record to the court or  | 
file any answer in court or otherwise appear in any court in a  | 
judicial review proceeding, unless and until the Department has  | 
received from the plaintiff payment of the costs of furnishing  | 
and certifying the record, which costs shall be determined by  | 
the Department. Exhibits shall be certified without cost.  | 
Failure on the part of the plaintiff to file a receipt in court  | 
is grounds for dismissal of the action.
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 Section 30. Confidentiality. | 
 (a) All information collected by the Department in the  | 
course of an examination or investigation of a holder of a  | 
certificate of registration or an applicant, including, but not  | 
limited to, any complaint against a holder of a certificate of  | 
registration filed with the Department and information  | 
collected to investigate any such complaint, shall be  | 
maintained for the confidential use of the Department and shall  | 
not be disclosed. | 
 (b) The Department may not disclose the information to  | 
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anyone other than law enforcement officials, other regulatory  | 
agencies that have an appropriate regulatory interest as  | 
determined by the Secretary of the Department, or a party  | 
presenting a lawful subpoena to the Department. Information and  | 
documents disclosed to a federal, State, county, or local law  | 
enforcement agency shall not be disclosed by the agency for any  | 
purpose to any other agency or person. A formal complaint filed  | 
against a holder of a certificate of registration by the  | 
Department or any order issued by the Department against a  | 
holder of a certificate of registration or an applicant shall  | 
be a public record, except as otherwise prohibited by law.
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 Section 35. Professional relationship and liability;  | 
rights and obligations pertaining to communications. 
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 (a) Nothing contained in this Act shall be interpreted to  | 
abolish, repeal, modify, restrict, or limit the law in effect  | 
in this State on the effective date of this Act that is  | 
applicable to the professional relationship and liabilities  | 
between the person furnishing the professional services and the  | 
person receiving such professional services or the law that is  | 
applicable to the standards for professional conduct. Any  | 
manager, member, agent, or employee of a professional limited  | 
liability company shall remain personally and fully liable and  | 
accountable for any negligent or wrongful acts or misconduct  | 
committed by him or her or by any person under his or her  | 
direct supervision and control while rendering professional  | 
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services on behalf of the professional limited liability  | 
company. However, a professional limited liability company  | 
shall have no greater liability for the conduct of its agents  | 
than any other limited liability company organized under the  | 
Limited Liability Company Act. A professional limited  | 
liability company shall be liable up to the full value of its  | 
property for any negligence or wrongful acts or misconduct  | 
committed by any of its managers, members, agents, or employees  | 
while they are engaged in the rendering of professional  | 
services on behalf of the professional limited liability  | 
company. | 
 (b) All rights and obligations pertaining to  | 
communications made to or information received by any qualified  | 
person or the advice he or she gives on such communications or  | 
information, shall be extended to the professional limited  | 
liability company of which he or she is a manager, member,  | 
agent, or employee, and to the professional limited liability  | 
company's managers, members, agents, and employees.
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 Section 40. Dissolution.  A professional limited liability  | 
company may, for the purposes of dissolution, have as its  | 
managers and members individuals who are not licensed by the  | 
Department to provide professional services notwithstanding  | 
any provision of this Act or of any professional Act  | 
administered by the Department, provided that the professional  | 
limited liability company under these circumstances does not  | 
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render any professional services nor hold itself out as capable  | 
or available to render any professional services during the  | 
period of dissolution. A copy of the certificate of  | 
dissolution, as issued by the Secretary of State, shall be  | 
delivered to the Department within 30 days of its receipt by  | 
the managers or members.
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 Section 45. Dishonored payments.  Any professional limited  | 
liability company that, on 2 occasions, issues or delivers a  | 
check or other order to the Department that is not honored by  | 
the financial institution upon which it is drawn because of  | 
insufficient funds on the account, shall pay to the Department,  | 
in addition to the amount owing upon such check or other order,  | 
a fee of $50. If such check or other order was issued or  | 
delivered in payment of a renewal fee and the professional  | 
limited liability company whose certificate of registration  | 
has lapsed continues to practice as a professional limited  | 
liability company without paying the renewal fee and the $50  | 
fee required under this Section, an additional fee of $100  | 
shall be imposed for practicing without a current certificate.  | 
The Department shall notify the professional limited liability  | 
company whose certificate of registration has lapsed within 30  | 
days after the discovery by the Department that such  | 
professional limited liability company is operating without a  | 
current certificate of the fact that the professional limited  | 
liability company is operating without a certificate and of the  | 
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amount due to the Department, which shall include the lapsed  | 
renewal fee and all other fees required by this Section. If the  | 
professional limited liability company whose certification has  | 
lapsed seeks a current certificate more than 30 days after the  | 
date it receives notification from the Department, it shall be  | 
required to apply to the Department for reinstatement of the  | 
certificate and to pay all fees due to the Department. The  | 
Department may establish a fee for the processing of an  | 
application for reinstatement of a certificate that allows the  | 
Department to pay all costs and expenses related to the  | 
processing of the application. The Secretary of the Department  | 
may waive the fees due under this Section in individual cases  | 
where he or she finds that in the particular case such fees  | 
would be unreasonable or unnecessarily burdensome.
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 Section 50. Deposit of fees and fines.  All fees, civil  | 
penalties, and fines collected under this Act shall be  | 
deposited into the General Professions Dedicated Fund.
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 Section 900. The Regulatory Sunset Act is amended by  | 
changing Section 4.26 and by adding Section 4.36 as follows:
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 (5 ILCS 80/4.26)
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 Sec. 4.26. Acts repealed on January 1, 2016. The following  | 
Acts are repealed on January 1, 2016: | 
 The Illinois Athletic Trainers Practice Act.
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 The Illinois Roofing Industry Licensing Act.
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 The Illinois Dental Practice Act.
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 The Collection Agency Act.
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 The Barber, Cosmetology, Esthetics, Hair Braiding, and  | 
Nail Technology Act of 1985.
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 The Respiratory Care Practice Act.
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 The Hearing Instrument Consumer Protection Act.
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 The Illinois Physical Therapy Act.
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 The Professional Geologist Licensing Act. | 
(Source: P.A. 95-331, eff. 8-21-07; 95-876, eff. 8-21-08;  | 
96-1246, eff. 1-1-11.)
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 (5 ILCS 80/4.36 new) | 
 Sec. 4.36. Act repealed on January 1, 2026. The following  | 
Act is repealed on January 1, 2026: | 
 The Collection Agency Act. 
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 Section 905. The Department of Professional Regulation Law  | 
of the
Civil Administrative Code of Illinois is amended by  | 
changing Sections 2105-5, 2105-15, 2105-100, 2105-105,  | 
2105-110, 2105-115, 2105-120, 2105-125, 2105-175, 2105-200,  | 
2105-205, 2105-300, 2105-325, and 2105-400 and by adding  | 
Section 2105-117 as follows:
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 (20 ILCS 2105/2105-5) (was 20 ILCS 2105/60b)
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 Sec. 2105-5. Definitions. (a) In this Law:
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 "Address of record" means the designated address recorded  | 
by the Department in the applicant's application file or the  | 
licensee's license file, as maintained by the Department's  | 
licensure maintenance unit.  | 
 "Department" means the Division of Professional Regulation  | 
of the Department of Financial and Professional Regulation. Any  | 
reference in this Article to the "Department of Professional  | 
Regulation" shall be deemed to mean the "Division of  | 
Professional Regulation of the Department of Financial and  | 
Professional Regulation".
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 "Director" means the Director of Professional Regulation.
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 (b) In the construction of this Section and Sections
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2105-15, 2105-100, 2105-105, 2105-110, 2105-115, 2105-120,  | 
2105-125, 2105-175,
and 2105-325, the following definitions  | 
shall govern unless the context
otherwise clearly indicates:
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 "Board" means the board of persons designated for a  | 
profession, trade, or
occupation under the provisions of any  | 
Act now or hereafter in force whereby
the jurisdiction of that  | 
profession, trade, or occupation is devolved on the
Department.
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 "Certificate" means a license, certificate of  | 
registration, permit, or other
authority purporting to be  | 
issued or conferred by the Department by virtue or
authority of  | 
which the registrant has or claims the right to engage in a
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profession, trade, occupation, or operation of which the  | 
Department has
jurisdiction.
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 "Registrant" means a person who holds or claims to hold a  | 
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certificate.
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 "Retiree" means a person who has been duly licensed,  | 
registered, or certified in a profession regulated by the  | 
Department and who chooses to relinquish or not renew his or  | 
her license, registration, or certification.
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(Source: P.A. 94-452, eff. 1-1-06.)
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 (20 ILCS 2105/2105-15)
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 Sec. 2105-15. General powers and duties. 
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 (a) The Department has, subject to the provisions of the  | 
Civil
Administrative Code of Illinois, the following powers and  | 
duties:
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  (1) To authorize examinations in English to ascertain  | 
 the qualifications
and fitness of applicants to exercise  | 
 the profession, trade, or occupation for
which the  | 
 examination is held.
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  (2) To prescribe rules and regulations for a fair and  | 
 wholly
impartial method of examination of candidates to  | 
 exercise the respective
professions, trades, or  | 
 occupations.
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  (3) To pass upon the qualifications of applicants for  | 
 licenses,
certificates, and authorities, whether by  | 
 examination, by reciprocity, or by
endorsement.
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  (4) To prescribe rules and regulations defining, for  | 
 the
respective
professions, trades, and occupations, what  | 
 shall constitute a school,
college, or university, or  | 
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 department of a university, or other
institution,  | 
 reputable and in good standing, and to determine the
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 reputability and good standing of a school, college, or  | 
 university, or
department of a university, or other  | 
 institution, reputable and in good
standing, by reference  | 
 to a compliance with those rules and regulations;
provided,  | 
 that no school, college, or university, or department of a
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 university, or other institution that refuses admittance  | 
 to applicants
solely on account of race, color, creed, sex,  | 
 sexual orientation, or national origin shall be
considered  | 
 reputable and in good standing.
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  (5) To conduct hearings on proceedings to revoke,  | 
 suspend, refuse to
renew, place on probationary status, or  | 
 take other disciplinary action
as authorized in any  | 
 licensing Act administered by the Department
with regard to  | 
 licenses, certificates, or authorities of persons
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 exercising the respective professions, trades, or  | 
 occupations and to
revoke, suspend, refuse to renew, place  | 
 on probationary status, or take
other disciplinary action  | 
 as authorized in any licensing Act
administered by the  | 
 Department with regard to those licenses,
certificates, or  | 
 authorities.  | 
  The Department shall issue a monthly
disciplinary  | 
 report.  | 
  The Department shall deny any license or
renewal  | 
 authorized by the Civil Administrative Code of Illinois to  | 
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 any person
who has defaulted on an
educational loan or  | 
 scholarship provided by or guaranteed by the Illinois
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 Student Assistance Commission or any governmental agency  | 
 of this State;
however, the Department may issue a license  | 
 or renewal if the
aforementioned persons have established a  | 
 satisfactory repayment record as
determined by the  | 
 Illinois Student Assistance Commission or other  | 
 appropriate
governmental agency of this State.  | 
 Additionally, beginning June 1, 1996,
any license issued by  | 
 the Department may be suspended or revoked if the
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 Department, after the opportunity for a hearing under the  | 
 appropriate licensing
Act, finds that the licensee has  | 
 failed to make satisfactory repayment to the
Illinois  | 
 Student Assistance Commission for a delinquent or  | 
 defaulted loan.
For the purposes of this Section,  | 
 "satisfactory repayment record" shall be
defined by rule.  | 
  The Department shall refuse to issue or renew a license  | 
 to,
or shall suspend or revoke a license of, any person  | 
 who, after receiving
notice, fails to comply with a  | 
 subpoena or warrant relating to a paternity or
child  | 
 support proceeding. However, the Department may issue a  | 
 license or
renewal upon compliance with the subpoena or  | 
 warrant.
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  The Department, without further process or hearings,  | 
 shall revoke, suspend,
or deny any license or renewal  | 
 authorized by the Civil Administrative Code of
Illinois to  | 
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 a person who is certified by the Department of Healthcare  | 
 and Family Services (formerly Illinois Department of  | 
 Public Aid)
as being more than 30 days delinquent in  | 
 complying with a child support order
or who is certified by  | 
 a court as being in violation of the Non-Support
Punishment  | 
 Act for more than 60 days. The Department may, however,  | 
 issue a
license or renewal if the person has established a  | 
 satisfactory repayment
record as determined by the  | 
 Department of Healthcare and Family Services (formerly
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 Illinois Department of Public Aid) or if the person
is  | 
 determined by the court to be in compliance with the  | 
 Non-Support Punishment
Act. The Department may implement  | 
 this paragraph as added by Public Act 89-6
through the use  | 
 of emergency rules in accordance with Section 5-45 of the
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 Illinois Administrative Procedure Act. For purposes of the  | 
 Illinois
Administrative Procedure Act, the adoption of  | 
 rules to implement this
paragraph shall be considered an  | 
 emergency and necessary for the public
interest, safety,  | 
 and welfare.
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  (6) To transfer jurisdiction of any realty under the  | 
 control of the
Department to any other department of the  | 
 State Government or to acquire
or accept federal lands when  | 
 the transfer, acquisition, or acceptance is
advantageous  | 
 to the State and is approved in writing by the Governor.
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  (7) To formulate rules and regulations necessary for  | 
 the enforcement of
any Act administered by the Department.
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  (8) To exchange with the Department of Healthcare and  | 
 Family Services information
that may be necessary for the  | 
 enforcement of child support orders entered
pursuant to the  | 
 Illinois Public Aid Code, the Illinois Marriage and  | 
 Dissolution
of Marriage Act, the Non-Support of Spouse and  | 
 Children Act, the Non-Support
Punishment Act, the Revised  | 
 Uniform Reciprocal Enforcement of Support Act, the
Uniform  | 
 Interstate Family Support Act, or the Illinois Parentage  | 
 Act of 1984.
Notwithstanding any provisions in this Code to  | 
 the contrary, the Department of
Professional Regulation  | 
 shall not be liable under any federal or State law to
any  | 
 person for any disclosure of information to the Department  | 
 of Healthcare and Family Services (formerly Illinois  | 
 Department of
Public Aid)
under this paragraph (8) or for  | 
 any other action taken in good faith
to comply with the  | 
 requirements of this paragraph (8).
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  (8.5) To accept continuing education credit for  | 
 mandated reporter training on how to recognize and report  | 
 child abuse offered by the Department of Children and  | 
 Family Services and completed by any person who holds a  | 
 professional license issued by the Department and who is a  | 
 mandated reporter under the Abused and Neglected Child  | 
 Reporting Act. The Department shall adopt any rules  | 
 necessary to implement this paragraph.  | 
  (9) To perform other duties prescribed
by law.
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 (a-5) Except in cases involving default on an educational  | 
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loan or scholarship provided by or guaranteed by the Illinois  | 
Student Assistance Commission or any governmental agency of  | 
this State or in cases involving delinquency in complying with  | 
a child support order or violation of the Non-Support  | 
Punishment Act and notwithstanding anything that may appear in  | 
any individual licensing Act or administrative rule, no person  | 
or entity whose license, certificate, or authority has been  | 
revoked as authorized in any licensing Act administered by the  | 
Department may apply for restoration of that license,  | 
certification, or authority until 3 years after the effective  | 
date of the revocation.  | 
 (b) The Department may, when a fee is payable to the  | 
Department for a wall
certificate of registration provided by  | 
the Department of Central Management
Services, require that  | 
portion of the payment for printing and distribution
costs be  | 
made directly or through the Department to the Department of  | 
Central
Management Services for deposit into the Paper and  | 
Printing Revolving Fund.
The remainder shall be deposited into  | 
the General Revenue Fund.
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 (c) For the purpose of securing and preparing evidence, and  | 
for the purchase
of controlled substances, professional  | 
services, and equipment necessary for
enforcement activities,  | 
recoupment of investigative costs, and other activities
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directed at suppressing the misuse and abuse of controlled  | 
substances,
including those activities set forth in Sections  | 
504 and 508 of the Illinois
Controlled Substances Act, the  | 
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Director and agents appointed and authorized by
the Director  | 
may expend sums from the Professional Regulation Evidence Fund
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that the Director deems necessary from the amounts appropriated  | 
for that
purpose. Those sums may be advanced to the agent when  | 
the Director deems that
procedure to be in the public interest.  | 
Sums for the purchase of controlled
substances, professional  | 
services, and equipment necessary for enforcement
activities  | 
and other activities as set forth in this Section shall be  | 
advanced
to the agent who is to make the purchase from the  | 
Professional Regulation
Evidence Fund on vouchers signed by the  | 
Director. The Director and those
agents are authorized to  | 
maintain one or more commercial checking accounts with
any  | 
State banking corporation or corporations organized under or  | 
subject to the
Illinois Banking Act for the deposit and  | 
withdrawal of moneys to be used for
the purposes set forth in  | 
this Section; provided, that no check may be written
nor any  | 
withdrawal made from any such account except upon the written
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signatures of 2 persons designated by the Director to write  | 
those checks and
make those withdrawals. Vouchers for those  | 
expenditures must be signed by the
Director. All such  | 
expenditures shall be audited by the Director, and the
audit  | 
shall be submitted to the Department of Central Management  | 
Services for
approval.
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 (d) Whenever the Department is authorized or required by  | 
law to consider
some aspect of criminal history record  | 
information for the purpose of carrying
out its statutory  | 
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powers and responsibilities, then, upon request and payment
of  | 
fees in conformance with the requirements of Section 2605-400  | 
of the
Department of State Police Law (20 ILCS 2605/2605-400),  | 
the Department of State
Police is authorized to furnish,  | 
pursuant to positive identification, the
information contained  | 
in State files that is necessary to fulfill the request.
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 (e) The provisions of this Section do not apply to private  | 
business and
vocational schools as defined by Section 15 of the  | 
Private Business and
Vocational Schools Act of 2012.
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 (f) (Blank). Beginning July 1, 1995, this Section does not  | 
apply to those
professions, trades, and occupations licensed  | 
under the Real Estate License
Act of 2000, nor does it apply to  | 
any permits, certificates, or other
authorizations to do  | 
business provided for in the Land Sales Registration Act
of  | 
1989 or the Illinois Real Estate Time-Share Act.
 | 
 (g) Notwithstanding anything that may appear in any  | 
individual licensing statute or administrative rule, the  | 
Department shall deny any license application or renewal  | 
authorized under any licensing Act administered by the  | 
Department to any person who has failed to file a return, or to  | 
pay the tax, penalty, or interest shown in a filed return, or  | 
to pay any final assessment of tax, penalty, or interest, as  | 
required by any tax Act administered by the Illinois Department  | 
of Revenue, until such time as the requirement of any such tax  | 
Act are satisfied; however, the Department may issue a license  | 
or renewal if the person has established a satisfactory  | 
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repayment record as determined by the Illinois Department of  | 
Revenue. For the purpose of this Section, "satisfactory  | 
repayment record" shall be defined by rule.
 | 
 In addition, a complaint filed with the Department by the  | 
Illinois Department of Revenue that includes a certification,  | 
signed by its Director or designee, attesting to the amount of  | 
the unpaid tax liability or the years for which a return was  | 
not filed, or both, is prima facie evidence of the licensee's  | 
failure to comply with the tax laws administered by the  | 
Illinois Department of Revenue. Upon receipt of that  | 
certification, the Department shall, without a hearing,  | 
immediately suspend all licenses held by the licensee.  | 
Enforcement of the Department's order shall be stayed for 60  | 
days. The Department shall provide notice of the suspension to  | 
the licensee by mailing a copy of the Department's order by  | 
certified and regular mail to the licensee's last known address  | 
as registered with the Department. The notice shall advise the  | 
licensee that the suspension shall be effective 60 days after  | 
the issuance of the Department's order unless the Department  | 
receives, from the licensee, a request for a hearing before the  | 
Department to dispute the matters contained in the order.
 | 
 Any suspension imposed under this subsection (g) shall be  | 
terminated by the Department upon notification from the  | 
Illinois Department of Revenue that the licensee is in  | 
compliance with all tax laws administered by the Illinois  | 
Department of Revenue.
 | 
 | 
 The Department may shall promulgate rules for the  | 
administration of this subsection (g).
 | 
 (h) The Department may grant the title "Retired", to be  | 
used immediately adjacent to the title of a profession  | 
regulated by the Department, to eligible retirees. The use of  | 
the title "Retired" shall not constitute representation of  | 
current licensure, registration, or certification. Any person  | 
without an active license, registration, or certificate in a  | 
profession that requires licensure, registration, or  | 
certification shall not be permitted to practice that  | 
profession. | 
 (i) Within 180 days after December 23, 2009 (the effective  | 
date of Public Act 96-852), the Department shall promulgate  | 
rules which permit a person with a criminal record, who seeks a  | 
license or certificate in an occupation for which a criminal  | 
record is not expressly a per se bar, to apply to the  | 
Department for a non-binding, advisory opinion to be provided  | 
by the Board or body with the authority to issue the license or  | 
certificate as to whether his or her criminal record would bar  | 
the individual from the licensure or certification sought,  | 
should the individual meet all other licensure requirements  | 
including, but not limited to, the successful completion of the  | 
relevant examinations.  | 
(Source: P.A. 97-650, eff. 2-1-12; 98-756, eff. 7-16-14;  | 
98-850, eff. 1-1-15.)
 | 
 | 
 (20 ILCS 2105/2105-100) (was 20 ILCS 2105/60c)
 | 
 Sec. 2105-100. 
Disciplinary action with respect to  | 
certificates; notice citation;
hearing.
 | 
 (a) Certificates may be revoked, suspended, placed on  | 
probationary
status, reprimanded, fined,
or have other  | 
disciplinary action taken with regard to them as
authorized in  | 
any licensing Act administered by the Department in the
manner  | 
provided by the Civil Administrative Code of Illinois
and not  | 
otherwise.
 | 
 (b) The Department may upon its
own motion and shall upon  | 
the verified complaint in writing of any person,
provided the  | 
complaint or the complaint together with
evidence,
documentary  | 
or otherwise, presented in connection with the complaint makes  | 
a
prima facie case, investigate the actions of any person  | 
holding or claiming
to hold a certificate.
 | 
 (c) Before suspending, revoking, placing on probationary
 | 
status, reprimanding, fining, or taking any other disciplinary  | 
action that may be
authorized in
any licensing Act administered  | 
by the Department with regard to any
certificate, the  | 
Department shall issue a notice informing citation notifying  | 
the registrant
of the time and place when and where a hearing  | 
of the charges shall be had.
The notice citation shall contain  | 
a statement of the charges or shall be
accompanied by a copy of  | 
the written complaint if such complaint shall have
been filed.  | 
The notice citation shall be served on the registrant at
least  | 
10
days prior to the date set in the notice citation for the  | 
 | 
hearing,
either by delivery of
the notice citation personally  | 
to the registrant or by mailing the notice
citation by  | 
registered
mail to the registrant's address of record last  | 
known place of residence;
provided that in any case where
the  | 
registrant is now or may hereafter be required by law to  | 
maintain a
place of business in this State and to notify the  | 
Department of the
location of that place of business, the  | 
notice citation
may be served by mailing it by registered
mail  | 
to the registrant at the place of business last described by
 | 
the registrant in the notification to the Department.
 | 
 (d) At the time and place fixed in
the notice citation, the  | 
Department shall proceed to a hearing
of the charges. Both the  | 
registrant and the complainant shall be
accorded
ample  | 
opportunity to present, in person or by counsel, any
 | 
statements,
testimony, evidence, and argument that may be  | 
pertinent to the
charges or to
any defense to the charges.
The  | 
Department may continue the hearing from time to
time.
 | 
(Source: P.A. 91-239, eff. 1-1-00.)
 | 
 (20 ILCS 2105/2105-105) (was 20 ILCS 2105/60d)
 | 
 Sec. 2105-105. Oaths; subpoenas; penalty. 
 | 
 (a) The Department, by its Director or a person designated  | 
by
him or her, is empowered, at any time during the course of  | 
any
investigation or hearing conducted pursuant to any Act  | 
administered by the
Department, to administer oaths, subpoena  | 
witnesses, take evidence, and
compel the production of any  | 
 | 
books, papers, records, or any other documents
that the  | 
Director, or a person designated by him or her, deems
relevant  | 
or
material to any such investigation or hearing conducted by  | 
the Department,
with the same fees and mileage and in the same  | 
manner as prescribed by law
in judicial proceedings in civil  | 
cases in circuit courts of this State. Discovery or evidence  | 
depositions shall not be taken, except by agreement of the  | 
Department and registrant. 
 | 
 (b) Any person who, without lawful authority, fails to  | 
appear in
response to a
subpoena or to answer any question or  | 
produce any books, papers, records,
or any other documents  | 
relevant or material to the investigation
or
hearing is guilty  | 
of a Class A misdemeanor. Each violation shall
constitute a  | 
separate and distinct offense.
 | 
 In addition to initiating
criminal proceedings, the  | 
Department, through the Attorney General, may
seek enforcement  | 
of any such subpoena by any circuit court of this State.
 | 
(Source: P.A. 91-239, eff. 1-1-00.)
 | 
 (20 ILCS 2105/2105-110) (was 20 ILCS 2105/60e)
 | 
 Sec. 2105-110. 
Court order requiring attendance of  | 
witnesses or production
of materials. Any circuit court, upon  | 
the application
of the registrant or complainant or of the  | 
Department, may by order duly
entered enforce a subpoena issued  | 
by the Department for require the attendance of witnesses and  | 
the production of relevant
books and papers before the  | 
 | 
Department in any hearing relative to the
application for  | 
refusal to renew, suspension, revocation, placing on
 | 
probationary status, reprimand, fine, or the taking of any  | 
other disciplinary action as may
be authorized in any licensing  | 
Act administered by the Department with
regard to any  | 
certificate of registration. The court may
compel obedience to  | 
its order by proceedings for contempt.
 | 
(Source: P.A. 91-239, eff. 1-1-00.)
 | 
 (20 ILCS 2105/2105-115) (was 20 ILCS 2105/60f)
 | 
 Sec. 2105-115. Certified shorthand reporter Stenographer;  | 
transcript. The Department, at its
expense,
shall provide a  | 
certified shorthand reporter stenographer
to take down the  | 
testimony and preserve a record of all proceedings at the
 | 
hearing of any case in which a certificate may be revoked,
 | 
suspended, placed
on probationary status, reprimanded, fined,  | 
or subjected to other disciplinary action with
reference to the  | 
certificate when a disciplinary action is
authorized
in any  | 
licensing Act administered by the Department. The notice  | 
citation,
complaint, and all other documents in the nature of  | 
pleadings and written
motions filed in the proceedings, the  | 
transcript of testimony, the report
of the board, and the  | 
orders of the Department shall be the record of
the  | 
proceedings. The Department shall furnish a transcript of
the  | 
record to
any person interested in the hearing upon payment  | 
therefor of $1 per page.
The Department may contract for court  | 
 | 
reporting services, and, in the event it does so, the  | 
Department shall provide the name and contact information for  | 
the certified shorthand reporter who transcribed the testimony  | 
at a hearing to any person interested, who may obtain a copy of  | 
the transcript of any proceedings at a hearing upon payment of  | 
the fee specified by the certified shorthand reporter. This  | 
charge is in addition to any fee charged by the
Department for  | 
certifying the record.
 | 
(Source: P.A. 91-239, eff. 1-1-00.)
 | 
 (20 ILCS 2105/2105-117 new) | 
 Sec. 2105-117. Confidentiality. All information collected  | 
by the Department in the course of an examination or  | 
investigation of a licensee, registrant, or applicant,  | 
including, but not limited to, any complaint against a licensee  | 
or registrant filed with the Department and information  | 
collected to investigate any such complaint, shall be  | 
maintained for the confidential use of the Department and shall  | 
not be disclosed. The Department may not disclose the  | 
information to anyone other than law enforcement officials,  | 
other regulatory agencies that have an appropriate regulatory  | 
interest as determined by the Director, or a party presenting a  | 
lawful subpoena to the Department. Information and documents  | 
disclosed to a federal, State, county, or local law enforcement  | 
agency shall not be disclosed by the agency for any purpose to  | 
any other agency or person. A formal complaint filed against a  | 
 | 
licensee or registrant by the Department or any order issued by  | 
the Department against a licensee, registrant, or applicant  | 
shall be a public record, except as otherwise prohibited by  | 
law. 
 | 
 (20 ILCS 2105/2105-120) (was 20 ILCS 2105/60g)
 | 
 Sec. 2105-120. Board's report; registrant's motion for  | 
rehearing. 
 | 
 (a) The board shall present to the Director its written  | 
report of its
findings and recommendations. A copy of the  | 
report shall be served upon the
registrant, either personally  | 
or by registered mail as provided in Section
2105-100 for the  | 
service of the notice citation.
 | 
 (b) Within 20 days after the service required under  | 
subsection (a), the
registrant may present to the Department a  | 
motion in writing for a rehearing.
The written motion shall  | 
specify the particular grounds for a rehearing. If
the  | 
registrant orders and pays for a transcript of the record as  | 
provided in
Section 2105-115, the time elapsing thereafter and  | 
before the
transcript is ready for delivery to the registrant  | 
shall not be counted as
part of the 20 days.
 | 
(Source: P.A. 91-239, eff. 1-1-00; 91-357, eff. 7-29-99; 92-16,  | 
eff.
6-28-01.)
 | 
 (20 ILCS 2105/2105-125) (was 20 ILCS 2105/60h)
 | 
 Sec. 2105-125. Restoration of certificate. At any time  | 
 | 
after the successful completion of any term of suspension,  | 
revocation, placement on
probationary status, or other  | 
disciplinary action taken by the Department
with reference to  | 
any certificate, including payment of any fine, the Department  | 
may restore it to the
registrant without examination, upon the  | 
written recommendation of the
appropriate board.
 | 
(Source: P.A. 91-239, eff. 1-1-00.)
 | 
 (20 ILCS 2105/2105-175) (was 20 ILCS 2105/60a in part)
 | 
 Sec. 2105-175. Reexaminations or rehearings. Whenever the  | 
Director is satisfied that substantial justice has not
been  | 
done either in an examination or in the revocation of, refusal  | 
to
renew, suspension, placing on probationary status,  | 
reprimanding, fining, or taking of
other disciplinary action as  | 
may be authorized in any licensing Act
administered by the  | 
Department with regard to a license, certificate, or
authority,  | 
the Director may order reexaminations or rehearings by
the same  | 
or
other examiners or hearing officers.
 | 
(Source: P.A. 91-239, eff. 1-1-00.)
 | 
 (20 ILCS 2105/2105-200) (was 20 ILCS 2105/60.1)
 | 
 Sec. 2105-200. Index of formal decisions regarding  | 
disciplinary action. The
Department shall maintain an index
of
 | 
formal decisions regarding the issuance of or refusal to issue
 | 
licenses, the renewal of or
refusal to renew licenses, the  | 
revocation or suspension of
licenses, and probationary
or other  | 
 | 
disciplinary action taken by the Department after August 31,  | 
1971
(the effective
date of Public Act 77-1400). The
decisions  | 
shall be indexed
according to the statutory Section and the  | 
administrative
regulation, if
any, that is the basis for the  | 
decision. The index shall be
available to
the public during  | 
regular business hours.
 | 
(Source: P.A. 91-239, eff. 1-1-00.)
 | 
 (20 ILCS 2105/2105-205) (was 20 ILCS 2105/60.3)
 | 
 Sec. 2105-205. Publication of disciplinary actions. The
 | 
Department shall publish on its website, at least monthly,  | 
final disciplinary actions taken by
the Department against a  | 
licensee or applicant pursuant to any licensing Act  | 
administered by the Department the Medical Practice
Act of  | 
1987. The specific disciplinary action and the name of the  | 
applicant or
licensee shall be listed. This publication shall  | 
be made available to the
public upon request and payment of the  | 
fees set by the Department. This
publication may be made  | 
available to the public on the Internet through the
State of  | 
Illinois World Wide Web site.
 | 
(Source: P.A. 90-14, eff. 7-1-97; 91-239, eff. 1-1-00.)
 | 
 (20 ILCS 2105/2105-300) (was 20 ILCS 2105/61e)
 | 
 Sec. 2105-300. Professions Indirect Cost Fund;  | 
allocations;
analyses. | 
 (a) Appropriations for the direct and allocable indirect  | 
 | 
costs of licensing
and regulating each regulated profession,  | 
trade, occupation, or industry are intended to
be payable from  | 
the fees and fines that are assessed and collected from that
 | 
profession, trade, occupation, or industry, to the extent that  | 
those fees and fines are
sufficient. In any fiscal year in  | 
which the fees and fines generated by a
specific profession,  | 
trade, occupation, or industry are insufficient to finance the
 | 
necessary direct and allocable indirect costs of licensing and  | 
regulating that
profession, trade,
occupation, or industry,  | 
the remainder of those costs shall be
financed from  | 
appropriations payable from revenue sources other than fees and
 | 
fines. The direct and allocable indirect costs of the  | 
Department identified in
its cost allocation plans that are not  | 
attributable to the licensing and
regulation of a specific  | 
profession, trade, or occupation, or industry or group of
 | 
professions, trades, occupations, or industries shall be  | 
financed from appropriations from
revenue sources other than  | 
fees and fines.
 | 
 (b) The Professions Indirect Cost Fund is hereby created as  | 
a special fund
in the State Treasury. Except as provided in  | 
subsection (e), the Fund may receive transfers of moneys  | 
authorized by
the Department from the cash balances in special
 | 
funds that receive revenues from the fees and fines associated  | 
with the
licensing of regulated professions, trades,  | 
occupations, and industries by the Department. For purposes of  | 
this Section only, until June 30, 2010, the Fund may also  | 
 | 
receive transfers of moneys authorized by the Department from  | 
the cash balances in special funds that receive revenues from  | 
the fees and fines associated with the licensing of regulated  | 
professions, trades, occupations, and industries by the  | 
Department of Insurance.
Moneys in the Fund shall be invested  | 
and earnings on the investments shall
be retained in the Fund.
 | 
Subject to appropriation, the Department shall use moneys in  | 
the Fund to pay
the ordinary and necessary allocable indirect  | 
expenses associated with each of
the regulated professions,  | 
trades,
occupations, and industries.
 | 
 (c) Before the beginning of each fiscal year, the  | 
Department shall prepare
a cost allocation analysis to be used  | 
in establishing the necessary
appropriation levels for each  | 
cost purpose and revenue source. At the
conclusion of each  | 
fiscal year, the Department shall prepare a cost allocation
 | 
analysis reflecting the extent of the variation between how the  | 
costs were
actually financed in that year and the planned cost  | 
allocation for that year.
Variations between the planned and  | 
actual cost allocations for the prior fiscal
year shall be  | 
adjusted into the Department's planned cost allocation for the
 | 
next fiscal year.
 | 
 Each cost allocation analysis shall separately identify  | 
the direct and
allocable indirect costs of each regulated  | 
profession, trade, occupation, or industry and
the costs of the  | 
Department's general public health and safety purposes.
The  | 
analyses shall determine whether the direct and allocable  | 
 | 
indirect
costs of each regulated profession, trade,
 | 
occupation, or industry and the costs of the
Department's  | 
general public health and safety purposes are sufficiently
 | 
financed from their respective funding sources. The Department  | 
shall prepare
the cost allocation analyses in consultation with  | 
the respective regulated
professions, trades, occupations, and  | 
industries and shall make copies of the analyses
available to  | 
them in a timely fashion. For purposes of this Section only,  | 
until June 30, 2010, the Department shall include in its cost  | 
allocation analysis the direct and allocable indirect costs of  | 
each regulated profession, trade, occupation, or industry and  | 
the costs of the general public health and safety purposes of  | 
the Department of Insurance.
 | 
 (d) Except as provided in subsection (e), the Department  | 
may direct the State Comptroller and Treasurer to
transfer  | 
moneys from the special funds that receive fees and fines  | 
associated
with regulated professions, trades, occupations,  | 
and industries into the Professions
Indirect Cost Fund in  | 
accordance with the Department's cost allocation analysis
plan  | 
for the applicable fiscal year. For a given fiscal year, the  | 
Department
shall not direct the transfer of moneys under this  | 
subsection from a special
fund associated with a specific  | 
regulated profession, trade, occupation, or industry (or
group  | 
of professions, trades, occupations, or industries) in an  | 
amount exceeding the
allocable indirect costs associated with  | 
that profession, trade, occupation, or industry
(or group of  | 
 | 
professions, trades, occupations, or industries) as provided  | 
in the cost
allocation analysis for that fiscal year and  | 
adjusted for allocation variations
from the prior fiscal year.  | 
No direct costs identified in the cost allocation
plan shall be  | 
used as a basis for transfers into the Professions Indirect  | 
Cost
Fund or for expenditures from the Fund.
 | 
 (e) No transfer may be made to the Professions Indirect  | 
Cost Fund under this Section from the Public Pension Regulation  | 
Fund.  | 
(Source: P.A. 95-950, eff. 8-29-08; 96-45, eff. 7-15-09.)
 | 
 (20 ILCS 2105/2105-325) (was 20 ILCS 2105/60a in part)
 | 
 Sec. 2105-325. Board member expenses compensation. Except  | 
as otherwise provided in
any licensing Act, from amounts  | 
appropriated
for compensation and expenses of boards, each  | 
member of each board
shall
receive compensation at a rate,  | 
established by the Director, not to exceed
$50 per day, for the  | 
member's
service and shall be reimbursed for the member's  | 
expenses
necessarily incurred
in relation to that service in  | 
accordance with the travel
regulations applicable
to the  | 
Department at the time the expenses are incurred.
 | 
(Source: P.A. 91-239, eff. 1-1-00.)
 | 
 (20 ILCS 2105/2105-400)
 | 
 Sec. 2105-400. Emergency Powers. | 
 (a) Upon proclamation of a disaster by the Governor, as  | 
 | 
provided for in the Illinois Emergency Management Agency Act,  | 
the Secretary of Financial and Professional Regulation shall  | 
have the following powers, which shall be exercised only in  | 
coordination with the Illinois Emergency Management Agency and  | 
the Department of Public Health:
 | 
  (1) The power to suspend the requirements for permanent  | 
 or temporary licensure of persons who are licensed in  | 
 another state and are working under the direction of the  | 
 Illinois Emergency Management Agency and the Department of  | 
 Public Health pursuant to a declared disaster. | 
  (2) The power to modify the scope of practice  | 
 restrictions under any licensing act administered by the  | 
 Department for any person working under the direction of  | 
 the Illinois Emergency Management Agency and the Illinois  | 
 Department of Public Health pursuant to the declared  | 
 disaster. | 
  (3) The power to expand the exemption in Section 4(a)  | 
 of the Pharmacy Practice Act to those licensed  | 
 professionals whose scope of practice has been modified,  | 
 under paragraph (2) of subsection (a) of this Section, to  | 
 include any element of the practice of pharmacy as defined  | 
 in the Pharmacy Practice Act for any person working under  | 
 the direction of the Illinois Emergency Management Agency  | 
 and the Illinois Department of Public Health pursuant to  | 
 the declared disaster. | 
 (b) Persons exempt from licensure under paragraph (1) of  | 
 | 
subsection (a) of this Section and persons operating under  | 
modified scope of practice provisions under paragraph (2) of  | 
subsection (a) of this Section shall be exempt from licensure  | 
or be subject to modified scope of practice only until the  | 
declared disaster has ended as provided by law. For purposes of  | 
this Section, persons working under the direction of an  | 
emergency services and disaster agency accredited by the  | 
Illinois Emergency Management Agency and a local public health  | 
department, pursuant to a declared disaster, shall be deemed to  | 
be working under the direction of the Illinois Emergency  | 
Management Agency and the Department of Public Health.
 | 
 (c) The Secretary or the Director, as his or her designee,  | 
shall exercise these powers by way of proclamation.
 | 
(Source: P.A. 94-733, eff. 4-27-06; 95-689, eff. 10-29-07.)
 | 
 (20 ILCS 2105/2105-150 rep.)
 | 
 (20 ILCS 2105/2105-350 rep.) | 
 Section 910. The Department of Professional Regulation Law  | 
of the
Civil Administrative Code of Illinois is amended by  | 
repealing Sections 2105-150 and 2105-350.
 | 
 Section 915. The Clinical Psychologist Licensing Act is  | 
amended by changing Section 3 and by adding Section 24.2 as  | 
follows:
 | 
 (225 ILCS 15/3) (from Ch. 111, par. 5353)
 | 
 | 
 (Section scheduled to be repealed on January 1, 2017)
 | 
 Sec. 3. Necessity of license; corporations, professional  | 
limited liability companies, partnerships, and
associations;  | 
display of license.
 | 
 (a) No individual, partnership, association or corporation
 | 
shall, without a valid license as a clinical psychologist  | 
issued by the
Department, in any manner hold himself or herself  | 
out to the public as a
psychologist or clinical psychologist  | 
under the provisions of this Act or
render or offer to render  | 
clinical psychological services as defined in
paragraph 7 of  | 
Section 2 of this Act; or attach the title "clinical
 | 
psychologist",
"psychologist"
or any other name or
designation  | 
which would in any way imply that he or she is able to practice
 | 
as a
clinical
psychologist; or offer to render or render, to  | 
individuals, corporations
or the public, clinical  | 
psychological services as defined in paragraph 7 of
Section 2  | 
of this Act.
 | 
 No person may engage in the practice of clinical  | 
psychology, as defined in
paragraph (5) of Section 2 of this  | 
Act, without a license granted under this
Act, except as
 | 
otherwise provided in this Act.
 | 
 (b) No association or partnership shall be granted a  | 
license and no professional limited liability company shall  | 
provide, attempt to provide, or offer to provide clinical  | 
psychological services unless every
member, partner, and  | 
employee of the association, or partnership, or professional  | 
 | 
limited liability company who
renders clinical psychological  | 
services holds
a currently valid license issued under this Act.
 | 
No license shall be issued by the Department to a corporation  | 
that (i)
has a stated purpose that includes clinical  | 
psychology, or (ii) practices or holds
itself out as available
 | 
to practice clinical psychology, unless it is organized under  | 
the
Professional Service Corporation Act.
 | 
 (c) Individuals, corporations, professional limited  | 
liability companies, partnerships, and associations may employ
 | 
practicum
students, interns or postdoctoral candidates seeking  | 
to fulfill
educational requirements or the professional  | 
experience
requirements needed to qualify for a license as a
 | 
clinical psychologist
to assist in the rendering of services,  | 
provided that such employees
function under the direct  | 
supervision, order, control and full professional
 | 
responsibility of a licensed clinical psychologist in the  | 
corporation, professional limited liability company,
 | 
partnership, or association. Nothing in this paragraph shall  | 
prohibit a
corporation, professional limited liability  | 
company, partnership, or association from contracting with a  | 
licensed
health care professional to provide services.
 | 
 (c-5) Nothing in this Act shall preclude individuals  | 
licensed under this Act from practicing directly or indirectly  | 
for a physician licensed to practice medicine in all its  | 
branches under the Medical Practice Act of 1987 or for any  | 
legal entity as provided under subsection (c) of Section 22.2  | 
 | 
of the Medical Practice Act of 1987.  | 
 Nothing in this Act shall preclude individuals licensed  | 
under this Act from practicing directly or indirectly for any  | 
hospital licensed under the Hospital Licensing Act or any  | 
hospital affiliate as defined in Section 10.8 of the Hospital  | 
Licensing Act and any hospital authorized under the University  | 
of Illinois Hospital Act.  | 
 (d) Nothing in this Act shall prevent the employment, by a  | 
clinical
psychologist, individual,
association, partnership,  | 
professional limited liability company, or a corporation  | 
furnishing clinical psychological services
for remuneration,  | 
of persons not licensed as clinical psychologists under
the  | 
provisions of this Act to perform services in various  | 
capacities as
needed, provided that such persons are not in any  | 
manner held out to the
public as rendering clinical  | 
psychological services as defined in paragraph
7 of Section 2  | 
of this Act. Nothing contained in this Act shall require any
 | 
hospital, clinic, home
health agency, hospice, or other entity  | 
that provides health care services to
employ or to contract  | 
with a clinical psychologist licensed under this Act to
perform  | 
any of the activities under paragraph (5) of Section 2 of this  | 
Act.
 | 
 (e) Nothing in this Act shall
be construed to limit the  | 
services and use of official title on the part
of a person, not  | 
licensed under the
provisions of this Act, in the employ of a  | 
State, county or municipal
agency or other political  | 
 | 
subdivision insofar that such services are a part of
the
duties  | 
in his or her salaried position, and insofar that such services  | 
are
performed solely on behalf of his or her employer.
 | 
 Nothing contained in this Section shall be construed as  | 
permitting such
person to offer their services as psychologists  | 
to any other persons and to
accept remuneration for such  | 
psychological services other than as
specifically excepted  | 
herein, unless they have been licensed under the
provisions of  | 
this Act.
 | 
 (f) Duly recognized members of any bonafide religious  | 
denomination shall
not be restricted from functioning in their  | 
ministerial capacity provided
they do not represent themselves  | 
as being clinical psychologists or
providing clinical  | 
psychological services.
 | 
 (g) Nothing in this Act shall prohibit individuals not  | 
licensed under
the provisions of this Act who work in self-help  | 
groups or programs or
not-for-profit organizations from  | 
providing services
in those groups, programs, or  | 
organizations, provided that such persons
are not in any manner  | 
held out to the public as rendering clinical
psychological  | 
services as defined in paragraph 7 of Section 2 of this Act.
 | 
 (h) Nothing in this Act shall be construed to prevent a  | 
person from
practicing hypnosis without a license issued under  | 
this Act provided that
the person (1) does not otherwise engage  | 
in the practice of clinical
psychology
including, but not  | 
limited to, the independent evaluation, classification, and
 | 
 | 
treatment of mental, emotional, behavioral, or nervous  | 
disorders or conditions,
developmental disabilities,  | 
alcoholism and substance abuse, disorders of habit
or conduct,  | 
the psychological aspects of physical illness, (2) does not
 | 
otherwise engage in the practice of medicine including, but not  | 
limited to, the
diagnosis or treatment of physical or mental  | 
ailments or conditions, and (3)
does not
hold himself or  | 
herself out to the public by a title or description stating or
 | 
implying
that the individual is a clinical psychologist or is  | 
licensed to practice
clinical psychology.
 | 
 (i) Every licensee under this Act shall prominently display  | 
the license at the licensee's principal office, place of  | 
business, or place of employment and, whenever requested by any  | 
representative of the Department, must exhibit the license.
 | 
(Source: P.A. 94-870, eff. 6-16-06.)
 | 
 (225 ILCS 15/24.2 new) | 
 Sec. 24.2. Confidentiality. All information collected by  | 
the Department in the course of an examination or investigation  | 
of a licensee or applicant, including, but not limited to, any  | 
complaint against a licensee filed with the Department and  | 
information collected to investigate any such complaint, shall  | 
be maintained for the confidential use of the Department and  | 
shall not be disclosed. The Department may not disclose the  | 
information to anyone other than law enforcement officials,  | 
other regulatory agencies that have an appropriate regulatory  | 
 | 
interest as determined by the Secretary, or a party presenting  | 
a lawful subpoena to the Department. Information and documents  | 
disclosed to a federal, State, county, or local law enforcement  | 
agency shall not be disclosed by the agency for any purpose to  | 
any other agency or person. A formal complaint filed against a  | 
licensee by the Department or any order issued by the  | 
Department against a licensee or applicant shall be a public  | 
record, except as otherwise prohibited by law.
 | 
 Section 920. The Clinical Social Work and Social Work  | 
Practice Act is amended by changing Section 10 and by adding  | 
Section 34.1 as follows:
 | 
 (225 ILCS 20/10) (from Ch. 111, par. 6360)
 | 
 (Section scheduled to be repealed on January 1, 2018)
 | 
 Sec. 10. License restrictions and limitations. 
 | 
 (a) No person shall, without a license as a social worker
 | 
issued by the Department: (i) in any manner hold himself or  | 
herself out to the
public as a social worker under this Act;  | 
(ii) use the title "social worker" or
"licensed social worker";  | 
or (iii) offer to render to individuals,
corporations, or the  | 
public social work services if the words "social work" or
 | 
"licensed social worker" are used to describe the person  | 
offering to render or
rendering the services or to describe the  | 
services rendered or offered to be
rendered.
 | 
 (b) No person shall, without a license as a clinical social  | 
 | 
worker
issued by the Department: (i) in any manner hold himself  | 
or herself out to the
public as a clinical social worker or  | 
licensed clinical social worker under
this Act; (ii) use the  | 
title "clinical social worker" or "licensed clinical
social  | 
worker"; or (iii) offer to render to individuals, corporations,  | 
or the
public clinical social work services if the words  | 
"licensed clinical social
worker" or "clinical social work" are  | 
used to describe the person to render or
rendering the services  | 
or to describe the
services rendered or offered to be rendered.
 | 
 (c) Licensed social workers may not engage in independent  | 
practice of
clinical social work without a clinical social  | 
worker license. In independent
practice, a licensed social  | 
worker shall practice at all times under the order,
control,  | 
and full professional responsibility of a licensed clinical  | 
social
worker, a licensed clinical psychologist, or a  | 
psychiatrist, as defined in
Section 1-121 of the Mental Health  | 
and Developmental Disabilities Code.
 | 
 (d) No association, or partnership, or professional  | 
limited liability company shall provide, attempt to provide, or  | 
offer to provide social work or clinical social work services  | 
be granted a license unless every
member, partner, and employee  | 
of the association, or partnership, or professional limited  | 
liability company who practices
social work or clinical social  | 
work, or who renders social work or clinical
social work  | 
services, holds a current license issued under this Act.
No  | 
business shall provide, attempt to provide, or offer to provide  | 
 | 
social work or clinical social work services license shall be  | 
issued to a corporation, the stated purpose of which
includes  | 
or that practices or holds itself out as available to practice
 | 
social work or clinical social work unless it is organized  | 
under the
Professional Service Corporation Act, the Medical  | 
Corporation Act, or the Professional Limited Liability Company  | 
Act.
 | 
 (e) Nothing in this Act shall preclude individuals licensed  | 
under this Act from practicing directly or indirectly for a  | 
physician licensed to practice medicine in all its branches  | 
under the Medical Practice Act of 1987 or for any legal entity  | 
as provided under subsection (c) of Section 22.2 of the Medical  | 
Practice Act of 1987.  | 
 Nothing in this Act shall preclude individuals licensed  | 
under this Act from practicing directly or indirectly for any  | 
hospital licensed under the Hospital Licensing Act or any  | 
hospital affiliate as defined in Section 10.8 of the Hospital  | 
Licensing Act and any hospital authorized under the University  | 
of Illinois Hospital Act.  | 
(Source: P.A. 90-150, eff. 12-30-97.)
 | 
 (225 ILCS 20/34.1 new) | 
 Sec. 34.1. Confidentiality. All information collected by  | 
the Department in the course of an examination or investigation  | 
of a licensee or applicant, including, but not limited to, any  | 
complaint against a licensee filed with the Department and  | 
 | 
information collected to investigate any such complaint, shall  | 
be maintained for the confidential use of the Department and  | 
shall not be disclosed. The Department may not disclose the  | 
information to anyone other than law enforcement officials,  | 
other regulatory agencies that have an appropriate regulatory  | 
interest as determined by the Secretary, or a party presenting  | 
a lawful subpoena to the Department. Information and documents  | 
disclosed to a federal, State, county, or local law enforcement  | 
agency shall not be disclosed by the agency for any purpose to  | 
any other agency or person. A formal complaint filed against a  | 
licensee by the Department or any order issued by the  | 
Department against a licensee or applicant shall be a public  | 
record, except as otherwise prohibited by law.
 | 
 (225 ILCS 20/18 rep.)
 | 
 Section 925. The Clinical Social Work and Social Work  | 
Practice Act is amended by repealing Section 18.
 | 
 Section 930. The Marriage and Family Therapy Licensing Act  | 
is amended by changing Section 75 and by adding Section 156 as  | 
follows:
 | 
 (225 ILCS 55/75) (from Ch. 111, par. 8351-75)
 | 
 (Section scheduled to be repealed on January 1, 2018)
 | 
 Sec. 75. License restrictions and limitations. Practice by  | 
corporations. No association, partnership, or professional  | 
 | 
limited liability company shall provide, attempt to provide, or  | 
offer to provide marriage and family therapy services unless  | 
every member, partner, and employee of the association,  | 
partnership, or professional limited liability company who  | 
practices marriage and family therapy or who renders marriage  | 
and family therapy services holds a current license issued  | 
under this Act. No business shall provide, attempt to provide,  | 
or offer to provide license shall be issued by the
Department  | 
to any corporation (i) that has a stated purpose that includes,
 | 
or (ii) that practices or holds itself out as available to  | 
practice,
marriage and family therapy services , unless it is  | 
organized under the Professional
Service Corporation Act or  | 
Professional Limited Liability Company Act. Nothing in this Act  | 
shall preclude individuals licensed under this Act from  | 
practicing directly or indirectly for a physician licensed to  | 
practice medicine in all its branches under the Medical  | 
Practice Act of 1987 or for any legal entity as provided under  | 
subsection (c) of Section 22.2 of the Medical Practice Act of  | 
1987.
 | 
(Source: P.A. 87-783.)
 | 
 (225 ILCS 55/156 new) | 
 Sec. 156. Confidentiality. All information collected by  | 
the Department in the course of an examination or investigation  | 
of a licensee or applicant, including, but not limited to, any  | 
complaint against a licensee filed with the Department and  | 
 | 
information collected to investigate any such complaint, shall  | 
be maintained for the confidential use of the Department and  | 
shall not be disclosed. The Department may not disclose the  | 
information to anyone other than law enforcement officials,  | 
other regulatory agencies that have an appropriate regulatory  | 
interest as determined by the Secretary, or a party presenting  | 
a lawful subpoena to the Department. Information and documents  | 
disclosed to a federal, State, county, or local law enforcement  | 
agency shall not be disclosed by the agency for any purpose to  | 
any other agency or person. A formal complaint filed against a  | 
licensee by the Department or any order issued by the  | 
Department against a licensee or applicant shall be a public  | 
record, except as otherwise prohibited by law.
 | 
 Section 935. The Professional Counselor and Clinical  | 
Professional Counselor
Licensing and Practice Act is amended by  | 
changing Section 20 as follows:
 | 
 (225 ILCS 107/20)
 | 
 (Section scheduled to be repealed on January 1, 2023)
 | 
 Sec. 20. Restrictions and limitations. 
 | 
 (a) No person shall, without a valid license as a  | 
professional
counselor issued by the Department: (i) in any  | 
manner hold himself or
herself out to the public as a  | 
professional counselor
under this Act; (ii) attach the title  | 
"professional counselor" or "licensed
professional
counselor";  | 
 | 
or (iii) offer to render or render to individuals,
 | 
corporations, or the public professional counseling services.
 | 
 (b) No person shall, without a valid license as a clinical  | 
professional
counselor issued by the Department: (i) in any  | 
manner hold himself or
herself out to the public as a clinical  | 
professional counselor or licensed
clinical professional  | 
counselor
under this Act; (ii) attach the title "clinical  | 
professional counselor" or
"licensed clinical professional
 | 
counselor"; or (iii) offer to render to individuals,  | 
corporations, or the
public clinical professional counseling  | 
services.
 | 
 (c) (Blank).
 | 
 (d) No association, limited liability company,  | 
professional limited liability company, or partnership shall  | 
provide, attempt to provide, or offer to provide
practice  | 
clinical professional counseling or professional counseling  | 
services unless
every member, partner, and employee of the  | 
association, limited liability company, professional limited  | 
liability company, or partnership who
practices professional  | 
counseling or clinical professional counseling,
or who renders  | 
professional counseling or clinical
professional counseling  | 
services, holds a currently
valid license issued under this  | 
Act. No business shall provide, attempt to provide, or offer to  | 
provide license shall be issued to a
corporation, the stated  | 
purpose of which includes or which practices or
which holds  | 
itself out as available to practice professional counseling or
 | 
 | 
clinical professional counseling services unless it is  | 
organized under the
Professional Service Corporation Act or  | 
Professional Limited Liability Company Act.
 | 
 (d-5) Nothing in this Act shall preclude individuals  | 
licensed under this Act from practicing directly or indirectly  | 
for a physician licensed to practice medicine in all its  | 
branches under the Medical Practice Act of 1987 or for any  | 
legal entity as provided under subsection (c) of Section 22.2  | 
of the Medical Practice Act of 1987.  | 
 (e) Nothing in this Act shall be construed as permitting  | 
persons
licensed as professional counselors or clinical  | 
professional counselors to
engage in any manner in the practice  | 
of medicine in all its branches as defined
by law in this  | 
State.
 | 
 (f) When, in the course of providing professional  | 
counseling or clinical
professional counseling services to any  | 
person, a professional counselor or
clinical professional  | 
counselor licensed under this Act finds indication of
a disease  | 
or condition that in his or her professional judgment requires
 | 
professional service outside the scope of practice as defined  | 
in this Act,
he or she shall refer that person to a physician  | 
licensed to practice
medicine in all of its branches or another  | 
appropriate health care
practitioner.
 | 
(Source: P.A. 97-706, eff. 6-25-12.)
 | 
 Section 940. The Sex Offender Evaluation and Treatment  | 
 | 
Provider Act is amended by changing Section 40 as follows:
 | 
 (225 ILCS 109/40)
 | 
 Sec. 40. Application; exemptions.  | 
 (a) No person may act as a sex offender evaluator, sex  | 
offender treatment provider, or associate sex offender  | 
provider as defined in this Act for the provision of sex  | 
offender evaluations or sex offender treatment pursuant to the  | 
Sex Offender Management Board Act, the Sexually Dangerous  | 
Persons Act, or the Sexually Violent Persons Commitment Act  | 
unless the person is licensed to do so by the Department. Any  | 
evaluation or treatment services provided by a licensed health  | 
care professional not licensed under this Act shall not be  | 
valid under the Sex Offender Management Board Act, the Sexually  | 
Dangerous Persons Act, or the Sexually Violent Persons  | 
Commitment Act. No business shall provide, attempt to provide,  | 
or offer to provide sex offender evaluation services unless it  | 
is organized under the Professional Service Corporation Act,  | 
the Medical Corporation Act, or the Professional Limited  | 
Liability Company Act. | 
 (b) Nothing in this Act shall be construed to require any  | 
licensed physician, advanced practice nurse, physician  | 
assistant, or other health care professional to be licensed  | 
under this Act for the provision of services for which the  | 
person is otherwise licensed. This Act does not prohibit a
 | 
person licensed under any other Act in this State from engaging
 | 
 | 
in the practice for which he or she is licensed. This Act only  | 
applies to the provision of sex offender evaluations or sex  | 
offender treatment provided for the purposes of complying with  | 
the Sex Offender Management Board Act, the Sexually Dangerous  | 
Persons Act, or the Sexually Violent Persons Commitment Act.
 | 
(Source: P.A. 97-1098, eff. 7-1-13.)
 | 
 Section 945. The Collection Agency Act is amended by  | 
changing Sections 2, 2.03, 2.04, 3, 4, 4.5, 5, 7, 8, 8a, 8b,  | 
8c, 9, 9.1, 9.2, 9.3, 9.4, 9.5, 9.7, 9.22, 11, 13.1, 13.2, 14a,  | 
14b, 16, 17, 18, 19, 20, 21, 22, 23, 24, 25, 26, and 27 and by  | 
adding Sections 30, 35, 40, 45, 50, and 55 as follows:
 | 
 (225 ILCS 425/2) (from Ch. 111, par. 2002)
 | 
 (Section scheduled to be repealed on January 1, 2016)
 | 
 Sec. 2. Definitions. In this Act:
 | 
 "Address of record" means the designated address recorded  | 
by the Department in the applicant's or licensee's application  | 
file or license file as maintained by the Department's  | 
licensure maintenance unit. It is the duty of the applicant or  | 
licensee to inform the Department of any change of address and  | 
those changes must be made either through the Department's  | 
website or by contacting the Department. | 
 "Board" means the Collection Agency Licensing and  | 
Disciplinary Board.  | 
 "Charge-off balance" means an account principal and other  | 
 | 
legally collectible costs, expenses, and interest accrued  | 
prior to the charge-off date, less any payments or settlement.  | 
 "Charge-off date" means the date on which a receivable is  | 
treated as a loss or expense.  | 
 "Credit Consumer credit transaction" means a transaction  | 
between a natural person and another person in which property,  | 
service, or money is acquired on credit by that natural person  | 
from such other person primarily for personal, family, or  | 
household purposes. | 
 "Consumer debt" or "consumer credit" means money,  | 
property, or their equivalent, due or owing or alleged to be  | 
due or owing from a natural person by reason of a consumer  | 
credit transaction. | 
 "Creditor" means a person who extends consumer credit to a  | 
debtor. | 
 "Current balance" means the charge-off balance plus any  | 
legally collectible costs, expenses, and interest, less any  | 
credits or payments.  | 
 "Debt" means money, property, or their equivalent which is  | 
due or owing or alleged to be due or owing from a natural  | 
person to another person. | 
 "Debt buyer" means a person or entity that is engaged in  | 
the business of purchasing delinquent or charged-off consumer  | 
loans or consumer credit accounts or other delinquent consumer  | 
debt for collection purposes, whether it collects the debt  | 
itself or hires a third-party for collection or an  | 
 | 
attorney-at-law for litigation in order to collect such debt.  | 
 "Debt collection" means any act or practice in connection  | 
with the collection of consumer debts. | 
 "Debt collector", "collection agency", or "agency" means  | 
any person who, in the ordinary course of business, regularly,  | 
on behalf of himself or herself or others, engages in debt  | 
collection. | 
 "Debtor" means a natural person from whom a collection  | 
agency debt collector seeks to collect a consumer or commercial  | 
debt that is due and owing or alleged to be due and owing from  | 
such person. | 
 "Department" means Division of Professional Regulation  | 
within the Department of Financial and Professional  | 
Regulation. | 
 "Director" means the Director of the Division of  | 
Professional Regulation within the Department of Financial and  | 
Professional Regulation. | 
 "Person" means a natural person, partnership, corporation,  | 
limited liability company, trust, estate, cooperative,  | 
association, or other similar entity.
 | 
 "Licensed collection agency" means a person who is licensed  | 
under this Act to engage in the practice of debt collection in  | 
Illinois. | 
 "Secretary" means the Secretary of Financial and  | 
Professional Regulation.  | 
(Source: P.A. 97-1070, eff. 1-1-13.)
 | 
 | 
 (225 ILCS 425/2.03) (from Ch. 111, par. 2005)
 | 
 (Section scheduled to be repealed on January 1, 2016)
 | 
 Sec. 2.03. Exemptions. This Act does not
apply to persons  | 
whose collection activities are
confined to and are directly  | 
related to the operation of a business other
than that of a  | 
collection agency, and specifically does not include the
 | 
following:
 | 
  1. Banks, including trust departments, affiliates, and  | 
 subsidiaries thereof, fiduciaries, and
financing and  | 
 lending institutions (except those who own or operate
 | 
 collection agencies);
 | 
  2. Abstract companies doing an escrow business;
 | 
  3. Real estate brokers when acting in the pursuit of  | 
 their profession;
 | 
  4. Public officers and judicial officers acting under  | 
 order of a court;
 | 
  5. Licensed attorneys at law;
 | 
  6. Insurance companies;
 | 
  7. Credit unions, including affiliates and  | 
 subsidiaries thereof (except those who own or operate  | 
 collection agencies);
 | 
  8. Loan and finance companies, including entities  | 
 licensed pursuant to the Residential Mortgage License Act  | 
 of 1987;
 | 
  9. Retail stores collecting their own accounts;
 | 
 | 
  10. Unit Owner's Associations established under the  | 
 Condominium Property
Act, and their duly authorized  | 
 agents, when collecting assessments from
unit owners; and
 | 
  11. Any person or business under contract with a  | 
 creditor to notify the
creditor's debtors of a debt using  | 
 only the creditor's name.
 | 
(Source: P.A. 95-437, eff. 1-1-08.)
 | 
 (225 ILCS 425/2.04) (from Ch. 111, par. 2005.1)
 | 
 (Section scheduled to be repealed on January 1, 2016)
 | 
 Sec. 2.04. Child support debt indebtedness. 
 | 
 (a) Collection agencies Persons, associations,  | 
partnerships, corporations, or other legal entities engaged in  | 
the
business of collecting child support debt indebtedness  | 
owing under a court order
as provided under the Illinois Public  | 
Aid Code, the Illinois Marriage and
Dissolution of Marriage  | 
Act, the Non-Support of Spouse and Children Act,
the  | 
Non-Support Punishment Act, the Illinois Parentage Act of 1984,  | 
or
similar laws of other states
are not
restricted (i) in the  | 
frequency of contact with an obligor who is in arrears,
whether  | 
by phone, mail, or other means, (ii) from contacting the  | 
employer of an
obligor who is in arrears, (iii) from publishing  | 
or threatening to publish a
list of obligors in arrears, (iv)  | 
from disclosing or threatening to disclose an
arrearage that  | 
the obligor disputes, but for which a verified notice of
 | 
delinquency has been served under the Income Withholding for  | 
 | 
Support Act (or
any of its predecessors, Section 10-16.2 of the  | 
Illinois Public Aid
Code, Section 706.1 of the Illinois  | 
Marriage and Dissolution of Marriage Act,
Section 22 4.1 of the  | 
Non-Support Punishment of Spouse and Children Act, Section 26.1  | 
of the
Revised Uniform Reciprocal Enforcement of Support Act,  | 
or Section 20 of the
Illinois Parentage Act of 1984), or (v)  | 
from engaging in conduct that would
not
cause a reasonable  | 
person mental or physical illness. For purposes of this
 | 
subsection, "obligor" means an individual who owes a duty to  | 
make periodic
payments, under a court order, for the support of  | 
a child. "Arrearage" means
the total amount of an obligor's  | 
unpaid child support obligations.
 | 
 (a-5) A collection agency may not impose a fee or charge,  | 
including costs, for any child support payments collected  | 
through the efforts of a federal, State, or local government  | 
agency, including but not limited to child support collected  | 
from federal or State tax refunds, unemployment benefits, or  | 
Social Security benefits. | 
 No collection agency that collects child support payments  | 
shall (i) impose a charge or fee, including costs, for  | 
collection of a current child support payment, (ii) fail to  | 
apply collections to current support as specified in the order  | 
for support before applying collection to arrears or other  | 
amounts, or (iii) designate a current child support payment as  | 
arrears or other amount owed. In all circumstances, the  | 
collection agency shall turn over to the obligee all support  | 
 | 
collected in a month up to the amount of current support  | 
required to be paid for that month. | 
 As to any fees or charges, including costs, retained by the  | 
collection agency, that agency shall provide documentation to  | 
the obligee demonstrating that the child support payments  | 
resulted from the actions of the agency. | 
 After collection of the total amount or arrearage,  | 
including statutory interest, due as of the date of execution  | 
of the collection contract, no further fees may be charged. | 
 (a-10) The Department of Professional Regulation shall  | 
determine a fee rate of not less than 25% but not greater than  | 
35%, based upon presentation by the licensees as to costs to  | 
provide the service and a fair rate of return. This rate shall  | 
be established by administrative rule.
 | 
 Without prejudice to the determination by the Department of  | 
the appropriate rate through administrative rule, a collection  | 
agency shall impose a fee of not more than 29% of the amount of  | 
child support actually collected by the collection agency  | 
subject to the provisions of subsection (a-5). This interim  | 
rate is based upon the March 2002 General Account Office report  | 
"Child Support Enforcement", GAO-02-349. This rate shall apply  | 
until a fee rate is established by administrative rule.
 | 
 (b) The Department shall adopt rules necessary to  | 
administer and enforce
the provisions of this Section.
 | 
(Source: P.A. 93-896, eff. 8-10-04; 94-414, eff. 12-31-05.)
 | 
 | 
 (225 ILCS 425/3) (from Ch. 111, par. 2006)
 | 
 (Section scheduled to be repealed on January 1, 2016)
 | 
 Sec. 3. A person, association, partnership,
corporation,  | 
or other legal entity acts as a
collection agency when he, she,  | 
or it:
 | 
  (a) Engages in the business of collection for others of  | 
 any account, bill
or other debt indebtedness;
 | 
  (b) Receives, by assignment or otherwise, accounts,  | 
 bills, or other
debt indebtedness from any person owning or  | 
 controlling 20% or more of the
business receiving the  | 
 assignment, with the purpose of collecting monies
due on  | 
 such account, bill or other debt indebtedness;
 | 
  (c) Sells or attempts to sell, or gives away or  | 
 attempts to give away
to any other person, other than one  | 
 licensed registered under this Act, any system of
 | 
 collection, letters, demand forms, or other printed matter  | 
 where the name
of any person, other than that of the  | 
 creditor, appears in such a manner
as to indicate, directly  | 
 or indirectly, that a request or demand is being
made by  | 
 any person other than the creditor for the payment of the  | 
 sum or
sums due or asserted to be due;
 | 
  (d) Buys accounts, bills or other debt indebtedness
and  | 
 engages in collecting the same; or
 | 
  (e) Uses a fictitious name in collecting its own  | 
 accounts, bills, or debts
with the intention of conveying  | 
 to the debtor that a third party has been
employed to make  | 
 | 
 such collection; or . | 
  (f) Engages in the business of collection of a check or  | 
 other payment that is returned unpaid by the financial  | 
 institution upon which it is drawn. 
 | 
(Source: P.A. 94-414, eff. 12-31-05; 95-437, eff. 1-1-08.)
 | 
 (225 ILCS 425/4) (from Ch. 111, par. 2007)
 | 
 (Section scheduled to be repealed on January 1, 2016)
 | 
 Sec. 4. 
No collection agency shall operate in this State,  | 
directly or
indirectly
engage in the business of collecting  | 
debt, solicit debt claims for others, have a sales
office, a  | 
client, or solicit a client in this State, exercise
the right  | 
to collect, or receive payment for another of any debt account,  | 
bill
or other indebtedness, without obtaining a license  | 
registering under this Act except that no
collection agency  | 
shall be required to be licensed
or maintain an established  | 
business address
in this State if the
agency's activities in  | 
this State are limited to collecting debts from debtors
located  | 
in this State by means of interstate communication, including
 | 
telephone, mail, or facsimile transmission, electronic mail,  | 
or any other Internet communication from the agency's location  | 
in
another state provided they are licensed in that state and  | 
these
same privileges are permitted in that licensed state to
 | 
agencies licensed in Illinois.
 | 
(Source: P.A. 88-363; 89-387, eff. 1-1-96.)
 | 
 | 
 (225 ILCS 425/4.5)
 | 
 (Section scheduled to be repealed on January 1, 2016)
 | 
 Sec. 4.5. Unlicensed practice; violation; civil penalty. 
 | 
 (a) Any person who practices, offers to practice, attempts  | 
to practice, or
holds oneself out to practice as a collection  | 
agency without being licensed
under this Act shall, in
addition  | 
to any other penalty provided by law, pay a civil penalty to  | 
the
Department in an amount not to exceed $10,000 $5,000 for  | 
each offense as determined by
the Department. The civil penalty  | 
shall be assessed by the Department after a
hearing is held in  | 
accordance with the provisions set forth in this Act
regarding  | 
the provision of a hearing for the discipline of a licensee.
 | 
 (b) The Department has the authority and power to  | 
investigate any and all
unlicensed activity. In addition to  | 
taking any other action provided under this Act, whenever the  | 
Department has reason to believe a person, association,  | 
partnership, corporation, or other legal entity has violated  | 
any provision of subsection (a) of this Section, the Department  | 
may issue a rule to show cause why an order to cease and desist  | 
should not be entered against that person, association,  | 
partnership, corporation, or other legal entity. The rule shall  | 
clearly set forth the grounds relied upon by the Department and  | 
shall provide a period of 7 days from the date of the rule to  | 
file an answer to the satisfaction of the Department. Failure  | 
to answer to the satisfaction of the Department shall cause an  | 
order to cease and desist to be issued immediately.
 | 
 | 
 (c) The civil penalty shall be paid within 60 days after  | 
the effective date
of the order imposing the civil penalty. The  | 
order shall constitute a judgment
and may be filed and  | 
execution had thereon in the same manner as any judgment
from  | 
any court of record.
 | 
 (d) All moneys collected under this Section shall be  | 
deposited into the General Professions Dedicated Fund.  | 
(Source: P.A. 94-414, eff. 12-31-05.)
 | 
 (225 ILCS 425/5) (from Ch. 111, par. 2008)
 | 
 (Section scheduled to be repealed on January 1, 2016)
 | 
 Sec. 5. Application for original license. Application for  | 
an original license registration shall be made to the Secretary  | 
Director on
forms provided by the Department, shall be  | 
accompanied by the required fee
and shall state:
 | 
  (1) the applicant's name and address;
 | 
  (2) the names and addresses of the officers of the  | 
 collection agency
and, if the collection agency is a  | 
 corporation, the names and addresses
of all persons owning  | 
 10% or more of the stock of such corporation, if the  | 
 collection agency is a partnership, the names and addresses  | 
 of all partners of the partnership holding a 10% or more  | 
 interest in the partnership, and, if the collection agency  | 
 is a limited liability company, the names and addresses of  | 
 all members holding 10% or more interest in the limited  | 
 liability company, and if the collection agency is any  | 
 | 
 other legal business entity, the names and addresses of all  | 
 persons owning 10% or more interest in the entity; and
 | 
  (3) such other information as the Department may deem  | 
 necessary.
 | 
(Source: P.A. 94-414, eff. 12-31-05.)
 | 
 (225 ILCS 425/7) (from Ch. 111, par. 2010)
 | 
 (Section scheduled to be repealed on January 1, 2016)
 | 
 Sec. 7. Qualifications for license. In order to be  | 
qualified to obtain a license or a renewal license certificate  | 
or a renewal
certificate under this Act, a collection agency's  | 
officers shall:
 | 
 (a) be of
good moral character and of the age of 18 years  | 
or more;
 | 
 (b) (blank); and have had at least one year experience  | 
working in the credit field or
a related area, or be qualified  | 
for an original license under Section 6 (c)
of this Act;
 | 
 (c) have an acceptable credit rating, have no unsatisfied  | 
judgments; and not
have been officers and owners of 10% or more  | 
interest of a former licensee or registrant under this Act  | 
whose licenses or certificates
were suspended or revoked  | 
without subsequent reinstatement.
 | 
(Source: P.A. 89-387, eff. 1-1-96.)
 | 
 (225 ILCS 425/8) (from Ch. 111, par. 2011)
 | 
 (Section scheduled to be repealed on January 1, 2016)
 | 
 | 
 Sec. 8. Bond requirement. A Before issuing a certificate or  | 
renewing one, the Director shall require
each collection agency  | 
shall be required to file and maintain in force a surety bond,  | 
issued
by an insurance company authorized to transact fidelity  | 
and surety business
in the State of Illinois. The bond shall be  | 
for the benefit of creditors
who obtain a judgment from a court  | 
of competent jurisdiction based on the
failure of the agency to  | 
remit money collected on account and owed to the
creditor. No  | 
action on the bond shall be commenced more than one year after
 | 
the creditor obtains a judgment against the collection agency  | 
from a
court of competent jurisdiction.
The bond shall be in  | 
the form prescribed
by the Secretary Director in the sum of  | 
$25,000. The bond shall be continuous in
form and run  | 
concurrently with the original and each renewal license period
 | 
unless terminated by the insurance company. An insurance  | 
company may terminate
a bond and avoid further liability by  | 
filing a 60-day notice of termination
with the Department and  | 
at the same time sending the same notice to the
agency. A  | 
license certificate of registration shall be cancelled on the  | 
termination
date of the agency's bond unless a new bond is  | 
filed with the Department
to become effective at the  | 
termination date of the prior bond. If a license certificate
of  | 
registration has been cancelled under this Section, the agency  | 
must file
a new application and will be considered a new  | 
applicant if it obtains a
new bond.
 | 
(Source: P.A. 84-242.)
 | 
 | 
 (225 ILCS 425/8a) (from Ch. 111, par. 2011a)
 | 
 (Section scheduled to be repealed on January 1, 2016)
 | 
 Sec. 8a. Fees.   | 
 (a) The Department shall provide by rule for a schedule of
 | 
fees for the administration and enforcement of this Act,  | 
including but not
limited to original licensure, renewal, and  | 
restoration, shall be set by the Department by rule. The fees  | 
shall be
nonrefundable.
 | 
 (b) All fees collected under this Act shall be deposited  | 
into the General
Professions Dedicated Fund and shall be  | 
appropriated to the Department for the
ordinary and contingent  | 
expenses of the Department in the administration of
this Act.
 | 
(Source: P.A. 91-454, eff. 1-1-00.)
 | 
 (225 ILCS 425/8b) (from Ch. 111, par. 2011b)
 | 
 (Section scheduled to be repealed on January 1, 2016)
 | 
 Sec. 8b. Assignment for collection. An account may be  | 
assigned
to a collection agency for collection with title  | 
passing to the collection
agency to enable collection of
the  | 
account in the agency's name as assignee for the
creditor  | 
provided:
 | 
 (a) The assignment is manifested by a written agreement,  | 
separate from
and in addition to any document intended for the  | 
purpose of listing a debt
with a collection agency. The  | 
document manifesting the
assignment shall specifically state  | 
 | 
and include:
 | 
  (i) the effective date of the assignment; and
 | 
  (ii) the consideration for the assignment.
 | 
 (b) The consideration for the assignment may be paid or  | 
given either
before or after the effective date of the  | 
assignment. The consideration
may be contingent upon the  | 
settlement or outcome of litigation and if the
debt claim being  | 
assigned has been listed with the collection agency as an
 | 
account for collection, the consideration for assignment may be  | 
the same as
the fee for collection.
 | 
 (c) All assignments shall be voluntary and properly  | 
executed and
acknowledged by the corporate authority or  | 
individual transferring title to
the collection agency before  | 
any action can be taken in the name of the
collection agency.
 | 
 (d) No assignment shall be required by any agreement to  | 
list a
debt with
a collection agency as an account for  | 
collection.
 | 
 (e) No litigation shall commence in the name of the  | 
licensee as
plaintiff unless: (i) there is an assignment of the  | 
account that satisfies
the requirements of this Section and  | 
(ii) the licensee is
represented by a licensed attorney at law.
 | 
 (f) If a collection agency takes assignments of accounts  | 
from 2
or
more creditors against the same debtor and commences  | 
litigation against
that debtor in a single action, in the name  | 
of the collection agency, then
(i) the complaint must be stated  | 
in
separate counts for each assignment and (ii) the debtor has  | 
 | 
an absolute
right to have any count severed from the rest of  | 
the action.
 | 
(Source: P.A. 89-387, eff. 1-1-96.)
 | 
 (225 ILCS 425/8c) (from Ch. 111, par. 2011c)
 | 
 (Section scheduled to be repealed on January 1, 2016)
 | 
 Sec. 8c. 
(a) Each licensed collection agency office shall  | 
at all times maintain a
separate bank account in which all  | 
monies received on debts claims shall
be deposited, referred to  | 
as a "Trust Account", except that
negotiable instruments  | 
received may be forwarded directly to a creditor if
such  | 
procedure is provided for by a writing executed by the  | 
creditor.
Monies received shall be so deposited within 5  | 
business days after
posting to the agency's books of account.
 | 
 There shall be sufficient funds in the trust account at all  | 
times to pay
the creditors the amount due them.
 | 
 (b) The trust account shall be established in a bank,  | 
savings and loan
association, or other recognized depository  | 
which is federally or State
insured or otherwise secured as  | 
defined by rule. Such account may be
interest bearing. The  | 
licensee shall pay to the creditor interest earned
on funds on  | 
deposit after the sixtieth day.
 | 
 (c) Notwithstanding any contractual arrangement, every  | 
client of a
licensee shall within 60 days after the close of  | 
each calendar month, account
and pay to the licensee collection  | 
agency all sums owed to the collection
agency for payments  | 
 | 
received by the client during that calendar month on debts  | 
claims
in possession of the collection agency. If a client  | 
fails to pay the licensee
any sum due under this Section, the  | 
licensee shall, in addition to other
remedies provided by law,  | 
have the right to offset any money due the licensee
under this  | 
Section against any moneys due the client.
 | 
 (d) Each collection agency shall keep on file the name of  | 
the
bank,
savings and loan association, or other recognized  | 
depository in which each
trust account is maintained, the name  | 
of each trust account, and the names
of the persons authorized  | 
to withdraw funds from each account.
 | 
 The collection agency, within 30 days of the time of a  | 
change of
depository or person authorized to make withdrawal,  | 
shall update its files
to reflect such change.
 | 
 An examination and audit of an agency's trust accounts may  | 
be made by the
Department as the Department deems appropriate.
 | 
 A trust account financial report shall be submitted  | 
annually on forms
provided by the Department.
 | 
(Source: P.A. 89-387, eff. 1-1-96.)
 | 
 (225 ILCS 425/9) (from Ch. 111, par. 2012)
 | 
 (Section scheduled to be repealed on January 1, 2016)
 | 
 Sec. 9. Disciplinary actions.  | 
 (a) The Department may refuse to issue or renew, or may
 | 
revoke, suspend, place on probation, reprimand or take other  | 
disciplinary or non-disciplinary
action as the Department may  | 
 | 
deem proper, including fines not to exceed
$5,000 for a first  | 
violation and not to exceed $10,000 per violation for a second  | 
or subsequent violation, for any one or any combination of the
 | 
following causes:
 | 
  (1) Material misstatement in furnishing information to  | 
 the Department. 
 | 
  (2) (1) Violations of this Act or of the rules  | 
 promulgated hereunder.
 | 
  (3) (2) Conviction by plea of guilty or nolo  | 
 contendere, finding of guilt, jury verdict, or entry of  | 
 judgment or by sentencing of any crime, including, but not  | 
 limited to, convictions, preceding sentences of  | 
 supervision, conditional discharge, or first offender  | 
 probation of the collection agency or any of the officers  | 
 or owners of more than 10% interest principals of the  | 
 agency
of any crime under the laws of any U.S. jurisdiction  | 
 that (i) is a felony, (ii) is a misdemeanor, an essential  | 
 element of which is dishonesty, or (iii) is directly  | 
 related to the practice of a collection agency any U.S.  | 
 jurisdiction which is a felony, a
misdemeanor an essential  | 
 element of which is dishonesty, or of any crime
which  | 
 directly relates to the practice of the profession.
 | 
  (4) Fraud or (3) Making any misrepresentation in  | 
 applying for, or procuring, a license under this Act or in  | 
 connection with applying for renewal of for the purpose of  | 
 obtaining a license
under this Act or certificate. | 
 | 
  (5) Aiding or assisting another person in violating any  | 
 provision of this Act or rules adopted under this Act. | 
  (6) Failing, within 60 days, to provide information in  | 
 response to a written request made by the Department. 
 | 
  (7) (4) Habitual or excessive use or addiction to  | 
 alcohol, narcotics,
stimulants or any other chemical agent  | 
 or drug which results in the
inability to practice with  | 
 reasonable judgment, skill, or safety by any of
the  | 
 officers or owners of 10% or more interest principals of a  | 
 collection agency.
 | 
  (8) (5) Discipline by another state, the District of  | 
 Columbia, a territory of the United States, U.S.  | 
 jurisdiction or a foreign nation, if at
least one of the  | 
 grounds for the discipline is the same or substantially
 | 
 equivalent to those set forth in this Act.
 | 
  (9) (6) A finding by the Department that the licensee,  | 
 after having his
license placed on probationary status, has  | 
 violated the terms of probation. | 
  (10) Willfully making or filing false records or  | 
 reports in his or her practice, including, but not limited  | 
 to, false records filed with State agencies or departments. 
 | 
  (11) (7) Practicing or attempting to practice under a  | 
 false or, except as provided by law, an assumed name a name  | 
 other than the
name as shown on his or her license or any  | 
 other legally authorized name.
 | 
  (12) (8) A finding by the Federal Trade Commission that  | 
 | 
 a licensee violated
the federal Federal Fair Debt and  | 
 Collection Practices Act or its rules.
 | 
  (13) (9) Failure to file a return, or to pay the tax,  | 
 penalty or interest
shown in a filed return, or to pay any  | 
 final assessment of tax, penalty or
interest, as required  | 
 by any tax Act administered by the Illinois
Department of  | 
 Revenue until such time as the requirements of any such tax
 | 
 Act are satisfied.
 | 
  (14) (10) Using or threatening to use force or violence  | 
 to cause physical
harm to a debtor, his or her family or  | 
 his or her property.
 | 
  (15) (11) Threatening to instigate an arrest or  | 
 criminal prosecution where no
basis for a criminal  | 
 complaint lawfully exists.
 | 
  (16) (12) Threatening the seizure, attachment or sale  | 
 of a debtor's property
where such action can only be taken  | 
 pursuant to court order without
disclosing that prior court  | 
 proceedings are required.
 | 
  (17) (13) Disclosing or threatening to disclose  | 
 information adversely
affecting a debtor's reputation for  | 
 credit worthiness with knowledge the
information is false.
 | 
  (18) (14) Initiating or threatening to initiate  | 
 communication with a debtor's
employer unless there has  | 
 been a default of the payment of the obligation
for at  | 
 least 30 days and at least 5 days prior written notice, to  | 
 the last
known address of the debtor, of the intention to  | 
 | 
 communicate with the
employer has been given to the  | 
 employee, except as expressly permitted by
law or court  | 
 order.
 | 
 
 (19) (15) Communicating with the debtor or any member  | 
 of the debtor's family
at such a time of day or night and  | 
 with such frequency as to constitute
harassment of the  | 
 debtor or any member of the debtor's family. For
purposes  | 
 of this Section the following conduct shall constitute  | 
 harassment:
 | 
  
 (A) Communicating with the debtor or any member of  | 
 his or her family
in connection with the collection of  | 
 any debt without the prior consent of the
debtor given  | 
 directly to the debt collector, or the express  | 
 permission of a
court of competent jurisdiction, at any  | 
 unusual time or place or a time or
place known or which  | 
 should be known to be inconvenient to the debtor. In
 | 
 the absence of knowledge of circumstances to the  | 
 contrary, a debt collector
shall assume that the  | 
 convenient time for communicating with a consumer is
 | 
 after 8 o'clock a.m. and before 9 o'clock p.m. local  | 
 time at the debtor's
location.
 | 
  
 (B) The threat of publication or publication of a  | 
 list of consumers who
allegedly refuse to pay debts,  | 
 except to a consumer reporting agency.
 | 
   (C) The threat of advertisement or advertisement  | 
 for sale of any debt to
coerce payment of the debt.
 | 
 | 
   (D) Causing a telephone to ring or engaging any  | 
 person in telephone
conversation repeatedly or  | 
 continuously with intent to annoy, abuse, or
harass any  | 
 person at the called number.
 | 
  (20) (16) Using profane, obscene or abusive language in  | 
 communicating with a
debtor, his or her family or others.
 | 
  (21) (17) Disclosing or threatening to disclose  | 
 information relating to a
debtor's debt indebtedness to any  | 
 other person except where such other person has
a  | 
 legitimate business need for the information or except  | 
 where such
disclosure is permitted regulated by law.
 | 
  (22) (18) Disclosing or threatening to disclose  | 
 information concerning the
existence of a debt which the  | 
 collection agency debt collector knows to be reasonably
 | 
 disputed by the debtor without disclosing the fact that the  | 
 debtor
disputes the debt.
 | 
  (23) (19) Engaging in any conduct that is which the  | 
 Director finds was intended to
cause and did cause mental  | 
 or physical illness to the debtor or his
or her
family.
 | 
  (24) (20) Attempting or threatening to enforce a right  | 
 or remedy with
knowledge or reason to know that the right  | 
 or remedy does not exist.
 | 
  (25) (21) Failing to disclose to the debtor or his or  | 
 her family the
corporate, partnership or proprietary name,  | 
 or other trade or business name,
under
which the collection  | 
 agency debt collector is engaging in debt collections and  | 
 | 
 which he or
she is legally authorized to use.
 | 
  (26) (22) Using any form of communication which  | 
 simulates legal or judicial
process or which gives the  | 
 appearance of being authorized, issued or
approved by a  | 
 governmental agency or official or by an attorney at law
 | 
 when it is not.
 | 
  (27) (23) Using any badge, uniform, or other indicia of  | 
 any governmental
agency or official except as authorized by  | 
 law.
 | 
  (28) (24) Conducting business under any name or in any  | 
 manner which suggests
or implies that the collection agency  | 
 a debt collector is bonded if such collector is or is a
 | 
 branch of or is affiliated in with any way with a  | 
 governmental agency or court if such
collection agency  | 
 collector is not.
 | 
  (29) (25) Failing to disclose, at the time of making  | 
 any demand for payment,
the name of the person to whom the  | 
 debt claim is owed and at the request of the
debtor, the  | 
 address where payment is to be made and the address of the
 | 
 person to whom the debt claim is owed.
 | 
  (30) (26) Misrepresenting the amount of the claim or  | 
 debt alleged to be owed.
 | 
  (31) (27) Representing that an existing debt may be  | 
 increased by the addition
of attorney's fees,  | 
 investigation fees or any other fees or charges when
such  | 
 fees or charges may not legally be added to the existing  | 
 | 
 debt.
 | 
  (32) (28) Representing that the collection agency debt  | 
 collector is an attorney at law or an
agent for an attorney  | 
 if he or she is not.
 | 
  (33) (29) Collecting or attempting to collect any  | 
 interest or other charge or
fee in excess of the actual  | 
 debt or claim unless such interest or other
charge or fee  | 
 is expressly authorized by the agreement creating the debt  | 
 or
claim unless expressly authorized by law or unless in a  | 
 commercial
transaction such interest or other charge or fee  | 
 is expressly authorized in
a subsequent agreement. If a  | 
 contingency or hourly fee arrangement (i) is
established  | 
 under an agreement between a collection agency and a  | 
 creditor to
collect a debt and (ii) is paid by a debtor  | 
 pursuant to a contract between the
debtor and the creditor,  | 
 then that fee arrangement does not violate this
Section  | 
 unless the fee is unreasonable. The Department shall  | 
 determine what
constitutes a reasonable collection fee. 
 | 
  (34) (30) Communicating or threatening to communicate  | 
 with a debtor when the
collection agency debt collector is  | 
 informed in writing by an attorney that the attorney
 | 
 represents the debtor concerning the debt claim, unless  | 
 authorized by the
attorney. If the attorney fails to  | 
 respond within a reasonable period of
time, the collector  | 
 may communicate with the debtor. The collector may
 | 
 communicate with the debtor when the attorney gives his or  | 
 | 
 her consent.
 | 
  (35) (31) Engaging in dishonorable, unethical, or  | 
 unprofessional conduct of a
character likely to deceive,  | 
 defraud, or harm the public.
 | 
 (b) The Department shall deny any license or renewal  | 
authorized by this
Act to any person who has defaulted on an  | 
educational loan guaranteed by
the Illinois State Scholarship  | 
Commission; however, the Department may
issue a license or  | 
renewal if the person in default has established a
satisfactory  | 
repayment record as determined by the Illinois State
 | 
Scholarship Commission.
 | 
 No collection agency debt collector while collecting or  | 
attempting to collect a debt shall
engage in any of the Acts  | 
specified in this Section, each of which shall
be unlawful  | 
practice.
 | 
(Source: P.A. 94-414, eff. 12-31-05.)
 | 
 (225 ILCS 425/9.1) | 
 (Section scheduled to be repealed on January 1, 2016) | 
 Sec. 9.1. Communication with persons other than debtor. Any  | 
debt collector or collection agency communicating with any  | 
person other than the debtor for the purpose of acquiring  | 
location information about the debtor shall: | 
  (1) identify himself or herself, state that he or she  | 
 is confirming or correcting location information  | 
 concerning the consumer, and, only if expressly requested,  | 
 | 
 identify his or her employer; | 
  (2) not state that the consumer owes any debt; | 
  (3) not communicate with any person more than once  | 
 unless
requested to do so by the person or unless the debt  | 
 collector or collection agency reasonably believes that  | 
 the earlier response of the person is erroneous or  | 
 incomplete and that the person now has correct or complete  | 
 location information; | 
  (4) not communicate by postcard; | 
  (5) not use any language or symbol on any envelope or  | 
 in the contents of any communication effected by mail or  | 
 telegram that indicates that the debt collector or  | 
 collection agency is in the debt collection business or  | 
 that the communication relates to the collection of a debt;  | 
 and | 
  (6) not communicate with any person other than the  | 
 attorney after the debt collector or collection agency  | 
 knows the debtor is represented by an attorney with regard  | 
 to the subject debt and has knowledge of or can readily  | 
 ascertain the attorney's name and address, not communicate  | 
 with any person other than the attorney, unless the  | 
 attorney fails to respond within a reasonable period of  | 
 time, not less than 30 days, to communication from the debt  | 
 collector or collection agency.
 | 
(Source: P.A. 95-437, eff. 1-1-08; 95-876, eff. 8-21-08.)
 | 
 | 
 (225 ILCS 425/9.2) | 
 (Section scheduled to be repealed on January 1, 2016) | 
 Sec. 9.2. Communication in connection with debt  | 
collection. | 
 (a) Without the prior consent of the debtor given directly  | 
to the debt collector or collection agency or the express  | 
permission of a court of competent jurisdiction, a debt  | 
collector or collection agency may not communicate with a  | 
debtor in connection with the collection of any debt in any of  | 
the following circumstances: | 
  (1) At any unusual time, place, or manner that is known  | 
 or should be known to be inconvenient to the debtor. In the  | 
 absence of knowledge of circumstances to the contrary, a  | 
 debt collector or collection agency shall assume that the  | 
 convenient time for communicating with a debtor is after  | 
 8:00 8 o'clock a.m. and before 9:00 9 o'clock p.m. local  | 
 time at the debtor's location. | 
  (2) If the debt collector or collection agency knows  | 
 the debtor is represented by an attorney with respect to  | 
 such debt and has knowledge of or can readily ascertain,  | 
 the attorney's name and address, unless the attorney fails  | 
 to respond within a reasonable period of time to a  | 
 communication from the debt collector or collection agency  | 
 or unless the attorney consents to direct communication  | 
 with the debtor. | 
  (3) At the debtor's place of employment, if the debt  | 
 | 
 collector or collection agency knows or has reason to know  | 
 that the debtor's employer prohibits the debtor from  | 
 receiving such communication. | 
 (b) Except as provided in Section 9.1 of this Act, without  | 
the prior consent of the debtor given directly to the debt  | 
collector or collection agency, or the express permission of a  | 
court of competent jurisdiction, or as reasonably necessary to  | 
effectuate a post judgment judicial remedy, a debt collector or  | 
collection agency may not communicate, in connection with the  | 
collection of any debt, with any person other than the debtor,  | 
the debtor's attorney, a consumer reporting agency if otherwise  | 
permitted by law, the creditor, the attorney of the creditor,  | 
or the attorney of the collection agency. | 
 (c) If a debtor notifies a debt collector or collection  | 
agency in writing that the debtor refuses to pay a debt or that  | 
the debtor wishes the debt collector or collection agency to  | 
cease further communication with the debtor, the debt collector  | 
or collection agency may not communicate further with the  | 
debtor with respect to such debt, except to perform any of the  | 
following tasks: | 
  (1) Advise the debtor that the debt collector's or  | 
 collection agency's further efforts are being terminated. | 
  (2) Notify the debtor that the collection agency or  | 
 creditor may invoke specified remedies that are ordinarily  | 
 invoked by such collection agency or creditor. | 
  (3) Notify the debtor that the collection agency or  | 
 | 
 creditor intends to invoke a specified remedy. | 
 If such notice from the debtor is made by mail,  | 
notification shall be complete upon receipt.
 | 
 (d) For the purposes of this Section, "debtor" includes the  | 
debtor's spouse, parent (if the debtor is a minor), guardian,  | 
executor, or administrator.
 | 
(Source: P.A. 95-437, eff. 1-1-08.)
 | 
 (225 ILCS 425/9.3) | 
 (Section scheduled to be repealed on January 1, 2016) | 
 Sec. 9.3. Validation of debts. | 
 (a) Within 5 days after the initial communication with a  | 
debtor in connection with the collection of any debt, a debt  | 
collector or collection agency shall, unless the following  | 
information is contained in the initial communication or the  | 
debtor has paid the debt, send the debtor a written notice with  | 
each of the following disclosures: | 
  (1) The amount of the debt. | 
  (2) The name of the creditor to whom the debt is owed. | 
  (3) That, unless the debtor, within 30 days after  | 
 receipt of the notice,
disputes the validity of the debt,  | 
 or any portion thereof, the debt will be assumed to be  | 
 valid by the debt collector or collection agency. | 
  (4) That, if the debtor notifies the debt collector or  | 
 collection agency in writing within the 30-day period that  | 
 the debt, or any portion thereof, is disputed, the debt  | 
 | 
 collector or collection agency will obtain verification of  | 
 the debt or a copy of a judgment against the debtor and a  | 
 copy of the verification or judgment will be mailed to the  | 
 debtor by the debt collector or collection agency. | 
  (5) The That upon the debtor's written request within  | 
 the 30-day period, the debt collector or collection agency  | 
 will provide the debtor with the name and address of the  | 
 original creditor, if different from the current creditor.
 | 
 If the disclosures required under this subsection (a) are  | 
 placed on the back of the notice, the front of the notice  | 
 shall contain a statement notifying debtors of that fact. | 
 (b) If the debtor notifies the debt collector or collection  | 
agency in writing within the 30-day period set forth in  | 
paragraph (3) of subsection (a) of this Section that the debt,  | 
or any portion thereof, is disputed or that the debtor requests  | 
the name and address of the original creditor, the debt  | 
collector or collection agency shall cease collection of the  | 
debt, or any disputed portion thereof, until the debt collector  | 
or collection agency obtains verification of the debt or a copy  | 
of a judgment or the name and address of the original creditor  | 
and mails a copy of the verification or judgment or name and  | 
address of the original creditor to the debtor. | 
 (c) The failure of a debtor to dispute the validity of a  | 
debt under this Section shall not be construed by any court as  | 
an admission of liability by the debtor.
 | 
(Source: P.A. 95-437, eff. 1-1-08.)
 | 
 | 
 (225 ILCS 425/9.4) | 
 (Section scheduled to be repealed on January 1, 2016) | 
 Sec. 9.4. Debt collection as a result of identity theft. | 
 (a) Upon receipt from a debtor of all of the following  | 
information, a debt collector or collection agency must cease  | 
collection activities until completion of the review provided  | 
in subsection (d) of this Section: | 
  (1) A copy of a police report filed by the debtor  | 
 alleging that the debtor is the victim of an identity theft  | 
 crime for the specific debt being collected by the  | 
 collection agency debt collector. | 
  (2) The debtor's written statement that the debtor  | 
 claims to be the victim of identity theft with respect to  | 
 the specific debt being collected by the collection agency  | 
 debt collector, including (i) a Federal Trade Commission's  | 
 Affidavit of Identity Theft, (ii) an Illinois Attorney  | 
 General ID Theft Affidavit, or (iii) a written statement  | 
 that certifies that the representations are true, correct,  | 
 and contain no material omissions of fact to the best  | 
 knowledge and belief of the person submitting the  | 
 certification. This written statement must contain or be  | 
 accompanied by, each of the following, to the extent that  | 
 an item listed below is relevant to the debtor's allegation  | 
 of identity theft with respect to the debt in question: | 
   (A) A statement that the debtor is a victim of  | 
 | 
 identity theft. | 
   (B) A copy of the debtor's driver's license or  | 
 identification card, as issued by this State. | 
   (C) Any other identification document that  | 
 supports the statement of identity theft. | 
   (D) Specific facts supporting the claim of  | 
 identity theft, if available. | 
   (E) Any explanation showing that the debtor did not  | 
 incur the debt. | 
   (F) Any available correspondence disputing the  | 
 debt after transaction information has been provided  | 
 to the debtor. | 
   (G) Documentation of the residence of the debtor at  | 
 the time of the alleged debt, which may include copies  | 
 of bills and statements, such as utility bills, tax  | 
 statements, or other statements from businesses sent  | 
 to the debtor and showing that the debtor lived at  | 
 another residence at the time the debt was incurred. | 
   (H) A telephone number for contacting the debtor  | 
 concerning any additional information or questions or  | 
 direction that further communications to the debtor be  | 
 in writing only, with the mailing address specified in  | 
 the statement. | 
   (I) To the extent the debtor has information  | 
 concerning who may have incurred the debt, the  | 
 identification of any person whom the debtor believes  | 
 | 
 is responsible. | 
   (J) An express statement that the debtor did not  | 
 authorize the use of the debtor's name or personal  | 
 information for incurring the debt. | 
 (b) A written certification submitted pursuant to item  | 
(iii) of paragraph (2) of subsection (a) of this Section shall  | 
be sufficient if it is in substantially the following form: | 
 "I certify that the representations made are true, correct,  | 
 and contain no material omissions of fact known to me.
 | 
   (Signature)
 | 
   (Date)"
 | 
 (c) If a debtor notifies a debt collector or collection  | 
agency orally that he or she is a victim of identity theft, the  | 
debt collector or collection agency shall notify the debtor  | 
orally or in writing, that the debtor's claim must be in  | 
writing. If a debtor notifies a debt collector or collection  | 
agency in writing that he or she is a victim of identity theft,  | 
but omits information required pursuant to this Section, and if  | 
the debt collector or collection agency continues does not  | 
cease collection activities, the debt collector or collection  | 
agency must provide written notice to the debtor of the  | 
additional information that is required or send the debtor a  | 
copy of the Federal Trade Commission's Affidavit of Identity  | 
 | 
Theft Affidavit form. | 
 (d) Upon receipt of the complete statement and information  | 
described in subsection (a) of this Section, the collection  | 
agency debt collector shall review and consider all of the  | 
information provided by the debtor and other information  | 
available to the debt collector or collection agency in its  | 
file or from the creditor. The debt collector or collection  | 
agency may recommence debt collection activities only upon  | 
making a good faith determination that the information does not  | 
establish that the debtor is not responsible for the specific  | 
debt in question. The debt collector or collection agency must  | 
notify the debtor consumer in writing of that determination and  | 
the basis for that determination before proceeding with any  | 
further collection activities. The debt collector's or  | 
collection agency's determination shall be based on all of the  | 
information provided by the debtor and other information  | 
available to the debt collector or collection agency in its  | 
file or from the creditor. | 
 (e) No inference or presumption that the debt is valid or  | 
invalid or that the debtor is
liable or not liable for the debt  | 
may arise if the debt collector or collection agency decides  | 
after the review described in subsection (d) to cease or  | 
recommence the debt collection activities. The exercise or  | 
non-exercise of rights under this Section is not a waiver of  | 
any other right or defense of the debtor or collection agency  | 
debt collector. | 
 | 
 (f) A debt collector or collection agency that (i) ceases  | 
collection activities under this Section, (ii) does not  | 
recommence those collection activities, and (iii) furnishes  | 
adverse information to a consumer credit reporting agency, must  | 
notify the consumer credit reporting agency to delete that  | 
adverse information.
 | 
(Source: P.A. 95-437, eff. 1-1-08.)
 | 
 (225 ILCS 425/9.5)
 | 
 (Section scheduled to be repealed on January 1, 2016)
 | 
 Sec. 9.5. Statute of limitations. No action may be filed  | 
against any
licensee registrant for violation of the terms of  | 
this Act or its rules unless the
action is commenced within 5  | 
years after the occurrence of the alleged
violation. A  | 
continuing violation will be deemed to have occurred on the  | 
date
when the circumstances first existed which gave rise to  | 
the alleged continuing
violation.
 | 
(Source: P.A. 89-387, eff. 1-1-96.)
 | 
 (225 ILCS 425/9.7) | 
 (Section scheduled to be repealed on January 1, 2016)
 | 
 Sec. 9.7. Enforcement under the Consumer Fraud and  | 
Deceptive Business Practices Act. The Attorney General may  | 
enforce the knowing violation of Section 9 (except for items  | 
(2) through (4), (7) through (9), (11) through (13), and (23)  | 
(1) through (9) and (19) of subsection (a)), 9.1, 9.2, 9.3, or  | 
 | 
9.4 of this Act as an unlawful practice under the Consumer  | 
Fraud and Deceptive Business Practices Act.
 | 
(Source: P.A. 95-437, eff. 1-1-08.)
 | 
 (225 ILCS 425/9.22) (from Ch. 111, par. 2034)
 | 
 (Section scheduled to be repealed on January 1, 2016)
 | 
 Sec. 9.22. Administrative Procedure Act. The Illinois  | 
Administrative
Procedure Act is hereby expressly adopted and  | 
incorporated herein as if all of
the provisions of that Act  | 
were included in this Act, except that the provision
of  | 
subsection (d) of Section 10-65 of the Illinois Administrative  | 
Procedure Act
that provides that at hearings the licensee has  | 
the right to show compliance
with all lawful requirements for  | 
retention, continuation or renewal of the
license is  | 
specifically excluded. For the purposes of this Act the notice
 | 
required under Section 10-25 of the Administrative Procedure  | 
Act is deemed
sufficient when mailed to the last known address  | 
of record of a party.
 | 
(Source: P.A. 88-45.)
 | 
 (225 ILCS 425/11) (from Ch. 111, par. 2036)
 | 
 (Section scheduled to be repealed on January 1, 2016)
 | 
 Sec. 11. Informal conferences. Informal conferences shall  | 
be conducted
with at least one member of the Licensing and  | 
Disciplinary Board in attendance.
Notwithstanding any  | 
provisions concerning the conduct of hearings and
 | 
 | 
recommendations for disciplinary actions, the Department has  | 
the authority to
negotiate agreements with licensees  | 
registrants and applicants resulting in disciplinary or  | 
non-disciplinary
consent orders. The consent orders may  | 
provide for any of the forms of
discipline provided in this  | 
Act. The consent orders shall provide that they
were not  | 
entered into as a result of any coercion by the Department.
 | 
(Source: P.A. 89-387, eff. 1-1-96.)
 | 
 (225 ILCS 425/13.1) (from Ch. 111, par. 2038.1)
 | 
 (Section scheduled to be repealed on January 1, 2016)
 | 
 Sec. 13.1. Collection Agency Licensing and Disciplinary  | 
Board; members; qualifications; duties.  | 
 (a) There
is created in the Department the Collection  | 
Agency Licensing and
Disciplinary Board composed of 7 members  | 
appointed by the Secretary Director. Five
members of the Board  | 
shall be employed in a collection agency licensed registered
 | 
under this Act and 2 members of the Board shall represent the  | 
general
public, and shall not be employed by or possess an  | 
ownership interest in any
collection agency licensed  | 
registered under this Act, and shall have no family or business  | 
connection with the practice of collection agencies.
 | 
 (b) Each of the members appointed to the Board, except for  | 
the public members, shall have at least 5 years of active  | 
collection agency experience.  | 
 (c) The Board shall annually elect a chairperson chairman  | 
 | 
from among its members and shall meet at
least twice each year.  | 
The members of the Board shall receive no
compensation for  | 
their services, but shall be reimbursed for their necessary  | 
actual
expenses as authorized by the Department while engaged  | 
in incurred in the performance of their duties. 
 | 
 (d) Members shall serve for a term of 4 years and until  | 
their successors are
appointed and qualified. No Board member,  | 
after the effective date of this
amendatory Act of 1995, shall  | 
be appointed to more than 2 full consecutive
terms. A partial  | 
term of more than 2 years shall be considered a full term The  | 
initial terms created by this amendatory Act of 1995 shall  | 
count as
full terms for the purposes of reappointment to the  | 
Board. Appointments to
fill vacancies for the unexpired portion  | 
of a vacated term shall be made in the
same manner as original  | 
appointments. All members shall serve until their successors  | 
are appointed and qualified. 
 | 
 (e) The Secretary may remove any member of the Board for  | 
cause at any time before the expiration of his or her term. The  | 
Secretary shall be the sole arbiter of cause. | 
 (f) The majority of the Board shall constitute a quorum. A  | 
vacancy in the membership of the Board shall not impair the  | 
right of a quorum to exercise all the duties of the Board. | 
 (g) Members of the Board shall be immune from suit in any  | 
action based upon disciplinary proceedings or other acts  | 
performed in good faith as members of the Board.  | 
 The appointments of those Board members currently  | 
 | 
appointed shall end upon
the effective date of this amendatory  | 
Act of 1995, and those Board members
currently sitting at the  | 
effective date of this amendatory Act of 1995, shall
be  | 
reappointed to the following terms by and in the discretion of  | 
the Director:
 | 
  (1) one member shall be appointed for one year;
 | 
  (2) two members shall be appointed to
serve 2 years;
 | 
  (3) two members shall be appointed to serve 3 years;  | 
 and
 | 
  (4) two
members shall be appointed to serve for 4  | 
 years. 
 | 
All members shall serve
until their successors are appointed  | 
and qualified.
 | 
 The Board members appointed to terms by this amendatory Act  | 
of 1995 shall be
appointed as soon as possible after the  | 
effective date of this amendatory Act
of 1995.
 | 
(Source: P.A. 89-387, eff. 1-1-96.)
 | 
 (225 ILCS 425/13.2) (from Ch. 111, par. 2038.2)
 | 
 (Section scheduled to be repealed on January 1, 2016)
 | 
 Sec. 13.2. Powers and duties of Department. The Department  | 
shall
exercise the powers and duties prescribed by the Civil  | 
Administrative Code
of Illinois for the administration of  | 
licensing Acts and shall exercise
such other powers and duties  | 
necessary for effectuating the purposes of
this Act.
 | 
 The Director shall promulgate rules consistent with the  | 
 | 
provisions of
this Act, for its administration and enforcement,  | 
and may prescribe forms
which shall be issued in connection  | 
therewith. The rules shall include
standards and criteria for  | 
licensure and certification, and professional
conduct and  | 
discipline.
 | 
 The Department shall consult with the Board in promulgating  | 
rules.
 | 
 Subject to the provisions of this Act, the Department may:  | 
  (1) Conduct hearings on proceedings to refuse to issue  | 
 or renew or to revoke licenses or suspend, place on  | 
 probation, or reprimand persons licensed under this Act. | 
  (2) Formulate rules required for the administration of  | 
 this Act.  | 
  (3) Obtain written recommendations from the Board  | 
 regarding standards of professional conduct, formal  | 
 disciplinary actions and the formulation of rules  | 
 affecting these matters. Notice of proposed rulemaking  | 
 shall be transmitted to the Board and the
Department shall  | 
 review the Board's responses and any recommendations made
 | 
 therein. The Department shall notify the Board in writing  | 
 with
explanations of deviations from the Board's  | 
 recommendations and responses.
The Department may shall  | 
 solicit the advice of the Board on any matter relating
to  | 
 the administration and enforcement of this Act.
 | 
  (4) Maintain rosters of the names and addresses of all  | 
 licensees and all persons whose licenses have been  | 
 | 
 suspended, revoked, or denied renewal for cause within the  | 
 previous calendar year. These rosters shall be available  | 
 upon written request and payment of the required fee as  | 
 established by rule.  | 
(Source: P.A. 86-615.)
 | 
 (225 ILCS 425/14a) (from Ch. 111, par. 2039a)
 | 
 (Section scheduled to be repealed on January 1, 2016)
 | 
 Sec. 14a. Unlicensed practice; Injunctions. The practice  | 
as a
collection agency by any person entity not holding a valid  | 
and current license
under this Act is declared to be inimical  | 
to the public welfare, to
constitute a public nuisance, and to  | 
cause irreparable harm to the public
welfare. The Secretary  | 
Director, the Attorney General, the State's Attorney of any
 | 
county in the State, or any person may maintain an action in  | 
the name of
the People of the State of Illinois, and may apply  | 
for injunctive relief in
any circuit court to enjoin such  | 
entity from engaging in such practice.
Upon the filing of a  | 
verified petition in such court, the court, if
satisfied by  | 
affidavit or otherwise that such entity has been engaged in
 | 
such practice without a valid and current license, may enter a  | 
temporary
restraining order without notice or bond, enjoining  | 
the defendant from such
further practice. Only the showing of  | 
non-licensure nonlicensure, by affidavit or
otherwise, is  | 
necessary in order for a temporary injunction to issue. A
copy  | 
of the verified complaint shall be served upon the defendant  | 
 | 
and the
proceedings shall thereafter be conducted as in other  | 
civil cases except as
modified by this Section. If it is  | 
established that the defendant has been
or is engaged in such  | 
unlawful practice, the court may enter an order or
judgment  | 
perpetually enjoining the defendant from further practice. In  | 
all
proceedings hereunder, the court, in its discretion, may  | 
apportion the
costs among the parties interested in the action,  | 
including cost of filing
the complaint, service of process,  | 
witness fees and expenses, court
reporter charges and  | 
reasonable attorneys' fees. In case of violation of
any  | 
injunctive order entered under the provisions of this Section,  | 
the court
may summarily try and punish the offender for  | 
contempt of court. Such
injunction proceedings shall be in  | 
addition to, and not in lieu of, all
penalties and other  | 
remedies provided in this Act.
 | 
(Source: P.A. 86-615.)
 | 
 (225 ILCS 425/14b) (from Ch. 111, par. 2039b)
 | 
 (Section scheduled to be repealed on January 1, 2016)
 | 
 Sec. 14b. Penalty of unlawful practice; Second and  | 
subsequent
offenses.  Any entity that practices or offers to  | 
practice as a collection
agency in this State without being  | 
licensed for that purpose, or whose
license is has been  | 
suspended, or revoked, or expired, or that violates any of the
 | 
provisions of this Act for which no specific penalty has been  | 
provided
herein, is guilty of a Class A misdemeanor.
 | 
 | 
 Any entity that has been previously convicted under any of  | 
the provisions
of this Act and that subsequently violates any  | 
of the provisions of this
Act is guilty of a Class 4 felony. In  | 
addition, whenever any entity is
punished as a subsequent  | 
offender under this Section, the Secretary Director shall
 | 
proceed to obtain a permanent injunction against such entity  | 
under Section
14a of this Act.
 | 
(Source: P.A. 86-615.)
 | 
 (225 ILCS 425/16)
 | 
 (Section scheduled to be repealed on January 1, 2016)
 | 
 Sec. 16. Investigation; notice and hearing. The Department  | 
may
investigate the actions or qualifications of any applicant  | 
or of any person rendering or offering to render collection  | 
agency services or any person or persons holding or
claiming to  | 
hold a license as a collection agency certificate of  | 
registration. The Department shall, before
refusing to issue or  | 
renew, suspending or revoking, suspending, placing on  | 
probation, reprimanding, or taking any other disciplinary  | 
action under Section 9 of this Act any certificate of  | 
registration, at least 30 days before
the date set for the  | 
hearing, (i) notify the accused in writing of the charges made  | 
and the time and place for the hearing on the charges, (ii) of  | 
the charges before the Board, direct him or her
to
file his or  | 
her written answer thereto to the charges with the Department  | 
under oath Board within 20 days after the
service
on him or her  | 
 | 
of the notice, and (iii) inform the accused him or her that if  | 
he or she fails to
file an answer
default will be taken against  | 
him or her or and his or her license certificate of
 | 
registration may be
suspended, or revoked, or placed on  | 
probation, or other disciplinary action may be taken with  | 
regard to the license, including limiting the scope, nature, or  | 
extent of his or her practice, as the Department may consider  | 
proper. This written notice may be served by personal delivery
 | 
or certified mail to the respondent at the address of his or  | 
her last
notification to
the Department. In case the person  | 
fails to file an answer after receiving
notice, his or her  | 
license or certificate may, in the discretion of the
 | 
Department, be suspended, revoked, or placed on probationary  | 
status, or the
Department may take whatever disciplinary action
 | 
is considered proper, including limiting the scope, nature, or  | 
extent of the
person's
practice or the imposition of a fine,  | 
without a hearing, if the act or acts
charged constitute  | 
sufficient grounds for such action under this Act. The
written  | 
answer shall be served by personal delivery, certified  | 
delivery, or
certified or registered mail to the Department. At  | 
the time and place fixed in
the notice, the Department shall  | 
proceed to hear the charges. The parties or
their counsel shall  | 
be accorded ample opportunity to present any pertinent  | 
statements,
testimony, evidence, and arguments as may be  | 
pertinent to the charges or to the
defense thereto. The  | 
Department may continue the hearing from time to time Board  | 
 | 
shall be notified and may attend. Nothing in this
Section
shall  | 
be construed to require that a hearing be commenced and  | 
completed in one
day. At the discretion of the Secretary  | 
Director, after having first received the
recommendation of the  | 
Board, the accused person's license certificate of  | 
registration
may be suspended or revoked, if the evidence  | 
constitutes sufficient grounds for
such action under this Act.  | 
If the person fails to file an answer after receiving notice,  | 
his or her license may, in the discretion of the Department, be  | 
suspended, revoked, or placed on probation, or the Department  | 
may take whatever disciplinary action it considers proper,  | 
including limiting the scope, nature, or extent of the person's  | 
practice or the imposition of a fine, without a hearing, if the  | 
act or acts charged constitute sufficient grounds for such  | 
action under this Act. This written notice may be served by  | 
personal delivery or certified mail to the respondent at the  | 
address of record. 
 | 
(Source: P.A. 89-387, eff. 1-1-96.)
 | 
 (225 ILCS 425/17)
 | 
 (Section scheduled to be repealed on January 1, 2016)
 | 
 Sec. 17. Record of hearing; transcript. The Department, at  | 
its expense, shall
preserve
a record of all proceedings at the  | 
formal hearing of any case. The notice of
hearing, complaint,  | 
all and other documents in the nature of pleadings, and written
 | 
motions filed in the proceedings, the transcript of testimony,  | 
 | 
the report of
the Board, and orders of the Department shall be  | 
in the record of the
proceedings. If the respondent orders from  | 
the reporting service and pays for a transcript of the record  | 
within the time for filing a motion for rehearing under Section  | 
20, the 20 calendar day period within which a motion may be  | 
filed shall commence upon the delivery of the transcript to the  | 
respondent The Department shall furnish a transcript of the  | 
record to any
person interested in the hearing upon payment of  | 
the fee required under Section
2105-115 of the Department of  | 
Professional Regulation Law (20 ILCS
2105/2105-115).
 | 
(Source: P.A. 91-239, eff. 1-1-00.)
 | 
 (225 ILCS 425/18)
 | 
 (Section scheduled to be repealed on January 1, 2016)
 | 
 Sec. 18. Subpoenas; oaths; attendance of witnesses.   | 
 (a) The Department has shall
have the power to subpoena  | 
documents, books, records, or other materials and to bring  | 
before it any person and to take
testimony either orally or by  | 
deposition, or both, with the same fees and
mileage and in the  | 
same manner as prescribed in civil cases in the courts of
this  | 
State.
 | 
 (b) The Secretary Director, the designated hearing  | 
officer, and every member of the Board
has shall have power to  | 
administer oaths to witnesses at any hearing that the
 | 
Department is authorized to conduct and any other oaths  | 
authorized in any Act
administered by the Department.
 | 
 | 
 (c) Any circuit court may, upon application of the  | 
Department or designee or of
the applicant or licensee ,  | 
registrant, or person holding a certificate of registration
 | 
against whom proceedings under this Act are pending, enter an  | 
order requiring
the attendance of witnesses and their  | 
testimony, and the production of
documents, papers, files,  | 
books, and records in connection with any hearing or
 | 
investigations. The court may compel obedience to its order by  | 
proceedings for
contempt.
 | 
(Source: P.A. 89-387, eff. 1-1-96.)
 | 
 (225 ILCS 425/19)
 | 
 (Section scheduled to be repealed on January 1, 2016)
 | 
 Sec. 19. Findings and recommendations Board report. At the  | 
conclusion of the hearing, the Board shall
present to the  | 
Secretary Director a written report of its findings of fact,  | 
conclusions of law, and recommendations.
The report shall  | 
contain a finding whether or not the accused person violated
 | 
this Act or the rules adopted under this Act or failed to  | 
comply with the conditions required in this Act or those rules.  | 
The
Board shall specify the nature of the violation or failure  | 
to comply and shall
make its recommendations to the Secretary  | 
Director.
 | 
 The report of findings of fact, conclusions of law, and  | 
recommendation of the
Board shall be the basis for the  | 
Department's order for refusing to issue, restore, or renew a  | 
 | 
license, or otherwise disciplining a licensee, refusal or for  | 
the
granting of a license certificate of registration. If the  | 
Secretary Director disagrees in any
regard with the report,  | 
findings of fact, conclusions of law, and recommendations  | 
report of the Board, the Secretary Director may issue an order  | 
in
contravention of the Board's recommendations report. The  | 
Director shall provide a written report to
the Board on any  | 
deviation and shall specify with particularity the reasons for
 | 
that action in the final order. The finding is not admissible  | 
in evidence
against the person in a criminal prosecution  | 
brought for the violation of this
Act, but the hearing and  | 
finding are is not a bar to a criminal prosecution brought
for  | 
the violation of this Act.
 | 
(Source: P.A. 89-387, eff. 1-1-96.)
 | 
 (225 ILCS 425/20)
 | 
 (Section scheduled to be repealed on January 1, 2016)
 | 
 Sec. 20. Board; rehearing Motion for rehearing. At the  | 
conclusion of the hearing In any hearing involving the  | 
discipline of
a registrant, a copy of the Board's report shall  | 
be served upon the applicant or licensee respondent
by the  | 
Department, either personally or as provided in this Act for  | 
the service
of the notice of
hearing. Within 20 calendar days  | 
after the service, the applicant or licensee respondent may
 | 
present
to the Department a motion in writing for a rehearing  | 
which shall specify the
particular grounds for rehearing. The  | 
 | 
Department may respond to the motion for rehearing within 20  | 
days after its service on the Department, and the applicant or  | 
licensee may reply within 7 days thereafter. If no motion for  | 
rehearing is filed, then
upon the expiration of the time  | 
specified for filing a motion, or if a motion
for
rehearing is  | 
denied, then upon denial, the Secretary Director may enter an  | 
order in
accordance with the recommendations of the Board,  | 
except as provided for in
Section
19. If the applicant or  | 
licensee respondent orders a transcript of the record from the  | 
reporting
service and pays for it within the time for filing a  | 
motion for rehearing, the
20 calendar day period within which a  | 
motion for rehearing may be filed shall
commence upon the  | 
delivery of the transcript to the applicant or licensee  | 
respondent.
 | 
(Source: P.A. 89-387, eff. 1-1-96.)
 | 
 (225 ILCS 425/21)
 | 
 (Section scheduled to be repealed on January 1, 2016)
 | 
 Sec. 21. Secretary; rehearing Rehearing. Whenever the  | 
Secretary Director is not satisfied that
substantial justice  | 
has been done in the revocation, suspension, or refusal to
 | 
issue, restore, or renew a license, or other discipline of an  | 
applicant or licensee a certificate of registration, the  | 
Secretary Director may order a
rehearing
by the same or other  | 
examiners.
 | 
(Source: P.A. 89-387, eff. 1-1-96.)
 | 
 | 
 (225 ILCS 425/22)
 | 
 (Section scheduled to be repealed on January 1, 2016)
 | 
 Sec. 22. Appointment of a hearing Hearing officer. The  | 
Secretary has Director shall have the authority to
appoint any  | 
attorney duly licensed to practice law in the State of Illinois  | 
to
serve as the hearing officer in any action for refusal to  | 
issue, restore, or renew a
license certificate of registration  | 
or to discipline a licensee registrant or person holding a
 | 
certificate of registration. The hearing officer shall have  | 
full authority to
conduct the hearing. A Board member or  | 
members may, but are not required to, attend hearings. The  | 
hearing officer shall report his or her findings of fact,  | 
conclusions of law, and
recommendations to the Board and the  | 
Director. The Board shall have 60
calendar days from receipt of  | 
the report to review the report of the hearing
officer and  | 
present its findings of fact, conclusions of law, and
 | 
recommendations to the Secretary and to all parties to the  | 
proceeding Director. If the Board fails to present its report
 | 
within the 60 calendar day period, the Director may issue an  | 
order based on the
report of the hearing officer. If the  | 
Secretary Director disagrees with the
recommendation of the  | 
Board or of the hearing officer, the Secretary Director may  | 
issue
an order in contravention of the recommendation.
 | 
(Source: P.A. 89-387, eff. 1-1-96.)
 | 
 | 
 (225 ILCS 425/23)
 | 
 (Section scheduled to be repealed on January 1, 2016)
 | 
 Sec. 23. Order or ; certified copy; prima facie proof. An  | 
order or a certified copy thereof of an order,
over the seal of  | 
the Department and purporting to be signed by the Secretary  | 
Director,
shall be prima facie proof that of the following:
 | 
 (1) That the signature is the genuine signature of the  | 
Secretary; Director.
 | 
 (2) That the Secretary Director is duly appointed and  | 
qualified; and .
 | 
 (3) That the Board and its the Board members are qualified  | 
to act.
 | 
(Source: P.A. 89-387, eff. 1-1-96.)
 | 
 (225 ILCS 425/24)
 | 
 (Section scheduled to be repealed on January 1, 2016)
 | 
 Sec. 24. Restoration of license from discipline  | 
certificate of registration. At any time after
the successful  | 
completion of a term of indefinite probation,
suspension, or  | 
revocation of any license certificate of registration, the  | 
Department may
restore the license certificate of registration  | 
to the licensee, accused person upon the written
recommendation  | 
of the Board, unless after an investigation and a hearing the  | 
Secretary
Board determines that restoration is not in the  | 
public interest. No person whose license or authority has been  | 
revoked as authorized in this Act may apply for restoration of  | 
 | 
that license or authority until such time as provided for in  | 
the Department of Professional Regulation Law of the Civil  | 
Administrative Code of Illinois. 
 | 
(Source: P.A. 89-387, eff. 1-1-96.)
 | 
 (225 ILCS 425/25)
 | 
 (Section scheduled to be repealed on January 1, 2016)
 | 
 Sec. 25. Surrender of license certificate of registration.  | 
Upon the revocation or
suspension of any license, certificate  | 
of registration the licensee registrant shall immediately
 | 
surrender the license certificate of registration to the  | 
Department. If the licensee registrant
fails to do so, the  | 
Department shall have the right to seize the license  | 
certificate of
registration.
 | 
(Source: P.A. 89-387, eff. 1-1-96.)"; and
 | 
 (225 ILCS 425/26)
 | 
 (Section scheduled to be repealed on January 1, 2016)
 | 
 Sec. 26. Administrative review; venue Review Law.  | 
 (a) All final administrative decisions of
the Department  | 
are subject to judicial review under the Administrative Review
 | 
Law and its rules. The term "administrative decision" is  | 
defined as in Section
3-101 of the Code of Civil Procedure.
 | 
 (b) Proceedings for judicial review shall be commenced in  | 
the circuit court of
the county in which the party applying for  | 
review resides, but if the party is
not a resident of Illinois  | 
 | 
this State, the venue shall be in Sangamon County.
 | 
(Source: P.A. 89-387, eff. 1-1-96.)
 | 
 (225 ILCS 425/27)
 | 
 (Section scheduled to be repealed on January 1, 2016)
 | 
 Sec. 27. Certifications Certification of record; costs  | 
receipt. The Department shall not be
required to certify any  | 
record to the court or file any answer in court or
otherwise  | 
appear in any court in a judicial review proceeding, unless and  | 
until there is
filed in the court, with the complaint, a  | 
receipt from the Department has received from the plaintiff
 | 
acknowledging payment of the costs of furnishing and certifying  | 
the record, which costs shall be determined by the Department.
 | 
Failure on the part of the plaintiff to file a receipt in court  | 
shall be
grounds for dismissal of the action.
 | 
(Source: P.A. 89-387, eff. 1-1-96.)
 | 
 (225 ILCS 425/30 new) | 
 Sec. 30. Expiration, renewal, and restoration of license.  | 
The expiration date and renewal period for each license shall  | 
be set by rule. A collection agency whose license has expired  | 
may reinstate its license at any time within 5 years after the  | 
expiration thereof, by making a renewal application and by  | 
paying the required fee. | 
 However, any licensed collection agency whose license has  | 
expired while the individual licensed or while a shareholder,  | 
 | 
partner, or member owning 50% or more of the interest in the  | 
collection agency whose license has expired while he or she was  | 
(i) on active duty with the Armed Forces of the United States  | 
or called into service or training by the State militia; or  | 
(ii) in training or education under the supervision of the  | 
United States preliminary to induction into the military  | 
service, may have his or her license renewed, restored, or  | 
reinstated without paying any lapsed renewal fee, restoration  | 
fee, or reinstatement fee if, within 2 years after termination  | 
of the service, training, or education, he or she furnishes the  | 
Department with satisfactory evidence of service, training, or  | 
education and it has been terminated under honorable  | 
conditions. | 
 Any collection agency whose license has expired for more  | 
than 5 years may have it restored by applying to the  | 
Department, paying the required fee, and filing acceptable  | 
proof of fitness to have the license restored as set by rule.
 | 
 (225 ILCS 425/35 new) | 
 Sec. 35. Returned checks; fines. Any person who delivers a  | 
check or other payment to the Department that is returned to  | 
the Department unpaid by the financial institution upon which  | 
it is drawn shall pay to the Department, in addition to the  | 
amount already owed to the Department, a fine of $50. The fines  | 
imposed by this Section are in addition to any other discipline  | 
provided under this Act for unlicensed practice or practice on  | 
 | 
a non-renewed license. The Department shall notify the entity  | 
that payment of fees and fines shall be paid to the Department  | 
by certified check or money order within 30 calendar days of  | 
the notification. If, after the expiration of 30 days from the  | 
date of notification, the person has failed to submit the  | 
necessary remittance, the Department shall automatically  | 
terminate the license or deny the application, without hearing.  | 
If, after the termination or denial, the entity seeks a  | 
license, it shall apply to the Department for restoration or  | 
issuance of the license and pay all fees and fines due to the  | 
Department. The Department may establish a fee for the  | 
processing of an application for restoration of a license to  | 
pay all expenses of processing this application. The Secretary  | 
may waive the fines due under this Section in individual cases  | 
where the Secretary finds that the fines would be unreasonable  | 
or unnecessarily burdensome.
 | 
 (225 ILCS 425/40 new) | 
 Sec. 40. Unlicensed practice; cease and desist. Whenever,  | 
in the opinion of the Department, a person violates any  | 
provision of this Act, the Department may issue a rule to show  | 
cause why an order to cease and desist should not be entered  | 
against that person. The rule shall clearly set forth the  | 
grounds relied upon by the Department and shall allow at least  | 
7 days from the date of the rule to file an answer satisfactory  | 
to the Department. Failure to answer to the satisfaction of the  | 
 | 
Department shall cause an order to cease and desist to be  | 
issued.
 | 
 (225 ILCS 425/45 new) | 
 Sec. 45. Summary suspension of license. The Secretary may  | 
summarily suspend the license of a licensed collection agency  | 
without a hearing, simultaneously with the institution of  | 
proceedings for a hearing provided for in Section 16 of this  | 
Act, if the Secretary finds that evidence in the Secretary's  | 
possession indicates that the continuation of practice by a  | 
licensed collection agency would constitute an imminent danger  | 
to the public. In the event that the Secretary summarily  | 
suspends the license of a licensed collection agency without a  | 
hearing, a hearing must be commenced within 30 days after the  | 
suspension has occurred and concluded as expeditiously as  | 
practical.
 | 
 (225 ILCS 425/50 new) | 
 Sec. 50. Consent order. At any point in the proceedings as  | 
provided in Sections 9.5, 11, 14a, 16, and 45, both parties may  | 
agree to a negotiated consent order. The consent order shall be  | 
final upon signature of the Secretary.
 | 
 (225 ILCS 425/55 new) | 
 Sec. 55. Confidentiality. All information collected by the  | 
Department in the course of an examination or investigation of  | 
 | 
a licensee or applicant, including, but not limited to, any  | 
complaint against a licensee filed with the Department and  | 
information collected to investigate any such complaint, shall  | 
be maintained for the confidential use of the Department and  | 
shall not be disclosed other than in the course of a formal  | 
hearing as determined by the Department. The Department may not  | 
disclose the information to anyone other than law enforcement  | 
officials, other regulatory agencies that have an appropriate  | 
regulatory interest as determined by the Secretary, or a party  | 
presenting a lawful subpoena to the Department. Information and  | 
documents disclosed to a federal, State, county, or local law  | 
enforcement agency shall not be disclosed by the agency for any  | 
purpose to any other agency or person. A formal complaint filed  | 
against the licensee by the Department or any order issued by  | 
the Department against a licensee or applicant shall be a  | 
public record, except as otherwise prohibited by law.
 | 
 (225 ILCS 425/6 rep.)
 | 
 (225 ILCS 425/6a rep.)
 | 
 (225 ILCS 425/10 rep.)
 | 
 (225 ILCS 425/13 rep.)
 | 
 (225 ILCS 425/13.3 rep.)
 | 
 (225 ILCS 425/14 rep.)
 | 
 Section 950. The Collection Agency Act is amended by  | 
repealing Sections 6, 6a, 10, 13, 13.3, and 14.
 | 
 | 
 Section 955. The Real Estate License Act of 2000 is amended  | 
by changing Sections 1-10, 5-5, 5-10, 5-15, 5-20, 5-26, 5-27,  | 
5-28, 5-32, 5-35, 5-41, 5-50, 5-60, 5-70, 10-10, 10-15, 15-5,  | 
20-10, 20-20, 20-21, 20-22, 20-85, 25-10, 25-25, 30-15, and  | 
35-5 as follows:
 | 
 (225 ILCS 454/1-10)
 | 
 (Section scheduled to be repealed on January 1, 2020)
 | 
 Sec. 1-10. Definitions. In this Act, unless the context  | 
otherwise requires:
 | 
 "Act" means the Real Estate License Act of 2000.
 | 
 "Address of Record" means the designated address recorded  | 
by the Department in the applicant's or licensee's application  | 
file or license file as maintained by the Department's  | 
licensure maintenance unit. It is the duty of the applicant or  | 
licensee to inform the Department of any change of address, and  | 
those changes must be made either through the Department's  | 
website or by contacting the Department.  | 
 "Advisory Council" means the Real Estate Education  | 
Advisory Council created
under Section 30-10 of this Act.
 | 
 "Agency" means a relationship in which a real estate broker  | 
or licensee,
whether directly or through an affiliated  | 
licensee, represents a consumer by
the consumer's consent,  | 
whether express or implied, in a real property
transaction.
 | 
 "Applicant" means any person, as defined in this Section,  | 
who applies to
the Department for a valid license as a managing  | 
 | 
real estate broker, broker real estate salesperson, or
leasing  | 
agent.
 | 
 "Blind advertisement" means any real estate advertisement  | 
that does not
include the sponsoring broker's business name and  | 
that is used by any licensee
regarding the sale or lease of  | 
real estate, including his or her own, licensed
activities, or  | 
the hiring of any licensee under this Act. The broker's
 | 
business name in the case of a franchise shall include the  | 
franchise
affiliation as well as the name of the individual  | 
firm.
 | 
 "Board" means the Real Estate Administration and  | 
Disciplinary Board of the Department as created by Section  | 
25-10 of this Act.
 | 
 "Branch office" means a sponsoring broker's office other  | 
than the sponsoring
broker's principal office.
 | 
 "Broker" means an individual, partnership, limited  | 
liability company,
corporation, or registered limited  | 
liability partnership other than a real
estate salesperson or  | 
leasing agent who, whether in person or through any media or  | 
technology, for another and for compensation, or
with the  | 
intention or expectation of receiving compensation, either
 | 
directly or indirectly:
 | 
  (1) Sells, exchanges, purchases, rents, or leases real  | 
 estate.
 | 
  (2) Offers to sell, exchange, purchase, rent, or lease  | 
 real estate.
 | 
 | 
  (3) Negotiates, offers, attempts, or agrees to  | 
 negotiate the sale,
exchange, purchase, rental, or leasing  | 
 of real estate.
 | 
  (4) Lists, offers, attempts, or agrees to list real  | 
 estate for sale,
rent, lease, or exchange.
 | 
  (5) Buys, sells, offers to buy or sell, or otherwise  | 
 deals in options on
real estate or improvements thereon.
 | 
  (6) Supervises the collection, offer, attempt, or  | 
 agreement
to collect rent for the use of real estate.
 | 
  (7) Advertises or represents himself or herself as  | 
 being engaged in the
business of buying, selling,  | 
 exchanging, renting, or leasing real estate.
 | 
  (8) Assists or directs in procuring or referring of  | 
 leads or prospects, intended to
result in the sale,  | 
 exchange, lease, or rental of real estate.
 | 
  (9) Assists or directs in the negotiation of any  | 
 transaction intended to
result in the sale, exchange,  | 
 lease, or rental of real estate.
 | 
  (10) Opens real estate to the public for marketing  | 
 purposes.
 | 
  (11) Sells, rents, leases, or offers for sale or lease  | 
 real estate at
auction.
 | 
  (12) Prepares or provides a broker price opinion or  | 
 comparative market analysis as those terms are defined in  | 
 this Act, pursuant to the provisions of Section 10-45 of  | 
 this Act.  | 
 | 
 "Brokerage agreement" means a written or oral agreement  | 
between a sponsoring
broker and a consumer for licensed  | 
activities to be provided to a consumer in
return for  | 
compensation or the right to receive compensation from another.
 | 
Brokerage agreements may constitute either a bilateral or a  | 
unilateral
agreement between the broker and the broker's client  | 
depending upon the content
of the brokerage agreement. All  | 
exclusive brokerage agreements shall be in
writing.
 | 
 "Broker price opinion" means an estimate or analysis of the  | 
probable selling price of a particular interest in real estate,  | 
which may provide a varying level of detail about the  | 
property's condition, market, and neighborhood and information  | 
on comparable sales. The activities of a real estate broker or  | 
managing broker engaging in the ordinary course of business as  | 
a broker, as defined in this Section, shall not be considered a  | 
broker price opinion if no compensation is paid to the broker  | 
or managing broker, other than compensation based upon the sale  | 
or rental of real estate.  | 
 "Client" means a person who is being represented by a  | 
licensee.
 | 
 "Comparative market analysis" is an analysis or opinion  | 
regarding pricing, marketing, or financial aspects relating to  | 
a specified interest or interests in real estate that may be  | 
based upon an analysis of comparative market data, the  | 
expertise of the real estate broker or managing broker, and  | 
such other factors as the broker or managing broker may deem  | 
 | 
appropriate in developing or preparing such analysis or  | 
opinion. The activities of a real estate broker or managing  | 
broker engaging in the ordinary course of business as a broker,  | 
as defined in this Section, shall not be considered a  | 
comparative market analysis if no compensation is paid to the  | 
broker or managing broker, other than compensation based upon  | 
the sale or rental of real estate.  | 
 "Compensation" means the valuable consideration given by  | 
one person or entity
to another person or entity in exchange  | 
for the performance of some activity or
service. Compensation  | 
shall include the transfer of valuable consideration,
 | 
including without limitation the following:
 | 
  (1) commissions;
 | 
  (2) referral fees;
 | 
  (3) bonuses;
 | 
  (4) prizes;
 | 
  (5) merchandise;
 | 
  (6) finder fees;
 | 
  (7) performance of services;
 | 
  (8) coupons or gift certificates;
 | 
  (9) discounts;
 | 
  (10) rebates;
 | 
  (11) a chance to win a raffle, drawing, lottery, or  | 
 similar game of chance
not prohibited by any other law or  | 
 statute;
 | 
  (12) retainer fee; or
 | 
 | 
  (13) salary.
 | 
 "Confidential information" means information obtained by a  | 
licensee from a
client during the term of a brokerage agreement  | 
that (i) was made confidential
by the written request or  | 
written instruction of the client, (ii) deals with
the  | 
negotiating position of the client, or (iii) is information the  | 
disclosure
of which could materially harm the negotiating  | 
position of the client, unless
at any time:
 | 
  (1) the client permits the disclosure of information  | 
 given by that client
by word or conduct;
 | 
  (2) the disclosure is required by law; or
 | 
  (3) the information becomes public from a source other  | 
 than the licensee.
 | 
 "Confidential information" shall not be considered to  | 
include material
information about the physical condition of  | 
the property.
 | 
 "Consumer" means a person or entity seeking or receiving  | 
licensed
activities.
 | 
 "Continuing education school" means any person licensed by  | 
the Department as a school
for continuing education in  | 
accordance with Section 30-15 of this Act. | 
 "Coordinator" means the Coordinator of Real Estate created  | 
in Section 25-15 of this Act.
 | 
 "Credit hour" means 50 minutes of classroom instruction in  | 
course work that
meets the requirements set forth in rules  | 
adopted by the Department.
 | 
 | 
 "Customer" means a consumer who is not being represented by  | 
the licensee but
for whom the licensee is performing  | 
ministerial acts.
 | 
 "Department" means the Department of Financial and  | 
Professional Regulation.  | 
 "Designated agency" means a contractual relationship  | 
between a sponsoring
broker and a client under Section 15-50 of  | 
this Act in which one or more
licensees associated with or  | 
employed by the broker are designated as agent of
the client.
 | 
 "Designated agent" means a sponsored licensee named by a  | 
sponsoring broker as
the legal agent of a client, as provided  | 
for in Section 15-50 of this Act.
 | 
 "Dual agency" means an agency relationship in which a  | 
licensee is
representing both buyer and seller or both landlord  | 
and tenant in the same
transaction. When the agency  | 
relationship is a designated agency, the
question of whether  | 
there is a dual agency shall be determined by the agency
 | 
relationships of the designated agent of the parties and not of  | 
the sponsoring
broker.
 | 
 "Employee" or other derivative of the word "employee", when  | 
used to refer to,
describe, or delineate the relationship  | 
between a sponsoring real estate broker and a managing broker,  | 
a real
estate salesperson, another real estate broker, or a  | 
leasing agent, shall be
construed to include an independent  | 
contractor relationship, provided that a
written agreement  | 
exists that clearly establishes and states the relationship.
 | 
 | 
All responsibilities of a broker shall remain.
 | 
 "Escrow moneys" means all moneys, promissory notes or any  | 
other type or
manner of legal tender or financial consideration  | 
deposited with any person for
the benefit of the parties to the  | 
transaction. A transaction exists once an
agreement has been  | 
reached and an accepted real estate contract signed or lease
 | 
agreed to by the parties. Escrow moneys includes without  | 
limitation earnest
moneys and security deposits, except those  | 
security deposits in which the
person holding the security  | 
deposit is also the sole owner of the property
being leased and  | 
for which the security deposit is being held.
 | 
 "Electronic means of proctoring" means a methodology  | 
providing assurance that the person taking a test and  | 
completing the answers to questions is the person seeking  | 
licensure or credit for continuing education and is doing so  | 
without the aid of a third party or other device.  | 
 "Exclusive brokerage agreement" means a written brokerage  | 
agreement that provides that the sponsoring broker has the sole  | 
right, through one or more sponsored licensees, to act as the  | 
exclusive designated agent or representative of the client and  | 
that meets the requirements of Section 15-75 of this Act.
 | 
 "Inoperative" means a status of licensure where the  | 
licensee holds a current
license under this Act, but the  | 
licensee is prohibited from engaging in
licensed activities  | 
because the licensee is unsponsored or the license of the
 | 
sponsoring broker with whom the licensee is associated or by  | 
 | 
whom he or she is
employed is currently expired, revoked,  | 
suspended, or otherwise rendered
invalid under this Act.
 | 
 "Interactive delivery method" means delivery of a course by  | 
an instructor through a medium allowing for 2-way communication  | 
between the instructor and a student in which either can  | 
initiate or respond to questions.  | 
 "Leads" means the name or names of a potential buyer,  | 
seller, lessor, lessee, or client of a licensee.  | 
 "Leasing Agent" means a person who is employed by a real  | 
estate broker to
engage in licensed activities limited to  | 
leasing residential real estate who
has obtained a license as  | 
provided for in Section 5-5 of this Act.
 | 
 "License" means the document issued by the Department  | 
certifying that the person named
thereon has fulfilled all  | 
requirements prerequisite to licensure under this
Act.
 | 
 "Licensed activities" means those activities listed in the  | 
definition of
"broker" under this Section.
 | 
 "Licensee" means any person, as defined in this Section,  | 
who holds a
valid unexpired license as a managing real estate  | 
broker, broker real estate salesperson, or
leasing agent.
 | 
 "Listing presentation" means a communication between a  | 
managing real estate broker or
broker salesperson and a  | 
consumer in which the licensee is attempting to secure a
 | 
brokerage agreement with the consumer to market the consumer's  | 
real estate for
sale or lease.
 | 
 "Managing broker" means a broker who has supervisory  | 
 | 
responsibilities for
licensees in one or, in the case of a  | 
multi-office company, more than one
office and who has been  | 
appointed as such by the sponsoring broker.
 | 
 "Medium of advertising" means any method of communication  | 
intended to
influence the general public to use or purchase a  | 
particular good or service or
real estate.
 | 
 "Ministerial acts" means those acts that a licensee may  | 
perform for a
consumer that are informative or clerical in  | 
nature and do not rise to the
level of active representation on  | 
behalf of a consumer. Examples of these acts
include without  | 
limitation (i) responding to phone inquiries by consumers as to
 | 
the availability and pricing of brokerage services, (ii)  | 
responding to phone
inquiries from a consumer concerning the  | 
price or location of property, (iii)
attending an open house  | 
and responding to questions about the property from a
consumer,  | 
(iv) setting an appointment to view property, (v) responding to
 | 
questions of consumers walking into a licensee's office  | 
concerning brokerage
services offered or particular  | 
properties, (vi) accompanying an appraiser,
inspector,  | 
contractor, or similar third party on a visit to a property,  | 
(vii)
describing a property or the property's condition in  | 
response to a consumer's
inquiry, (viii) completing business or  | 
factual information for a consumer on an
offer or contract to  | 
purchase on behalf of a client, (ix) showing a client
through a  | 
property being sold by an owner on his or her own behalf, or  | 
(x)
referral to another broker or service provider.
 | 
 | 
 "Office" means a real estate broker's place of business  | 
where the general
public is invited to transact business and  | 
where records may be maintained and
licenses displayed, whether  | 
or not it is the broker's principal place of
business.
 | 
 "Person" means and includes individuals, entities,  | 
corporations, limited
liability companies, registered limited  | 
liability partnerships, and
partnerships, foreign or domestic,  | 
except that when the context otherwise
requires, the term may  | 
refer to a single individual or other described entity.
 | 
 "Personal assistant" means a licensed or unlicensed person  | 
who has been hired
for the purpose of aiding or assisting a  | 
sponsored licensee in the performance
of the sponsored  | 
licensee's job.
 | 
 "Pocket card" means the card issued by the Department to  | 
signify that the person named
on the card is currently licensed  | 
under this Act.
 | 
 "Pre-license school" means a school licensed by the  | 
Department offering courses in
subjects related to real estate  | 
transactions, including the subjects upon
which an applicant is  | 
examined in determining fitness to receive a license.
 | 
 "Pre-renewal period" means the period between the date of  | 
issue of a
currently valid license and the license's expiration  | 
date.
 | 
 "Proctor" means any person, including, but not limited to,  | 
an instructor, who has a written agreement to administer  | 
examinations fairly and impartially with a licensed  | 
 | 
pre-license school or a licensed continuing education school.  | 
 "Real estate" means and includes leaseholds as well as any  | 
other interest or
estate in land, whether corporeal,  | 
incorporeal, freehold, or non-freehold,
including timeshare  | 
interests, and whether the real estate is situated in this
 | 
State or elsewhere.
 | 
 "Regular employee" means a person working an average of 20  | 
hours per week for a person or entity who would be considered  | 
as an employee under the Internal Revenue Service eleven main  | 
tests in three categories being behavioral control, financial  | 
control and the type of relationship of the parties, formerly  | 
the twenty factor test. 
 | 
 "Salesperson" means any individual, other than a real  | 
estate broker or
leasing agent, who is employed by a real  | 
estate broker or is associated by
written agreement with a real  | 
estate broker as an independent contractor and
participates in  | 
any activity described in the definition of "broker" under this
 | 
Section.
 | 
 "Secretary" means the Secretary of the Department of  | 
Financial and Professional Regulation, or a person authorized  | 
by the Secretary to act in the Secretary's stead.  | 
 "Sponsoring broker" means the broker who has issued a  | 
sponsor card to a
licensed managing broker salesperson, another  | 
licensed broker, or a leasing agent.
 | 
 "Sponsor card" means the temporary permit issued by the  | 
sponsoring real
estate broker certifying that the managing real  | 
 | 
estate broker, broker real estate salesperson,
or leasing agent  | 
named thereon is employed by or associated by written
agreement  | 
with the sponsoring real estate broker, as provided for in  | 
Section
5-40 of this Act.
 | 
(Source: P.A. 98-531, eff. 8-23-13; 98-1109, eff. 1-1-15.)
 | 
 (225 ILCS 454/5-5)
 | 
 (Section scheduled to be repealed on January 1, 2020)
 | 
 Sec. 5-5. Leasing agent license. 
 | 
 (a) The purpose of this Section is to provide for a limited  | 
scope license to
enable persons who
wish to engage in  | 
activities limited to the leasing of residential real
property  | 
for which a license is
required under this Act, and only those  | 
activities, to do so by obtaining the
license provided for
 | 
under this Section.
 | 
 (b) Notwithstanding the other provisions of this Act, there  | 
is hereby
created a leasing agent
license that shall enable the  | 
licensee to engage only in residential leasing
activities for  | 
which a
license is required under this Act. Such activities  | 
include without
limitation leasing or renting
residential real  | 
property, or attempting, offering, or negotiating to lease or
 | 
rent residential real property, or
supervising the collection,  | 
offer, attempt, or agreement to collect rent for
the use of
 | 
residential real
property. Nothing in this
Section shall be  | 
construed to require a licensed managing real estate broker or
 | 
broker salesperson to obtain a leasing
agent license in order  | 
 | 
to perform leasing activities for which a license is
required  | 
under this Act.
Licensed leasing agents must be sponsored and  | 
employed by a sponsoring broker.
 | 
 (c) The Department, by rule shall provide for the
licensing  | 
of leasing
agents, including the issuance, renewal, and  | 
administration of licenses.
 | 
 (d) Notwithstanding any other provisions of this Act to the  | 
contrary, a
person may engage in
residential leasing activities  | 
for which a license is required under this Act,
for a period of  | 
120
consecutive days without being licensed, so long as the  | 
person is acting under
the supervision of a
sponsoring licensed  | 
real estate broker and the sponsoring broker has notified the  | 
Department that the person is
pursuing licensure
under this  | 
Section. During the 120 day period all requirements of Sections
 | 
5-10
and 5-65 of this Act
with respect to education, successful  | 
completion of an examination, and the
payment of all required
 | 
fees must be satisfied. The Department may adopt rules to  | 
ensure that the provisions of
this subsection are
not used in a  | 
manner that enables an unlicensed person to repeatedly or
 | 
continually engage in
activities for which a license is  | 
required under this Act.
 | 
(Source: P.A. 96-856, eff. 12-31-09.)
 | 
 (225 ILCS 454/5-10)
 | 
 (Section scheduled to be repealed on January 1, 2020)
 | 
 Sec. 5-10. Requirements for license as leasing agent.  | 
 | 
 (a) Every applicant for licensure as a leasing agent must  | 
meet the following qualifications: | 
  (1) be at least 18 years of age; | 
  (2) be of good moral
character; | 
  (3) successfully complete
a 4-year course of study in a  | 
 high school or secondary school or an
equivalent course of
 | 
 study approved by the Illinois State Board of Education; | 
  (4) personally take and pass a written
examination  | 
 authorized by the Department sufficient to demonstrate the  | 
 applicant's
knowledge of the
provisions of this Act  | 
 relating to leasing agents and the applicant's
competence  | 
 to engage in the
activities of a licensed leasing agent; | 
  (5) provide satisfactory evidence of having completed
 | 
 15 hours of
instruction in an approved course of study  | 
 relating to the leasing of
residential real property. The
 | 
 course of study shall, among other topics, cover
the  | 
 provisions of this Act
applicable to leasing agents; fair  | 
 housing issues relating to residential
leasing;  | 
 advertising and marketing issues;
leases, applications,  | 
 and credit reports; owner-tenant relationships and
 | 
 owner-tenant laws; the handling of funds; and
 | 
 environmental issues relating
to residential real
 | 
 property; | 
  (6) complete any other requirements as set forth by  | 
 rule; and
 | 
  (7) present a valid application for issuance of an  | 
 | 
 initial license accompanied by a sponsor card and the fees  | 
 specified by rule. | 
 (b) No applicant shall engage in any of the activities  | 
covered by this Act until a valid sponsor card has been issued  | 
to such applicant. The sponsor card shall be valid for a  | 
maximum period of 45 days after the date of issuance unless  | 
extended for good cause as provided by rule. | 
 (c) Successfully completed course work, completed pursuant  | 
to the
requirements of this
Section, may be applied to the  | 
course work requirements to obtain a managing real estate
 | 
broker's or
broker's salesperson's license as provided by rule.  | 
The Advisory Council may
recommend through the
Board to the  | 
Department and the Department may adopt requirements for  | 
approved courses, course
content, and the
approval of courses,  | 
instructors, and schools, as well as school and instructor
 | 
fees. The Department may
establish continuing education  | 
requirements for licensed leasing agents, by
rule, with the  | 
advice of
the Advisory Council and Board.
 | 
(Source: P.A. 96-856, eff. 12-31-09.)
 | 
 (225 ILCS 454/5-15)
 | 
 (Section scheduled to be repealed on January 1, 2020)
 | 
 Sec. 5-15. 
Necessity of managing broker, broker,  | 
salesperson, or leasing agent license
or sponsor card;  | 
ownership
restrictions.
 | 
 (a) It is unlawful for any person, corporation, limited  | 
 | 
liability company,
registered limited liability partnership,  | 
or partnership to act as
a managing broker, real estate broker,  | 
real estate salesperson, or leasing agent or to advertise
or  | 
assume to act as such
managing broker, broker, salesperson, or  | 
leasing agent without a properly issued sponsor card or
a  | 
license issued
under this Act by the Department, either  | 
directly or through its authorized designee.
 | 
 (b) No corporation shall be granted a license or engage in  | 
the business or
capacity, either
directly or indirectly, of a  | 
real estate broker, unless every officer of the
corporation who  | 
actively
participates in the real estate activities of the  | 
corporation holds a license
as a managing broker or broker
and  | 
unless every employee who acts as a managing broker, broker,  | 
salesperson, or leasing agent for the
corporation holds a
 | 
license as a managing broker, broker, salesperson, or leasing  | 
agent. 
 | 
 (c) No partnership shall be granted a license or engage in  | 
the business or
serve in the capacity,
either directly or  | 
indirectly, of a real estate broker, unless every general
 | 
partner in the partnership
holds a license as a managing broker  | 
or broker and unless every employee who acts as a
managing  | 
broker, broker, salesperson or
leasing agent for the  | 
partnership holds a license as a managing broker, broker,
 | 
salesperson, or leasing
agent. In the case of a registered  | 
limited liability partnership (LLP), every
partner in the LLP
 | 
must hold a license as a managing broker or broker and every  | 
 | 
employee who acts as a
managing broker, broker, salesperson or  | 
leasing
agent must hold a license as a managing broker, broker,  | 
salesperson, or leasing
agent.
 | 
 (d) No limited liability company shall be granted a license  | 
or engage in the
business or serve in
the capacity, either  | 
directly or indirectly, of a broker unless
every manager in
the  | 
limited liability company or every member in a member managed  | 
limited liability company holds a license as a managing broker  | 
or broker and
unless every other member and employee who
acts  | 
as a managing broker, broker, salesperson or leasing agent for  | 
the limited liability company holds
a license as a managing  | 
broker, broker, salesperson, or leasing agent.
 | 
 (e) No partnership, limited liability company, or  | 
corporation shall be
licensed to conduct a
brokerage business  | 
where an individual salesperson or leasing agent, or group
of
 | 
salespersons
or leasing agents, owns or directly or indirectly  | 
controls more than 49% of the
shares of stock or
other  | 
ownership in the partnership, limited liability company, or  | 
corporation.
 | 
(Source: P.A. 96-856, eff. 12-31-09.)
 | 
 (225 ILCS 454/5-20)
 | 
 (Section scheduled to be repealed on January 1, 2020)
 | 
 Sec. 5-20. Exemptions from managing broker, broker,  | 
salesperson, or leasing agent license
requirement. The  | 
requirement for holding a license under this Article 5 shall
 | 
 | 
not apply to:
 | 
  (1) Any person, partnership, or corporation that as  | 
 owner or lessor performs
any of the acts described in the  | 
 definition of "broker" under Section 1-10 of
this Act with  | 
 reference to property owned or leased by it, or to the  | 
 regular
employees thereof with respect to the property so  | 
 owned or leased, where such
acts are performed in the  | 
 regular course of or as an incident to the
management,  | 
 sale, or other disposition of such property and the  | 
 investment
therein, provided that such regular employees  | 
 do not perform any of the acts
described in the definition  | 
 of "broker" under Section 1-10 of this Act in
connection  | 
 with a vocation of selling or leasing any real estate or  | 
 the
improvements thereon not so owned or leased.
 | 
  (2) An attorney in fact acting under a duly executed  | 
 and recorded power of
attorney to convey real estate from  | 
 the owner or lessor or the services
rendered by an attorney  | 
 at law in the performance of the attorney's duty as an
 | 
 attorney at law.
 | 
  (3) Any person acting as receiver, trustee in  | 
 bankruptcy, administrator,
executor, or guardian or while  | 
 acting under a court order or under the
authority of a will  | 
 or testamentary trust.
 | 
  (4) Any person acting as a resident manager for the  | 
 owner or any employee
acting as the resident manager for a  | 
 broker managing an apartment building,
duplex, or  | 
 | 
 apartment complex, when the resident manager resides on the
 | 
 premises, the premises is his or her primary residence, and  | 
 the resident
manager is engaged in the leasing of the  | 
 property of which he or she is the
resident manager.
 | 
  (5) Any officer or employee of a federal agency in the  | 
 conduct of official
duties.
 | 
  (6) Any officer or employee of the State government or  | 
 any political
subdivision thereof performing official  | 
 duties.
 | 
  (7) Any multiple listing service or other similar  | 
 information exchange that is
engaged in the collection
and  | 
 dissemination of information concerning real estate  | 
 available for sale,
purchase, lease, or
exchange for the  | 
 purpose of providing licensees with a system by which  | 
 licensees may cooperatively share information along with  | 
 which no other licensed activities, as defined in Section  | 
 1-10 of this Act, are provided.
 | 
  (8) Railroads and other public utilities regulated by  | 
 the State of Illinois,
or the officers or full time  | 
 employees thereof, unless the performance of any
licensed  | 
 activities is in connection with the sale, purchase, lease,  | 
 or other
disposition of real estate or investment therein  | 
 not needing the approval of
the appropriate State  | 
 regulatory authority.
 | 
  (9) Any medium of advertising in the routine course of  | 
 selling or publishing
advertising along with which no other  | 
 | 
 licensed activities, as defined in Section 1-10 of this  | 
 Act, are provided.
 | 
  (10) Any resident lessee of a residential dwelling unit  | 
 who refers for
compensation to the owner of the dwelling  | 
 unit, or to the owner's agent,
prospective lessees of  | 
 dwelling units in the same building or complex as the
 | 
 resident lessee's unit, but only if the resident lessee (i)  | 
 refers no more than
3 prospective lessees in any 12-month  | 
 period, (ii) receives compensation of no
more than $1,500  | 
 or the equivalent of one month's rent, whichever is less,  | 
 in
any 12-month period, and (iii) limits his or her  | 
 activities to referring
prospective lessees to the owner,  | 
 or the owner's agent, and does not show a
residential  | 
 dwelling unit to a prospective lessee, discuss terms or  | 
 conditions
of leasing a dwelling unit with a prospective  | 
 lessee, or otherwise participate
in the negotiation of the  | 
 leasing of a dwelling unit.
 | 
  (11) An exchange company registered under the Real  | 
 Estate Timeshare Act of
1999 and the regular employees of  | 
 that registered exchange company but only
when conducting  | 
 an exchange program as defined in that Act.
 | 
  (12) An existing timeshare owner who, for  | 
 compensation, refers prospective
purchasers, but only if  | 
 the existing timeshare owner (i) refers no more than 20
 | 
 prospective purchasers in any calendar year, (ii) receives  | 
 no more than $1,000,
or its equivalent, for referrals in  | 
 | 
 any calendar year and (iii) limits his or
her activities to  | 
 referring prospective purchasers of timeshare interests to
 | 
 the developer or the developer's employees or agents, and  | 
 does not show,
discuss terms or conditions of purchase or  | 
 otherwise participate in
negotiations with regard to  | 
 timeshare interests.
 | 
  (13) Any person who is licensed without examination  | 
 under
Section 10-25 (now repealed) of the Auction License  | 
 Act is exempt from holding a managing broker's or
broker's  | 
 salesperson's license under this Act for the limited  | 
 purpose of selling or
leasing real estate at auction, so  | 
 long as:
 | 
   (A) that person has made application for said  | 
 exemption by July 1, 2000;
 | 
   (B) that person verifies to the Department that he  | 
 or she has sold real estate
at auction for a period of  | 
 5 years prior to licensure as an auctioneer;
 | 
   (C) the person has had no lapse in his or her  | 
 license as an
auctioneer; and
 | 
   (D) the license issued under the Auction License  | 
 Act has not been
disciplined for violation of those  | 
 provisions of Article 20 of the Auction
License Act  | 
 dealing with or related to the sale or lease of real  | 
 estate at
auction.
 | 
  (14) A person who holds a valid license under the  | 
 Auction License Act and a valid real estate auction  | 
 | 
 certification and conducts auctions for the sale of real  | 
 estate under Section 5-32 of this Act. | 
  (15) A hotel operator who is registered with the  | 
 Illinois Department of
Revenue and pays taxes under the  | 
 Hotel Operators' Occupation Tax Act and rents
a room or  | 
 rooms in a hotel as defined in the Hotel Operators'  | 
 Occupation Tax
Act for a period of not more than 30  | 
 consecutive days and not more than 60 days
in a calendar  | 
 year.
 | 
(Source: P.A. 98-553, eff. 1-1-14.)
 | 
 (225 ILCS 454/5-26) | 
 (Section scheduled to be repealed on January 1, 2020)
 | 
 Sec. 5-26. License Requirements for license as a  | 
salesperson.  | 
 (a) Every applicant for licensure as a salesperson must  | 
meet the following qualifications: | 
  (1) Be at least 21 years of age. The minimum age of 21  | 
 years shall be waived for any person seeking a license as a  | 
 real estate salesperson who has attained the age of 18 and  | 
 can provide evidence of the successful completion of at  | 
 least 4 semesters of post-secondary school study as a  | 
 full-time student or the equivalent, with major emphasis on  | 
 real estate courses, in a school approved by the  | 
 Department;  | 
  (2) Be of good moral character;  | 
 | 
  (3) Successfully complete a 4-year course of study in a  | 
 high school or secondary school approved by the Illinois  | 
 State Board of Education or an equivalent course of study  | 
 as determined by an examination conducted by the Illinois  | 
 State Board of Education, which shall be verified under  | 
 oath by the applicant; | 
  (4) Provide satisfactory evidence of having completed  | 
 at least 45 hours of instruction in real estate courses  | 
 approved by the Advisory Council, except applicants who are  | 
 currently admitted to practice law by the Supreme Court of  | 
 Illinois and are currently in active standing; | 
  (5) Personally take and pass a written examination  | 
 authorized by the Department; and | 
  (6) Present a valid application for issuance of a  | 
 license accompanied by a sponsor card and the fees  | 
 specified by rule.  | 
 (b) No applicant shall engage in any of the activities  | 
covered by this Act until a valid sponsor card has been issued  | 
to the applicant. The sponsor card shall be valid for a maximum  | 
period of 45 days after the date of issuance unless extended  | 
for good cause as provided by rule. | 
 (c) All licenses should be readily available to the public  | 
at their sponsoring place of business. | 
 (d) No new salesperson licenses shall be issued after April  | 
30, 2011 and all existing salesperson licenses shall terminate  | 
on May 1, 2012. 
 | 
 | 
(Source: P.A. 96-856, eff. 12-31-09; 97-333, eff. 8-12-11.)
 | 
 (225 ILCS 454/5-27) | 
 (Section scheduled to be repealed on January 1, 2020) | 
 Sec. 5-27. Requirements for licensure as a broker.  | 
 (a) Every applicant for licensure as a broker must meet the  | 
following qualifications: | 
  (1) Be at least 21 years of age. After April 30, 2011,  | 
 the minimum age of 21 years shall be waived for any person  | 
 seeking a license as a broker who has attained the age of  | 
 18 and can provide evidence of the successful completion of  | 
 at least 4 semesters of post-secondary school study as a  | 
 full-time student or the equivalent, with major emphasis on  | 
 real estate courses, in a school approved by the  | 
 Department; | 
  (2) Be of good moral character; | 
  (3) Successfully complete a 4-year course of study in a  | 
 high school or secondary school approved by the Illinois  | 
 State Board of Education or an equivalent course of study  | 
 as determined by an examination conducted by the Illinois  | 
 State Board of Education which shall be verified under oath  | 
 by the applicant; | 
  (4) (Blank); Prior to May 1, 2011, provide (i)  | 
 satisfactory evidence of having completed at least 120  | 
 classroom hours, 45 of which shall be those hours required  | 
 to obtain a salesperson's license plus 15 hours in  | 
 | 
 brokerage administration courses, in real estate courses  | 
 approved by the Advisory Council or (ii) for applicants who  | 
 currently hold a valid real estate salesperson's license,  | 
 give satisfactory evidence of having completed at least 75  | 
 hours in real estate courses, not including the courses  | 
 that are required to obtain a salesperson's license,  | 
 approved by the Advisory Council; | 
  (5) After April 30, 2011, provide satisfactory  | 
 evidence of having completed 90 hours of instruction in  | 
 real estate courses approved by the Advisory Council, 15  | 
 hours of which must consist of situational and case studies  | 
 presented in the classroom or by other interactive delivery  | 
 method between the instructor and the students; | 
  (6) Personally take and pass a written examination  | 
 authorized by the Department; | 
  (7) Present a valid application for issuance of a  | 
 license accompanied by a sponsor card and the fees  | 
 specified by rule.  | 
 (b) The requirements specified in items (3) (4) and (5) of  | 
subsection (a) of this Section do not apply to applicants who  | 
are currently admitted to practice law by the Supreme Court of  | 
Illinois and are currently in active standing. | 
 (c) No applicant shall engage in any of the activities  | 
covered by this Act until a valid sponsor card has been issued  | 
to such applicant. The sponsor card shall be valid for a  | 
maximum period of 45 days after the date of issuance unless  | 
 | 
extended for good cause as provided by rule. | 
 (d) All licenses should be readily available to the public  | 
at their place of business. 
 | 
 (e) An individual holding an active license as a managing  | 
broker may return the license to the Department along with a  | 
form provided by the Department and shall be issued a broker's  | 
license in exchange. Any individual obtaining a broker's  | 
license under this subsection (e) shall be considered as having  | 
obtained a broker's license by education and passing the  | 
required test and shall be treated as such in determining  | 
compliance with this Act.  | 
(Source: P.A. 98-531, eff. 8-23-13; 98-1109, eff. 1-1-15.)
 | 
 (225 ILCS 454/5-28) | 
 (Section scheduled to be repealed on January 1, 2020) | 
 Sec. 5-28. Requirements for licensure as a managing broker.  | 
 (a) Effective May 1, 2012, every applicant for licensure as  | 
a managing broker must meet the following qualifications: | 
  (1) be at least 21 years of age; | 
  (2) be of good moral character; | 
  (3) have been licensed at least 2 out of the preceding  | 
 3 years as a real estate broker or salesperson; | 
  (4) successfully complete a 4-year course of study in  | 
 high school or secondary school approved by the Illinois  | 
 State Board of Education or an equivalent course of study  | 
 as determined by an examination conducted by the Illinois  | 
 | 
 State Board of Education, which shall be verified under  | 
 oath by the applicant; | 
  (5) provide satisfactory evidence of having completed  | 
 at least 165 hours, 120 of which shall be those hours  | 
 required pre and post-licensure to obtain a broker's  | 
 license, and 45 additional hours completed within the year  | 
 immediately preceding the filing of an application for a  | 
 managing broker's license, which hours shall focus on  | 
 brokerage administration and management and include at  | 
 least 15 hours in the classroom or by other interactive  | 
 delivery method between the instructor and the students; | 
  (6) personally take and pass a written examination  | 
 authorized by the Department; and | 
  (7) present a valid application for issuance of a  | 
 license accompanied by a sponsor card, an appointment as a  | 
 managing broker, and the fees specified by rule.  | 
 (b) The requirements specified in item (5) of subsection  | 
(a) of this Section do not apply to applicants who are  | 
currently admitted to practice law by the Supreme Court of  | 
Illinois and are currently in active standing.  | 
 (c) No applicant shall act as a managing broker for more  | 
than 90 days after an appointment as a managing broker has been  | 
filed with the Department without obtaining a managing broker's  | 
license. 
 | 
(Source: P.A. 98-531, eff. 8-23-13.)
 | 
 | 
 (225 ILCS 454/5-32) | 
 (Section scheduled to be repealed on January 1, 2020) | 
 Sec. 5-32. Real estate auction certification. | 
 (a) An auctioneer licensed under the Auction License Act  | 
who does not possess a valid and active broker's or managing  | 
broker's license under this Act, or who is not otherwise exempt  | 
from licensure, may not engage in the practice of auctioning  | 
real estate, except as provided in this Section. | 
 (b) The Department shall issue a real estate auction  | 
certification to applicants who: | 
  (1) possess a valid auctioneer's license under the  | 
 Auction License Act; | 
  (2) successfully complete a real estate auction course  | 
 of at least 30 hours approved by the Department, which  | 
 shall cover the scope of activities that may be engaged in  | 
 by a person holding a real estate auction certification and  | 
 the activities for which a person must hold a real estate  | 
 license, as well as other material as provided by the  | 
 Department; | 
  (3) provide documentation of the completion of the real  | 
 estate auction course; and | 
  (4) successfully complete any other reasonable  | 
 requirements as provided by rule. | 
 (c) The auctioneer's role shall be limited to establishing  | 
the time, place, and method of the real estate auction, placing  | 
advertisements regarding the auction, and crying or calling the  | 
 | 
auction; any other real estate brokerage activities must be  | 
performed by a person holding a valid and active real estate  | 
broker's or managing broker's license under the provisions of  | 
this Act or by a person who is exempt from holding a license  | 
under paragraph (13) of Section 5-20 who has a certificate  | 
under this Section. | 
 (d) An auctioneer who conducts any real estate auction  | 
activities in violation of this Section is guilty of unlicensed  | 
practice under Section 20-10 of this Act. | 
 (e) The Department may revoke, suspend, or otherwise  | 
discipline the real estate auction certification of an  | 
auctioneer who is adjudicated to be in violation of the  | 
provisions of this Section or Section 20-15 of the Auction  | 
License Act.  | 
 (f) Advertising for the real estate auction must contain  | 
the name and address of the licensed real estate broker,  | 
managing broker, or a licensed auctioneer under paragraph (13)  | 
of Section 5-20 of this Act who is providing brokerage services  | 
for the transaction. | 
 (g) The requirement to hold a real estate auction  | 
certification shall not apply to a person exempt from this Act  | 
under the provisions of paragraph (13) of Section 5-20 of this  | 
Act, unless that person is performing licensed activities in a  | 
transaction in which a licensed auctioneer with a real estate  | 
certification is providing the limited services provided for in  | 
subsection (c) of this Section. | 
 | 
 (h) Nothing in this Section shall require a person licensed  | 
under this Act as a real estate broker or managing broker to  | 
obtain a real estate auction certification in order to auction  | 
real estate. | 
 (i) The Department may adopt rules to implement this  | 
Section. 
 | 
(Source: P.A. 98-553, eff. 1-1-14; 98-756, eff. 7-16-14.)
 | 
 (225 ILCS 454/5-35)
 | 
 (Section scheduled to be repealed on January 1, 2020)
 | 
 Sec. 5-35. Examination; managing broker, broker,  | 
salesperson, or leasing agent. 
 | 
 (a) The Department shall authorize examinations at such
 | 
times and places as it may designate. The examination shall be  | 
of a character to give a fair test of the qualifications of the  | 
applicant to practice as a managing broker, broker,  | 
salesperson, or leasing agent. Applicants for examination as a  | 
managing broker, broker, salesperson, or leasing agent shall be  | 
required to pay, either to the Department or the designated  | 
testing service, a fee covering the cost of providing the  | 
examination. Failure to appear for the examination on the  | 
scheduled date, at the time and place specified, after the  | 
applicant's application for examination has been received and  | 
acknowledged by the Department or the designated testing  | 
service, shall result in the forfeiture of the examination fee.
 | 
An applicant shall be eligible to take the
examination only  | 
 | 
after
successfully completing the education requirements
and
 | 
attaining the
minimum age provided for in Article 5 of this  | 
Act. Each applicant shall be required to
establish compliance  | 
with
the eligibility requirements in the manner provided by the  | 
rules
promulgated for
the administration of this Act.
 | 
 (b) If a person who has received a passing score on the  | 
written examination
described in this Section fails to file an  | 
application and meet all
requirements for a license
under this  | 
Act within
one year after receiving a passing score on the  | 
examination, credit for the
examination shall
terminate. The  | 
person thereafter may make a new application for examination.
 | 
 (c) If an applicant has failed an examination 4 times, the  | 
applicant must
repeat the pre-license
education required to sit  | 
for the examination. For the purposes of this
Section, the  | 
fifth attempt
shall be the same as the first. Approved  | 
education, as prescribed by this Act
for licensure as a
 | 
managing broker, salesperson or broker, or leasing agent, shall  | 
be valid for 4
years after the date of satisfactory completion  | 
of the education.
 | 
 (d) The Department may employ consultants for the purposes  | 
of preparing and conducting examinations.  | 
(Source: P.A. 96-856, eff. 12-31-09.)
 | 
 (225 ILCS 454/5-41) | 
 (Section scheduled to be repealed on January 1, 2020)
 | 
 Sec. 5-41. Change of address. A licensee shall notify the  | 
 | 
Department of the address or addresses, and of every change of  | 
address, where the licensee practices as a leasing agent,  | 
salesperson, broker or managing broker.
 | 
(Source: P.A. 96-856, eff. 12-31-09.)
 | 
 (225 ILCS 454/5-50)
 | 
 (Section scheduled to be repealed on January 1, 2020)
 | 
 Sec. 5-50. Expiration and renewal of managing broker,  | 
broker, salesperson, or
leasing agent license; sponsoring  | 
broker;
register of licensees; pocket card. | 
 (a) The expiration date and renewal period for each license  | 
issued under
this Act shall be set by
rule, except that the  | 
first renewal period ending after the effective date of this  | 
Act for those licensed as a salesperson shall be extended  | 
through April 30, 2012. Except as otherwise provided in this  | 
Section, the holder of
a
license may renew
the license within  | 
90 days preceding the expiration date thereof by completing the  | 
continuing education required by this Act and paying the
fees  | 
specified by
rule.
 | 
 (b) An individual whose first license is that of a broker  | 
received after April 30, 2011, must provide evidence of having  | 
completed 30 hours of post-license education in courses  | 
approved by the Advisory Council, 15 hours of which must  | 
consist of situational and case studies presented in the  | 
classroom or by other interactive delivery method between the  | 
instructor and the students, and personally take and pass an  | 
 | 
examination approved by the Department prior to the first  | 
renewal of their broker's license.
 | 
 (c) Any salesperson until April 30, 2011 or any managing  | 
broker, broker, or leasing agent whose license under this Act  | 
has expired shall be eligible to renew the license during the  | 
2-year period following the expiration date, provided the  | 
managing broker, broker, salesperson, or leasing agent pays the  | 
fees as prescribed by rule and completes continuing education  | 
and other requirements provided for by the Act or by rule.  | 
Beginning on May 1, 2012, a managing broker licensee, broker,  | 
or leasing agent whose license has been expired for more than 2  | 
years but less than 5 years may have it restored by (i)  | 
applying to the Department, (ii) paying the required fee, (iii)  | 
completing the continuing education requirements for the most  | 
recent pre-renewal period that ended prior to the date of the  | 
application for reinstatement, and (iv) filing acceptable  | 
proof of fitness to have his or her license restored, as set by  | 
rule. A managing broker, broker, or leasing agent whose license  | 
has been expired for more than 5 years shall be required to  | 
meet the requirements for a new license.
 | 
 (d) Notwithstanding any other provisions of this Act to the  | 
contrary, any managing broker, broker, salesperson, or leasing  | 
agent whose license expired while he or she was (i) on active  | 
duty with the Armed Forces of the United States or called into  | 
service or training by the state militia, (ii) engaged in  | 
training or education under the supervision of the United  | 
 | 
States preliminary to induction into military service, or (iii)  | 
serving as the Coordinator of Real Estate in the State of  | 
Illinois or as an employee of the Department may have his or  | 
her license renewed, reinstated or restored without paying any  | 
lapsed renewal fees if within 2 years after the termination of  | 
the service, training or education by furnishing the Department  | 
with satisfactory evidence of service, training, or education  | 
and it has been terminated under honorable conditions. | 
  (e) The Department shall establish and
maintain a register  | 
of all persons currently licensed by the
State and shall issue  | 
and prescribe a form of pocket card. Upon payment by a licensee  | 
of the appropriate fee as prescribed by
rule for engagement in  | 
the activity for which the licensee is
qualified and holds a  | 
license for the current period, the
Department shall issue a  | 
pocket card to the licensee. The
pocket card shall be  | 
verification that the required fee for the
current period has  | 
been paid and shall indicate that the person named thereon is  | 
licensed for the current renewal period as a
managing broker,  | 
broker, salesperson, or leasing agent as the
case may be. The  | 
pocket card shall further indicate that the
person named  | 
thereon is authorized by the Department to
engage in the  | 
licensed activity appropriate for his or her
status (managing  | 
broker, broker, salesperson, or leasing
agent). Each licensee  | 
shall carry on his or her person his or
her pocket card or, if  | 
such pocket card has not yet been
issued, a properly issued  | 
sponsor card when engaging in any
licensed activity and shall  | 
 | 
display the same on demand. | 
 (f) The Department shall provide to the sponsoring broker a  | 
notice of renewal for all sponsored licensees by mailing the  | 
notice to the sponsoring broker's address of record, or, at the  | 
Department's discretion, by an electronic means as provided for  | 
by rule. | 
 (g) Upon request from the sponsoring broker, the Department  | 
shall make available to the sponsoring broker, either by mail  | 
or by an electronic means at the discretion of the Department,  | 
a listing of licensees under this Act who, according to the  | 
records of the Department, are sponsored by that broker. Every  | 
licensee associated with or employed by a broker whose license  | 
is revoked, suspended, terminated, or expired shall be  | 
considered as inoperative until such time as the sponsoring  | 
broker's license is reinstated or renewed, or the licensee  | 
changes employment as set forth in subsection (c) of Section  | 
5-40 of this Act.  | 
(Source: P.A. 98-531, eff. 8-23-13.)
 | 
 (225 ILCS 454/5-60)
 | 
 (Section scheduled to be repealed on January 1, 2020)
 | 
 Sec. 5-60. Managing broker licensed in another state;  | 
broker licensed in another state; salesperson licensed in  | 
another state;
reciprocal agreements; agent
for service
of  | 
process. | 
 (a) Effective May 1, 2011, a managing broker's license may  | 
 | 
be issued by the Department to a managing broker or its  | 
equivalent licensed under the laws of another state of the  | 
United States, under the following conditions: | 
  (1) the managing broker holds a managing broker's  | 
 license in a state that has entered into a reciprocal  | 
 agreement with the Department; | 
  (2) the standards for that state for licensing as a  | 
 managing broker are substantially equal to or greater than  | 
 the minimum standards in the State of Illinois; | 
  (3) the managing broker has been actively practicing as  | 
 a managing broker in the managing broker's state of  | 
 licensure for a period of not less than 2 years,  | 
 immediately prior to the date of application; | 
  (4) the managing broker furnishes the Department with a  | 
 statement under seal of the proper licensing authority of  | 
 the state in which the managing broker is licensed showing  | 
 that the managing broker has an active managing broker's  | 
 license, that the managing broker is in good standing, and  | 
 that no complaints are pending against the managing broker  | 
 in that state;  | 
  (5) the managing broker passes a test on Illinois  | 
 specific real estate brokerage laws; and  | 
  (6) the managing broker was licensed by an examination  | 
 in the state that has entered into a reciprocal agreement  | 
 with the Department.  | 
 (b) A broker's license may be issued by the Department to a  | 
 | 
broker or its equivalent licensed under the
laws of another
 | 
state of the United States, under the following conditions:
 | 
  (1) the broker
holds a broker's license in a state that  | 
 has entered into a reciprocal agreement with the  | 
 Department;
 | 
  (2) the standards for that state for licensing as
a  | 
 broker are substantially
equivalent to or greater than the  | 
 minimum standards in the State of Illinois;
 | 
  (3) if the application is made prior to May 1, 2012,  | 
 then the broker has been
actively practicing as a broker in  | 
 the broker's state of licensure for a period
of not less  | 
 than 2 years,
immediately prior to the date of application;
 | 
  (4) the broker furnishes the Department with a  | 
 statement under
seal of the proper licensing authority of  | 
 the state in which the broker is
licensed showing that the
 | 
 broker has an active broker's license, that the broker is  | 
 in good standing, and
that no
complaints are pending  | 
 against
the broker in that state;
 | 
  (5) the broker passes a test on
Illinois specific real  | 
 estate brokerage laws; and
 | 
  (6) the broker was licensed by an examination in a  | 
 state that has entered into a reciprocal agreement with the  | 
 Department.
 | 
 (c) (Blank). Prior to May 1, 2011, a salesperson may, in  | 
the discretion
of the Department, be issued a
salesperson's  | 
license provided all of
the following
conditions are met:
 | 
 | 
  (1) the salesperson maintains an active license in the  | 
 state that has entered into a reciprocal agreement with the  | 
 Department;
 | 
  (2) the salesperson passes a test on Illinois specific  | 
 real estate brokerage laws; and
 | 
  (3) the salesperson was licensed by an examination in  | 
 the state that has entered into a reciprocal agreement with  | 
 the Department.
 | 
 The broker with whom the
salesperson is
associated shall  | 
comply with the provisions of this Act and issue the
 | 
salesperson a sponsor card
upon the form provided by the  | 
Department.
 | 
 (d) As a condition precedent to the issuance of a license  | 
to a managing broker,
or broker, or salesperson pursuant to  | 
this Section,
the managing broker or broker salesperson shall  | 
agree in writing to abide by all the provisions
of this Act  | 
with
respect to his or her real estate activities within the  | 
State of Illinois and
submit to the jurisdiction of the  | 
Department
as provided in this Act. The agreement shall be  | 
filed with the Department and shall
remain in force
for so long  | 
as the managing broker, or broker or salesperson is licensed by  | 
this State
and thereafter with
respect to acts or omissions  | 
committed while licensed as a managing broker or
broker  | 
salesperson in this State.
 | 
 (e) Prior to the issuance of any license to any managing  | 
broker, or broker, or salesperson licensed pursuant to this  | 
 | 
Section, verification of
active licensure issued
for the  | 
conduct of such business in any other state must be filed with  | 
the Department by
the managing broker, or broker, or  | 
salesperson,
and the same fees must be paid as provided in this  | 
Act for the obtaining of a
managing broker's, or broker's or
 | 
salesperson's license in this State.
 | 
 (f) Licenses previously granted under reciprocal  | 
agreements with other
states shall remain in
force so long as  | 
the Department has a reciprocal agreement with the state that  | 
includes
the requirements of this Section, unless
that license  | 
is suspended, revoked, or terminated by the Department for any  | 
reason
provided for
suspension, revocation, or
termination of a  | 
resident licensee's license. Licenses granted under
reciprocal  | 
agreements may be
renewed in the same manner as a resident's  | 
license.
 | 
 (g) Prior to the issuance of a license to a nonresident  | 
managing broker, or broker or
salesperson, the managing broker,  | 
or broker or
salesperson shall file with the Department a  | 
designation in writing that appoints the Secretary
to act as
 | 
his or her agent upon whom all judicial and other process or  | 
legal notices
directed to the managing broker, or broker or
 | 
salesperson may be served. Service upon the agent so designated  | 
shall be
equivalent to personal
service upon the licensee.  | 
Copies of the appointment, certified by the Secretary, shall be
 | 
deemed sufficient evidence thereof and shall be admitted in  | 
evidence with the
same force and effect
as the original thereof  | 
 | 
might be admitted. In the written designation, the managing  | 
broker,
or broker or salesperson
shall agree that any lawful  | 
process against the licensee that is served upon
the agent  | 
shall be of
the same legal force and validity as if served upon  | 
the licensee and that the
authority shall continue
in force so  | 
long as any liability remains outstanding in this State. Upon  | 
the
receipt of any process or notice, the Secretary
shall  | 
forthwith mail a copy of the same by certified mail to the last  | 
known
business address of the
licensee.
 | 
 (h) Any person holding a valid license under this Section  | 
shall be eligible
to obtain a resident managing broker's  | 
license, or a
broker's license, or, prior to May 1, 2011, a  | 
salesperson's license without examination should that person  | 
change
their state of
domicile to Illinois and that person  | 
otherwise meets the qualifications for
licensure under this  | 
Act.
 | 
(Source: P.A. 96-856, eff. 12-31-09.)
 | 
 (225 ILCS 454/5-70)
 | 
 (Section scheduled to be repealed on January 1, 2020)
 | 
 Sec. 5-70. Continuing education requirement; managing  | 
broker, or broker, or salesperson.
 | 
 (a) The requirements of this Section apply to all managing  | 
brokers, and brokers, and salespersons.
 | 
 (b) Except as otherwise
provided in this Section, each
 | 
person who applies for renewal of his or her license as a  | 
 | 
managing broker, or real
estate broker, or real
estate  | 
salesperson must successfully complete 6 hours of real estate  | 
continuing education
courses approved by
the Advisory Council  | 
for each year of the pre-renewal period. Broker licensees must  | 
successfully complete a 6-hour broker management continuing  | 
education course approved by the Department for the pre-renewal  | 
period ending April 30, 2010. In addition, beginning with the  | 
pre-renewal period for managing broker licensees that begins  | 
after the effective date of this Act, those licensees renewing  | 
or obtaining a managing broker's license must successfully  | 
complete a 12-hour broker management continuing education  | 
course approved by the Department each pre-renewal period. The  | 
broker management continuing education course must be  | 
completed in the classroom or by other interactive delivery  | 
method between the instructor and the students. Successful  | 
completion of the course shall include achieving a passing  | 
score as provided by rule on a test developed and administered  | 
in accordance with rules adopted by the Department. No
license  | 
may be renewed
except upon the successful completion of the  | 
required courses or their
equivalent or upon a waiver
of those  | 
requirements for good cause shown as determined by the  | 
Secretary
with the
recommendation of the Advisory Council.
The  | 
requirements of this Article are applicable to all managing  | 
brokers, and brokers, and salespersons
except those managing  | 
brokers
and brokers salespersons who, during the pre-renewal  | 
period:
 | 
 | 
  (1) serve in the armed services of the United States;
 | 
  (2) serve as an elected State or federal official;
 | 
  (3) serve as a full-time employee of the Department; or
 | 
  (4) are admitted to practice law pursuant to Illinois  | 
 Supreme Court rule.
 | 
 (c) (Blank). A person licensed as a salesperson as of April  | 
30, 2011 shall not be required to complete the 18 hours of  | 
continuing education for the pre-renewal period ending April  | 
30, 2012 if that person takes the 30-hour post-licensing course  | 
to obtain a broker's license. A person licensed as a broker as  | 
of April 30, 2011 shall not be required to complete the 12  | 
hours of broker management continuing education for the  | 
pre-renewal period ending April 30, 2012, unless that person  | 
passes the proficiency exam provided for in Section 5-47 of  | 
this Act to qualify for a managing broker's license. | 
 (d) A
person receiving an initial license
during the 90  | 
days before the renewal date shall not be
required to complete  | 
the continuing
education courses provided for in subsection (b)  | 
of this
Section as a condition of initial license renewal.
 | 
 (e) The continuing education requirement for salespersons,  | 
brokers and managing brokers shall
consist of a core
curriculum  | 
and an elective curriculum, to be established by the Advisory
 | 
Council. In meeting the
continuing education requirements of  | 
this Act, at least 3 hours per year or
their equivalent, 6  | 
hours for each two-year pre-renewal period, shall
be required  | 
to be completed in the core curriculum.
In establishing the  | 
 | 
core curriculum, the Advisory Council shall consider
subjects  | 
that will
educate licensees on recent changes in applicable  | 
laws and new laws and refresh
the licensee on areas
of the  | 
license law and the Department policy that the Advisory Council  | 
deems appropriate,
and any other
areas that the Advisory  | 
Council deems timely and applicable in order to prevent
 | 
violations of this Act
and to protect the public.
In  | 
establishing the elective curriculum, the Advisory Council  | 
shall consider
subjects that cover
the various aspects of the  | 
practice of real estate that are covered under the
scope of  | 
this Act.
However, the elective curriculum shall not include  | 
any offerings referred to in
Section 5-85 of this Act.
 | 
 (f) The subject areas of continuing education courses  | 
approved by the
Advisory Council may
include without limitation  | 
the following:
 | 
  (1) license law and escrow;
 | 
  (2) antitrust;
 | 
  (3) fair housing;
 | 
  (4) agency;
 | 
  (5) appraisal;
 | 
  (6) property management;
 | 
  (7) residential brokerage;
 | 
  (8) farm property management;
 | 
  (9) rights and duties of sellers, buyers, and brokers;
 | 
  (10) commercial brokerage and leasing; and
 | 
  (11) real estate financing.
 | 
 | 
 (g) In lieu of credit for those courses listed in  | 
subsection (f) of this
Section, credit may be
earned for  | 
serving as a licensed instructor in an approved course of  | 
continuing
education. The
amount of credit earned for teaching  | 
a course shall be the amount of continuing
education credit for
 | 
which the course is approved for licensees taking the course.
 | 
 (h) Credit hours may be earned for self-study programs  | 
approved by the
Advisory Council.
 | 
 (i) A managing broker or broker salesperson may earn credit  | 
for a specific continuing
education course only
once during the  | 
prerenewal period.
 | 
 (j) No more than 6 hours of continuing education credit may  | 
be taken or earned in one
calendar day.
 | 
 (k) To promote the offering of a uniform and consistent  | 
course content, the Department may provide for the development  | 
of a single broker management course to be offered by all  | 
continuing education providers who choose to offer the broker  | 
management continuing education course. The Department may  | 
contract for the development of the 12-hour broker management  | 
continuing education course with an outside vendor or  | 
consultant and, if the course is developed in this manner, the  | 
Department or the outside consultant shall license the use of  | 
that course to all approved continuing education providers who  | 
wish to provide the course.
 | 
 (l) Except as specifically provided in this Act, continuing  | 
education credit hours may not be earned for completion of pre  | 
 | 
or post-license courses. The approved 30-hour post-license  | 
course for broker licensees shall satisfy the continuing  | 
education requirement for the pre-renewal period in which the  | 
course is taken. The approved 45-hour brokerage administration  | 
and management course shall satisfy the 12-hour broker  | 
management continuing education requirement for the  | 
pre-renewal period in which the course is taken.  | 
(Source: P.A. 97-1002, eff. 8-17-12; 98-531, eff. 8-23-13.)
 | 
 (225 ILCS 454/10-10)
 | 
 (Section scheduled to be repealed on January 1, 2020)
 | 
 Sec. 10-10. Disclosure of compensation. 
 | 
 (a) A licensee must disclose to a client the sponsoring  | 
broker's
compensation and policy with
regard to cooperating  | 
with brokers who represent other parties in a
transaction.
 | 
 (b) A licensee must disclose to a client all sources of  | 
compensation related
to the transaction
received by the  | 
licensee from a third party.
 | 
 (c) If a licensee refers a client to a third party in which  | 
the licensee has
greater than a 1% ownership interest
or from  | 
which the licensee receives or may receive dividends or other  | 
profit
sharing distributions, other than a
publicly held or  | 
traded company, for the purpose of the client obtaining
 | 
services related to the transaction, then the
licensee shall  | 
disclose that fact to the client at the time of making the
 | 
referral.
 | 
 | 
 (d) If in any one transaction a sponsoring broker receives  | 
compensation from
both the buyer
and seller or lessee and  | 
lessor of real estate, the sponsoring broker shall
disclose in  | 
writing to a
client the fact that the compensation is being  | 
paid by both buyer and seller or
lessee and lessor.
 | 
 (e) Nothing in the Act shall prohibit the cooperation with  | 
or a payment of
compensation to a
person not domiciled in this  | 
State or country who is licensed as a real
estate broker in
his  | 
or her state or country of domicile or to a resident of a  | 
country
that does not require a person to be licensed to act as  | 
a real estate broker if
the person complies with the laws of  | 
the country in which that person resides
and practices there as  | 
a real estate broker.
 | 
(Source: P.A. 91-245, eff. 12-31-99; 92-217, eff. 8-2-01.)
 | 
 (225 ILCS 454/10-15)
 | 
 (Section scheduled to be repealed on January 1, 2020)
 | 
 Sec. 10-15. No compensation to persons in violation of Act;  | 
compensation
to unlicensed
persons; consumer. | 
 (a) No compensation may be paid to any unlicensed person in  | 
exchange for the
person
performing licensed activities in  | 
violation of this Act.
 | 
 (b) No action or suit shall be instituted, nor recovery  | 
therein be had, in
any court of this State
by any person,  | 
partnership, registered limited liability partnership, limited
 | 
liability company, or
corporation for compensation for any act  | 
 | 
done or service performed, the doing
or performing of
which is  | 
prohibited by this Act to other than licensed managing brokers,  | 
brokers, salespersons,
or leasing agents unless
the person,  | 
partnership, registered limited liability partnership, limited
 | 
liability company, or corporation was duly
licensed hereunder  | 
as a managing broker,
broker, salesperson, or leasing agent  | 
under this Act at the time that any such
act was done or  | 
service
performed that would give rise to a cause of action for  | 
compensation.
 | 
 (c) A licensee may offer compensation, including prizes,  | 
merchandise,
services, rebates,
discounts, or other  | 
consideration to an unlicensed person who is a party to a
 | 
contract to buy or sell
real estate or is a party to a contract  | 
for the lease of real estate, so long
as the offer complies  | 
with
the provisions of subdivision (35) of subsection (a) of  | 
Section 20-20 of this
Act.
 | 
 (d) A licensee may offer cash, gifts, prizes, awards,  | 
coupons, merchandise,
rebates or chances
to win a game of  | 
chance, if not prohibited by any other law or statute,
to a  | 
consumer as an
inducement to that consumer to use the services  | 
of the licensee even if the
licensee and consumer
do not  | 
ultimately enter into a broker-client relationship so long as  | 
the offer
complies with the
provisions of subdivision (35) of  | 
subsection (a) of Section 20-20 of this Act.
 | 
(Source: P.A. 96-856, eff. 12-31-09.)
 | 
 | 
 (225 ILCS 454/15-5)
 | 
 (Section scheduled to be repealed on January 1, 2020)
 | 
 Sec. 15-5. Legislative intent. 
 | 
 (a) The General Assembly finds that application of the  | 
common law of agency
to the
relationships among managing real  | 
estate brokers and brokers salespersons and consumers of real
 | 
estate brokerage
services has resulted in misunderstandings  | 
and consequences that have been
contrary to the best
interests  | 
of the public. The General Assembly further finds that the real
 | 
estate brokerage industry
has a significant impact upon the  | 
economy of the State of Illinois and that it is in the best  | 
interest of
the public to provide codification of the  | 
relationships between managing real estate brokers and brokers  | 
salespersons
and consumers of real estate brokerage services in  | 
order to prevent detrimental misunderstandings
and  | 
misinterpretations of the relationships by consumers, managing  | 
real estate brokers, and brokers salespersons and
thus promote  | 
and provide stability in the real estate market. This Article  | 
15
is enacted to govern the
relationships between consumers of  | 
real estate brokerage services and managing real
estate brokers  | 
and brokers
salespersons to the extent not governed by an  | 
individual written
agreement between a
sponsoring broker and a  | 
consumer, providing that
there is a relationship other than  | 
designated agency.
This
Article 15 applies to
the exclusion of  | 
the common law concepts of principal and agent and to the
 | 
fiduciary duties, which
have been applied to managing real  | 
 | 
estate brokers, brokers salespersons, and real estate
 | 
brokerage services.
 | 
 (b) The General Assembly further finds that this Article 15  | 
is not intended
to
prescribe or affect
contractual  | 
relationships between managing brokers and real estate brokers  | 
and the broker's
affiliated licensees.
 | 
 (c) This Article 15 may serve as a basis for private rights  | 
of action and
defenses by sellers, buyers,
landlords, tenants,  | 
managing brokers, and real estate brokers, and real estate  | 
salespersons. The
private rights of action,
however, do not  | 
extend to the provisions of any other Articles
of this
Act.
 | 
(Source: P.A. 91-245, eff. 12-31-99.)
 | 
 (225 ILCS 454/20-10)
 | 
 (Section scheduled to be repealed on January 1, 2020)
 | 
 Sec. 20-10. Unlicensed practice; civil penalty. 
 | 
 (a) Any person who practices, offers to practice, attempts  | 
to practice, or
holds oneself out to
practice as a managing  | 
real estate broker, broker real estate salesperson, or leasing  | 
agent
without being licensed under
this Act shall, in addition  | 
to any other penalty provided by law, pay a civil penalty
to  | 
the Department in an
amount not to exceed $25,000 for each  | 
offense as determined by the Department. The civil penalty
 | 
shall be
assessed by the Department after a hearing is held in  | 
accordance with the provisions set
forth in this Act
regarding  | 
the provision of a hearing for the discipline of a license.
 | 
 | 
 (b) The Department has the authority and power to  | 
investigate any and all unlicensed
activity.
 | 
 (c) The civil penalty shall be paid within 60 days after  | 
the effective date of
the order imposing the
civil penalty. The  | 
order shall constitute a judgment and may be filed and
 | 
execution had thereon in the
same manner from any court of  | 
record.
 | 
(Source: P.A. 96-856, eff. 12-31-09.)
 | 
 (225 ILCS 454/20-20)
 | 
 (Section scheduled to be repealed on January 1, 2020)
 | 
 Sec. 20-20. Grounds for discipline. | 
 (a) The Department may refuse to issue or renew a license,  | 
may place on probation, suspend,
or
revoke any
license,  | 
reprimand, or take any other disciplinary or non-disciplinary  | 
action as the Department may deem proper and impose a
fine not  | 
to exceed
$25,000 upon any licensee or applicant under this Act  | 
or any person who holds himself or herself out as an applicant  | 
or licensee or against a licensee in handling his or her own  | 
property, whether held by deed, option, or otherwise, for any  | 
one or any combination of the
following causes:
 | 
  (1) Fraud or misrepresentation in applying for, or  | 
 procuring, a license under this Act or in connection with  | 
 applying for renewal of a license under this Act.
 | 
  (2) The conviction of or plea of guilty or plea of nolo  | 
 contendere to a felony or misdemeanor in this State or any  | 
 | 
 other jurisdiction; or the entry of an administrative  | 
 sanction by a government agency in this State or any other  | 
 jurisdiction. Action taken under this paragraph (2) for a  | 
 misdemeanor or an administrative sanction is limited to a  | 
 misdemeanor or administrative sanction that has as an
 | 
 essential element dishonesty or fraud or involves larceny,  | 
 embezzlement,
or obtaining money, property, or credit by  | 
 false pretenses or by means of a
confidence
game.
 | 
  (3) Inability to practice the profession with  | 
 reasonable judgment, skill, or safety as a result of a  | 
 physical illness, including, but not limited to,  | 
 deterioration through the aging process or loss of motor  | 
 skill, or a mental illness or disability.
 | 
  (4) Practice under this Act as a licensee in a retail  | 
 sales establishment from an office, desk, or space that
is  | 
 not
separated from the main retail business by a separate  | 
 and distinct area within
the
establishment.
 | 
  (5) Having been disciplined by another state, the  | 
 District of Columbia, a territory, a foreign nation, or a  | 
 governmental agency authorized to impose discipline if at  | 
 least one of the grounds for that discipline is the same as  | 
 or
the
equivalent of one of the grounds for which a  | 
 licensee may be disciplined under this Act. A certified  | 
 copy of the record of the action by the other state or  | 
 jurisdiction shall be prima facie evidence thereof.
 | 
  (6) Engaging in the practice of real estate brokerage
 | 
 | 
 without a
license or after the licensee's license was  | 
 expired or while the license was
inoperative.
 | 
  (7) Cheating on or attempting to subvert the Real
 | 
 Estate License Exam or continuing education exam. | 
  (8) Aiding or abetting an applicant
to
subvert or cheat  | 
 on the Real Estate License Exam or continuing education  | 
 exam
administered pursuant to this Act.
 | 
  (9) Advertising that is inaccurate, misleading, or  | 
 contrary to the provisions of the Act.
 | 
  (10) Making any substantial misrepresentation or  | 
 untruthful advertising.
 | 
  (11) Making any false promises of a character likely to  | 
 influence,
persuade,
or induce.
 | 
  (12) Pursuing a continued and flagrant course of  | 
 misrepresentation or the
making
of false promises through  | 
 licensees, employees, agents, advertising, or
otherwise.
 | 
  (13) Any misleading or untruthful advertising, or  | 
 using any trade name or
insignia of membership in any real  | 
 estate organization of which the licensee is
not a member.
 | 
  (14) Acting for more than one party in a transaction  | 
 without providing
written
notice to all parties for whom  | 
 the licensee acts.
 | 
  (15) Representing or attempting to represent a broker  | 
 other than the
sponsoring broker.
 | 
  (16) Failure to account for or to remit any moneys or  | 
 documents coming into
his or her possession that belong to  | 
 | 
 others.
 | 
  (17) Failure to maintain and deposit in a special  | 
 account, separate and
apart from
personal and other  | 
 business accounts, all escrow moneys belonging to others
 | 
 entrusted to a licensee
while acting as a real estate  | 
 broker, escrow agent, or temporary custodian of
the funds  | 
 of others or
failure to maintain all escrow moneys on  | 
 deposit in the account until the
transactions are
 | 
 consummated or terminated, except to the extent that the  | 
 moneys, or any part
thereof, shall be: | 
   (A)
disbursed prior to the consummation or  | 
 termination (i) in accordance with
the
written  | 
 direction of
the principals to the transaction or their  | 
 duly authorized agents, (ii) in accordance with
 | 
 directions providing for the
release, payment, or  | 
 distribution of escrow moneys contained in any written
 | 
 contract signed by the
principals to the transaction or  | 
 their duly authorized agents,
or (iii)
pursuant to an  | 
 order of a court of competent
jurisdiction; or | 
   (B) deemed abandoned and transferred to the Office  | 
 of the State Treasurer to be handled as unclaimed  | 
 property pursuant to the Uniform Disposition of  | 
 Unclaimed Property Act. Escrow moneys may be deemed  | 
 abandoned under this subparagraph (B) only: (i) in the  | 
 absence of disbursement under subparagraph (A); (ii)  | 
 in the absence of notice of the filing of any claim in  | 
 | 
 a court of competent jurisdiction; and (iii) if 6  | 
 months have elapsed after the receipt of a written  | 
 demand for the escrow moneys from one of the principals  | 
 to the transaction or the principal's duly authorized  | 
 agent.
 | 
 The account
shall be noninterest
bearing, unless the  | 
 character of the deposit is such that payment of interest
 | 
 thereon is otherwise
required by law or unless the  | 
 principals to the transaction specifically
require, in  | 
 writing, that the
deposit be placed in an interest bearing  | 
 account.
 | 
  (18) Failure to make available to the Department all  | 
 escrow records and related documents
maintained in  | 
 connection
with the practice of real estate within 24 hours  | 
 of a request for those
documents by Department personnel.
 | 
  (19) Failing to furnish copies upon request of  | 
 documents relating to a
real
estate transaction to a party  | 
 who has executed that document.
 | 
  (20) Failure of a sponsoring broker to timely provide  | 
 information, sponsor
cards,
or termination of licenses to  | 
 the Department.
 | 
  (21) Engaging in dishonorable, unethical, or  | 
 unprofessional conduct of a
character
likely to deceive,  | 
 defraud, or harm the public.
 | 
  (22) Commingling the money or property of others with  | 
 his or her own money or property.
 | 
 | 
  (23) Employing any person on a purely temporary or  | 
 single deal basis as a
means
of evading the law regarding  | 
 payment of commission to nonlicensees on some
contemplated
 | 
 transactions.
 | 
  (24) Permitting the use of his or her license as a  | 
 broker to enable a
leasing agent salesperson or
unlicensed  | 
 person to operate a real estate business without actual
 | 
 participation therein and control
thereof by the broker.
 | 
  (25) Any other conduct, whether of the same or a  | 
 different character from
that
specified in this Section,  | 
 that constitutes dishonest dealing.
 | 
  (26) Displaying a "for rent" or "for sale" sign on any  | 
 property without
the written
consent of an owner or his or  | 
 her duly authorized agent or advertising by any
means that  | 
 any property is
for sale or for rent without the written  | 
 consent of the owner or his or her
authorized agent.
 | 
  (27) Failing to provide information requested by the  | 
 Department, or otherwise respond to that request, within 30  | 
 days of
the
request.
 | 
  (28) Advertising by means of a blind advertisement,  | 
 except as otherwise
permitted in Section 10-30 of this Act.
 | 
  (29) Offering guaranteed sales plans, as defined in  | 
 clause (A) of
this subdivision (29), except to
the extent  | 
 hereinafter set forth:
 | 
   (A) A "guaranteed sales plan" is any real estate  | 
 purchase or sales plan
whereby a licensee enters into a  | 
 | 
 conditional or unconditional written contract
with a  | 
 seller, prior to entering into a brokerage agreement  | 
 with the seller, by the
terms of which a licensee  | 
 agrees to purchase a property of the seller within a
 | 
 specified period of time
at a specific price in the  | 
 event the property is not sold in accordance with
the  | 
 terms of a brokerage agreement to be entered into  | 
 between the sponsoring broker and the seller.
 | 
   (B) A licensee offering a guaranteed sales plan  | 
 shall provide the
details
and conditions of the plan in  | 
 writing to the party to whom the plan is
offered.
 | 
   (C) A licensee offering a guaranteed sales plan  | 
 shall provide to the
party
to whom the plan is offered  | 
 evidence of sufficient financial resources to
satisfy  | 
 the commitment to
purchase undertaken by the broker in  | 
 the plan.
 | 
   (D) Any licensee offering a guaranteed sales plan  | 
 shall undertake to
market the property of the seller  | 
 subject to the plan in the same manner in
which the  | 
 broker would
market any other property, unless the  | 
 agreement with the seller provides
otherwise.
 | 
   (E) The licensee cannot purchase seller's property  | 
 until the brokerage agreement has ended according to  | 
 its terms or is otherwise terminated. | 
   (F) Any licensee who fails to perform on a  | 
 guaranteed sales plan in
strict accordance with its  | 
 | 
 terms shall be subject to all the penalties provided
in  | 
 this Act for
violations thereof and, in addition, shall  | 
 be subject to a civil fine payable
to the party injured  | 
 by the
default in an amount of up to $25,000.
 | 
  (30) Influencing or attempting to influence, by any  | 
 words or acts, a
prospective
seller, purchaser, occupant,  | 
 landlord, or tenant of real estate, in connection
with  | 
 viewing, buying, or
leasing real estate, so as to promote  | 
 or tend to promote the continuance
or maintenance of
 | 
 racially and religiously segregated housing or so as to  | 
 retard, obstruct, or
discourage racially
integrated  | 
 housing on or in any street, block, neighborhood, or  | 
 community.
 | 
  (31) Engaging in any act that constitutes a violation  | 
 of any provision of
Article 3 of the Illinois Human Rights  | 
 Act, whether or not a complaint has
been filed with or
 | 
 adjudicated by the Human Rights Commission.
 | 
  (32) Inducing any party to a contract of sale or lease  | 
 or brokerage
agreement to
break the contract of sale or  | 
 lease or brokerage agreement for the purpose of
 | 
 substituting, in lieu
thereof, a new contract for sale or  | 
 lease or brokerage agreement with a third
party.
 | 
  (33) Negotiating a sale, exchange, or lease of real  | 
 estate directly with
any person
if the licensee knows that  | 
 the person has an exclusive brokerage
agreement with  | 
 another
broker, unless specifically authorized by that  | 
 | 
 broker.
 | 
  (34) When a licensee is also an attorney, acting as the  | 
 attorney for
either the
buyer or the seller in the same  | 
 transaction in which the licensee is acting or
has acted as  | 
 a managing broker
or broker salesperson.
 | 
  (35) Advertising or offering merchandise or services  | 
 as free if any
conditions or
obligations necessary for  | 
 receiving the merchandise or services are not
disclosed in  | 
 the same
advertisement or offer. These conditions or  | 
 obligations include without
limitation the
requirement  | 
 that the recipient attend a promotional activity or visit a  | 
 real
estate site. As used in this
subdivision (35), "free"  | 
 includes terms such as "award", "prize", "no charge",
"free  | 
 of charge",
"without charge", and similar words or phrases  | 
 that reasonably lead a person to
believe that he or she
may  | 
 receive or has been selected to receive something of value,  | 
 without any
conditions or
obligations on the part of the  | 
 recipient.
 | 
  (36) Disregarding or violating any provision of the  | 
 Land Sales
Registration Act of 1989, the Illinois Real  | 
 Estate
Time-Share Act, or the published rules promulgated  | 
 by the Department to enforce
those Acts.
 | 
  (37) Violating the terms of a disciplinary order
issued  | 
 by the Department.
 | 
  (38) Paying or failing to disclose compensation in  | 
 violation of Article 10 of this Act.
 | 
 | 
  (39) Requiring a party to a transaction who is not a  | 
 client of the
licensee
to allow the licensee to retain a  | 
 portion of the escrow moneys for payment of
the licensee's  | 
 commission or expenses as a condition for release of the  | 
 escrow
moneys to that party.
 | 
  (40) Disregarding or violating any provision of this  | 
 Act or the published
rules
promulgated by the Department to  | 
 enforce this Act or aiding or abetting any individual,
 | 
 partnership, registered limited liability partnership,  | 
 limited liability
company, or corporation in
disregarding  | 
 any provision of this Act or the published rules  | 
 promulgated by the Department
to enforce this Act.
 | 
  (41) Failing to provide the minimum services required  | 
 by Section 15-75 of this Act when acting under an exclusive  | 
 brokerage agreement.
 | 
  (42) Habitual or excessive use or addiction to alcohol,  | 
 narcotics, stimulants, or any other chemical agent or drug  | 
 that results in a managing broker, broker, salesperson, or  | 
 leasing agent's inability to practice with reasonable  | 
 skill or safety. | 
  (43) Enabling, aiding, or abetting an auctioneer, as  | 
 defined in the Auction License Act, to conduct a real  | 
 estate auction in a manner that is in violation of this  | 
 Act.  | 
 (b) The Department may refuse to issue or renew or may  | 
suspend the license of any person who fails to file a return,  | 
 | 
pay the tax, penalty or interest shown in a filed return, or  | 
pay any final assessment of tax, penalty, or interest, as  | 
required by any tax Act administered by the Department of  | 
Revenue, until such time as the requirements of that tax Act  | 
are satisfied in accordance with subsection (g) of Section  | 
2105-15 of the Civil Administrative Code of Illinois.  | 
 (c) The Department shall deny a license or renewal  | 
authorized by this Act to a person who has defaulted on an  | 
educational loan or scholarship provided or guaranteed by the  | 
Illinois Student Assistance Commission or any governmental  | 
agency of this State in accordance with item (5) of subsection  | 
(a) of Section 2105-15 of the Civil Administrative Code of  | 
Illinois. | 
 (d) In cases where the Department of Healthcare and Family  | 
Services (formerly Department of Public Aid) has previously  | 
determined that a licensee or a potential licensee is more than  | 
30 days delinquent in the payment of child support and has  | 
subsequently certified the delinquency to the Department may  | 
refuse to issue or renew or may revoke or suspend that person's  | 
license or may take other disciplinary action against that  | 
person based solely upon the certification of delinquency made  | 
by the Department of Healthcare and Family Services in  | 
accordance with item (5) of subsection (a) of Section 2105-15  | 
of the Civil Administrative Code of Illinois. | 
 (e) In enforcing this Section, the Department or Board upon  | 
a showing of a possible violation may compel an individual  | 
 | 
licensed to practice under this Act, or who has applied for  | 
licensure under this Act, to submit to a mental or physical  | 
examination, or both, as required by and at the expense of the  | 
Department. The Department or Board may order the examining  | 
physician to present testimony concerning the mental or  | 
physical examination of the licensee or applicant. No  | 
information shall be excluded by reason of any common law or  | 
statutory privilege relating to communications between the  | 
licensee or applicant and the examining physician. The  | 
examining physicians shall be specifically designated by the  | 
Board or Department. The individual to be examined may have, at  | 
his or her own expense, another physician of his or her choice  | 
present during all aspects of this examination. Failure of an  | 
individual to submit to a mental or physical examination, when  | 
directed, shall be grounds for suspension of his or her license  | 
until the individual submits to the examination if the  | 
Department finds, after notice and hearing, that the refusal to  | 
submit to the examination was without reasonable cause.  | 
 If the Department or Board finds an individual unable to  | 
practice because of the reasons set forth in this Section, the  | 
Department or Board may require that individual to submit to  | 
care, counseling, or treatment by physicians approved or  | 
designated by the Department or Board, as a condition, term, or  | 
restriction for continued, reinstated, or renewed licensure to  | 
practice; or, in lieu of care, counseling, or treatment, the  | 
Department may file, or the Board may recommend to the  | 
 | 
Department to file, a complaint to immediately suspend, revoke,  | 
or otherwise discipline the license of the individual. An  | 
individual whose license was granted, continued, reinstated,  | 
renewed, disciplined or supervised subject to such terms,  | 
conditions, or restrictions, and who fails to comply with such  | 
terms, conditions, or restrictions, shall be referred to the  | 
Secretary for a determination as to whether the individual  | 
shall have his or her license suspended immediately, pending a  | 
hearing by the Department.  | 
 In instances in which the Secretary immediately suspends a  | 
person's license under this Section, a hearing on that person's  | 
license must be convened by the Department within 30 days after  | 
the suspension and completed without appreciable delay. The  | 
Department and Board shall have the authority to review the  | 
subject individual's record of treatment and counseling  | 
regarding the impairment to the extent permitted by applicable  | 
federal statutes and regulations safeguarding the  | 
confidentiality of medical records. | 
 An individual licensed under this Act and affected under  | 
this Section shall be afforded an opportunity to demonstrate to  | 
the Department or Board that he or she can resume practice in  | 
compliance with acceptable and prevailing standards under the  | 
provisions of his or her license.  | 
(Source: P.A. 97-813, eff. 7-13-12; 97-1002, eff. 8-17-12;  | 
98-553, eff. 1-1-14; 98-756, eff. 7-16-14.)
 | 
 | 
 (225 ILCS 454/20-21) | 
 (Section scheduled to be repealed on January 1, 2020) | 
 Sec. 20-21. Injunctions; cease and desist order. | 
 (a) If any person violates the provisions of this Act, the  | 
Secretary may, in the name of the People of the State of  | 
Illinois, through the Attorney General of the State of Illinois  | 
or the State's Attorney for any county in which the action is  | 
brought, petition for an order enjoining the violation or for  | 
an order enforcing compliance with this Act. Upon the filing of  | 
a verified petition in court, the court may issue a temporary  | 
restraining order, without notice or condition, and may  | 
preliminarily and permanently enjoin the violation. If it is  | 
established that the person has violated or is violating the  | 
injunction, the Court may punish the offender for contempt of  | 
court. Proceedings under this Section shall be in addition to,  | 
and not in lieu of, all other remedies and penalties provided  | 
by this Act. | 
 (b) Whenever in the opinion of the Department a person  | 
violates a provision of this Act, the Department may issue a  | 
ruling to show cause why an order to cease and desist should  | 
not be entered against that person. The rule shall clearly set  | 
forth the grounds relied upon by the Department and shall allow  | 
at least 7 days from the date of the rule to file an answer to  | 
the satisfaction of the Department. Failure to answer to the  | 
satisfaction of the Department shall cause an order to cease  | 
and desist to be issued immediately. | 
 | 
 (c) Other than as provided in Section 5-20 of this Act, if  | 
any person practices as a managing real estate broker, broker,  | 
real estate salesperson or leasing agent or holds himself or  | 
herself out as a licensed sponsoring broker, managing broker,  | 
real estate broker, real estate salesperson or leasing agent  | 
under this Act without being issued a valid existing license by  | 
the Department, then any licensed sponsoring broker, managing  | 
broker, real estate broker, real estate salesperson, leasing  | 
agent, any interested party, or any person injured thereby may,  | 
in addition to the Secretary, petition for relief as provided  | 
in subsection (a) of this Section.
 | 
(Source: P.A. 96-856, eff. 12-31-09.)
 | 
 (225 ILCS 454/20-22) | 
 (Section scheduled to be repealed on January 1, 2020) | 
 Sec. 20-22. Violations. Any person who is found working or  | 
acting as a managing broker, real estate broker, real estate  | 
salesperson, or leasing agent or holding himself or herself out  | 
as a licensed sponsoring broker, managing broker, real estate  | 
broker, real estate salesperson, or leasing agent without being  | 
issued a valid existing license is guilty of a Class A  | 
misdemeanor and on conviction of a second or subsequent offense  | 
the violator shall be guilty of a Class 4 felony.
 | 
(Source: P.A. 96-856, eff. 12-31-09.)
 | 
 (225 ILCS 454/20-85)
 | 
 | 
 (Section scheduled to be repealed on January 1, 2020)
 | 
 Sec. 20-85. Recovery from Real Estate Recovery Fund. The  | 
Department shall maintain a Real Estate Recovery Fund from  | 
which any person aggrieved
by an act,
representation,  | 
transaction, or conduct of a licensee or unlicensed employee of
 | 
a licensee that is
in violation of this Act or the rules  | 
promulgated pursuant thereto,
constitutes
embezzlement of  | 
money or property, or results in money or property being
 | 
unlawfully obtained
from any person by false pretenses,  | 
artifice, trickery, or forgery or by reason
of any fraud,
 | 
misrepresentation, discrimination, or deceit by or on the part  | 
of any such
licensee or the unlicensed
employee of a licensee  | 
and that results in a loss of actual cash money, as
opposed to  | 
losses in
market value, may recover. The aggrieved person may  | 
recover, by a post-judgment order of the
circuit court of the
 | 
county where the violation occurred in a proceeding described  | 
in Section 20-90 of this Act, an amount of not more than  | 
$25,000 from
the Fund for
damages sustained by the act,  | 
representation, transaction, or conduct, together
with costs  | 
of suit and
attorney's fees incurred in connection therewith of  | 
not to exceed 15% of the
amount of the recovery
ordered paid  | 
from the Fund. However, no person licensee may
recover from the
 | 
Fund unless the court finds that the person suffered a loss  | 
resulting from
intentional misconduct.
The post-judgment order  | 
shall not include interest on the judgment.
The maximum  | 
liability against the Fund arising out of any one act shall be  | 
 | 
as
provided in this
Section, and the post-judgment order shall  | 
spread the award equitably among all
co-owners or otherwise
 | 
aggrieved persons, if any. The maximum liability against the  | 
Fund arising out
of the activities of
any one licensee or one  | 
unlicensed employee of a licensee, since January 1,
1974, shall  | 
be $100,000.
Nothing in this Section shall be construed to  | 
authorize recovery from the Fund
unless the loss of the  | 
aggrieved person results from an act or omission of a licensee  | 
under this Act
who was at the time of the act or omission
 | 
acting in such
capacity or was apparently acting in such  | 
capacity or their unlicensed employee and unless the aggrieved
 | 
person has obtained a
valid judgment and post-judgment order of  | 
the court as provided for in Section 20-90 of this Act.
No  | 
person aggrieved by an act, representation, or transaction that  | 
is in
violation of the Illinois
Real Estate Time-Share Act or  | 
the Land Sales Registration Act of 1989 may
recover from the
 | 
Fund.
 | 
(Source: P.A. 96-856, eff. 12-31-09; 97-1002, eff. 8-17-12.)
 | 
 (225 ILCS 454/25-10)
 | 
 (Section scheduled to be repealed on January 1, 2020)
 | 
 Sec. 25-10. Real Estate Administration and Disciplinary
 | 
Board;
duties.
There is created the Real Estate Administration  | 
and Disciplinary Board.
The Board shall be composed of 9  | 
persons appointed by the Governor. Members
shall be
appointed  | 
to the Board subject to the following conditions:
 | 
 | 
  (1) All members shall have been residents and citizens  | 
 of this State for
at least 6 years
prior to the date of  | 
 appointment.
 | 
  (2) Six members shall have been actively engaged as  | 
 managing brokers or
brokers salespersons or both for
at  | 
 least the 10 years prior to the appointment.
 | 
  (3) Three members of the Board shall be public members  | 
 who represent
consumer
interests.
 | 
 None of these members shall be (i) a person who is licensed  | 
under this
Act or a similar Act of another jurisdiction, (ii)  | 
the spouse or family member of a licensee, (iii) a person who  | 
has an ownership interest in a
real estate brokerage
business,  | 
or (iv) a person the Department determines to have any other  | 
connection with a real estate brokerage business or a licensee.
 | 
The members' terms shall be 4 years or until their successor is  | 
appointed, and the expiration of their terms shall be
 | 
staggered.
Appointments to fill vacancies shall be for the  | 
unexpired portion of the term.
The membership of the Board  | 
should reasonably reflect the geographic
distribution of the  | 
licensee
population in this State. In making the appointments,  | 
the Governor shall give
due consideration
to the  | 
recommendations by members and organizations of the  | 
profession.
The Governor may terminate the appointment of any  | 
member for cause that in the
opinion of the
Governor reasonably  | 
justifies the termination. Cause for termination shall
include  | 
without limitation
misconduct, incapacity, neglect of duty, or  | 
 | 
missing 4 board meetings during any
one
calendar year.
Each  | 
member of the Board may receive a per diem stipend in an amount  | 
to be
determined by the Secretary. Each member shall be paid  | 
his or her necessary expenses while
engaged in the
performance  | 
of his or her duties. Such compensation and expenses shall be  | 
paid
out of the Real Estate
License Administration Fund.
The  | 
Secretary shall consider the recommendations of the Board on  | 
questions
involving
standards of professional conduct,  | 
discipline, and examination of candidates
under this Act. The  | 
Department, after notifying and considering the  | 
recommendations of the Board, if any,
may issue rules,
 | 
consistent with the provisions of this Act, for the  | 
administration and
enforcement thereof and may
prescribe forms  | 
that shall be used in connection therewith. Five Board members  | 
shall constitute a quorum. A quorum is required for all Board  | 
decisions.
 | 
(Source: P.A. 98-1109, eff. 1-1-15.)
 | 
 (225 ILCS 454/25-25)
 | 
 (Section scheduled to be repealed on January 1, 2020)
 | 
 Sec. 25-25. Real Estate Research and Education Fund. A  | 
special fund to be known as the Real Estate Research and  | 
Education Fund is
created and shall be
held in trust in the  | 
State Treasury. Annually, on September 15th, the State
 | 
Treasurer shall cause a
transfer of $125,000 to the Real Estate  | 
Research and Education Fund from the
Real Estate License
 | 
 | 
Administration Fund. The Real Estate Research and Education  | 
Fund shall be
administered by
the Department. Money deposited  | 
in the Real Estate Research and Education Fund may be
used for  | 
research and
education at state
institutions of higher  | 
education or other organizations for research and the
 | 
advancement of
education in the real estate industry.
Of the  | 
$125,000 annually transferred into the Real Estate Research and
 | 
Education Fund, $15,000
shall be used to fund a scholarship  | 
program for persons of minority racial
origin who wish to
 | 
pursue a course of study in the field of real estate. For the  | 
purposes of this
Section, "course of
study" means a course or  | 
courses that are part of a program of courses in the
field of  | 
real estate
designed to further an individual's knowledge or  | 
expertise in the field of real
estate. These courses
shall  | 
include without limitation courses that a salesperson licensed  | 
under this
Act must
complete to qualify for a real estate  | 
broker's license, courses that a broker licensed under this Act  | 
must complete to qualify for a managing broker's license,  | 
courses required to
obtain the Graduate
Realtors Institute  | 
designation, and any other courses or programs offered by
 | 
accredited colleges,
universities, or other institutions of  | 
higher education in Illinois. The
scholarship program shall be
 | 
administered by the Department or its designee.
Moneys in the  | 
Real Estate Research and Education Fund may be invested and
 | 
reinvested in the
same manner as funds in the Real Estate  | 
Recovery Fund and all earnings,
interest, and dividends
 | 
 | 
received from such investments shall be deposited in the Real  | 
Estate Research
and Education Fund
and may be used for the same  | 
purposes as moneys transferred to the Real Estate
Research and  | 
Education Fund. Moneys in the Real Estate Research and  | 
Education Fund may be transferred to the Professions Indirect  | 
Cost Fund as authorized under Section 2105-300 of the  | 
Department of Professional Regulation Law of the Civil  | 
Administrative Code of Illinois.
 | 
(Source: P.A. 96-856, eff. 12-31-09.)
 | 
 (225 ILCS 454/30-15)
 | 
 (Section scheduled to be repealed on January 1, 2020)
 | 
 Sec. 30-15. Licensing of continuing education schools;  | 
approval of
courses. | 
 (a) Only continuing education schools in possession of a  | 
valid continuing
education
school license
may provide real  | 
estate continuing education courses that will satisfy the
 | 
requirements of this
Act. Pre-license schools licensed to offer  | 
pre-license education courses for
salespersons, brokers, and
 | 
managing brokers, or leasing agents shall qualify for a  | 
continuing education school license upon completion
of an  | 
application
and the submission of the required fee. Every  | 
entity that desires to obtain a
continuing education
school  | 
license shall make application to the Department in writing in  | 
forms prescribed by the Department
and pay
the fee prescribed  | 
by rule. In addition to any other information required to
be  | 
 | 
contained in the
application, every application for an original  | 
or renewed license shall include
the applicant's Social
 | 
Security number.
 | 
 (b) The criteria for a continuing education license
shall  | 
include the
following:
 | 
  (1) A sound financial base for establishing,  | 
 promoting, and delivering the
necessary
courses. Budget  | 
 planning for the School's courses should be clearly  | 
 projected.
 | 
  (2) A sufficient number of qualified, licensed  | 
 instructors as provided by
rule.
 | 
  (3) Adequate support personnel to assist with  | 
 administrative matters and
technical
assistance.
 | 
  (4) Maintenance and availability of records of  | 
 participation for
licensees.
 | 
  (5) The ability to provide each participant who  | 
 successfully completes an
approved
program with a  | 
 certificate of completion signed by the administrator of a
 | 
 licensed continuing
education school on forms provided by  | 
 the Department. 
 | 
  (6) The continuing education school must have a written  | 
 policy dealing
with
procedures for the management of  | 
 grievances and fee refunds.
 | 
  (7) The continuing education school shall maintain  | 
 lesson plans and
examinations for
each course.
 | 
  (8) The continuing education school shall require a 70%  | 
 | 
 passing grade for
successful
completion of any continuing  | 
 education course.
 | 
  (9) The continuing education school shall identify and  | 
 use instructors who
will teach
in a planned program.  | 
 Suggested criteria for instructor selections include:
 | 
   (A) appropriate credentials;
 | 
   (B) competence as a teacher;
 | 
   (C) knowledge of content area; and
 | 
   (D) qualification by experience.
 | 
  (10) The continuing education school shall provide a  | 
 proctor or an electronic means of proctoring for each  | 
 examination. The continuing education school shall be  | 
 responsible for the conduct of the proctor. The duties and  | 
 responsibilities of a proctor shall be established by rule. | 
  (11) The continuing education school must provide for  | 
 closed book examinations for each course unless the  | 
 Advisory Council excuses this requirement based on the  | 
 complexity of the course material.  | 
 (c) Advertising and promotion of continuing education  | 
activities must be
carried out in
a responsible fashion,  | 
clearly showing the educational objectives of the
activity, the  | 
nature of the
audience that may benefit from the activity, the  | 
cost of the activity to the
participant and the items
covered  | 
by the cost, the amount of credit that can be earned, and the
 | 
credentials of the faculty.
 | 
 (d) The Department may or upon request of the Advisory  | 
 | 
Council shall, after notice,
cause a
continuing education  | 
school to attend an informal conference before the
Advisory  | 
Council for
failure to comply with any requirement for  | 
licensure or for failure to comply
with any provision of
this  | 
Act or the rules for the administration of this Act. The  | 
Advisory Council
shall make a
recommendation to the Board as a  | 
result of its findings at the conclusion of
any such informal
 | 
conference.
 | 
 (e) All continuing education schools shall maintain these  | 
minimum criteria
and pay
the required fee in order to retain  | 
their continuing education school license.
 | 
 (f) All continuing education schools shall submit, at the  | 
time of initial
application and
with each license renewal, a  | 
list of courses with course materials to be
offered by the  | 
continuing
education school. The Department, however, shall  | 
establish a mechanism whereby
continuing education
schools may  | 
apply for and obtain approval for continuing education courses  | 
that
are submitted
after the time of initial application or  | 
renewal. The Department shall provide to each
continuing  | 
education
school a certificate for each approved continuing  | 
education course. All
continuing education
courses shall be  | 
valid for the period coinciding with the term of license of
the  | 
continuing education
school. All continuing education schools  | 
shall provide a copy of the
certificate of the continuing
 | 
education course within the course materials given to each  | 
student or shall
display a copy of the
certificate of the  | 
 | 
continuing education course in a conspicuous place at the
 | 
location of the class.
 | 
 (g) Each continuing education school shall provide to the  | 
Department a monthly report
in a
format determined by the  | 
Department, with information concerning students who
 | 
successfully completed all
approved continuing education  | 
courses offered by the continuing education
school for the  | 
prior
month. 
 | 
 (h) The Department, upon the recommendation of the Advisory  | 
Council, may temporarily
suspend a licensed continuing  | 
education school's approved courses without
hearing and refuse  | 
to
accept successful completion of or participation in any of  | 
these continuing
education courses for
continuing education  | 
credit from that school upon the failure of that
continuing  | 
education school
to comply with the provisions of this Act or  | 
the rules for the administration
of this Act, until such
time  | 
as the Department receives satisfactory assurance of  | 
compliance. The Department shall notify
the continuing
 | 
education school of the noncompliance and may initiate  | 
disciplinary
proceedings pursuant to
this Act. The Department
 | 
may refuse to issue, suspend, revoke, or otherwise discipline  | 
the license
of a continuing
education school or may withdraw  | 
approval of a continuing education course for
good cause.
 | 
Failure to comply with the requirements of this Section or any  | 
other
requirements
established by rule shall
be deemed to be  | 
good cause. Disciplinary proceedings shall be conducted by the
 | 
 | 
Board in the same
manner as other disciplinary proceedings  | 
under this Act.
 | 
(Source: P.A. 96-856, eff. 12-31-09.)
 | 
 (225 ILCS 454/35-5)
 | 
 (Section scheduled to be repealed on January 1, 2020)
 | 
 Sec. 35-5. Savings provisions. 
 | 
 (a) This Act is intended to replace the Real Estate License  | 
Act of 1983 in
all respects.
 | 
 (b) The Beginning December 31, 1999, the rights, powers,  | 
and duties exercised by
the
Office of Banks and
Real Estate  | 
under the Real Estate License Act of 1983 shall continue to be
 | 
vested in, be the
obligation of, and shall be exercised by the  | 
Division of Real Estate of the Department of Financial and  | 
Professional Regulation Office of Banks and Real Estate
under  | 
the provisions of
this Act.
 | 
 (c) This Act does not affect any act done, ratified, or  | 
cancelled, or any
right occurring or
established, or any action  | 
or proceeding had or commenced in an administrative,
civil, or  | 
criminal
cause before December 31, 1999, by the Office of Banks  | 
and Real Estate under
the
Real Estate License
Act of 1983, and  | 
those actions or proceedings may be prosecuted and continued
by  | 
the Division of Real Estate of the Department of Financial and  | 
Professional Regulation Office of
Banks and Real Estate under  | 
this Act.
 | 
 (d) This Act does not affect any license, certificate,  | 
 | 
permit, or other form
of licensure or
authorization issued by  | 
the Office of Banks and Real Estate under the Real
Estate  | 
License Act of
1983 or by the Division of Professional  | 
Regulation of the Department of Financial and Professional  | 
Regulation under this Act, and all such licenses, certificates,  | 
permits, or other form of licensure
or authorization shall
 | 
continue to be valid under the terms and conditions of this  | 
Act.
 | 
 (e) The rules adopted by the Office of Banks and Real  | 
Estate relating to the
Real Estate License
Act of 1983, unless  | 
inconsistent with the provisions of this Act, are not
affected  | 
by this Act, and on
December 31, 1999 those rules become the  | 
rules under this Act. The Office of
Banks
and Real Estate  | 
shall,
as soon as practicable, adopt new or amended rules  | 
consistent with the
provisions of this Act.
 | 
 (f) This Act does not affect any discipline, suspension, or  | 
termination
taken under the Real
Estate License Act of 1983 and  | 
that discipline, suspension, or termination
shall be continued  | 
under
this Act.
 | 
 (g) This Act does not affect any appointments, term  | 
limitations, years
served, or other matters
relating to  | 
individuals serving on any board or council under the Real  | 
Estate
License Act of 1983,
and these appointments, term  | 
limitations, years served, and other matters shall
be continued  | 
under
this Act.
 | 
(Source: P.A. 91-245, eff. 12-31-99.)
 | 
 | 
 (225 ILCS 454/5-46 rep.) | 
 (225 ILCS 454/5-47 rep.) | 
 Section 960. The Real Estate License Act of 2000 is amended  | 
by repealing Sections 5-46 and 5-47.
 | 
 Section 965. The Professional Service Corporation Act is  | 
amended by changing Sections 2, 3.1, 3.2, 3.6, 12, 12.1, and 13  | 
and by adding Sections 13.5 and 15.5 as follows:
 | 
 (805 ILCS 10/2) (from Ch. 32, par. 415-2)
 | 
 Sec. 2. 
It is the legislative intent to provide for the  | 
incorporation of an
individual or group of individuals to  | 
render the same professional service
or related professional  | 
services to the public for which such individuals
are required  | 
by law to be licensed or to obtain other legal authorization,
 | 
while preserving the established professional aspects of the  | 
personal
relationship between the professional person and  | 
those he or she serves
professionally.
 | 
(Source: P.A. 78-783.)
 | 
 (805 ILCS 10/3.1) (from Ch. 32, par. 415-3.1)
 | 
 Sec. 3.1. 
"Ancillary personnel" means such person acting in  | 
their customary
capacities, employed by those rendering a  | 
professional service who:
 | 
 (1) Are not licensed to engage in the category of  | 
 | 
professional service
for which a professional corporation was  | 
formed; and
 | 
 (2) Work at the direction or under the supervision of those  | 
who are so
licensed; and
 | 
 (3) Do not hold themselves out to the public generally as  | 
being
authorized to engage in the practice of the profession  | 
for which the
corporation is licensed; and
 | 
 (4) Are not prohibited by the regulating licensing  | 
authority, regulating the
category of professional service  | 
rendered by the corporation from being so
employed and includes  | 
clerks, secretaries, technicians and other assistants
who are  | 
not usually and ordinarily considered by custom and practice to  | 
be
rendering the professional services for which the  | 
corporation was formed.
 | 
(Source: P.A. 77-565.)
 | 
 (805 ILCS 10/3.2) (from Ch. 32, par. 415-3.2)
 | 
 Sec. 3.2. 
"Regulating authority" means the State board,  | 
department, agency or the
Supreme Court of Illinois (in the  | 
case of attorneys at law), the Department of Financial and  | 
Professional Regulation, or other State board, department, or  | 
agency having
jurisdiction to grant a license to render the  | 
category of professional
service for which a professional  | 
corporation has been organized, or the
United States Patent  | 
Office, or the Internal Revenue Service of the United
States  | 
Treasury Department.
 | 
 | 
(Source: P.A. 78-561.)
 | 
 (805 ILCS 10/3.6) (from Ch. 32, par. 415-3.6)
 | 
 Sec. 3.6. "Related professions" and "related professional  | 
services" mean
more than one personal service which requires as  | 
a condition precedent to the
rendering thereof the obtaining of  | 
a license and which prior to October 1,
1973 could not be  | 
performed by a
corporation by reason of law; provided, however,  | 
that these terms shall
be restricted to:
 | 
  (1) a combination of 2 two or more of the following  | 
 personal services: (a)
"architecture" as defined in  | 
 Section 5 of the Illinois Architecture Practice
Act of  | 
 1989, (b) "professional engineering" as defined in Section  | 
 4 of the
Professional Engineering Practice Act of 1989, (c)  | 
 "structural engineering" as
defined in Section 5 of the  | 
 Structural Engineering
Practice Act of 1989, (d)
"land  | 
 surveying" as defined in Section 2 of the Illinois  | 
 Professional Land
Surveyor Act of 1989; or
 | 
  (2) a combination of the following personal services:  | 
 (a) the practice of
medicine by persons licensed under the  | 
 Medical Practice Act of 1987, (b) the practice of podiatry  | 
 as defined in
Section 5 of the Podiatric Medical Practice  | 
 Act of 1987, (c) the practice of
dentistry as defined in  | 
 the Illinois Dental Practice Act, (d) the practice of
 | 
 optometry as defined in the Illinois Optometric Practice  | 
 Act of 1987; .
 | 
 | 
  (3) a combination of 2 or more of the following  | 
 personal services:
(a) the practice of clinical psychology  | 
 by persons licensed under the Clinical Psychologist  | 
 Licensing Act, (b) the practice of social work or clinical  | 
 social work by persons licensed under the Clinical Social  | 
 Work and Social Work Practice Act, (c) the practice of  | 
 marriage and family therapy by persons licensed under the  | 
 Marriage and Family Therapy Licensing Act, (d) the practice  | 
 of professional counseling or clinical professional  | 
 counseling by persons licensed under the Professional  | 
 Counselor and Clinical Professional Counselor Licensing  | 
 and Practice Act, or (e) the practice of sex offender  | 
 evaluations by persons licensed under the Sex Offender  | 
 Evaluation and Treatment Provider Act; or | 
  (4) a combination of 2 or more of the following  | 
 personal services:
(a) the practice of acupuncture by  | 
 persons licensed under the Acupuncture Practice Act, (b)  | 
 the practice of massage by persons licensed under the  | 
 Massage Licensing Act, (c) the practice of naprapathy by  | 
 persons licensed under the Naprapathic Practice Act, (d)  | 
 the practice of occupational therapy by persons licensed  | 
 under the Illinois Occupational Therapy Practice Act, or  | 
 (e) the practice of physical therapy by persons licensed  | 
 under the Illinois Physical Therapy Act.  | 
(Source: P.A. 95-738, eff. 1-1-09.)
 | 
 | 
 (805 ILCS 10/12) (from Ch. 32, par. 415-12)
 | 
 Sec. 12. 
(a) No corporation shall open, operate or maintain  | 
an establishment for any
of the purposes for which a  | 
corporation may be organized under this Act
without a  | 
certificate of registration from the regulating authority
 | 
authorized by law to license individuals to engage in the  | 
profession or
related professions concerned. Application for  | 
such registration shall be
made in writing, and shall contain  | 
the name and primary mailing address of the corporation, the  | 
name and address of the corporation's registered agent, the  | 
address of the practice location maintained by the corporation,  | 
each assumed name being used by the corporation,
and such other  | 
information as may be required by the regulating authority.
All  | 
official correspondence from the regulating authority shall be  | 
mailed to the primary mailing address of the corporation except  | 
that the corporation may elect to have renewal and non-renewal  | 
notices sent to the registered agent of the corporation. Upon  | 
receipt of such application, the regulating authority, or some
 | 
administrative agency of government designated by it, shall  | 
make an
investigation of the corporation. If the regulating  | 
authority is the
Supreme Court it may designate the bar or  | 
legal association which
investigates and prefers charges  | 
against lawyers to it for disciplining. If
such authority finds  | 
that the incorporators, officers, directors and
shareholders  | 
are each licensed pursuant to the laws of Illinois to engage
in  | 
the particular profession or related professions involved  | 
 | 
(except that
the secretary of the corporation need not be so  | 
licensed), and if no
disciplinary action is pending before it  | 
against any of them, and if it
appears that the corporation  | 
will be conducted in compliance with the law
and the  | 
regulations and rules of the regulating authority, such  | 
authority,
shall issue, upon payment of a registration fee of  | 
$50, a certificate of
registration.
 | 
 A separate application shall be submitted for each business  | 
location in Illinois. If the corporation is using more than one  | 
fictitious or assumed name and has an address different from  | 
that of the parent company, a separate application shall be  | 
submitted for each fictitious or assumed name.  | 
 Upon written application of the holder, the
regulating  | 
authority which originally issued the certificate of
 | 
registration shall renew the certificate if it finds that the  | 
corporation
has complied with its regulations and the  | 
provisions of this Act.
 | 
 The fee for the renewal of a certificate of registration  | 
shall be calculated
at the rate of $40 per year.
 | 
 The certificate of registration shall be conspicuously  | 
posted upon the
premises to which it is applicable, and the  | 
professional corporation shall
have only those offices which  | 
are designated by street address in the
articles of  | 
incorporation, or as changed by amendment of such articles. No
 | 
certificate of registration shall be assignable.
 | 
 (b) Moneys collected under this Section from a professional  | 
 | 
corporation organized to practice law shall be deposited into  | 
the Supreme Court Special Purposes Fund. | 
 (c) After the effective date of this amendatory Act of the  | 
98th General Assembly, the amount of any fee collected under  | 
this Section from a professional corporation organized to  | 
practice law may be set by Supreme Court rule, except that the  | 
amount of the fees shall remain as set by statute until the  | 
Supreme Court adopts rules specifying a higher or lower fee  | 
amount. | 
(Source: P.A. 98-324, eff. 10-1-13.)
 | 
 (805 ILCS 10/12.1) (from Ch. 32, par. 415-12.1)
 | 
 Sec. 12.1. 
Any corporation which on 2 occasions issues or  | 
delivers a
check or other order to the Department of Financial  | 
and Professional Regulation
which is not honored by the  | 
financial institution upon which it is drawn
because of  | 
insufficient funds on account, shall pay to the
Department, in  | 
addition to the amount owing upon such check or other order,
a  | 
fee of $50. If such check or other order was issued or  | 
delivered in payment
of a renewal fee and the corporation whose  | 
certificate of registration has
lapsed continues to practice as  | 
a corporation without paying the renewal
fee and the $50 fee  | 
required under this Section, an additional fee of $100
shall be  | 
imposed for practicing without a current license. The  | 
Department
shall notify the corporation whose certificate of  | 
registration has lapsed,
within 30 days after the discovery by  | 
 | 
the Department that such corporation
is operating without a  | 
current certificate, that the corporation is
operating without  | 
a certificate, and of the amount due to the Department,
which  | 
shall include the lapsed renewal fee and all other fees  | 
required by
this Section. If after the expiration of 30 days  | 
from the date of such
notification, the corporation whose  | 
certificate has lapsed seeks a current
certificate, it shall  | 
thereafter apply to the Department
for reinstatement of the  | 
certificate and pay all fees due to the Department.
The  | 
Department may establish a fee for the processing of an  | 
application
for reinstatement of a certificate which allows the  | 
Department to pay all costs
and expenses incident to the  | 
processing of this application. The Director
may waive the fees  | 
due under this Section in individual cases where he finds
that  | 
in the particular case such fees would be unreasonable or  | 
unnecessarily
burdensome.
 | 
(Source: P.A. 85-1209.)
 | 
 (805 ILCS 10/13) (from Ch. 32, par. 415-13)
 | 
 Sec. 13. 
The regulating authority which issued the  | 
certificate of
registration may suspend or revoke the  | 
certificate or may otherwise discipline the certificate holder  | 
it for any of the following reasons:
 | 
 (a) The revocation or suspension of the license to practice  | 
the
profession of any officer, director, shareholder or  | 
employee not promptly
removed or discharged by the corporation;  | 
 | 
(b) unethical professional
conduct on the part of any officer,  | 
director, shareholder or employee not
promptly removed or  | 
discharged by the corporation; (c) the death of the
last  | 
remaining shareholder; (d) upon finding that
the holder of a  | 
certificate has failed to comply with the provisions of
this  | 
Act or the regulations prescribed by the regulating authority  | 
that
issued it; or (e) the failure to file a return, or to pay  | 
the tax,
penalty or interest shown in a filed return, or to pay  | 
any final assessment
of tax, penalty or interest, as required  | 
by any tax Act administered by the
Illinois Department of  | 
Revenue, until such time as the requirements of any
such tax  | 
Act are satisfied.
 | 
 Before any certificate of registration is suspended or  | 
revoked, the
holder shall be given written notice of the  | 
proposed action and the reasons
therefor, and shall provide a  | 
public hearing by the regulating authority,
with the right to  | 
produce testimony and other evidence concerning the
charges  | 
made. The notice shall also state the place and date of the  | 
hearing
which shall be at least 10 days after service of said  | 
notice.
 | 
 All orders of regulating authorities denying an  | 
application for a
certificate of registration, or suspending or  | 
revoking a certificate of
registration, or imposing a civil  | 
penalty shall be subject to judicial review pursuant to the  | 
provisions
of the Administrative Review Law, as now or  | 
hereafter amended, and the
rules adopted pursuant thereto then  | 
 | 
in force.
 | 
 The proceedings for judicial review shall be commenced in  | 
the circuit court of the county in which the party applying for  | 
review is located. If the party is not currently located in  | 
Illinois, the venue shall be in Sangamon County. The regulating  | 
authority shall not be required to certify any record to the  | 
court or file any answer in court or otherwise appear in any  | 
court in a judicial review proceeding, unless and until the  | 
regulating authority has received from the plaintiff payment of  | 
the costs of furnishing and certifying the record, which costs  | 
shall be determined by the regulating authority. Exhibits shall  | 
be certified without cost. Failure on the part of the plaintiff  | 
to file a receipt in court is grounds for dismissal of the  | 
action.  | 
(Source: P.A. 85-1222.)
 | 
 (805 ILCS 10/13.5 new) | 
 Sec. 13.5. Notice of violation. Whenever the regulating  | 
authority has reason to believe a corporation has opened,  | 
operated, or maintained an establishment for any of the  | 
purposes for which a corporation may be organized under this  | 
Act without a certificate of registration from the regulating  | 
authority authorized by law to license individuals to engage in  | 
the profession or related professions, the regulating  | 
authority may issue a notice of violation to the corporation.  | 
The notice of violation shall provide a period of 30 days from  | 
 | 
the date of the notice to either file an answer to the  | 
satisfaction of the regulating authority or submit an  | 
application for registration in compliance with this Act,  | 
including payment of the $50 application fee and a late fee of  | 
$100 for each year that the corporation opened, operated, or  | 
maintained an establishment for any of the purposes for which a  | 
corporation may be organized under this Act without having been  | 
issued a certificate of registration, with a maximum late fee  | 
of $500. If the corporation that is the subject of the notice  | 
of violation fails to respond, fails to respond to the  | 
satisfaction of the regulating authority, or fails to submit an  | 
application for registration, the regulating authority may  | 
institute disciplinary proceedings against the corporation and  | 
may impose a civil penalty up to $1,000 for violation of this  | 
Act after affording the corporation a hearing in conformance  | 
with the requirements of this Act.
 | 
 (805 ILCS 10/15.5 new) | 
 Sec. 15.5. Confidentiality. All information collected by  | 
the regulating authority in the course of an examination or  | 
investigation of a holder of a certificate of registration or  | 
an applicant, including, but not limited to, any complaint  | 
against a holder of a certificate of registration filed with  | 
the regulating authority and information collected to  | 
investigate any such complaint, shall be maintained for the  | 
confidential use of the regulating authority and shall not be  | 
 | 
disclosed. The regulating authority may not disclose the  | 
information to anyone other than law enforcement officials,  | 
other regulatory agencies that have an appropriate regulatory  | 
interest as determined by the regulating authority, or a party  | 
presenting a lawful subpoena to the regulating authority.  | 
Information and documents disclosed to a federal, State,  | 
county, or local law enforcement agency shall not be disclosed  | 
by the agency for any purpose to any other agency or person. A  | 
formal complaint filed against a holder of a certificate of  | 
registration or an applicant shall be a public record, except  | 
as otherwise prohibited by law.
 | 
 Section 970. The Medical Corporation Act is amended by  | 
changing Sections 2, 5, 5.1, 8, 10, 11, 12, 13, and 15 and by  | 
adding Sections 13.5 and 16.5 as follows:
 | 
 (805 ILCS 15/2) (from Ch. 32, par. 632)
 | 
 Sec. 2. 
One or more persons licensed pursuant to the  | 
Medical Practice Act
of 1987, as heretofore or hereafter  | 
amended, may form a corporation
pursuant to the "Business  | 
Corporation Act of 1983", as amended, to own,
operate and  | 
maintain an establishment for the study, diagnosis and
 | 
treatment of human ailments and injuries, whether physical or  | 
mental, and
to promote medical, surgical and scientific  | 
research and knowledge;
provided that medical or surgical  | 
treatment, consultation or advice may be
given by shareholders,  | 
 | 
directors, officers, agents, and employees of the corporation  | 
only if they are licensed pursuant to
the Medical Practice Act  | 
of 1987; and provided further, however, that
nothing herein  | 
shall prohibit an attorney licensed to practice law in
Illinois  | 
from signing and acting as initial incorporator on behalf of
 | 
such corporation.
 | 
(Source: P.A. 85-1209.)
 | 
 (805 ILCS 15/5) (from Ch. 32, par. 635)
 | 
 Sec. 5. 
No corporation shall open, operate or maintain an  | 
establishment for
any of the purposes set forth in Section 2 of  | 
this Act without a
certificate of registration from the  | 
Department of Financial and Professional
Regulation,  | 
hereinafter called the Department. Application for such
 | 
registration shall be made to the Department in writing and  | 
shall contain
the name and primary mailing address of the  | 
corporation, the name and address of the corporation's  | 
registered agent, the address of the practice location  | 
maintained by the corporation, each assumed name being used by  | 
the corporation, and such other information as may
be required  | 
by the Department. All official correspondence from the  | 
Department shall be mailed to the primary mailing address of  | 
the corporation except that the corporation may elect to have  | 
renewal and non-renewal notices sent to the registered agent of  | 
the corporation. A separate application shall be submitted for  | 
each business location in Illinois. If the corporation is using  | 
 | 
more than one fictitious or assumed name and has an address  | 
different from that of the parent company, a separate  | 
application shall be submitted for each fictitious or assumed  | 
name. Upon receipt of such application, the
Department shall  | 
make an investigation of the corporation. If the
Department  | 
finds that the incorporators, officers, directors and
 | 
shareholders are all licensed pursuant to the Medical Practice  | 
Act of
1987 and if no disciplinary action is pending before the  | 
Department
against any of them, and if it appears that the  | 
corporation will be
conducted in compliance with law and the  | 
regulations of the Department, the
Department shall issue, upon  | 
payment of a registration fee of $50, a
certificate of  | 
registration.
 | 
(Source: P.A. 85-1209.)
 | 
 (805 ILCS 15/5.1)
 | 
 Sec. 5.1. Deposit of fees and fines. Beginning July 1,  | 
2003,
all of the fees, civil penalties, and fines collected  | 
under this Act shall be deposited into the
General Professions  | 
Dedicated Fund.
 | 
(Source: P.A. 93-32, eff. 7-1-03.)
 | 
 (805 ILCS 15/8) (from Ch. 32, par. 638)
 | 
 Sec. 8. 
In the event of a change of location of the  | 
registered
establishment, the corporation shall notify the  | 
Department, in accordance with its regulations, and the  | 
 | 
Department shall
amend the certificate of registration so that  | 
it shall apply to the new
location.
 | 
(Source: Laws 1963, p. 3513.)
 | 
 (805 ILCS 15/10) (from Ch. 32, par. 640)
 | 
 Sec. 10. 
The Department may suspend or revoke any  | 
certificate of
registration or may otherwise discipline the  | 
certificate holder for any of the following reasons: (a) the  | 
revocation or
suspension of the license to practice medicine of  | 
any officer, director,
shareholder or employee not promptly  | 
removed or discharged by the
corporation; (b) unethical  | 
professional conduct on the part of any officer,
director,  | 
shareholder or employee not promptly removed or discharged by  | 
the
corporation; (c) the death of the last remaining  | 
shareholder; or (d) upon
finding that the holder of a  | 
certificate has failed to comply with the
provisions of this  | 
Act or the regulations prescribed by the Department.
 | 
 The Department may refuse to issue or renew or may suspend  | 
the certificate of
any corporation which fails to file a  | 
return, or to pay the tax, penalty or
interest shown in a filed  | 
return, or to pay any final assessment of tax,
penalty or  | 
interest, as required by any tax Act administered by the
 | 
Illinois Department of Revenue, until such time as the  | 
requirements of any
such tax Act are satisfied.
 | 
(Source: P.A. 85-1222.)
 | 
 | 
 (805 ILCS 15/11) (from Ch. 32, par. 641)
 | 
 Sec. 11. 
Before any certificate of registration is  | 
suspended or revoked,
the holder shall be given written notice  | 
of the proposed action and the
reasons therefor, and shall be  | 
given a public hearing by the Department
with the right to  | 
produce testimony concerning the charges made. The notice
shall  | 
also state the place and date of the hearing which shall be at  | 
least 10
5 days after service of said notice.
 | 
(Source: Laws 1963, p. 3513.)
 | 
 (805 ILCS 15/12) (from Ch. 32, par. 642)
 | 
 Sec. 12. 
The provisions of the Administrative Review Law,
 | 
as heretofore
or hereafter amended, and all rules adopted  | 
pursuant thereto, shall apply
to and govern all proceedings for  | 
the judicial review of final
administrative decisions of the  | 
Department hereunder. The term
"administrative decision" is  | 
defined as in Section 3-101 of the Code of
Civil Procedure.
 | 
 The proceedings for judicial review shall be commenced in  | 
the circuit court of the county in which the party applying for  | 
review is located. If the party is not currently located in  | 
Illinois, the venue shall be in Sangamon County. The Department  | 
shall not be required to certify any record to the court or  | 
file any answer in court or otherwise appear in any court in a  | 
judicial review proceeding, unless and until the Department has  | 
received from the plaintiff payment of the costs of furnishing  | 
and certifying the record, which costs shall be determined by  | 
 | 
the Department. Exhibits shall be certified without cost.  | 
Failure on the part of the plaintiff to file a receipt in court  | 
is grounds for dismissal of the action.  | 
(Source: P.A. 82-783.)
 | 
 (805 ILCS 15/13) (from Ch. 32, par. 643)
 | 
 Sec. 13. 
(a) All of the officers, directors and  | 
shareholders of a corporation
subject to this Act shall at all  | 
times be persons licensed pursuant to the
Medical Practice Act  | 
of 1987. No person who is not so licensed shall
have any part  | 
in the ownership, management, or control of such corporation,
 | 
nor may any proxy to vote any shares of such corporation be  | 
given to a
person who is not so licensed. Notwithstanding any  | 
provisions to the
contrary in the "Business Corporation Act of  | 
1983", as now or hereafter
amended, if all of the shares of a  | 
corporation subject to this Act are
owned by one shareholder,  | 
the office of president and secretary may be held
by the same  | 
person.
 | 
 (b) No corporation may issue any of its capital stock to  | 
anyone other than an individual who is duly licensed under the  | 
Medical Practice Act of 1987. No shareholder shall enter into a  | 
voting trust agreement or any other type of agreement vesting  | 
another person with the authority to exercise the voting power  | 
of any of his or her stock. | 
 (c) A corporation may, for purposes of dissolution, have as  | 
its shareholders, directors, officers, agents, and employees  | 
 | 
individuals who are not licensed under the Medical Practice Act  | 
of 1987, provided that the corporation does not render any  | 
medical services nor hold itself out as capable of or available  | 
to render medical services during the period of dissolution.  | 
The Department shall not issue or renew any certificate of  | 
authority to a corporation during the period of dissolution. A  | 
copy of the certificate of dissolution, as issued by the  | 
Secretary of State, shall be delivered to the Department within  | 
30 days after its receipt by the incorporators.  | 
(Source: P.A. 85-1209.)
 | 
 (805 ILCS 15/13.5 new) | 
 Sec. 13.5. Notice of violation. Whenever the Department has  | 
reason to believe a corporation has opened, operated, or  | 
maintained an establishment for any of the purposes for which a  | 
corporation may be organized under this Act without a  | 
certificate of registration from the Department, the  | 
Department may issue a notice of violation to the corporation.  | 
The notice of violation shall provide a period of 30 days from  | 
the date of the notice to either file an answer to the  | 
satisfaction of the Department or submit an application for  | 
registration in compliance with this Act, including payment of  | 
the $50 application fee and a late fee of $100 for each year  | 
that the corporation opened, operated, or maintained an  | 
establishment for any of the purposes for which a corporation  | 
may be organized under this Act without having been issued a  | 
 | 
certification of registration, with a maximum late fee of $500.  | 
If the corporation that is the subject of the notice of  | 
violation fails to respond, fails to respond to the  | 
satisfaction of the Department, or fails to submit an  | 
application for registration, the Department may institute  | 
disciplinary proceedings against the corporation and may  | 
impose a civil penalty up to $1,000 for violation of this Act  | 
after affording the corporation a hearing in conformance with  | 
the requirements of this Act.
 | 
 (805 ILCS 15/15) (from Ch. 32, par. 645)
 | 
 Sec. 15. 
Each individual shareholder, director, officer,  | 
agent, or employee licensed pursuant to the Medical
Practice  | 
Act of 1987 who is employed by a corporation subject to this
 | 
Act shall remain subject to reprimand or discipline for his  | 
conduct under
the provisions of the Medical Practice Act of  | 
1987.
 | 
(Source: P.A. 85-1209.)
 | 
 (805 ILCS 15/16.5 new) | 
 Sec. 16.5. Confidentiality. All information collected by  | 
the Department in the course of an examination or investigation  | 
of a holder of a certificate of registration or an applicant,  | 
including, but not limited to, any complaint against a holder  | 
of a certificate of registration filed with the Department and  | 
information collected to investigate any such complaint, shall  | 
 | 
be maintained for the confidential use of the Department and  | 
shall not be disclosed. The Department may not disclose the  | 
information to anyone other than law enforcement officials,  | 
other regulatory agencies that have an appropriate regulatory  | 
interest as determined by the Secretary, or a party presenting  | 
a lawful subpoena to the Department. Information and documents  | 
disclosed to a federal, State, county, or local law enforcement  | 
agency shall not be disclosed by the agency for any purpose to  | 
any other agency or person. A formal complaint filed against a  | 
holder of a certificate of registration by the Department or  | 
any order issued by the Department against a holder of a  | 
certificate of registration or an applicant shall be a public  | 
record, except as otherwise prohibited by law.
 | 
 Section 975. The Limited Liability Company Act is amended  | 
by changing Sections 1-10, 1-25, 1-28, 5-5, and 5-55 as  | 
follows:
 | 
 (805 ILCS 180/1-10)
 | 
 Sec. 1-10. Limited liability company name. 
 | 
 (a) The name of each limited liability company or foreign  | 
limited liability company organized, existing, or subject to  | 
the provisions of this Act:
 | 
  (1) shall contain the terms "limited liability
 | 
 company", "L.L.C.", or "LLC", or, if organized as a  | 
 low-profit limited liability company under Section 1-26 of  | 
 | 
 this Act, shall contain the term "L3C";
 | 
  (2) may not contain a word or phrase, or an
 | 
 abbreviation or derivation thereof, the use of which is
 | 
 prohibited or restricted by any other statute of this
State  | 
 unless the restriction has been complied with;
 | 
  (3) shall consist of letters of the English
alphabet,  | 
 Arabic or Roman numerals, or symbols capable
of being  | 
 readily reproduced by the Office of the
Secretary of State;
 | 
  (4) shall not contain any of the following terms:
 | 
 "Corporation," "Corp.," "Incorporated," "Inc.," "Ltd.,"
 | 
 "Co.," "Limited Partnership" or "L.P.";
 | 
  (5) shall be the name under which the limited
liability  | 
 company transacts business in this State
unless the limited  | 
 liability company also elects to
adopt an assumed name or  | 
 names as provided in this Act;
provided, however, that the  | 
 limited liability company
may use any divisional  | 
 designation or trade name without
complying with the  | 
 requirements of this Act, provided
the limited liability  | 
 company also clearly discloses its
name;
 | 
  (6) shall not contain any word or phrase that indicates  | 
 or implies that
the limited liability company is authorized  | 
 or empowered to be in the business
of a corporate fiduciary  | 
 unless otherwise permitted by the Secretary of Financial  | 
 and Professional Regulation Commissioner of the
Office of  | 
 Banks and Real Estate under Section 1-9 of the Corporate  | 
 Fiduciary
Act. The word "trust", "trustee", or "fiduciary"  | 
 | 
 may be used by a limited
liability company only if it has  | 
 first complied with Section 1-9 of the
Corporate Fiduciary  | 
 Act; and
 | 
  (7) shall contain the word "trust", if it is a limited  | 
 liability company
organized for the purpose of accepting  | 
 and executing trusts. ; and
 | 
  (8) shall not, as to any limited liability company  | 
 organized or amending its company name on or after April 3,  | 
 2009 (the effective date of Public Act 96-7), without the  | 
 express written consent of the United States Olympic  | 
 Committee, contain the words: (i) "Olympic"; (ii)  | 
 "Olympiad"; (iii) "Paralympic"; (iv) "Paralympiad"; (v)  | 
 "Citius Altius Fortius"; or (vi) "CHICOG". | 
 (b) Nothing in this Section or Section 1-20 shall
abrogate  | 
or limit the common law or statutory law of unfair
competition  | 
or unfair trade practices, nor derogate from the
common law or  | 
principles of equity or the statutes of this
State or of the  | 
United States of America with respect to the
right to acquire  | 
and protect copyrights, trade names,
trademarks, service  | 
marks, service names, or any other right
to the exclusive use  | 
of names or symbols.
 | 
 (c) (Blank).
 | 
 (d) The name shall be distinguishable upon the records
in  | 
the Office of the Secretary of State from all of the following:
 | 
  (1) Any limited liability company that has
articles of  | 
 organization filed with the Secretary of
State under  | 
 | 
 Section 5-5.
 | 
  (2) Any foreign limited liability company admitted
to  | 
 transact business in this State.
 | 
  (3) Any name for which an exclusive right has been
 | 
 reserved in the Office of the Secretary of State
under  | 
 Section 1-15.
 | 
  (4) Any assumed name that is registered with the
 | 
 Secretary of State under Section 1-20.
 | 
  (5) Any corporate name or assumed corporate name of a  | 
 domestic or
foreign corporation subject to the provisions  | 
 of Section 4.05 of the
Business Corporation Act of 1983
or  | 
 Section 104.05 of the General Not For Profit Corporation  | 
 Act of 1986.
 | 
 (e) The provisions of subsection (d) of this Section
shall  | 
not apply if the organizer files with the Secretary of
State a  | 
certified copy of a final decree of a court of
competent  | 
jurisdiction establishing the prior right of the
applicant to  | 
the use of that name in this State.
 | 
 (f) The Secretary of State shall determine whether a
name  | 
is "distinguishable" from another name for the purposes
of this  | 
Act. Without excluding other names that may not
constitute  | 
distinguishable names in this State, a name is not
considered  | 
distinguishable, for purposes of this Act, solely
because it  | 
contains one or more of the following:
 | 
  (1) The word "limited", "liability" or "company"
or an  | 
 abbreviation of one of those words.
 | 
 | 
  (2) Articles, conjunctions, contractions,
 | 
 abbreviations, or different tenses or number of the same
 | 
 word.
 | 
(Source: P.A. 98-720, eff. 7-16-14.)
 | 
 (805 ILCS 180/1-25)
 | 
 Sec. 1-25. Nature of business.   | 
 (a) A limited liability company may be formed
for any  | 
lawful purpose or business except:
 | 
  (1) (blank);
 | 
  (2) insurance unless, for the purpose of carrying on  | 
 business as a member
of a group including incorporated and  | 
 individual unincorporated underwriters,
the Director of  | 
 Insurance finds that the group meets the requirements of
 | 
 subsection (3) of Section 86 of the Illinois Insurance Code  | 
 and the limited
liability company, if insolvent, is subject  | 
 to liquidation by the Director of
Insurance under Article  | 
 XIII of the Illinois Insurance Code;
 | 
  (3) the practice of dentistry unless all the members  | 
 and managers are
licensed as dentists under the Illinois  | 
 Dental Practice Act; or
 | 
  (4) the practice of medicine unless all the managers,  | 
 if any, are
licensed to practice medicine under the Medical  | 
 Practice Act of 1987 and each
member is either:
 | 
   (A) licensed to practice medicine under the  | 
 Medical Practice Act of
1987; or
 | 
 | 
   (B) a registered medical corporation or  | 
 corporations organized pursuant
to the Medical  | 
 Corporation Act; or
 | 
   (C) a professional corporation organized pursuant  | 
 to the Professional
Service Corporation Act of  | 
 physicians licensed to practice under the Medical  | 
 Practice Act of 1987; or | 
   (C-5) a hospital or hospital affiliate as defined  | 
 in Section 10.8 of the Hospital Licensing Act; or 
 | 
   (D) a limited liability company that satisfies the  | 
 requirements of
subparagraph (A), (B), or (C), or  | 
 (C-5); .
 | 
  (5) the practice of real estate unless all the  | 
 managers, if any, or every member in a member-managed  | 
 company are licensed to practice as a managing broker or  | 
 broker pursuant to the Real Estate License Act of 2000; | 
  (6) the practice of clinical psychology unless all the  | 
 managers and members are licensed to practice as a clinical  | 
 psychologist under the Clinical Psychologist Licensing  | 
 Act; | 
  (7) the practice of social work unless all the managers  | 
 and members are licensed to practice as a clinical social  | 
 worker or social worker under the Clinical Social Work and  | 
 Social Work Practice Act; | 
  (8) the practice of marriage and family therapy unless  | 
 all the managers and members are licensed to practice as a  | 
 | 
 marriage and family therapist under the Marriage and Family  | 
 Therapy Licensing Act; | 
  (9) the practice of professional counseling unless all  | 
 the managers and members are licensed to practice as a  | 
 clinical professional counselor or a professional  | 
 counselor under the Professional Counselor and Clinical  | 
 Professional Counselor Licensing and Practice Act; | 
  (10) the practice of sex offender evaluations unless  | 
 all the managers and members are licensed to practice as a  | 
 sex offender evaluator under the Sex Offender Evaluation  | 
 and Treatment Provider Act; or | 
  (11) the practice of veterinary medicine unless all the  | 
 managers and members are licensed to practice as a  | 
 veterinarian under the Veterinary Medicine and Surgery  | 
 Practice Act of 2004.  | 
 (b) Notwithstanding any provision of this Section, any of  | 
the following professional services may be combined and offered  | 
within a single company provided that each professional service  | 
is only offered by persons licensed to provide that  | 
professional service and all managers and members are licensed  | 
in at least one of the professional services offered by the  | 
company: | 
  (1) the practice of medicine by physicians licensed  | 
 under the Medical Practice Act of 1987, the practice of  | 
 podiatry by podiatrists licensed under the Podiatric  | 
 Medical Practice Act of 1987, the practice of dentistry by  | 
 | 
 dentists licensed under the Illinois Dental Practice Act,  | 
 and the practice of optometry by optometrists licensed  | 
 under the Illinois Optometric Practice Act of 1987; or | 
  (2) the practice of clinical psychology by clinical  | 
 psychologists licensed under the Clinical Psychologist  | 
 Licensing Act, the practice of social work by clinical  | 
 social workers or social workers licensed under the  | 
 Clinical Social Work and Social Work Practice Act, the  | 
 practice of marriage and family counseling by marriage and  | 
 family therapists licensed under the Marriage and Family  | 
 Therapy Licensing Act, the practice of professional  | 
 counseling by professional counselors and clinical  | 
 professional counselors licensed under the Professional  | 
 Counselor and Clinical Professional Counselor Licensing  | 
 and Practice Act, and the practice of sex offender  | 
 evaluations by sex offender evaluators licensed under the  | 
 Sex Offender Evaluation and Treatment Provider Act.  | 
 (c) Professional limited liability companies may be  | 
organized under this Act.  | 
(Source: P.A. 95-331, eff. 8-21-07; 95-738, eff. 1-1-09.)
 | 
 (805 ILCS 180/1-28) | 
 Sec. 1-28. Certificate of Registration; Department of  | 
Financial and Professional Regulation. This Section applies  | 
only to a limited liability company that intends to provide, or  | 
does provide, professional services that require the  | 
 | 
individuals engaged in the profession to be licensed by the  | 
Department of Financial and Professional Regulation. A limited  | 
liability company covered by this Section shall not open,  | 
operate, or maintain an establishment for any of the purposes  | 
for which a limited liability company may be organized under  | 
this Act without obtaining a certificate of registration from  | 
the Department pursuant to the Professional Limited Liability  | 
Company Act. | 
 Application for such registration shall be made in writing  | 
and shall contain the name and address of the limited liability  | 
company and such other information as may be required by the  | 
Department. Upon receipt of such application, the Department  | 
shall make an investigation of the limited liability company.  | 
If the Department finds that the organizers, managers, and  | 
members are each licensed pursuant to the laws of Illinois to  | 
engage in the particular profession or related professions  | 
involved (except that an initial organizer may be a licensed  | 
attorney) and if no disciplinary action is pending before the  | 
Department against any of them and if it appears that the  | 
limited liability company will be conducted in compliance with  | 
the law and the rules and regulations of the Department, the  | 
Department shall issue, upon payment of a registration fee of  | 
$50, a certificate of registration. | 
 Upon written application of the holder, the Department  | 
shall renew the certificate if it finds that the limited  | 
liability company has complied with its regulations and the  | 
 | 
provisions of this Act and the applicable licensing Act. This  | 
fee for the renewal of a certificate of registration shall be  | 
calculated at the rate of $40 per year.
The certificate of  | 
registration shall be conspicuously posted upon the premises to  | 
which it is applicable, and the limited liability company shall  | 
have only those offices which are designated by street address  | 
in the articles of organization, or as changed by amendment of  | 
such articles. A certificate of registration shall not be  | 
assignable. | 
 All fees collected under this Section shall be deposited  | 
into the General Professions Dedicated Fund. 
 | 
(Source: P.A. 96-679, eff. 8-25-09; 96-984, eff. 1-1-11;  | 
96-1000, eff. 7-2-10.)
 | 
 (805 ILCS 180/5-5)
 | 
 Sec. 5-5. Articles of organization. 
 | 
 (a) The articles of organization shall set forth all of
the  | 
following:
 | 
  (1) The name of the limited liability company and
the  | 
 address of its principal place of business which
may, but  | 
 need not be a place of business in this State.
 | 
  (2) The purposes for which the limited liability
 | 
 company is organized, which may be stated to be, or to
 | 
 include, the transaction of any or all lawful businesses
 | 
 for which limited liability companies may be organized
 | 
 under this Act.
 | 
 | 
  (3) The name of its registered agent and the
address of  | 
 its registered office.
 | 
  (4) If the limited liability company is to be
managed  | 
 by a manager or managers, the names and
business
addresses  | 
 of the initial manager or managers.
 | 
  (5) If management of the limited liability company
is  | 
 to be vested in the members
under Section 15-1, then the  | 
 names and addresses of the
initial member or members.
 | 
  (5.5) The duration of the limited liability company,  | 
 which shall be perpetual unless otherwise stated. 
 | 
  (6) (Blank).
 | 
  (7) The name and address of each organizer.
 | 
  (8) Any other provision, not inconsistent with
law,  | 
 that the members elect to set out in the articles
of  | 
 organization for the regulation of the internal
affairs of  | 
 the limited liability company, including any
provisions  | 
 that, under this Act, are required or
permitted to be set  | 
 out in the operating agreement of
the limited liability  | 
 company.
 | 
 (b) A limited liability company is organized at the
time  | 
articles of organization are filed by the Secretary of
State or  | 
at any later time, not more than 60 days after the
filing of  | 
the articles of organization, specified in the
articles of  | 
organization.
 | 
 (c) Articles of organization for the organization of a  | 
limited liability
company for the purpose of accepting and  | 
 | 
executing trusts shall not be filed by
the Secretary of State  | 
until there is delivered to him or her a statement
executed by  | 
the Secretary of Financial and Professional Regulation  | 
Commissioner of the Office of Banks and Real Estate that the
 | 
organizers of the limited liability company have made  | 
arrangements
with the Secretary of Financial and Professional  | 
Regulation
Commissioner of the Office of Banks and Real Estate  | 
to comply with the
Corporate Fiduciary Act.
 | 
 (d) Articles of organization for the organization of a  | 
limited liability
company as a bank or a savings bank must be  | 
filed with the Department of Financial and Professional  | 
Regulation Commissioner of
Banks and Real Estate or,
if the  | 
bank or savings bank will be organized under federal law, with  | 
the
appropriate federal banking regulator.
 | 
(Source: P.A. 98-171, eff. 8-5-13.)
 | 
 (805 ILCS 180/5-55)
 | 
 Sec. 5-55. Filing in Office of Secretary of State. 
 | 
 (a) Whenever any provision of this Act requires a
limited  | 
liability company to file any document with the
Office of the  | 
Secretary of State, the requirement means that:
 | 
  (1) the original document, executed as described
in  | 
 Section 5-45, and, if required by this Act to be filed in  | 
 duplicate, one
copy (which may be a signed
carbon or  | 
 photocopy) shall be delivered to the Office
of the  | 
 Secretary of State;
 | 
 | 
  (2) all fees and charges authorized by law to be
 | 
 collected by the Secretary of State in connection with
the  | 
 filing of the document shall be tendered to the
Secretary  | 
 of State; and
 | 
  (3) unless the Secretary of State finds that the
 | 
 document does not conform to law, he or she shall,
when all  | 
 fees have been paid:
 | 
   (A) endorse on the original and on the copy
the  | 
 word "Filed" and the month, day, and year of
the filing  | 
 thereof;
 | 
   (B) file in his or her office the original
of the  | 
 document; and
 | 
   (C) return the copy to the person who filed
it or  | 
 to that person's representative.
 | 
 (b) If another Section of this Act specifically
prescribes  | 
a manner of filing or signing a specified document
that differs  | 
from the corresponding provisions of this
Section, then the  | 
provisions of the other Section shall
govern.
 | 
 (c) Whenever any provision of this Act requires a limited  | 
liability company
that is a bank or a savings bank to file any  | 
document, that requirement means
that the filing shall be made  | 
exclusively with the Department of Financial and Professional  | 
Regulation Commissioner of Banks and
Real Estate or, if the  | 
bank or savings bank is organized under federal law,
with the  | 
appropriate federal banking regulator at such times and in such
 | 
manner as required by the Department Commissioner or federal  |