| 
include other versions of the Section to be found in Public  | 
Acts not included in the list of sources. The list of sources  | 
is not a part of the text of the Section. | 
 (d) Public Acts 101-652 through 102-691 were considered in  | 
the preparation of the combining revisories included in this  | 
Act. Many of those combining revisories contain no striking or  | 
underscoring because no additional changes are being made in  | 
the material that is being combined.
 | 
 Section 5. The Regulatory Sunset Act is amended by  | 
changing Section 4.37 as follows:
 | 
 (5 ILCS 80/4.37) | 
 (Text of Section before amendment by P.A. 102-683) | 
 Sec. 4.37. Acts and Articles repealed on January 1, 2027.  | 
The following are repealed on January 1, 2027: | 
 The Clinical Psychologist Licensing Act.
 | 
 The Illinois Optometric Practice Act of 1987. | 
 Articles II, III, IV, V, VI, VIIA, VIIB, VIIC, XVII, XXXI,  | 
and
XXXI 1/4, and XXXI 3/4 of the Illinois Insurance Code.
 | 
 The Boiler and Pressure Vessel Repairer Regulation Act. | 
 The Marriage and Family Therapy Licensing Act.  | 
 The Boxing and Full-contact Martial Arts Act. | 
 The Cemetery Oversight Act. | 
 The Community Association Manager Licensing and  | 
Disciplinary Act. | 
 | 
 The Detection of Deception Examiners Act. | 
 The Home Inspector License Act. | 
 The Massage Licensing Act. | 
 The Medical Practice Act of 1987. | 
 The Petroleum Equipment Contractors Licensing Act. | 
 The Radiation Protection Act of 1990. | 
 The Real Estate Appraiser Licensing Act of 2002. | 
 The Registered Interior Designers Act. | 
 The Landscape Architecture Registration Act. | 
 The Water Well and Pump Installation Contractor's License  | 
Act. | 
 The Collateral Recovery Act. | 
(Source: P.A. 102-20, eff. 6-25-21; 102-284, eff. 8-6-21;  | 
102-437, eff. 8-20-21; 102-656, eff. 8-27-21; revised  | 
10-13-21.)
 | 
 (Text of Section after amendment by P.A. 102-683) | 
 Sec. 4.37. Acts and Articles repealed on January 1, 2027.  | 
The following are repealed on January 1, 2027: | 
 The Clinical Psychologist Licensing Act.
 | 
 The Illinois Optometric Practice Act of 1987. | 
 Articles II, III, IV, V, VI, VIIA, VIIB, VIIC, XVII, XXXI,  | 
and
XXXI 1/4, and XXXI 3/4 of the Illinois Insurance Code.
 | 
 The Boiler and Pressure Vessel Repairer Regulation Act. | 
 The Marriage and Family Therapy Licensing Act.  | 
 The Boxing and Full-contact Martial Arts Act. | 
 | 
 The Cemetery Oversight Act. | 
 The Community Association Manager Licensing and  | 
Disciplinary Act. | 
 The Detection of Deception Examiners Act. | 
 The Home Inspector License Act. | 
 The Massage Licensing Act. | 
 The Medical Practice Act of 1987. | 
 The Petroleum Equipment Contractors Licensing Act. | 
 The Radiation Protection Act of 1990. | 
 The Real Estate Appraiser Licensing Act of 2002. | 
 The Registered Interior Designers Act. | 
 The Landscape Architecture Registration Act. | 
 The Water Well and Pump Installation Contractor's License  | 
Act. | 
 The Collateral Recovery Act. | 
 The Licensed Certified Professional Midwife Practice Act. | 
(Source: P.A. 102-20, eff. 6-25-21; 102-284, eff. 8-6-21;  | 
102-437, eff. 8-20-21; 102-656, eff. 8-27-21; 102-683, eff.  | 
10-1-22; revised 1-5-22.)
 | 
 Section 10. The Illinois Administrative Procedure Act is  | 
amended by changing Section 5-45 and by setting forth,  | 
renumbering, and changing multiple
versions of Sections 5-45.8  | 
and 5-45.9 as follows:
 | 
 (5 ILCS 100/5-45) (from Ch. 127, par. 1005-45) | 
 | 
 Sec. 5-45. Emergency rulemaking.  | 
 (a) "Emergency" means the existence of any situation that  | 
any agency
finds reasonably constitutes a threat to the public  | 
interest, safety, or
welfare. | 
 (b) If any agency finds that an
emergency exists that  | 
requires adoption of a rule upon fewer days than
is required by  | 
Section 5-40 and states in writing its reasons for that
 | 
finding, the agency may adopt an emergency rule without prior  | 
notice or
hearing upon filing a notice of emergency rulemaking  | 
with the Secretary of
State under Section 5-70. The notice  | 
shall include the text of the
emergency rule and shall be  | 
published in the Illinois Register. Consent
orders or other  | 
court orders adopting settlements negotiated by an agency
may  | 
be adopted under this Section. Subject to applicable  | 
constitutional or
statutory provisions, an emergency rule  | 
becomes effective immediately upon
filing under Section 5-65  | 
or at a stated date less than 10 days
thereafter. The agency's  | 
finding and a statement of the specific reasons
for the  | 
finding shall be filed with the rule. The agency shall take
 | 
reasonable and appropriate measures to make emergency rules  | 
known to the
persons who may be affected by them. | 
 (c) An emergency rule may be effective for a period of not  | 
longer than
150 days, but the agency's authority to adopt an  | 
identical rule under Section
5-40 is not precluded. No  | 
emergency rule may be adopted more
than once in any 24-month  | 
period, except that this limitation on the number
of emergency  | 
 | 
rules that may be adopted in a 24-month period does not apply
 | 
to (i) emergency rules that make additions to and deletions  | 
from the Drug
Manual under Section 5-5.16 of the Illinois  | 
Public Aid Code or the
generic drug formulary under Section  | 
3.14 of the Illinois Food, Drug
and Cosmetic Act, (ii)  | 
emergency rules adopted by the Pollution Control
Board before  | 
July 1, 1997 to implement portions of the Livestock Management
 | 
Facilities Act, (iii) emergency rules adopted by the Illinois  | 
Department of Public Health under subsections (a) through (i)  | 
of Section 2 of the Department of Public Health Act when  | 
necessary to protect the public's health, (iv) emergency rules  | 
adopted pursuant to subsection (n) of this Section, (v)  | 
emergency rules adopted pursuant to subsection (o) of this  | 
Section, or (vi) emergency rules adopted pursuant to  | 
subsection (c-5) of this Section. Two or more emergency rules  | 
having substantially the same
purpose and effect shall be  | 
deemed to be a single rule for purposes of this
Section. | 
 (c-5) To facilitate the maintenance of the program of  | 
group health benefits provided to annuitants, survivors, and  | 
retired employees under the State Employees Group Insurance  | 
Act of 1971, rules to alter the contributions to be paid by the  | 
State, annuitants, survivors, retired employees, or any  | 
combination of those entities, for that program of group  | 
health benefits, shall be adopted as emergency rules. The  | 
adoption of those rules shall be considered an emergency and  | 
necessary for the public interest, safety, and welfare.  | 
 | 
 (d) In order to provide for the expeditious and timely  | 
implementation
of the State's fiscal year 1999 budget,  | 
emergency rules to implement any
provision of Public Act  | 
90-587 or 90-588
or any other budget initiative for fiscal  | 
year 1999 may be adopted in
accordance with this Section by the  | 
agency charged with administering that
provision or  | 
initiative, except that the 24-month limitation on the  | 
adoption
of emergency rules and the provisions of Sections  | 
5-115 and 5-125 do not apply
to rules adopted under this  | 
subsection (d). The adoption of emergency rules
authorized by  | 
this subsection (d) shall be deemed to be necessary for the
 | 
public interest, safety, and welfare. | 
 (e) In order to provide for the expeditious and timely  | 
implementation
of the State's fiscal year 2000 budget,  | 
emergency rules to implement any
provision of Public Act 91-24
 | 
or any other budget initiative for fiscal year 2000 may be  | 
adopted in
accordance with this Section by the agency charged  | 
with administering that
provision or initiative, except that  | 
the 24-month limitation on the adoption
of emergency rules and  | 
the provisions of Sections 5-115 and 5-125 do not apply
to  | 
rules adopted under this subsection (e). The adoption of  | 
emergency rules
authorized by this subsection (e) shall be  | 
deemed to be necessary for the
public interest, safety, and  | 
welfare. | 
 (f) In order to provide for the expeditious and timely  | 
implementation
of the State's fiscal year 2001 budget,  | 
 | 
emergency rules to implement any
provision of Public Act  | 
91-712
or any other budget initiative for fiscal year 2001 may  | 
be adopted in
accordance with this Section by the agency  | 
charged with administering that
provision or initiative,  | 
except that the 24-month limitation on the adoption
of  | 
emergency rules and the provisions of Sections 5-115 and 5-125  | 
do not apply
to rules adopted under this subsection (f). The  | 
adoption of emergency rules
authorized by this subsection (f)  | 
shall be deemed to be necessary for the
public interest,  | 
safety, and welfare. | 
 (g) In order to provide for the expeditious and timely  | 
implementation
of the State's fiscal year 2002 budget,  | 
emergency rules to implement any
provision of Public Act 92-10
 | 
or any other budget initiative for fiscal year 2002 may be  | 
adopted in
accordance with this Section by the agency charged  | 
with administering that
provision or initiative, except that  | 
the 24-month limitation on the adoption
of emergency rules and  | 
the provisions of Sections 5-115 and 5-125 do not apply
to  | 
rules adopted under this subsection (g). The adoption of  | 
emergency rules
authorized by this subsection (g) shall be  | 
deemed to be necessary for the
public interest, safety, and  | 
welfare. | 
 (h) In order to provide for the expeditious and timely  | 
implementation
of the State's fiscal year 2003 budget,  | 
emergency rules to implement any
provision of Public Act  | 
92-597
or any other budget initiative for fiscal year 2003 may  | 
 | 
be adopted in
accordance with this Section by the agency  | 
charged with administering that
provision or initiative,  | 
except that the 24-month limitation on the adoption
of  | 
emergency rules and the provisions of Sections 5-115 and 5-125  | 
do not apply
to rules adopted under this subsection (h). The  | 
adoption of emergency rules
authorized by this subsection (h)  | 
shall be deemed to be necessary for the
public interest,  | 
safety, and welfare. | 
 (i) In order to provide for the expeditious and timely  | 
implementation
of the State's fiscal year 2004 budget,  | 
emergency rules to implement any
provision of Public Act 93-20
 | 
or any other budget initiative for fiscal year 2004 may be  | 
adopted in
accordance with this Section by the agency charged  | 
with administering that
provision or initiative, except that  | 
the 24-month limitation on the adoption
of emergency rules and  | 
the provisions of Sections 5-115 and 5-125 do not apply
to  | 
rules adopted under this subsection (i). The adoption of  | 
emergency rules
authorized by this subsection (i) shall be  | 
deemed to be necessary for the
public interest, safety, and  | 
welfare. | 
 (j) In order to provide for the expeditious and timely  | 
implementation of the provisions of the State's fiscal year  | 
2005 budget as provided under the Fiscal Year 2005 Budget  | 
Implementation (Human Services) Act, emergency rules to  | 
implement any provision of the Fiscal Year 2005 Budget  | 
Implementation (Human Services) Act may be adopted in  | 
 | 
accordance with this Section by the agency charged with  | 
administering that provision, except that the 24-month  | 
limitation on the adoption of emergency rules and the  | 
provisions of Sections 5-115 and 5-125 do not apply to rules  | 
adopted under this subsection (j). The Department of Public  | 
Aid may also adopt rules under this subsection (j) necessary  | 
to administer the Illinois Public Aid Code and the Children's  | 
Health Insurance Program Act. The adoption of emergency rules  | 
authorized by this subsection (j) shall be deemed to be  | 
necessary for the public interest, safety, and welfare.
 | 
 (k) In order to provide for the expeditious and timely  | 
implementation of the provisions of the State's fiscal year  | 
2006 budget, emergency rules to implement any provision of  | 
Public Act 94-48 or any other budget initiative for fiscal  | 
year 2006 may be adopted in accordance with this Section by the  | 
agency charged with administering that provision or  | 
initiative, except that the 24-month limitation on the  | 
adoption of emergency rules and the provisions of Sections  | 
5-115 and 5-125 do not apply to rules adopted under this  | 
subsection (k). The Department of Healthcare and Family  | 
Services may also adopt rules under this subsection (k)  | 
necessary to administer the Illinois Public Aid Code, the  | 
Senior Citizens and Persons with Disabilities Property Tax  | 
Relief Act, the Senior Citizens and Disabled Persons  | 
Prescription Drug Discount Program Act (now the Illinois  | 
Prescription Drug Discount Program Act), and the Children's  | 
 | 
Health Insurance Program Act. The adoption of emergency rules  | 
authorized by this subsection (k) shall be deemed to be  | 
necessary for the public interest, safety, and welfare.
 | 
 (l) In order to provide for the expeditious and timely  | 
implementation of the provisions of the
State's fiscal year  | 
2007 budget, the Department of Healthcare and Family Services  | 
may adopt emergency rules during fiscal year 2007, including  | 
rules effective July 1, 2007, in
accordance with this  | 
subsection to the extent necessary to administer the  | 
Department's responsibilities with respect to amendments to  | 
the State plans and Illinois waivers approved by the federal  | 
Centers for Medicare and Medicaid Services necessitated by the  | 
requirements of Title XIX and Title XXI of the federal Social  | 
Security Act. The adoption of emergency rules
authorized by  | 
this subsection (l) shall be deemed to be necessary for the  | 
public interest,
safety, and welfare.
 | 
 (m) In order to provide for the expeditious and timely  | 
implementation of the provisions of the
State's fiscal year  | 
2008 budget, the Department of Healthcare and Family Services  | 
may adopt emergency rules during fiscal year 2008, including  | 
rules effective July 1, 2008, in
accordance with this  | 
subsection to the extent necessary to administer the  | 
Department's responsibilities with respect to amendments to  | 
the State plans and Illinois waivers approved by the federal  | 
Centers for Medicare and Medicaid Services necessitated by the  | 
requirements of Title XIX and Title XXI of the federal Social  | 
 | 
Security Act. The adoption of emergency rules
authorized by  | 
this subsection (m) shall be deemed to be necessary for the  | 
public interest,
safety, and welfare.
 | 
 (n) In order to provide for the expeditious and timely  | 
implementation of the provisions of the State's fiscal year  | 
2010 budget, emergency rules to implement any provision of  | 
Public Act 96-45 or any other budget initiative authorized by  | 
the 96th General Assembly for fiscal year 2010 may be adopted  | 
in accordance with this Section by the agency charged with  | 
administering that provision or initiative. The adoption of  | 
emergency rules authorized by this subsection (n) shall be  | 
deemed to be necessary for the public interest, safety, and  | 
welfare. The rulemaking authority granted in this subsection  | 
(n) shall apply only to rules promulgated during Fiscal Year  | 
2010.  | 
 (o) In order to provide for the expeditious and timely  | 
implementation of the provisions of the State's fiscal year  | 
2011 budget, emergency rules to implement any provision of  | 
Public Act 96-958 or any other budget initiative authorized by  | 
the 96th General Assembly for fiscal year 2011 may be adopted  | 
in accordance with this Section by the agency charged with  | 
administering that provision or initiative. The adoption of  | 
emergency rules authorized by this subsection (o) is deemed to  | 
be necessary for the public interest, safety, and welfare. The  | 
rulemaking authority granted in this subsection (o) applies  | 
only to rules promulgated on or after July 1, 2010 (the  | 
 | 
effective date of Public Act 96-958) through June 30, 2011.  | 
 (p) In order to provide for the expeditious and timely  | 
implementation of the provisions of Public Act 97-689,  | 
emergency rules to implement any provision of Public Act  | 
97-689 may be adopted in accordance with this subsection (p)  | 
by the agency charged with administering that provision or  | 
initiative. The 150-day limitation of the effective period of  | 
emergency rules does not apply to rules adopted under this  | 
subsection (p), and the effective period may continue through  | 
June 30, 2013. The 24-month limitation on the adoption of  | 
emergency rules does not apply to rules adopted under this  | 
subsection (p). The adoption of emergency rules authorized by  | 
this subsection (p) is deemed to be necessary for the public  | 
interest, safety, and welfare. | 
 (q) In order to provide for the expeditious and timely  | 
implementation of the provisions of Articles 7, 8, 9, 11, and  | 
12 of Public Act 98-104, emergency rules to implement any  | 
provision of Articles 7, 8, 9, 11, and 12 of Public Act 98-104  | 
may be adopted in accordance with this subsection (q) by the  | 
agency charged with administering that provision or  | 
initiative. The 24-month limitation on the adoption of  | 
emergency rules does not apply to rules adopted under this  | 
subsection (q). The adoption of emergency rules authorized by  | 
this subsection (q) is deemed to be necessary for the public  | 
interest, safety, and welfare.  | 
 (r) In order to provide for the expeditious and timely  | 
 | 
implementation of the provisions of Public Act 98-651,  | 
emergency rules to implement Public Act 98-651 may be adopted  | 
in accordance with this subsection (r) by the Department of  | 
Healthcare and Family Services. The 24-month limitation on the  | 
adoption of emergency rules does not apply to rules adopted  | 
under this subsection (r). The adoption of emergency rules  | 
authorized by this subsection (r) is deemed to be necessary  | 
for the public interest, safety, and welfare.  | 
 (s) In order to provide for the expeditious and timely  | 
implementation of the provisions of Sections 5-5b.1 and 5A-2  | 
of the Illinois Public Aid Code, emergency rules to implement  | 
any provision of Section 5-5b.1 or Section 5A-2 of the  | 
Illinois Public Aid Code may be adopted in accordance with  | 
this subsection (s) by the Department of Healthcare and Family  | 
Services. The rulemaking authority granted in this subsection  | 
(s) shall apply only to those rules adopted prior to July 1,  | 
2015. Notwithstanding any other provision of this Section, any  | 
emergency rule adopted under this subsection (s) shall only  | 
apply to payments made for State fiscal year 2015. The  | 
adoption of emergency rules authorized by this subsection (s)  | 
is deemed to be necessary for the public interest, safety, and  | 
welfare.  | 
 (t) In order to provide for the expeditious and timely  | 
implementation of the provisions of Article II of Public Act  | 
99-6, emergency rules to implement the changes made by Article  | 
II of Public Act 99-6 to the Emergency Telephone System Act may  | 
 | 
be adopted in accordance with this subsection (t) by the  | 
Department of State Police. The rulemaking authority granted  | 
in this subsection (t) shall apply only to those rules adopted  | 
prior to July 1, 2016. The 24-month limitation on the adoption  | 
of emergency rules does not apply to rules adopted under this  | 
subsection (t). The adoption of emergency rules authorized by  | 
this subsection (t) is deemed to be necessary for the public  | 
interest, safety, and welfare.  | 
 (u) In order to provide for the expeditious and timely  | 
implementation of the provisions of the Burn Victims Relief  | 
Act, emergency rules to implement any provision of the Act may  | 
be adopted in accordance with this subsection (u) by the  | 
Department of Insurance. The rulemaking authority granted in  | 
this subsection (u) shall apply only to those rules adopted  | 
prior to December 31, 2015. The adoption of emergency rules  | 
authorized by this subsection (u) is deemed to be necessary  | 
for the public interest, safety, and welfare. | 
 (v) In order to provide for the expeditious and timely  | 
implementation of the provisions of Public Act 99-516,  | 
emergency rules to implement Public Act 99-516 may be adopted  | 
in accordance with this subsection (v) by the Department of  | 
Healthcare and Family Services. The 24-month limitation on the  | 
adoption of emergency rules does not apply to rules adopted  | 
under this subsection (v). The adoption of emergency rules  | 
authorized by this subsection (v) is deemed to be necessary  | 
for the public interest, safety, and welfare. | 
 | 
 (w) In order to provide for the expeditious and timely  | 
implementation of the provisions of Public Act 99-796,  | 
emergency rules to implement the changes made by Public Act  | 
99-796 may be adopted in accordance with this subsection (w)  | 
by the Adjutant General. The adoption of emergency rules  | 
authorized by this subsection (w) is deemed to be necessary  | 
for the public interest, safety, and welfare.  | 
 (x) In order to provide for the expeditious and timely  | 
implementation of the provisions of Public Act 99-906,  | 
emergency rules to implement subsection (i) of Section  | 
16-115D, subsection (g) of Section 16-128A, and subsection (a)  | 
of Section 16-128B of the Public Utilities Act may be adopted  | 
in accordance with this subsection (x) by the Illinois  | 
Commerce Commission. The rulemaking authority granted in this  | 
subsection (x) shall apply only to those rules adopted within  | 
180 days after June 1, 2017 (the effective date of Public Act  | 
99-906). The adoption of emergency rules authorized by this  | 
subsection (x) is deemed to be necessary for the public  | 
interest, safety, and welfare.  | 
 (y) In order to provide for the expeditious and timely  | 
implementation of the provisions of Public Act 100-23,  | 
emergency rules to implement the changes made by Public Act  | 
100-23 to Section 4.02 of the Illinois Act on the Aging,  | 
Sections 5.5.4 and 5-5.4i of the Illinois Public Aid Code,  | 
Section 55-30 of the Alcoholism and Other Drug Abuse and  | 
Dependency Act, and Sections 74 and 75 of the Mental Health and  | 
 | 
Developmental Disabilities Administrative Act may be adopted  | 
in accordance with this subsection (y) by the respective  | 
Department. The adoption of emergency rules authorized by this  | 
subsection (y) is deemed to be necessary for the public  | 
interest, safety, and welfare.  | 
 (z) In order to provide for the expeditious and timely  | 
implementation of the provisions of Public Act 100-554,  | 
emergency rules to implement the changes made by Public Act  | 
100-554 to Section 4.7 of the Lobbyist Registration Act may be  | 
adopted in accordance with this subsection (z) by the  | 
Secretary of State. The adoption of emergency rules authorized  | 
by this subsection (z) is deemed to be necessary for the public  | 
interest, safety, and welfare.  | 
 (aa) In order to provide for the expeditious and timely  | 
initial implementation of the changes made to Articles 5, 5A,  | 
12, and 14 of the Illinois Public Aid Code under the provisions  | 
of Public Act 100-581, the Department of Healthcare and Family  | 
Services may adopt emergency rules in accordance with this  | 
subsection (aa). The 24-month limitation on the adoption of  | 
emergency rules does not apply to rules to initially implement  | 
the changes made to Articles 5, 5A, 12, and 14 of the Illinois  | 
Public Aid Code adopted under this subsection (aa). The  | 
adoption of emergency rules authorized by this subsection (aa)  | 
is deemed to be necessary for the public interest, safety, and  | 
welfare.  | 
 (bb) In order to provide for the expeditious and timely  | 
 | 
implementation of the provisions of Public Act 100-587,  | 
emergency rules to implement the changes made by Public Act  | 
100-587 to Section 4.02 of the Illinois Act on the Aging,  | 
Sections 5.5.4 and 5-5.4i of the Illinois Public Aid Code,  | 
subsection (b) of Section 55-30 of the Alcoholism and Other  | 
Drug Abuse and Dependency Act, Section 5-104 of the  | 
Specialized Mental Health Rehabilitation Act of 2013, and  | 
Section 75 and subsection (b) of Section 74 of the Mental  | 
Health and Developmental Disabilities Administrative Act may  | 
be adopted in accordance with this subsection (bb) by the  | 
respective Department. The adoption of emergency rules  | 
authorized by this subsection (bb) is deemed to be necessary  | 
for the public interest, safety, and welfare.  | 
 (cc) In order to provide for the expeditious and timely  | 
implementation of the provisions of Public Act 100-587,  | 
emergency rules may be adopted in accordance with this  | 
subsection (cc) to implement the changes made by Public Act  | 
100-587 to: Sections 14-147.5 and 14-147.6 of the Illinois  | 
Pension Code by the Board created under Article 14 of the Code;  | 
Sections 15-185.5 and 15-185.6 of the Illinois Pension Code by  | 
the Board created under Article 15 of the Code; and Sections  | 
16-190.5 and 16-190.6 of the Illinois Pension Code by the  | 
Board created under Article 16 of the Code. The adoption of  | 
emergency rules authorized by this subsection (cc) is deemed  | 
to be necessary for the public interest, safety, and welfare.  | 
 (dd) In order to provide for the expeditious and timely  | 
 | 
implementation of the provisions of Public Act 100-864,  | 
emergency rules to implement the changes made by Public Act  | 
100-864 to Section 3.35 of the Newborn Metabolic Screening Act  | 
may be adopted in accordance with this subsection (dd) by the  | 
Secretary of State. The adoption of emergency rules authorized  | 
by this subsection (dd) is deemed to be necessary for the  | 
public interest, safety, and welfare.  | 
 (ee) In order to provide for the expeditious and timely  | 
implementation of the provisions of Public Act 100-1172,  | 
emergency rules implementing the Illinois Underground Natural  | 
Gas Storage Safety Act may be adopted in accordance with this  | 
subsection by the Department of Natural Resources. The  | 
adoption of emergency rules authorized by this subsection is  | 
deemed to be necessary for the public interest, safety, and  | 
welfare. | 
 (ff) In order to provide for the expeditious and timely  | 
initial implementation of the changes made to Articles 5A and  | 
14 of the Illinois Public Aid Code under the provisions of  | 
Public Act 100-1181, the Department of Healthcare and Family  | 
Services may on a one-time-only basis adopt emergency rules in  | 
accordance with this subsection (ff). The 24-month limitation  | 
on the adoption of emergency rules does not apply to rules to  | 
initially implement the changes made to Articles 5A and 14 of  | 
the Illinois Public Aid Code adopted under this subsection  | 
(ff). The adoption of emergency rules authorized by this  | 
subsection (ff) is deemed to be necessary for the public  | 
 | 
interest, safety, and welfare.  | 
 (gg) In order to provide for the expeditious and timely  | 
implementation of the provisions of Public Act 101-1,  | 
emergency rules may be adopted by the Department of Labor in  | 
accordance with this subsection (gg) to implement the changes  | 
made by Public Act 101-1 to the Minimum Wage Law. The adoption  | 
of emergency rules authorized by this subsection (gg) is  | 
deemed to be necessary for the public interest, safety, and  | 
welfare.  | 
 (hh) In order to provide for the expeditious and timely  | 
implementation of the provisions of Public Act 101-10,  | 
emergency rules may be adopted in accordance with this  | 
subsection (hh) to implement the changes made by Public Act  | 
101-10 to subsection (j) of Section 5-5.2 of the Illinois  | 
Public Aid Code. The adoption of emergency rules authorized by  | 
this subsection (hh) is deemed to be necessary for the public  | 
interest, safety, and welfare.  | 
 (ii) In order to provide for the expeditious and timely  | 
implementation of the provisions of Public Act 101-10,  | 
emergency rules to implement the changes made by Public Act  | 
101-10 to Sections 5-5.4 and 5-5.4i of the Illinois Public Aid  | 
Code may be adopted in accordance with this subsection (ii) by  | 
the Department of Public Health. The adoption of emergency  | 
rules authorized by this subsection (ii) is deemed to be  | 
necessary for the public interest, safety, and welfare.  | 
 (jj) In order to provide for the expeditious and timely  | 
 | 
implementation of the provisions of Public Act 101-10,  | 
emergency rules to implement the changes made by Public Act  | 
101-10 to Section 74 of the Mental Health and Developmental  | 
Disabilities Administrative Act may be adopted in accordance  | 
with this subsection (jj) by the Department of Human Services.  | 
The adoption of emergency rules authorized by this subsection  | 
(jj) is deemed to be necessary for the public interest,  | 
safety, and welfare. | 
 (kk) In order to provide for the expeditious and timely  | 
implementation of the Cannabis Regulation and Tax Act, Public  | 
Act 101-27, and Public Act 102-98 this amendatory Act of the  | 
102nd General Assembly, the Department of Revenue, the  | 
Department of Public Health, the Department of Agriculture,  | 
the Department of State Police, and the Department of  | 
Financial and Professional Regulation may adopt emergency  | 
rules in accordance with this subsection (kk). The rulemaking  | 
authority granted in this subsection (kk) shall apply only to  | 
rules adopted before December 31, 2021. Notwithstanding the  | 
provisions of subsection (c), emergency rules adopted under  | 
this subsection (kk) shall be effective for 180 days. The  | 
adoption of emergency rules authorized by this subsection (kk)  | 
is deemed to be necessary for the public interest, safety, and  | 
welfare. | 
 (ll) In order to provide for the expeditious and timely  | 
implementation of the provisions of the Leveling the Playing  | 
Field for Illinois Retail Act, emergency rules may be adopted  | 
 | 
in accordance with this subsection (ll) to implement the  | 
changes made by the Leveling the Playing Field for Illinois  | 
Retail Act. The adoption of emergency rules authorized by this  | 
subsection (ll) is deemed to be necessary for the public  | 
interest, safety, and welfare. | 
 (mm) In order to provide for the expeditious and timely  | 
implementation of the provisions of Section 25-70 of the  | 
Sports Wagering Act, emergency rules to implement Section  | 
25-70 of the Sports Wagering Act may be adopted in accordance  | 
with this subsection (mm) by the Department of the Lottery as  | 
provided in the Sports Wagering Act. The adoption of emergency  | 
rules authorized by this subsection (mm) is deemed to be  | 
necessary for the public interest, safety, and welfare.  | 
 (nn) In order to provide for the expeditious and timely  | 
implementation of the Sports Wagering Act, emergency rules to  | 
implement the Sports Wagering Act may be adopted in accordance  | 
with this subsection (nn) by the Illinois Gaming Board. The  | 
adoption of emergency rules authorized by this subsection (nn)  | 
is deemed to be necessary for the public interest, safety, and  | 
welfare. | 
 (oo) In order to provide for the expeditious and timely  | 
implementation of the provisions of subsection (c) of Section  | 
20 of the Video Gaming Act, emergency rules to implement the  | 
provisions of subsection (c) of Section 20 of the Video Gaming  | 
Act may be adopted in accordance with this subsection (oo) by  | 
the Illinois Gaming Board. The adoption of emergency rules  | 
 | 
authorized by this subsection (oo) is deemed to be necessary  | 
for the public interest, safety, and welfare. | 
 (pp) In order to provide for the expeditious and timely
 | 
implementation of the provisions of Section 50 of the Sexual
 | 
Assault Evidence Submission Act, emergency rules to implement
 | 
Section 50 of the Sexual Assault Evidence Submission Act may  | 
be
adopted in accordance with this subsection (pp) by the
 | 
Department of State Police. The adoption of emergency rules
 | 
authorized by this subsection (pp) is deemed to be necessary
 | 
for the public interest, safety, and welfare.  | 
 (qq) In order to provide for the expeditious and timely  | 
implementation of the provisions of the Illinois Works Jobs  | 
Program Act, emergency rules may be adopted in accordance with  | 
this subsection (qq) to implement the Illinois Works Jobs  | 
Program Act. The adoption of emergency rules authorized by  | 
this subsection (qq) is deemed to be necessary for the public  | 
interest, safety, and welfare.  | 
 (rr) In order to provide for the expeditious and timely  | 
implementation of the provisions of subsection (c) of Section  | 
2-3.130 of the School Code, emergency rules to implement  | 
subsection (c) of Section 2-3.130 of the School Code may be  | 
adopted in accordance with this subsection (rr) by the State  | 
Board of Education. The adoption of emergency rules authorized  | 
by this subsection (rr) is deemed to be necessary for the  | 
public interest, safety, and welfare.  | 
(Source: P.A. 101-1, eff. 2-19-19; 101-10, Article 20, Section  | 
 | 
20-5, eff. 6-5-19; 101-10, Article 35, Section 35-5, eff.  | 
6-5-19; 101-27, eff. 6-25-19; 101-31, Article 15, Section  | 
15-5, eff. 6-28-19; 101-31, Article 25, Section 25-900, eff.  | 
6-28-19; 101-31, Article 35, Section 35-3, eff. 6-28-19;  | 
101-377, eff. 8-16-19; 101-601, eff. 12-10-19; 102-98, eff.  | 
7-15-21; 102-339, eff. 8-13-21; revised 10-6-21.)
 | 
 (5 ILCS 100/5-45.8) | 
 (Section scheduled to be repealed on June 17, 2022) | 
 Sec. 5-45.8. Emergency rulemaking; federal American Rescue  | 
Plan Act of 2021. To provide for the expeditious and timely  | 
implementation of the distribution of federal Coronavirus  | 
Local Fiscal Recovery Fund moneys to eligible units of local  | 
government in accordance with the Section 9901 of the federal  | 
American Rescue Plan Act of 2021, emergency rules may be  | 
adopted by any State agency authorized thereunder to so  | 
implement the distribution. The adoption of emergency rules  | 
authorized by Section 5-45 and this Section is deemed to be  | 
necessary for the public interest, safety, and welfare. | 
 This Section is repealed June 17, 2022 (one year after the  | 
effective date of Public Act 102-16) this amendatory Act of  | 
the 102nd General Assembly.
 | 
(Source: P.A. 102-16, eff. 6-17-21; revised 10-22-21.)
 | 
 (5 ILCS 100/5-45.9) | 
 (Section scheduled to be repealed on June 17, 2022) | 
 | 
 Sec. 5-45.9. Emergency rulemaking; Illinois Public Aid  | 
Code. To provide for the expeditious and timely implementation  | 
of the changes made to Articles 5 and 12 of the Illinois Public  | 
Aid Code by Public Act 102-16 this amendatory Act of the 102nd  | 
General Assembly, emergency rules implementing the changes  | 
made to Articles 5 and 12 of the Illinois Public Aid Code by  | 
Public Act 102-16 this amendatory Act of the 102nd General  | 
Assembly may be adopted in accordance with Section 5-45 by the  | 
Department of Healthcare and Family Services or other  | 
department essential to the implementation of the changes. The  | 
adoption of emergency rules authorized by Section 5-45 and  | 
this Section is deemed to be necessary for the public  | 
interest, safety, and welfare. | 
 This Section is repealed June 17, 2022 (one year after the  | 
effective date of Public Act 102-16) this amendatory Act of  | 
the 102nd General Assembly.
 | 
(Source: P.A. 102-16, eff. 6-17-21; revised 10-25-21.)
 | 
 (5 ILCS 100/5-45.15)
 | 
 Sec. 5-45.15 5-45.8. (Repealed).  | 
(Source: P.A. 102-39, eff. 6-25-21; revised 1-5-22. Repealed  | 
internally, eff. 1-1-22.)
 | 
 (5 ILCS 100/5-45.16)
 | 
 (Section scheduled to be repealed on January 1, 2027) | 
 Sec. 5-45.16 5-45.8. Emergency rulemaking; Medicaid  | 
 | 
eligibility expansion. To provide for the expeditious and  | 
timely implementation of the changes made to paragraph 6 of  | 
Section 5-2 of the Illinois Public Aid Code by Public Act  | 
102-43 this amendatory Act of the 102nd General Assembly,  | 
emergency rules implementing the changes made to paragraph 6  | 
of Section 5-2 of the Illinois Public Aid Code by Public Act  | 
102-43 this amendatory Act of the 102nd General Assembly may  | 
be adopted in accordance with Section 5-45 by the Department  | 
of Healthcare and Family Services. The adoption of emergency  | 
rules authorized by Section 5-45 and this Section is deemed to  | 
be necessary for the public interest, safety, and welfare. | 
 This Section is repealed on January 1, 2027.
 | 
(Source: P.A. 102-43, eff. 7-6-21; revised 10-22-21.)
 | 
 (5 ILCS 100/5-45.17)
 | 
 Sec. 5-45.17 5-45.8. (Repealed).  | 
(Source: P.A. 102-104, eff. 7-22-21; revised 1-5-22. Repealed  | 
internally, eff. 1-1-22.)
 | 
 (5 ILCS 100/5-45.18)
 | 
 (Section scheduled to be repealed on January 1, 2027) | 
 Sec. 5-45.18 5-45.8. Emergency rulemaking; Nursing Home  | 
Care Act. To provide for the expeditious and timely  | 
implementation of Public Act 102-640 this amendatory Act of  | 
the 102nd General Assembly, emergency rules implementing  | 
Section 3-102.3 of the Nursing Home Care Act may be adopted in  | 
 | 
accordance with Section 5-45 by the Department of Public  | 
Health. The adoption of emergency rules authorized by Section  | 
5-45 and this Section is deemed to be necessary for the public  | 
interest, safety, and welfare. | 
 This Section is repealed on January 1, 2027.
 | 
(Source: P.A. 102-640, eff. 8-27-21; revised 10-22-21.)
 | 
 (5 ILCS 100/5-45.19)
 | 
 (Section scheduled to be repealed on September 15, 2022) | 
 Sec. 5-45.19 5-45.9. Emergency rulemaking; Multi-Year  | 
Integrated Grid Plans. To provide for the expeditious and  | 
timely implementation of Section 16-105.17 of the Public  | 
Utilities Act, emergency rules implementing Section 16-105.17  | 
of the Public Utilities Act may be adopted in accordance with  | 
Section 5-45 by the Illinois Commerce Commission. The adoption  | 
of emergency rules authorized by Section 5-45 and this Section  | 
is deemed to be necessary for the public interest, safety, and  | 
welfare. | 
 This Section is repealed September 15, 2022 (one year  | 
after the effective date of Public Act 102-662) this  | 
amendatory Act of the 102nd General Assembly.
 | 
(Source: P.A. 102-662, eff. 9-15-21; revised 10-25-21.)
 | 
 Section 15. The Open Meetings Act is amended by changing  | 
Section 2 as follows:
 | 
 | 
 (5 ILCS 120/2) (from Ch. 102, par. 42)
 | 
 Sec. 2. Open meetings. 
 | 
 (a) Openness required. All meetings of public
bodies shall  | 
be open to the public unless excepted in subsection (c)
and  | 
closed in accordance with Section 2a.
 | 
 (b) Construction of exceptions. The exceptions contained  | 
in subsection
(c) are in derogation of the requirement that  | 
public bodies
meet in the open, and therefore, the exceptions  | 
are to be strictly
construed, extending only to subjects  | 
clearly within their scope.
The exceptions authorize but do  | 
not require the holding of
a closed meeting to discuss a  | 
subject included within an enumerated exception.
 | 
 (c) Exceptions. A public body may hold closed meetings to  | 
consider the
following subjects:
 | 
  (1) The appointment, employment, compensation,  | 
 discipline, performance,
or dismissal of specific  | 
 employees, specific individuals who serve as independent  | 
 contractors in a park, recreational, or educational  | 
 setting, or specific volunteers of the public body or  | 
 legal counsel for
the public body, including hearing
 | 
 testimony on a complaint lodged against an employee, a  | 
 specific individual who serves as an independent  | 
 contractor in a park, recreational, or educational  | 
 setting, or a volunteer of the public body or
against  | 
 legal counsel for the public body to determine its  | 
 validity. However, a meeting to consider an increase in  | 
 | 
 compensation to a specific employee of a public body that  | 
 is subject to the Local Government Wage Increase  | 
 Transparency Act may not be closed and shall be open to the  | 
 public and posted and held in accordance with this Act.
 | 
  (2) Collective negotiating matters between the public  | 
 body and its
employees or their representatives, or  | 
 deliberations concerning salary
schedules for one or more  | 
 classes of employees.
 | 
  (3) The selection of a person to fill a public office,
 | 
 as defined in this Act, including a vacancy in a public  | 
 office, when the public
body is given power to appoint  | 
 under law or ordinance, or the discipline,
performance or  | 
 removal of the occupant of a public office, when the  | 
 public body
is given power to remove the occupant under  | 
 law or ordinance. 
 | 
  (4) Evidence or testimony presented in open hearing,  | 
 or in closed
hearing where specifically authorized by law,  | 
 to
a quasi-adjudicative body, as defined in this Act,  | 
 provided that the body
prepares and makes available for  | 
 public inspection a written decision
setting forth its  | 
 determinative reasoning.
 | 
  (5) The purchase or lease of real property for the use  | 
 of
the public body, including meetings held for the  | 
 purpose of discussing
whether a particular parcel should  | 
 be acquired.
 | 
  (6) The setting of a price for sale or lease of  | 
 | 
 property owned
by the public body.
 | 
  (7) The sale or purchase of securities, investments,  | 
 or investment
contracts. This exception shall not apply to  | 
 the investment of assets or income of funds deposited into  | 
 the Illinois Prepaid Tuition Trust Fund. 
 | 
  (8) Security procedures, school building safety and  | 
 security, and the use of personnel and
equipment to  | 
 respond to an actual, a threatened, or a reasonably
 | 
 potential danger to the safety of employees, students,  | 
 staff, the public, or
public
property.
 | 
  (9) Student disciplinary cases.
 | 
  (10) The placement of individual students in special  | 
 education
programs and other matters relating to  | 
 individual students.
 | 
  (11) Litigation, when an action against, affecting or  | 
 on behalf of the
particular public body has been filed and  | 
 is pending before a court or
administrative tribunal, or  | 
 when the public body finds that an action is
probable or  | 
 imminent, in which case the basis for the finding shall be
 | 
 recorded and entered into the minutes of the closed  | 
 meeting.
 | 
  (12) The establishment of reserves or settlement of  | 
 claims as provided
in the Local Governmental and  | 
 Governmental Employees Tort Immunity Act, if
otherwise the  | 
 disposition of a claim or potential claim might be
 | 
 prejudiced, or the review or discussion of claims, loss or  | 
 | 
 risk management
information, records, data, advice or  | 
 communications from or with respect
to any insurer of the  | 
 public body or any intergovernmental risk management
 | 
 association or self insurance pool of which the public  | 
 body is a member.
 | 
  (13) Conciliation of complaints of discrimination in  | 
 the sale or rental
of housing, when closed meetings are  | 
 authorized by the law or ordinance
prescribing fair  | 
 housing practices and creating a commission or
 | 
 administrative agency for their enforcement.
 | 
  (14) Informant sources, the hiring or assignment of  | 
 undercover personnel
or equipment, or ongoing, prior or  | 
 future criminal investigations, when
discussed by a public  | 
 body with criminal investigatory responsibilities.
 | 
  (15) Professional ethics or performance when  | 
 considered by an advisory
body appointed to advise a  | 
 licensing or regulatory agency on matters
germane to the  | 
 advisory body's field of competence.
 | 
  (16) Self evaluation, practices and procedures or  | 
 professional ethics,
when meeting with a representative of  | 
 a statewide association of which the
public body is a  | 
 member.
 | 
  (17) The recruitment, credentialing, discipline or  | 
 formal peer review
of physicians or other
health care  | 
 professionals, or for the discussion of matters protected  | 
 under the federal Patient Safety and Quality Improvement  | 
 | 
 Act of 2005, and the regulations promulgated thereunder,  | 
 including 42 C.F.R. Part 3 (73 FR 70732), or the federal  | 
 Health Insurance Portability and Accountability Act of  | 
 1996, and the regulations promulgated thereunder,  | 
 including 45 C.F.R. Parts 160, 162, and 164, by a  | 
 hospital, or
other institution providing medical care,  | 
 that is operated by the public body.
 | 
  (18) Deliberations for decisions of the Prisoner  | 
 Review Board.
 | 
  (19) Review or discussion of applications received  | 
 under the
Experimental Organ Transplantation Procedures  | 
 Act.
 | 
  (20) The classification and discussion of matters  | 
 classified as
confidential or continued confidential by  | 
 the State Government Suggestion Award
Board.
 | 
  (21) Discussion of minutes of meetings lawfully closed  | 
 under this Act,
whether for purposes of approval by the  | 
 body of the minutes or semi-annual
review of the minutes  | 
 as mandated by Section 2.06.
 | 
  (22) Deliberations for decisions of the State
 | 
 Emergency Medical Services Disciplinary
Review Board.
 | 
  (23) The operation by a municipality of a municipal  | 
 utility or the
operation of a
municipal power agency or  | 
 municipal natural gas agency when the
discussion involves  | 
 (i) contracts relating to the
purchase, sale, or delivery  | 
 of electricity or natural gas or (ii) the results
or  | 
 | 
 conclusions of load forecast studies.
 | 
  (24) Meetings of a residential health care facility  | 
 resident sexual
assault and death review
team or
the  | 
 Executive
Council under the Abuse Prevention Review
Team  | 
 Act.
 | 
  (25) Meetings of an independent team of experts under  | 
 Brian's Law.  | 
  (26) Meetings of a mortality review team appointed  | 
 under the Department of Juvenile Justice Mortality Review  | 
 Team Act.  | 
  (27) (Blank).  | 
  (28) Correspondence and records (i) that may not be  | 
 disclosed under Section 11-9 of the Illinois Public Aid  | 
 Code or (ii) that pertain to appeals under Section 11-8 of  | 
 the Illinois Public Aid Code.  | 
  (29) Meetings between internal or external auditors  | 
 and governmental audit committees, finance committees, and  | 
 their equivalents, when the discussion involves internal  | 
 control weaknesses, identification of potential fraud risk  | 
 areas, known or suspected frauds, and fraud interviews  | 
 conducted in accordance with generally accepted auditing  | 
 standards of the United States of America. | 
  (30) Those meetings or portions of meetings of a  | 
 fatality review team or the Illinois Fatality Review Team  | 
 Advisory Council during which a review of the death of an  | 
 eligible adult in which abuse or neglect is suspected,  | 
 | 
 alleged, or substantiated is conducted pursuant to Section  | 
 15 of the Adult Protective Services Act.  | 
  (31) Meetings and deliberations for decisions of the  | 
 Concealed Carry Licensing Review Board under the Firearm  | 
 Concealed Carry Act.  | 
  (32) Meetings between the Regional Transportation  | 
 Authority Board and its Service Boards when the discussion  | 
 involves review by the Regional Transportation Authority  | 
 Board of employment contracts under Section 28d of the  | 
 Metropolitan Transit Authority Act and Sections 3A.18 and  | 
 3B.26 of the Regional Transportation Authority Act. | 
  (33) Those meetings or portions of meetings of the  | 
 advisory committee and peer review subcommittee created  | 
 under Section 320 of the Illinois Controlled Substances  | 
 Act during which specific controlled substance prescriber,  | 
 dispenser, or patient information is discussed. | 
  (34) Meetings of the Tax Increment Financing Reform  | 
 Task Force under Section 2505-800 of the Department of  | 
 Revenue Law of the Civil Administrative Code of Illinois.  | 
  (35) Meetings of the group established to discuss  | 
 Medicaid capitation rates under Section 5-30.8 of the  | 
 Illinois Public Aid Code.  | 
  (36) Those deliberations or portions of deliberations  | 
 for decisions of the Illinois Gaming Board in which there  | 
 is discussed any of the following: (i) personal,  | 
 commercial, financial, or other information obtained from  | 
 | 
 any source that is privileged, proprietary, confidential,  | 
 or a trade secret; or (ii) information specifically  | 
 exempted from the disclosure by federal or State law. | 
  (37) Deliberations for decisions of the Illinois Law
 | 
 Enforcement Training Standards Board, the Certification  | 
 Review Panel, and the Illinois State Police Merit Board  | 
 regarding certification and decertification.  | 
  (38) Meetings of the Ad Hoc Statewide Domestic
 | 
 Violence Fatality Review Committee of the Illinois  | 
 Criminal
Justice Information Authority Board that occur in  | 
 closed executive session under subsection (d) of Section  | 
 35 of the Domestic Violence Fatality Review Act.  | 
  (39) Meetings of the regional review teams under  | 
 subsection (a) of Section 75 of the Domestic Violence  | 
 Fatality Review Act.  | 
  (40) (38) Meetings of the Firearm Owner's  | 
 Identification Card Review Board under Section 10 of the  | 
 Firearm Owners Identification Card Act.  | 
 (d) Definitions. For purposes of this Section:
 | 
 "Employee" means a person employed by a public body whose  | 
relationship
with the public body constitutes an  | 
employer-employee relationship under
the usual common law  | 
rules, and who is not an independent contractor.
 | 
 "Public office" means a position created by or under the
 | 
Constitution or laws of this State, the occupant of which is  | 
charged with
the exercise of some portion of the sovereign  | 
 | 
power of this State. The term
"public office" shall include  | 
members of the public body, but it shall not
include  | 
organizational positions filled by members thereof, whether
 | 
established by law or by a public body itself, that exist to  | 
assist the
body in the conduct of its business.
 | 
 "Quasi-adjudicative body" means an administrative body  | 
charged by law or
ordinance with the responsibility to conduct  | 
hearings, receive evidence or
testimony and make  | 
determinations based
thereon, but does not include
local  | 
electoral boards when such bodies are considering petition  | 
challenges.
 | 
 (e) Final action. No final action may be taken at a closed  | 
meeting.
Final action shall be preceded by a public recital of  | 
the nature of the
matter being considered and other  | 
information that will inform the
public of the business being  | 
conducted. 
 | 
(Source: P.A. 101-31, eff. 6-28-19; 101-459, eff. 8-23-19;  | 
101-652, eff. 1-1-22; 102-237, eff. 1-1-22; 102-520, eff.  | 
8-20-21; 102-558, eff. 8-20-21; revised 10-6-21.)
 | 
 Section 20. The Freedom of Information Act is amended by  | 
changing Section 7.5 as follows:
 | 
 (5 ILCS 140/7.5)
 | 
 Sec. 7.5. Statutory exemptions. To the extent provided for  | 
by the statutes referenced below, the following shall be  | 
 | 
exempt from inspection and copying: | 
  (a) All information determined to be confidential  | 
 under Section 4002 of the Technology Advancement and  | 
 Development Act. | 
  (b) Library circulation and order records identifying  | 
 library users with specific materials under the Library  | 
 Records Confidentiality Act. | 
  (c) Applications, related documents, and medical  | 
 records received by the Experimental Organ Transplantation  | 
 Procedures Board and any and all documents or other  | 
 records prepared by the Experimental Organ Transplantation  | 
 Procedures Board or its staff relating to applications it  | 
 has received. | 
  (d) Information and records held by the Department of  | 
 Public Health and its authorized representatives relating  | 
 to known or suspected cases of sexually transmissible  | 
 disease or any information the disclosure of which is  | 
 restricted under the Illinois Sexually Transmissible  | 
 Disease Control Act. | 
  (e) Information the disclosure of which is exempted  | 
 under Section 30 of the Radon Industry Licensing Act. | 
  (f) Firm performance evaluations under Section 55 of  | 
 the Architectural, Engineering, and Land Surveying  | 
 Qualifications Based Selection Act. | 
  (g) Information the disclosure of which is restricted  | 
 and exempted under Section 50 of the Illinois Prepaid  | 
 | 
 Tuition Act. | 
  (h) Information the disclosure of which is exempted  | 
 under the State Officials and Employees Ethics Act, and  | 
 records of any lawfully created State or local inspector  | 
 general's office that would be exempt if created or  | 
 obtained by an Executive Inspector General's office under  | 
 that Act. | 
  (i) Information contained in a local emergency energy  | 
 plan submitted to a municipality in accordance with a  | 
 local emergency energy plan ordinance that is adopted  | 
 under Section 11-21.5-5 of the Illinois Municipal Code. | 
  (j) Information and data concerning the distribution  | 
 of surcharge moneys collected and remitted by carriers  | 
 under the Emergency Telephone System Act. | 
  (k) Law enforcement officer identification information  | 
 or driver identification information compiled by a law  | 
 enforcement agency or the Department of Transportation  | 
 under Section 11-212 of the Illinois Vehicle Code. | 
  (l) Records and information provided to a residential  | 
 health care facility resident sexual assault and death  | 
 review team or the Executive Council under the Abuse  | 
 Prevention Review Team Act. | 
  (m) Information provided to the predatory lending  | 
 database created pursuant to Article 3 of the Residential  | 
 Real Property Disclosure Act, except to the extent  | 
 authorized under that Article. | 
 | 
  (n) Defense budgets and petitions for certification of  | 
 compensation and expenses for court appointed trial  | 
 counsel as provided under Sections 10 and 15 of the  | 
 Capital Crimes Litigation Act. This subsection (n) shall  | 
 apply until the conclusion of the trial of the case, even  | 
 if the prosecution chooses not to pursue the death penalty  | 
 prior to trial or sentencing. | 
  (o) Information that is prohibited from being  | 
 disclosed under Section 4 of the Illinois Health and  | 
 Hazardous Substances Registry Act. | 
  (p) Security portions of system safety program plans,  | 
 investigation reports, surveys, schedules, lists, data, or  | 
 information compiled, collected, or prepared by or for the  | 
 Department of Transportation under Sections 2705-300 and  | 
 2705-616 of the Department of Transportation Law of the  | 
 Civil Administrative Code of Illinois, the Regional  | 
 Transportation Authority under Section 2.11 of the  | 
 Regional Transportation Authority Act, or the St. Clair  | 
 County Transit District under the Bi-State Transit Safety  | 
 Act.  | 
  (q) Information prohibited from being disclosed by the  | 
 Personnel Record Review Act.  | 
  (r) Information prohibited from being disclosed by the  | 
 Illinois School Student Records Act.  | 
  (s) Information the disclosure of which is restricted  | 
 under Section 5-108 of the Public Utilities Act. 
 | 
 | 
  (t) All identified or deidentified health information  | 
 in the form of health data or medical records contained  | 
 in, stored in, submitted to, transferred by, or released  | 
 from the Illinois Health Information Exchange, and  | 
 identified or deidentified health information in the form  | 
 of health data and medical records of the Illinois Health  | 
 Information Exchange in the possession of the Illinois  | 
 Health Information Exchange Office due to its  | 
 administration of the Illinois Health Information  | 
 Exchange. The terms "identified" and "deidentified" shall  | 
 be given the same meaning as in the Health Insurance  | 
 Portability and Accountability Act of 1996, Public Law  | 
 104-191, or any subsequent amendments thereto, and any  | 
 regulations promulgated thereunder.  | 
  (u) Records and information provided to an independent  | 
 team of experts under the Developmental Disability and  | 
 Mental Health Safety Act (also known as Brian's Law).  | 
  (v) Names and information of people who have applied  | 
 for or received Firearm Owner's Identification Cards under  | 
 the Firearm Owners Identification Card Act or applied for  | 
 or received a concealed carry license under the Firearm  | 
 Concealed Carry Act, unless otherwise authorized by the  | 
 Firearm Concealed Carry Act; and databases under the  | 
 Firearm Concealed Carry Act, records of the Concealed  | 
 Carry Licensing Review Board under the Firearm Concealed  | 
 Carry Act, and law enforcement agency objections under the  | 
 | 
 Firearm Concealed Carry Act.  | 
  (v-5) Records of the Firearm Owner's Identification  | 
 Card Review Board that are exempted from disclosure under  | 
 Section 10 of the Firearm Owners Identification Card Act. | 
  (w) Personally identifiable information which is  | 
 exempted from disclosure under subsection (g) of Section  | 
 19.1 of the Toll Highway Act. | 
  (x) Information which is exempted from disclosure  | 
 under Section 5-1014.3 of the Counties Code or Section  | 
 8-11-21 of the Illinois Municipal Code.  | 
  (y) Confidential information under the Adult  | 
 Protective Services Act and its predecessor enabling  | 
 statute, the Elder Abuse and Neglect Act, including  | 
 information about the identity and administrative finding  | 
 against any caregiver of a verified and substantiated  | 
 decision of abuse, neglect, or financial exploitation of  | 
 an eligible adult maintained in the Registry established  | 
 under Section 7.5 of the Adult Protective Services Act.  | 
  (z) Records and information provided to a fatality  | 
 review team or the Illinois Fatality Review Team Advisory  | 
 Council under Section 15 of the Adult Protective Services  | 
 Act.  | 
  (aa) Information which is exempted from disclosure  | 
 under Section 2.37 of the Wildlife Code.  | 
  (bb) Information which is or was prohibited from  | 
 disclosure by the Juvenile Court Act of 1987.  | 
 | 
  (cc) Recordings made under the Law Enforcement  | 
 Officer-Worn Body Camera Act, except to the extent  | 
 authorized under that Act. | 
  (dd) Information that is prohibited from being  | 
 disclosed under Section 45 of the Condominium and Common  | 
 Interest Community Ombudsperson Act.  | 
  (ee) Information that is exempted from disclosure  | 
 under Section 30.1 of the Pharmacy Practice Act.  | 
  (ff) Information that is exempted from disclosure  | 
 under the Revised Uniform Unclaimed Property Act.  | 
  (gg) Information that is prohibited from being  | 
 disclosed under Section 7-603.5 of the Illinois Vehicle  | 
 Code.  | 
  (hh) Records that are exempt from disclosure under  | 
 Section 1A-16.7 of the Election Code.  | 
  (ii) Information which is exempted from disclosure  | 
 under Section 2505-800 of the Department of Revenue Law of  | 
 the Civil Administrative Code of Illinois.  | 
  (jj) Information and reports that are required to be  | 
 submitted to the Department of Labor by registering day  | 
 and temporary labor service agencies but are exempt from  | 
 disclosure under subsection (a-1) of Section 45 of the Day  | 
 and Temporary Labor Services Act.  | 
  (kk) Information prohibited from disclosure under the  | 
 Seizure and Forfeiture Reporting Act.  | 
  (ll) Information the disclosure of which is restricted  | 
 | 
 and exempted under Section 5-30.8 of the Illinois Public  | 
 Aid Code.  | 
  (mm) Records that are exempt from disclosure under  | 
 Section 4.2 of the Crime Victims Compensation Act.  | 
  (nn) Information that is exempt from disclosure under  | 
 Section 70 of the Higher Education Student Assistance Act.  | 
  (oo) Communications, notes, records, and reports  | 
 arising out of a peer support counseling session  | 
 prohibited from disclosure under the First Responders  | 
 Suicide Prevention Act.  | 
  (pp) Names and all identifying information relating to  | 
 an employee of an emergency services provider or law  | 
 enforcement agency under the First Responders Suicide  | 
 Prevention Act.  | 
  (qq) Information and records held by the Department of  | 
 Public Health and its authorized representatives collected  | 
 under the Reproductive Health Act.  | 
  (rr) Information that is exempt from disclosure under  | 
 the Cannabis Regulation and Tax Act.  | 
  (ss) Data reported by an employer to the Department of  | 
 Human Rights pursuant to Section 2-108 of the Illinois  | 
 Human Rights Act. | 
  (tt) Recordings made under the Children's Advocacy  | 
 Center Act, except to the extent authorized under that  | 
 Act.  | 
  (uu) Information that is exempt from disclosure under  | 
 | 
 Section 50 of the Sexual Assault Evidence Submission Act.  | 
  (vv) Information that is exempt from disclosure under  | 
 subsections (f) and (j) of Section 5-36 of the Illinois  | 
 Public Aid Code.  | 
  (ww) Information that is exempt from disclosure under  | 
 Section 16.8 of the State Treasurer Act.  | 
  (xx) Information that is exempt from disclosure or  | 
 information that shall not be made public under the  | 
 Illinois Insurance Code.  | 
  (yy) Information prohibited from being disclosed under  | 
 the Illinois Educational Labor Relations Act. | 
  (zz) Information prohibited from being disclosed under  | 
 the Illinois Public Labor Relations Act.  | 
  (aaa) Information prohibited from being disclosed  | 
 under Section 1-167 of the Illinois Pension Code.  | 
  (bbb) (ccc) Information that is prohibited from  | 
 disclosure by the Illinois Police Training Act and the  | 
 Illinois State Police Act.  | 
  (ccc) (ddd) Records exempt from disclosure under  | 
 Section
2605-304 of the Illinois Department of State  | 
 Police Law of the Civil
Administrative Code of Illinois.  | 
  (ddd) (bbb) Information prohibited from being  | 
 disclosed under Section 35 of the Address Confidentiality  | 
 for Victims of Domestic Violence, Sexual Assault, Human  | 
 Trafficking, or Stalking Act.  | 
  (eee) (ddd) Information prohibited from being  | 
 | 
 disclosed under subsection (b) of Section 75 of the  | 
 Domestic Violence Fatality Review Act.  | 
(Source: P.A. 101-13, eff. 6-12-19; 101-27, eff. 6-25-19;  | 
101-81, eff. 7-12-19; 101-221, eff. 1-1-20; 101-236, eff.  | 
1-1-20; 101-375, eff. 8-16-19; 101-377, eff. 8-16-19; 101-452,  | 
eff. 1-1-20; 101-466, eff. 1-1-20; 101-600, eff. 12-6-19;  | 
101-620, eff 12-20-19; 101-649, eff. 7-7-20; 101-652, eff.  | 
1-1-22; 101-656, eff. 3-23-21; 102-36, eff. 6-25-21; 102-237,  | 
eff. 1-1-22; 102-292, eff. 1-1-22; 102-520, eff. 8-20-21;  | 
102-559, eff. 8-20-21; revised 10-5-21.)
 | 
 Section 25. The Illinois Public Labor Relations Act is  | 
amended by changing Sections 3, 9, and 10 as follows:
 | 
 (5 ILCS 315/3) (from Ch. 48, par. 1603)
 | 
 Sec. 3. Definitions.  As used in this Act, unless the  | 
context
otherwise requires:
 | 
 (a) "Board" means the Illinois
Labor Relations Board or,  | 
with respect to a matter over which the
jurisdiction of the  | 
Board is assigned to the State Panel or the Local Panel
under  | 
Section 5, the panel having jurisdiction over the matter.
 | 
 (b) "Collective bargaining" means bargaining over terms  | 
and conditions
of employment, including hours, wages, and  | 
other conditions of employment,
as detailed in Section 7 and  | 
which are not excluded by Section 4.
 | 
 (c) "Confidential employee" means an employee who, in the  | 
 | 
regular course
of his or her duties, assists and acts in a  | 
confidential capacity to persons
who formulate, determine, and  | 
effectuate management policies with regard
to labor relations  | 
or who, in the regular course of his or her duties, has
 | 
authorized access to information relating to the effectuation
 | 
or review of the employer's collective bargaining policies.
 | 
Determinations of confidential employee status shall be based  | 
on actual employee job duties and not solely on written job  | 
descriptions.
 | 
 (d) "Craft employees" means skilled journeymen, crafts  | 
persons, and their
apprentices and helpers.
 | 
 (e) "Essential services employees" means those public  | 
employees
performing functions so essential that the  | 
interruption or termination of
the function will constitute a  | 
clear and present danger to the health and
safety of the  | 
persons in the affected community.
 | 
 (f) "Exclusive representative", except with respect to  | 
non-State fire
fighters and paramedics employed by fire  | 
departments and fire protection
districts, non-State peace  | 
officers, and peace officers in the
Illinois State Police,  | 
means the labor organization that has
been (i) designated by  | 
the Board as the representative of a majority of public
 | 
employees in an appropriate bargaining unit in accordance with  | 
the procedures
contained in this Act; , (ii) historically
 | 
recognized by the State of Illinois or
any political  | 
subdivision of the State before July 1, 1984
(the effective  | 
 | 
date of this
Act) as the exclusive representative of the  | 
employees in an appropriate
bargaining unit; , (iii) after July  | 
1, 1984 (the
effective date of this Act) recognized by an
 | 
employer upon evidence, acceptable to the Board, that the  | 
labor
organization has been designated as the exclusive  | 
representative by a
majority of the employees in an  | 
appropriate bargaining unit;
(iv) recognized as the exclusive  | 
representative of personal
assistants under Executive Order  | 
2003-8 prior to July 16, 2003 (the effective date of Public Act  | 
93-204) this
amendatory
Act of the 93rd General Assembly, and  | 
the organization shall be considered to
be the
exclusive  | 
representative of the personal assistants
as defined
in this  | 
Section; or (v) recognized as the exclusive representative of  | 
child and day care home providers, including licensed and  | 
license exempt providers, pursuant to an election held under  | 
Executive Order 2005-1 prior to January 1, 2006 (the effective  | 
date of Public Act 94-320) this amendatory Act of the 94th  | 
General Assembly, and the organization shall be considered to  | 
be the exclusive representative of the child and day care home  | 
providers as defined in this Section.
 | 
 With respect to non-State fire fighters and paramedics  | 
employed by fire
departments and fire protection districts,  | 
non-State peace officers, and
peace officers in the Illinois  | 
State Police,
"exclusive representative" means the labor  | 
organization that has
been (i) designated by the Board as the  | 
representative of a majority of peace
officers or fire  | 
 | 
fighters in an appropriate bargaining unit in accordance
with  | 
the procedures contained in this Act, (ii)
historically  | 
recognized
by the State of Illinois or any political  | 
subdivision of the State before
January 1, 1986 (the effective  | 
date of this amendatory Act of 1985) as the exclusive
 | 
representative by a majority of the peace officers or fire  | 
fighters in an
appropriate bargaining unit, or (iii) after  | 
January 1,
1986 (the effective date of this amendatory
Act of  | 
1985) recognized by an employer upon evidence, acceptable to  | 
the
Board, that the labor organization has been designated as  | 
the exclusive
representative by a majority of the peace  | 
officers or fire fighters in an
appropriate bargaining unit.
 | 
 Where a historical pattern of representation exists for  | 
the workers of a water system that was owned by a public  | 
utility, as defined in Section 3-105 of the Public Utilities  | 
Act, prior to becoming certified employees of a municipality  | 
or municipalities once the municipality or municipalities have  | 
acquired the water system as authorized in Section 11-124-5 of  | 
the Illinois Municipal Code, the Board shall find the labor  | 
organization that has historically represented the workers to  | 
be the exclusive representative under this Act, and shall find  | 
the unit represented by the exclusive representative to be the  | 
appropriate unit.  | 
 (g) "Fair share agreement" means an agreement between the  | 
employer and
an employee organization under which all or any  | 
of the employees in a
collective bargaining unit are required  | 
 | 
to pay their proportionate share of
the costs of the  | 
collective bargaining process, contract administration, and
 | 
pursuing matters affecting wages, hours, and other conditions  | 
of employment,
but not to exceed the amount of dues uniformly  | 
required of members. The
amount certified by the exclusive  | 
representative shall not include any fees
for contributions  | 
related to the election or support of any candidate for
 | 
political office. Nothing in this subsection (g) shall
 | 
preclude an employee from making
voluntary political  | 
contributions in conjunction with his or her fair share
 | 
payment.
 | 
 (g-1) "Fire fighter" means, for the purposes of this Act  | 
only, any
person who has been or is hereafter appointed to a  | 
fire department or fire
protection district or employed by a  | 
state university and sworn or
commissioned to perform fire  | 
fighter duties or paramedic duties, including paramedics  | 
employed by a unit of local government, except that the
 | 
following persons are not included: part-time fire fighters,
 | 
auxiliary, reserve or voluntary fire fighters, including paid  | 
on-call fire
fighters, clerks and dispatchers or other  | 
civilian employees of a fire
department or fire protection  | 
district who are not routinely expected to
perform fire  | 
fighter duties, or elected officials.
 | 
 (g-2) "General Assembly of the State of Illinois" means  | 
the
legislative branch of the government of the State of  | 
Illinois, as provided
for under Article IV of the Constitution  | 
 | 
of the State of Illinois, and
includes, but is not limited to,  | 
the House of Representatives, the Senate,
the Speaker of the  | 
House of Representatives, the Minority Leader of the
House of  | 
Representatives, the President of the Senate, the Minority  | 
Leader
of the Senate, the Joint Committee on Legislative  | 
Support Services, and any
legislative support services agency  | 
listed in the Legislative Commission
Reorganization Act of  | 
1984.
 | 
 (h) "Governing body" means, in the case of the State, the  | 
State Panel of
the Illinois Labor Relations Board, the  | 
Director of the Department of Central
Management Services, and  | 
the Director of the Department of Labor; the county
board in  | 
the case of a county; the corporate authorities in the case of  | 
a
municipality; and the appropriate body authorized to provide  | 
for expenditures
of its funds in the case of any other unit of  | 
government.
 | 
 (i) "Labor organization" means any organization in which  | 
public employees
participate and that exists for the purpose,  | 
in whole or in part, of dealing
with a public employer  | 
concerning wages, hours, and other terms and conditions
of  | 
employment, including the settlement of grievances.
 | 
 (i-5) "Legislative liaison" means a person who is an  | 
employee of a State agency, the Attorney General, the  | 
Secretary of State, the Comptroller, or the Treasurer, as the  | 
case may be, and whose job duties require the person to  | 
regularly communicate in the course of his or her employment  | 
 | 
with any official or staff of the General Assembly of the State  | 
of Illinois for the purpose of influencing any legislative  | 
action. | 
 (j) "Managerial employee" means an individual who is  | 
engaged
predominantly in executive and management functions  | 
and is charged with the
responsibility of directing the  | 
effectuation of management policies
and practices.  | 
Determination of managerial employee status shall be based on  | 
actual employee job duties and not solely on written job  | 
descriptions. With respect only to State employees in  | 
positions under the jurisdiction of the Attorney General,  | 
Secretary of State, Comptroller, or Treasurer (i) that were  | 
certified in a bargaining unit on or after December 2, 2008,  | 
(ii) for which a petition is filed with the Illinois Public  | 
Labor Relations Board on or after April 5, 2013 (the effective  | 
date of Public Act 97-1172), or (iii) for which a petition is  | 
pending before the Illinois Public Labor Relations Board on  | 
that date, "managerial employee" means an individual who is  | 
engaged in executive and management functions or who is  | 
charged with the effectuation of management policies and  | 
practices or who represents management interests by taking or  | 
recommending discretionary actions that effectively control or  | 
implement policy. Nothing in this definition prohibits an  | 
individual from also meeting the definition of "supervisor"  | 
under subsection (r) of this Section.
 | 
 (k) "Peace officer" means, for the purposes of this Act  | 
 | 
only, any
persons who have been or are hereafter appointed to a  | 
police force,
department, or agency and sworn or commissioned  | 
to perform police duties,
except that the following persons  | 
are not
included: part-time police
officers, special police  | 
officers, auxiliary police as defined by Section
3.1-30-20 of  | 
the Illinois Municipal Code, night watchmen, "merchant  | 
police",
court security officers as defined by Section  | 
3-6012.1 of the Counties
Code,
temporary employees, traffic  | 
guards or wardens, civilian parking meter and
parking  | 
facilities personnel or other individuals specially appointed  | 
to
aid or direct traffic at or near schools or public functions  | 
or to aid in
civil defense or disaster, parking enforcement  | 
employees who are not
commissioned as peace officers and who  | 
are not armed and who are not
routinely expected to effect  | 
arrests, parking lot attendants, clerks and
dispatchers or  | 
other civilian employees of a police department who are not
 | 
routinely expected to effect arrests, or elected officials.
 | 
 (l) "Person" includes one or more individuals, labor  | 
organizations, public
employees, associations, corporations,  | 
legal representatives, trustees,
trustees in bankruptcy,  | 
receivers, or the State of Illinois or any political
 | 
subdivision of the State or governing body, but does not  | 
include the General
Assembly of the State of Illinois or any  | 
individual employed by the General
Assembly of the State of  | 
Illinois.
 | 
 (m) "Professional employee" means any employee engaged in  | 
 | 
work predominantly
intellectual and varied in character rather  | 
than routine mental, manual,
mechanical or physical work;  | 
involving the consistent exercise of discretion
and adjustment  | 
in its performance; of such a character that the output  | 
produced
or the result accomplished cannot be standardized in  | 
relation to a given
period of time; and requiring advanced  | 
knowledge in a field of science or
learning customarily  | 
acquired by a prolonged course of specialized intellectual
 | 
instruction and study in an institution of higher learning or  | 
a hospital,
as distinguished from a general academic education  | 
or from apprenticeship
or from training in the performance of  | 
routine mental, manual, or physical
processes; or any employee  | 
who has completed the courses of specialized
intellectual  | 
instruction and study prescribed in this subsection (m) and is
 | 
performing related
work under the supervision of a  | 
professional person to qualify to become
a professional  | 
employee as defined in this subsection (m).
 | 
 (n) "Public employee" or "employee", for the purposes of  | 
this Act, means
any individual employed by a public employer,  | 
including (i) interns and residents
at public hospitals, (ii)  | 
as of July 16, 2003 (the effective date of Public Act 93-204)  | 
this amendatory Act of the 93rd General
Assembly, but not
 | 
before, personal assistants working under the Home
Services
 | 
Program under Section 3 of the Rehabilitation of Persons with  | 
Disabilities Act, subject to
the
limitations set forth in this  | 
Act and in the Rehabilitation of Persons with Disabilities
 | 
 | 
Act,
(iii) as of January 1, 2006 (the effective date of Public  | 
Act 94-320) this amendatory Act of the 94th General Assembly,  | 
but not before, child and day care home providers  | 
participating in the child care assistance program under  | 
Section 9A-11 of the Illinois Public Aid Code, subject to the  | 
limitations set forth in this Act and in Section 9A-11 of the  | 
Illinois Public Aid Code, (iv) as of January 29, 2013 (the  | 
effective date of Public Act 97-1158), but not before except  | 
as otherwise provided in this subsection (n), home care and  | 
home health workers who function as personal assistants and  | 
individual maintenance home health workers and who also work  | 
under the Home Services Program under Section 3 of the  | 
Rehabilitation of Persons with Disabilities Act, no matter  | 
whether the State provides those services through direct  | 
fee-for-service arrangements, with the assistance of a managed  | 
care organization or other intermediary, or otherwise, (v)  | 
beginning on July 19, 2013 (the effective date of Public Act  | 
98-100) this amendatory Act of the 98th General Assembly and  | 
notwithstanding any other provision of this Act, any person  | 
employed by a public employer and who is classified as or who  | 
holds the employment title of Chief Stationary Engineer,  | 
Assistant Chief Stationary Engineer, Sewage Plant Operator,  | 
Water Plant Operator, Stationary Engineer, Plant Operating  | 
Engineer, and any other employee who holds the position of:  | 
Civil Engineer V, Civil Engineer VI, Civil Engineer VII,  | 
Technical Manager I, Technical Manager II, Technical Manager  | 
 | 
III, Technical Manager IV, Technical Manager V, Technical  | 
Manager VI, Realty Specialist III, Realty Specialist IV,  | 
Realty Specialist V, Technical Advisor I, Technical Advisor  | 
II, Technical Advisor III, Technical Advisor IV, or Technical  | 
Advisor V employed by the Department of Transportation who is  | 
in a position which is certified in a bargaining unit on or  | 
before July 19, 2013 (the effective date of Public Act 98-100)  | 
this amendatory Act of the 98th General Assembly, and (vi)  | 
beginning on July 19, 2013 (the effective date of Public Act  | 
98-100) this amendatory Act of the 98th General Assembly and  | 
notwithstanding any other provision of this Act, any mental  | 
health administrator in the Department of Corrections who is  | 
classified as or who holds the position of Public Service  | 
Administrator (Option 8K), any employee of the Office of the  | 
Inspector General in the Department of Human Services who is  | 
classified as or who holds the position of Public Service  | 
Administrator (Option 7), any Deputy of Intelligence in the  | 
Department of Corrections who is classified as or who holds  | 
the position of Public Service Administrator (Option 7), and  | 
any employee of the Illinois State Police who handles issues  | 
concerning the Illinois State Police Sex Offender Registry and  | 
who is classified as or holds the position of Public Service  | 
Administrator (Option 7), but excluding all of the following:  | 
employees of the
General Assembly of the State of Illinois;  | 
elected officials; executive
heads of a department; members of  | 
boards or commissions; the Executive
Inspectors General; any  | 
 | 
special Executive Inspectors General; employees of each
Office  | 
of an Executive Inspector General;
commissioners and employees  | 
of the Executive Ethics Commission; the Auditor
General's  | 
Inspector General; employees of the Office of the Auditor  | 
General's
Inspector General; the Legislative Inspector  | 
General; any special Legislative
Inspectors General; employees  | 
of the Office
of the Legislative Inspector General;
 | 
commissioners and employees of the Legislative Ethics  | 
Commission;
employees
of any
agency, board or commission  | 
created by this Act; employees appointed to
State positions of  | 
a temporary or emergency nature; all employees of school
 | 
districts and higher education institutions except  | 
firefighters and peace
officers employed
by a state university  | 
and except peace officers employed by a school district in its  | 
own police department in existence on July 23, 2010 (the  | 
effective date of Public Act 96-1257) this amendatory Act of  | 
the 96th General Assembly; managerial employees; short-term  | 
employees; legislative liaisons; a person who is a State  | 
employee under the jurisdiction of the Office of the Attorney  | 
General who is licensed to practice law or whose position  | 
authorizes, either directly or indirectly, meaningful input  | 
into government decision-making on issues where there is room  | 
for principled disagreement on goals or their implementation;  | 
a person who is a State employee under the jurisdiction of the  | 
Office of the Comptroller who holds the position of Public  | 
Service Administrator or whose position is otherwise exempt  | 
 | 
under the Comptroller Merit Employment Code; a person who is a  | 
State employee under the jurisdiction of the Secretary of  | 
State who holds the position classification of Executive I or  | 
higher, whose position authorizes, either directly or  | 
indirectly, meaningful input into government decision-making  | 
on issues where there is room for principled disagreement on  | 
goals or their implementation, or who is otherwise exempt  | 
under the Secretary of State Merit Employment Code; employees  | 
in the Office of the Secretary of State who are completely  | 
exempt from jurisdiction B of the Secretary of State Merit  | 
Employment Code and who are in Rutan-exempt positions on or  | 
after April 5, 2013 (the effective date of Public Act  | 
97-1172); a person who is a State employee under the  | 
jurisdiction of the Treasurer who holds a position that is  | 
exempt from the State Treasurer Employment Code; any employee  | 
of a State agency who (i) holds the title or position of, or  | 
exercises substantially similar duties as a legislative  | 
liaison, Agency General Counsel, Agency Chief of Staff, Agency  | 
Executive Director, Agency Deputy Director, Agency Chief  | 
Fiscal Officer, Agency Human Resources Director, Public  | 
Information Officer, or Chief Information Officer and (ii) was  | 
neither included in a bargaining unit nor subject to an active  | 
petition for certification in a bargaining unit; any employee  | 
of a State agency who (i) is in a position that is  | 
Rutan-exempt, as designated by the employer, and completely  | 
exempt from jurisdiction B of the Personnel Code and (ii) was  | 
 | 
neither included in a bargaining unit nor subject to an active  | 
petition for certification in a bargaining unit; any term  | 
appointed employee of a State agency pursuant to Section 8b.18  | 
or 8b.19 of the Personnel Code who was neither included in a  | 
bargaining unit nor subject to an active petition for  | 
certification in a bargaining unit; any employment position  | 
properly designated pursuant to Section 6.1 of this Act;
 | 
confidential employees; independent contractors; and  | 
supervisors except as
provided in this Act.
 | 
 Home care
and home health workers who function as personal  | 
assistants and individual maintenance home health workers and  | 
who also work under the Home Services Program under Section 3  | 
of the Rehabilitation of Persons with Disabilities Act shall  | 
not be considered
public
employees for any purposes not  | 
specifically provided for in Public Act 93-204 or Public Act  | 
97-1158, including, but not limited to, purposes of vicarious
 | 
liability in tort
and purposes of statutory retirement or  | 
health insurance benefits. Home care and home health workers  | 
who function as personal assistants and individual maintenance  | 
home health workers and who also work under the Home Services  | 
Program under Section 3 of the Rehabilitation of Persons with  | 
Disabilities Act shall not be covered by the State Employees
 | 
Group
Insurance Act of 1971.
 | 
 Child and day care home providers shall not be considered  | 
public employees for any purposes not specifically provided  | 
for in Public Act 94-320 this amendatory Act of the 94th  | 
 | 
General Assembly, including, but not limited to, purposes of  | 
vicarious liability in tort and purposes of statutory  | 
retirement or health insurance benefits. Child and day care  | 
home providers shall not be covered by the State Employees  | 
Group Insurance Act of 1971. | 
 Notwithstanding Section 9, subsection (c), or any other  | 
provisions of
this Act, all peace officers above the rank of  | 
captain in
municipalities with more than 1,000,000 inhabitants  | 
shall be excluded
from this Act.
 | 
 (o) Except as otherwise in subsection (o-5), "public  | 
employer" or "employer" means the State of Illinois; any
 | 
political subdivision of the State, unit of local government  | 
or school
district; authorities including departments,  | 
divisions, bureaus, boards,
commissions, or other agencies of  | 
the foregoing entities; and any person
acting within the scope  | 
of his or her authority, express or implied, on
behalf of those  | 
entities in dealing with its employees.
As of July 16, 2003  | 
(the effective date of Public Act 93-204) the amendatory Act  | 
of the 93rd General Assembly,
but not
before, the State of  | 
Illinois shall be considered the employer of the personal  | 
assistants working under the Home Services Program
under
 | 
Section 3 of the Rehabilitation of Persons with Disabilities  | 
Act, subject to the
limitations set forth
in this Act and in  | 
the Rehabilitation of Persons with Disabilities Act. As of  | 
January 29, 2013 (the effective date of Public Act 97-1158),  | 
but not before except as otherwise provided in this subsection  | 
 | 
(o), the State shall be considered the employer of home care  | 
and home health workers who function as personal assistants  | 
and individual maintenance home health workers and who also  | 
work under the Home Services Program under Section 3 of the  | 
Rehabilitation of Persons with Disabilities Act, no matter  | 
whether the State provides those services through direct  | 
fee-for-service arrangements, with the assistance of a managed  | 
care organization or other intermediary, or otherwise, but  | 
subject to the limitations set forth in this Act and the  | 
Rehabilitation of Persons with Disabilities Act. The State  | 
shall not
be
considered to be the employer of home care and  | 
home health workers who function as personal
assistants and  | 
individual maintenance home health workers and who also work  | 
under the Home Services Program under Section 3 of the  | 
Rehabilitation of Persons with Disabilities Act, for any
 | 
purposes not specifically provided for in Public Act 93-204 or  | 
Public Act 97-1158, including but not limited to, purposes of  | 
vicarious liability in tort
and
purposes of statutory  | 
retirement or health insurance benefits. Home care and home  | 
health workers who function as
personal assistants and  | 
individual maintenance home health workers and who also work  | 
under the Home Services Program under Section 3 of the  | 
Rehabilitation of Persons with Disabilities Act shall not be  | 
covered by the State Employees Group
Insurance Act of 1971.
As  | 
of January 1, 2006 (the effective date of Public Act 94-320)  | 
this amendatory Act of the 94th General Assembly but not  | 
 | 
before, the State of Illinois shall be considered the employer  | 
of the day and child care home providers participating in the  | 
child care assistance program under Section 9A-11 of the  | 
Illinois Public Aid Code, subject to the limitations set forth  | 
in this Act and in Section 9A-11 of the Illinois Public Aid  | 
Code. The State shall not be considered to be the employer of  | 
child and day care home providers for any purposes not  | 
specifically provided for in Public Act 94-320 this amendatory  | 
Act of the 94th General Assembly, including, but not limited  | 
to, purposes of vicarious liability in tort and purposes of  | 
statutory retirement or health insurance benefits. Child and  | 
day care home providers shall not be covered by the State  | 
Employees Group Insurance Act of 1971. | 
 "Public employer" or
"employer" as used in this Act,  | 
however, does not
mean and shall not include the General  | 
Assembly of the State of Illinois,
the Executive Ethics  | 
Commission, the Offices of the Executive Inspectors
General,  | 
the Legislative Ethics Commission, the Office of the  | 
Legislative
Inspector General, the Office of the Auditor  | 
General's Inspector General, the Office of the Governor, the  | 
Governor's Office of Management and Budget, the Illinois  | 
Finance Authority, the Office of the Lieutenant Governor, the  | 
State Board of Elections, and educational employers or  | 
employers as defined in the Illinois
Educational Labor  | 
Relations Act, except with respect to a state university in
 | 
its employment of firefighters and peace officers and except  | 
 | 
with respect to a school district in the employment of peace  | 
officers in its own police department in existence on July 23,  | 
2010 (the effective date of Public Act 96-1257) this  | 
amendatory Act of the 96th General Assembly. County boards and  | 
county
sheriffs shall be
designated as joint or co-employers  | 
of county peace officers appointed
under the authority of a  | 
county sheriff. Nothing in this subsection
(o) shall be  | 
construed
to prevent the State Panel or the Local Panel
from  | 
determining that employers are joint or co-employers.
 | 
 (o-5) With respect to
wages, fringe
benefits, hours,  | 
holidays, vacations, proficiency
examinations, sick leave, and  | 
other conditions of
employment, the public employer of public  | 
employees who are court reporters, as
defined in the Court  | 
Reporters Act, shall be determined as
follows:
 | 
  (1) For court reporters employed by the Cook County  | 
 Judicial
Circuit, the chief judge of the Cook County  | 
 Circuit
Court is the public employer and employer  | 
 representative.
 | 
  (2) For court reporters employed by the 12th, 18th,  | 
 19th, and, on and after December 4, 2006, the 22nd  | 
 judicial
circuits, a group consisting of the chief judges  | 
 of those circuits, acting
jointly by majority vote, is the  | 
 public employer and employer representative.
 | 
  (3) For court reporters employed by all other judicial  | 
 circuits,
a group consisting of the chief judges of those  | 
 circuits, acting jointly by
majority vote, is the public  | 
 | 
 employer and employer representative.
 | 
 (p) "Security employee" means an employee who is  | 
responsible for the
supervision and control of inmates at  | 
correctional facilities. The term
also includes other  | 
non-security employees in bargaining units having the
majority  | 
of employees being responsible for the supervision and control  | 
of
inmates at correctional facilities.
 | 
 (q) "Short-term employee" means an employee who is  | 
employed for less
than 2 consecutive calendar quarters during  | 
a calendar year and who does
not have a reasonable assurance  | 
that he or she will be rehired by the
same employer for the  | 
same service in a subsequent calendar year.
 | 
 (q-5) "State agency" means an agency directly responsible  | 
to the Governor, as defined in Section 3.1 of the Executive  | 
Reorganization Implementation Act, and the Illinois Commerce  | 
Commission, the Illinois Workers' Compensation Commission, the  | 
Civil Service Commission, the Pollution Control Board, the  | 
Illinois Racing Board, and the Illinois State Police Merit  | 
Board.  | 
 (r) "Supervisor" is: | 
  (1) An employee whose principal work is substantially
 | 
 different from that of his or her subordinates and who has  | 
 authority, in the
interest of the employer, to hire,  | 
 transfer, suspend, lay off, recall,
promote, discharge,  | 
 direct, reward, or discipline employees, to adjust
their  | 
 grievances, or to effectively recommend any of those  | 
 | 
 actions, if the
exercise
of that authority is not of a  | 
 merely routine or clerical nature, but
requires the  | 
 consistent use of independent judgment. Except with  | 
 respect to
police employment, the term "supervisor"  | 
 includes only those individuals
who devote a preponderance  | 
 of their employment time to exercising that
authority,  | 
 State supervisors notwithstanding. Determinations of  | 
 supervisor status shall be based on actual employee job  | 
 duties and not solely on written job descriptions. Nothing  | 
 in this definition prohibits an individual from also  | 
 meeting the definition of "managerial employee" under  | 
 subsection (j) of this Section. In addition, in  | 
 determining
supervisory status in police employment, rank  | 
 shall not be determinative.
The Board shall consider, as  | 
 evidence of bargaining unit inclusion or
exclusion, the  | 
 common law enforcement policies and relationships between
 | 
 police officer ranks and certification under applicable  | 
 civil service law,
ordinances, personnel codes, or  | 
 Division 2.1 of Article 10 of the Illinois
Municipal Code,  | 
 but these factors shall not
be the sole or predominant  | 
 factors considered by the Board in determining
police  | 
 supervisory status.
 | 
  Notwithstanding the provisions of the preceding  | 
 paragraph, in determining
supervisory status in fire  | 
 fighter employment, no fire fighter shall be
excluded as a  | 
 supervisor who has established representation rights under
 | 
 | 
 Section 9 of this Act. Further, in new fire fighter units,  | 
 employees shall
consist of fire fighters of the rank of  | 
 company officer and below. If a company officer otherwise  | 
 qualifies as a supervisor under the preceding paragraph,  | 
 however, he or she shall
not be included in the fire  | 
 fighter
unit. If there is no rank between that of chief and  | 
 the
highest company officer, the employer may designate a  | 
 position on each
shift as a Shift Commander, and the  | 
 persons occupying those positions shall
be supervisors.  | 
 All other ranks above that of company officer shall be
 | 
 supervisors.
 | 
  (2) With respect only to State employees in positions  | 
 under the jurisdiction of the Attorney General, Secretary  | 
 of State, Comptroller, or Treasurer (i) that were  | 
 certified in a bargaining unit on or after December 2,  | 
 2008, (ii) for which a petition is filed with the Illinois  | 
 Public Labor Relations Board on or after April 5, 2013  | 
 (the effective date of Public Act 97-1172), or (iii) for  | 
 which a petition is pending before the Illinois Public  | 
 Labor Relations Board on that date, an employee who  | 
 qualifies as a supervisor under (A) Section 152 of the  | 
 National Labor Relations Act and (B) orders of the  | 
 National Labor Relations Board interpreting that provision  | 
 or decisions of courts reviewing decisions of the National  | 
 Labor Relations Board.  | 
 (s)(1) "Unit" means a class of jobs or positions that are  | 
 | 
held by
employees whose collective interests may suitably be  | 
represented by a labor
organization for collective bargaining.  | 
Except with respect to non-State fire
fighters and paramedics  | 
employed by fire departments and fire protection
districts,  | 
non-State peace officers, and peace officers in the Illinois  | 
State Police, a bargaining unit determined by the Board shall  | 
not include both
employees and supervisors, or supervisors  | 
only, except as provided in paragraph
(2) of this subsection  | 
(s) and except for bargaining units in existence on July
1,  | 
1984 (the effective date of this Act). With respect to  | 
non-State fire
fighters and paramedics employed by fire  | 
departments and fire protection
districts, non-State peace  | 
officers, and peace officers in the Illinois State Police, a  | 
bargaining unit determined by the Board shall not include both
 | 
supervisors and nonsupervisors, or supervisors only, except as  | 
provided in
paragraph (2) of this subsection (s) and except  | 
for bargaining units in
existence on January 1, 1986 (the  | 
effective date of this amendatory Act of
1985). A bargaining  | 
unit determined by the Board to contain peace officers
shall  | 
contain no employees other than peace officers unless  | 
otherwise agreed to
by the employer and the labor organization  | 
or labor organizations involved.
Notwithstanding any other  | 
provision of this Act, a bargaining unit, including a
 | 
historical bargaining unit, containing sworn peace officers of  | 
the Department
of Natural Resources (formerly designated the  | 
Department of Conservation) shall
contain no employees other  | 
 | 
than such sworn peace officers upon the effective
date of this  | 
amendatory Act of 1990 or upon the expiration date of any
 | 
collective bargaining agreement in effect upon the effective  | 
date of this
amendatory Act of 1990 covering both such sworn  | 
peace officers and other
employees.
 | 
 (2) Notwithstanding the exclusion of supervisors from  | 
bargaining units
as provided in paragraph (1) of this  | 
subsection (s), a public
employer may agree to permit its  | 
supervisory employees to form bargaining units
and may bargain  | 
with those units. This Act shall apply if the public employer
 | 
chooses to bargain under this subsection.
 | 
 (3) Public employees who are court reporters, as defined
 | 
in the Court Reporters Act,
shall be divided into 3 units for  | 
collective bargaining purposes. One unit
shall be court  | 
reporters employed by the Cook County Judicial Circuit; one
 | 
unit shall be court reporters employed by the 12th, 18th,  | 
19th, and, on and after December 4, 2006, the 22nd judicial
 | 
circuits; and one unit shall be court reporters employed by  | 
all other
judicial circuits.
 | 
 (t) "Active petition for certification in a bargaining  | 
unit" means a petition for certification filed with the Board  | 
under one of the following case numbers: S-RC-11-110;  | 
S-RC-11-098; S-UC-11-080; S-RC-11-086; S-RC-11-074;  | 
S-RC-11-076; S-RC-11-078; S-UC-11-052; S-UC-11-054;  | 
S-RC-11-062; S-RC-11-060; S-RC-11-042; S-RC-11-014;  | 
S-RC-11-016; S-RC-11-020; S-RC-11-030; S-RC-11-004;  | 
 | 
S-RC-10-244; S-RC-10-228; S-RC-10-222; S-RC-10-220;  | 
S-RC-10-214; S-RC-10-196; S-RC-10-194; S-RC-10-178;  | 
S-RC-10-176; S-RC-10-162; S-RC-10-156; S-RC-10-088;  | 
S-RC-10-074; S-RC-10-076; S-RC-10-078; S-RC-10-060;  | 
S-RC-10-070; S-RC-10-044; S-RC-10-038; S-RC-10-040;  | 
S-RC-10-042; S-RC-10-018; S-RC-10-024; S-RC-10-004;  | 
S-RC-10-006; S-RC-10-008; S-RC-10-010; S-RC-10-012;  | 
S-RC-09-202; S-RC-09-182; S-RC-09-180; S-RC-09-156;  | 
S-UC-09-196; S-UC-09-182; S-RC-08-130; S-RC-07-110; or  | 
S-RC-07-100.  | 
(Source: P.A. 102-151, eff. 7-23-21; 102-538, eff. 8-20-21;  | 
revised 10-13-21.)
 | 
 (5 ILCS 315/9) (from Ch. 48, par. 1609)
 | 
 Sec. 9. Elections; recognition. 
 | 
 (a) Whenever in accordance with such
regulations as may be  | 
prescribed by the Board a petition has been filed:
 | 
  (1) by a public employee or group of public employees  | 
 or any labor
organization acting in their behalf  | 
 demonstrating that 30% of the public
employees in an  | 
 appropriate unit (A) wish to be represented for the
 | 
 purposes of collective bargaining by a labor organization  | 
 as exclusive
representative, or (B) asserting that the  | 
 labor organization which has been
certified or is  | 
 currently recognized by the public employer as bargaining
 | 
 representative is no longer the representative of the  | 
 | 
 majority of public
employees in the unit; or
 | 
  (2) by a public employer alleging that one or more  | 
 labor organizations
have presented to it a claim that they  | 
 be recognized as the representative
of a majority of the  | 
 public employees in an appropriate unit, the Board
shall  | 
 investigate such petition, and if it has reasonable cause  | 
 to believe
that a question of representation exists, shall  | 
 provide for an appropriate
hearing upon due notice. Such  | 
 hearing shall be held at the offices of
the Board or such  | 
 other location as the Board deems appropriate.
If it finds  | 
 upon the record of the hearing that a question of
 | 
 representation exists, it shall direct an election in  | 
 accordance with
subsection (d) of this Section, which  | 
 election shall be held not later than
120 days after the  | 
 date the petition was filed regardless of whether that
 | 
 petition was filed before or after July 1, 1988 (the  | 
 effective date of Public Act 85-924) this amendatory
Act  | 
 of 1987; provided, however, the Board may extend the time  | 
 for holding an
election by an additional 60 days if, upon  | 
 motion by a person who has filed
a petition under this  | 
 Section or is the subject of a petition filed under
this  | 
 Section and is a party to such hearing, or upon the Board's  | 
 own
motion, the Board finds that good cause has been shown  | 
 for extending the
election date; provided further, that  | 
 nothing in this Section shall prohibit
the Board, in its  | 
 discretion, from extending the time for holding an
 | 
 | 
 election for so long as may be necessary under the  | 
 circumstances, where the
purpose for such extension is to  | 
 permit resolution by the Board of an
unfair labor practice  | 
 charge filed by one of the parties to a
representational  | 
 proceeding against the other based upon conduct which may
 | 
 either affect the existence of a question concerning  | 
 representation or have
a tendency to interfere with a fair  | 
 and free election, where the party
filing the charge has  | 
 not filed a request to proceed with the election; and
 | 
 provided further that prior to the expiration of the total  | 
 time allotted
for holding an election, a person who has  | 
 filed a petition under this
Section or is the subject of a  | 
 petition filed under this Section and is a
party to such  | 
 hearing or the Board, may move for and obtain the entry
of  | 
 an order in the circuit court of the county in which the  | 
 majority of the
public employees sought to be represented  | 
 by such person reside, such order
extending the date upon  | 
 which the election shall be held. Such order shall
be  | 
 issued by the circuit court only upon a judicial finding  | 
 that there has
been a sufficient showing that there is  | 
 good cause to extend the election
date beyond such period  | 
 and shall require the Board to hold the
election as soon as  | 
 is feasible given the totality of the circumstances.
Such  | 
 120-day 120 day period may be extended one or more times by  | 
 the agreement
of all parties to the hearing to a date  | 
 certain without the necessity of
obtaining a court order.  | 
 | 
 The showing of interest in support of a petition filed  | 
 under paragraph (1) of this subsection (a) may be  | 
 evidenced by electronic communications, and such writing  | 
 or communication may be evidenced by the electronic  | 
 signature of the employee as provided under Section 5-120  | 
 of the Electronic Commerce Security Act. The showing of  | 
 interest shall be valid only if signed within 12 months  | 
 prior to the filing of the petition. Nothing in this  | 
 Section prohibits the waiving
of hearings by stipulation  | 
 for the purpose of a consent election in conformity
with  | 
 the rules and regulations of the Board or an election in a  | 
 unit agreed
upon by the parties. Other interested employee  | 
 organizations may intervene
in the proceedings in the  | 
 manner and within the time period specified by
rules and  | 
 regulations of the Board. Interested parties who are  | 
 necessary
to the proceedings may also intervene in the  | 
 proceedings in the manner and
within the time period  | 
 specified by the rules and regulations of the Board.
 | 
 (a-5) The Board shall designate an exclusive  | 
representative for purposes
of
collective bargaining when the  | 
representative demonstrates a showing of
majority interest by  | 
employees in the unit. If the parties to a dispute are
without
 | 
agreement on the means to ascertain the choice, if any, of  | 
employee
organization
as their representative, the Board shall  | 
ascertain the employees' choice of
employee organization, on  | 
the basis of dues deduction authorization or other
evidence,  | 
 | 
or, if necessary, by conducting an election. The showing of  | 
interest in support of a petition filed under this subsection  | 
(a-5) may be evidenced by electronic communications, and such  | 
writing or communication may be evidenced by the electronic  | 
signature of the employee as provided under Section 5-120 of  | 
the Electronic Commerce Security Act. The showing of interest  | 
shall be valid only if signed within 12 months prior to the  | 
filing of the petition. All evidence submitted by an employee  | 
organization to the Board to ascertain an employee's choice of  | 
an employee organization is confidential and shall not be  | 
submitted to the employer for review. The Board shall  | 
ascertain the employee's choice of employee organization  | 
within 120 days after the filing of the majority interest  | 
petition; however, the Board may extend time by an additional  | 
60 days, upon its own motion or upon the motion of a party to  | 
the proceeding. If either party provides
to the Board, before  | 
the designation of a representative, clear and convincing
 | 
evidence that the dues deduction authorizations, and other  | 
evidence upon which
the Board would otherwise rely to  | 
ascertain the employees' choice of
representative, are  | 
fraudulent or were obtained through coercion, the Board
shall  | 
promptly thereafter conduct an election. The Board shall also  | 
investigate
and consider a party's allegations that the dues  | 
deduction authorizations and
other evidence submitted in  | 
support of a designation of representative without
an election  | 
were subsequently changed, altered, withdrawn, or withheld as  | 
 | 
a
result of employer fraud, coercion, or any other unfair  | 
labor practice by the
employer. If the Board determines that a  | 
labor organization would have had a
majority interest but for  | 
an employer's fraud, coercion, or unfair labor
practice, it  | 
shall designate the labor organization as an exclusive
 | 
representative without conducting an
election. If a hearing is  | 
necessary to resolve any issues of representation under this  | 
Section, the Board shall conclude its hearing process and  | 
issue a certification of the entire appropriate unit not later  | 
than 120 days after the date the petition was filed. The  | 
120-day period may be extended one or more times by the  | 
agreement of all parties to a hearing to a date certain.
 | 
 (a-6) A labor organization or an employer may file a unit  | 
clarification petition seeking to clarify an existing  | 
bargaining unit. Unit clarification petitions may be filed if:  | 
(1) substantial changes occur in the duties and functions of  | 
an existing job title, raising an issue as to the title's unit  | 
placement; (2) an existing job title that is logically  | 
encompassed within the existing unit was inadvertently  | 
excluded by the parties at the time the unit was established;  | 
(3) a newly created job title is logically encompassed within  | 
an existing unit; (4) a significant change takes place in  | 
statutory or case law that affects the bargaining rights of  | 
employees; (5) a determination needs to be made as to the unit  | 
placement of positions in dispute following a majority  | 
interest certification of representative issued under  | 
 | 
subsection (a-5); (6) a determination needs to be made as to  | 
the unit placement of positions in dispute following a  | 
certification of representative issued following a direction  | 
of election under subsection (d); (7) the parties have agreed  | 
to eliminate a position or title because the employer no  | 
longer uses it; (8) the parties have agreed to exclude some of  | 
the positions in a title or classification from a bargaining  | 
unit and include others; or (9) as prescribed in rules set by  | 
the Board. The Board shall conclude its investigation,  | 
including any hearing process deemed necessary, and issue a  | 
certification of clarified unit or dismiss the petition not  | 
later than 120 days after the date the petition was filed. The  | 
120-day period may be extended one or more times by the  | 
agreement of all parties to a hearing to a date certain.  | 
 (b) The Board shall decide in each case, in order to assure  | 
public employees
the fullest freedom in exercising the rights  | 
guaranteed by this Act, a unit
appropriate for the purpose of  | 
collective bargaining, based upon but not
limited to such  | 
factors as: historical pattern of recognition; community
of  | 
interest including employee skills and functions; degree of  | 
functional
integration; interchangeability and contact among  | 
employees; fragmentation
of employee groups; common  | 
supervision, wages, hours and other working
conditions of the  | 
employees involved; and the desires of the employees.
For  | 
purposes of this subsection, fragmentation shall not be the  | 
sole or
predominant factor used by the Board in determining an  | 
 | 
appropriate
bargaining unit. Except with respect to non-State  | 
fire fighters and
paramedics employed by fire departments and  | 
fire protection districts,
non-State peace officers and peace  | 
officers in the Illinois State Police, a single bargaining  | 
unit determined by the
Board may not include both supervisors  | 
and nonsupervisors, except for
bargaining units in existence  | 
on the effective date of this Act. With
respect to non-State  | 
fire fighters and paramedics employed by fire
departments and  | 
fire protection districts, non-State peace officers and
peace  | 
officers in the Illinois State Police, a single bargaining
 | 
unit determined by the Board may not include both supervisors  | 
and
nonsupervisors, except for bargaining units in existence  | 
on January 1, 1986 (the effective
date of Public Act 84-1104)  | 
this amendatory Act of 1985.
 | 
 In cases involving an historical pattern of recognition,  | 
and in cases where
the employer has recognized the union as the  | 
sole and exclusive bargaining
agent for a specified existing  | 
unit, the Board shall find the employees
in the unit then  | 
represented by the union pursuant to the recognition to
be the  | 
appropriate unit.
 | 
 Notwithstanding the above factors, where the majority of  | 
public employees
of a craft so decide, the Board shall  | 
designate such craft as a unit
appropriate for the purposes of  | 
collective bargaining.
 | 
 The Board shall not decide that any unit is appropriate if  | 
such unit
includes both professional and nonprofessional  | 
 | 
employees, unless a majority
of each group votes for inclusion  | 
in such unit.
 | 
 (c) Nothing in this Act shall interfere with or negate the  | 
current
representation rights or patterns and practices of  | 
labor organizations
which have historically represented public  | 
employees for the purpose of
collective bargaining, including  | 
but not limited to the negotiations of
wages, hours and  | 
working conditions, discussions of employees' grievances,
 | 
resolution of jurisdictional disputes, or the establishment  | 
and maintenance
of prevailing wage rates, unless a majority of  | 
employees so represented
express a contrary desire pursuant to  | 
the procedures set forth in this Act.
 | 
 (d) In instances where the employer does not voluntarily  | 
recognize a labor
organization as the exclusive bargaining  | 
representative for a unit of
employees, the Board shall  | 
determine the majority representative of the
public employees  | 
in an appropriate collective bargaining unit by conducting
a  | 
secret ballot election, except as otherwise provided in  | 
subsection (a-5). Such a secret ballot election may be  | 
conducted electronically, using an electronic voting system,  | 
in addition to paper ballot voting systems.
Within 7 days  | 
after the Board issues its
bargaining unit determination and  | 
direction of election or the execution of
a stipulation for  | 
the purpose of a consent election, the public employer
shall  | 
submit to the labor organization the complete names and  | 
addresses of
those employees who are determined by the Board  | 
 | 
to be eligible to
participate in the election. When the Board  | 
has determined that a labor
organization has been fairly and  | 
freely chosen by a majority of employees
in an appropriate  | 
unit, it shall certify such organization as the exclusive
 | 
representative. If the Board determines that a majority of  | 
employees in an
appropriate unit has fairly and freely chosen  | 
not to be represented by a
labor organization, it shall so  | 
certify. The Board may also revoke the
certification of the  | 
public employee organizations as exclusive bargaining
 | 
representatives which have been found by a secret ballot  | 
election to be no
longer the majority representative.
 | 
 (e) The Board shall not conduct an election in any  | 
bargaining unit or
any subdivision thereof within which a  | 
valid election has been held in the
preceding 12-month period.  | 
The Board shall determine who is eligible to
vote in an  | 
election and shall establish rules governing the conduct of  | 
the
election or conduct affecting the results of the election.  | 
The Board shall
include on a ballot in a representation  | 
election a choice of "no
representation". A labor organization  | 
currently representing the bargaining
unit of employees shall  | 
be placed on the ballot in any representation
election. In any  | 
election where none of the choices on the ballot receives
a  | 
majority, a runoff election shall be conducted between the 2  | 
choices
receiving the largest number of valid votes cast in  | 
the election. A labor
organization which receives a majority  | 
of the votes cast in an election
shall be certified by the  | 
 | 
Board as exclusive representative of all public
employees in  | 
the unit.
 | 
 (f) A labor
organization shall be designated as the  | 
exclusive representative by a
public employer, provided that  | 
the labor
organization represents a majority of the public  | 
employees in an
appropriate unit. Any employee organization  | 
which is designated or selected
by the majority of public  | 
employees, in a unit of the public employer
having no other  | 
recognized or certified representative, as their
 | 
representative for purposes of collective bargaining may  | 
request
recognition by the public employer in writing. The  | 
public employer shall
post such request for a period of at  | 
least 20 days following its receipt
thereof on bulletin boards  | 
or other places used or reserved for employee
notices.
 | 
 (g) Within the 20-day period any other interested employee  | 
organization
may petition the Board in the manner specified by  | 
rules and regulations
of the Board, provided that such  | 
interested employee organization has been
designated by at  | 
least 10% of the employees in an appropriate bargaining
unit  | 
which includes all or some of the employees in the unit  | 
recognized
by the employer. In such event, the Board shall  | 
proceed with the petition
in the same manner as provided by  | 
paragraph (1) of subsection (a) of this
Section.
 | 
 (h) No election shall be directed by the Board in any  | 
bargaining unit
where there is in force a valid collective  | 
bargaining agreement. The Board,
however, may process an  | 
 | 
election petition filed between 90 and 60 days prior
to the  | 
expiration of the date of an agreement, and may further  | 
refine, by
rule or decision, the implementation of this  | 
provision.
Where more than 4 years have elapsed since the  | 
effective date of the agreement,
the agreement shall continue  | 
to bar an election, except that the Board may
process an  | 
election petition filed between 90 and 60 days prior to the end  | 
of
the fifth year of such an agreement, and between 90 and 60  | 
days prior to the
end of each successive year of such  | 
agreement.
 | 
 (i) An order of the Board dismissing a representation  | 
petition,
determining and certifying that a labor organization  | 
has been fairly and
freely chosen by a majority of employees in  | 
an appropriate bargaining unit,
determining and certifying  | 
that a labor organization has not been fairly
and freely  | 
chosen by a majority of employees in the bargaining unit or
 | 
certifying a labor organization as the exclusive  | 
representative of
employees in an appropriate bargaining unit  | 
because of a determination by
the Board that the labor  | 
organization is the historical bargaining
representative of  | 
employees in the bargaining unit, is a final order. Any
person  | 
aggrieved by any such order issued on or after July 1, 1988  | 
(the effective date of Public Act 85-924)
this amendatory Act  | 
of 1987 may apply for and obtain judicial review in
accordance  | 
with provisions of the Administrative Review Law, as now or
 | 
hereafter amended, except that such review shall be afforded  | 
 | 
directly in
the Appellate Court for the district in which the  | 
aggrieved party resides
or transacts business.
Any direct  | 
appeal to the Appellate Court shall be filed within 35 days  | 
from
the date that a copy of the decision sought to be reviewed  | 
was served upon the
party affected by the decision. 
 | 
(Source: P.A. 102-151, eff. 7-23-21; 102-538, eff. 8-20-21;  | 
102-596, eff. 8-27-21; revised 10-15-21.)
 | 
 (5 ILCS 315/10) (from Ch. 48, par. 1610)
 | 
 Sec. 10. Unfair labor practices. 
 | 
 (a) It shall be an unfair labor practice
for an employer or  | 
its agents:
 | 
  (1) to interfere with, restrain, or coerce public  | 
 employees in the
exercise of the rights guaranteed in this  | 
 Act or to dominate or interfere
with the formation,  | 
 existence or administration of any labor organization
or  | 
 contribute financial or other support to it; provided, an  | 
 employer shall
not be prohibited from permitting employees  | 
 to confer with him during
working hours without loss of  | 
 time or pay;
 | 
  (2) to discriminate in regard to hire or tenure of  | 
 employment or any term
or condition of employment in order  | 
 to encourage or discourage membership
in or other support  | 
 for any labor organization. Nothing in this Act or any
 | 
 other law precludes a public employer from making an  | 
 agreement with a labor
organization to require as a  | 
 | 
 condition of employment the payment of a fair
share under  | 
 paragraph (e) of Section 6;
 | 
  (3) to discharge or otherwise discriminate against a  | 
 public employee because
he has signed or filed an  | 
 affidavit, petition, or charge or provided any
information  | 
 or testimony under this Act;
 | 
  (4) to refuse to bargain collectively in good faith  | 
 with a labor
organization which is the exclusive  | 
 representative of public employees in
an appropriate unit,  | 
 including, but not limited to, the discussing of
 | 
 grievances with the exclusive representative;
 | 
  (5) to violate any of the rules and regulations  | 
 established by the Board
with jurisdiction over them  | 
 relating to the conduct of representation elections
or the  | 
 conduct affecting the representation elections;
 | 
  (6) to expend or cause the expenditure of public funds  | 
 to any external
agent, individual, firm, agency,  | 
 partnership, or association in any attempt
to influence  | 
 the outcome of representational elections held pursuant to
 | 
 Section 9 of this Act; provided, that nothing in this  | 
 subsection shall be
construed to limit an employer's right  | 
 to internally communicate with its
employees as provided  | 
 in subsection (c) of this Section, to be represented
on  | 
 any matter pertaining to unit determinations, unfair labor  | 
 practice
charges or pre-election conferences in any formal  | 
 or informal proceeding
before the Board, or to seek or  | 
 | 
 obtain advice from legal counsel.
Nothing in this  | 
 paragraph shall be construed to prohibit an employer from
 | 
 expending or causing the expenditure of public funds on,  | 
 or seeking or
obtaining services or advice from, any  | 
 organization, group, or association
established by and  | 
 including public or educational employers, whether
covered  | 
 by this Act, the Illinois Educational Labor Relations Act  | 
 or the
public employment labor relations law of any other  | 
 state or the federal
government, provided that such  | 
 services or advice are generally available
to the  | 
 membership of the organization, group or association, and  | 
 are not
offered solely in an attempt to influence the  | 
 outcome of a particular
representational election;
 | 
  (7) to refuse to reduce a collective bargaining  | 
 agreement to writing
or to refuse to sign such agreement;
 | 
  (8) to interfere with, restrain, coerce, deter, or  | 
 discourage public employees or applicants to be public  | 
 employees from: (i) becoming or remaining members of a  | 
 labor organization; (ii) authorizing representation by a  | 
 labor organization; or (iii) authorizing dues or fee  | 
 deductions to a labor organization, nor shall the employer  | 
 intentionally permit outside third parties to use its  | 
 email or other communication systems to engage in that  | 
 conduct. An employer's good faith implementation of a  | 
 policy to block the use of its email or other  | 
 communication systems for such purposes shall be a defense  | 
 | 
 to an unfair labor practice;  | 
  (9) to disclose to any person or entity information  | 
 set forth in subsection (c-5) of Section 6 of this Act that  | 
 the employer knows or should know will be used to  | 
 interfere with, restrain, coerce, deter, or discourage any  | 
 public employee from: (i) becoming or remaining members of  | 
 a labor organization, (ii) authorizing representation by a  | 
 labor organization, or (iii) authorizing dues or fee  | 
 deductions to a labor organization; or  | 
  (10) to promise, threaten, or take any action: (i) to  | 
 permanently replace an employee who participates in a  | 
 lawful strike as provided under Section 17; (ii) to  | 
 discriminate against an employee who is working or has  | 
 unconditionally offered to return to work for the employer  | 
 because the employee supported or participated in such a  | 
 lawful strike; or (iii) to lock out lockout, suspend, or  | 
 otherwise withhold employment from employees in order to  | 
 influence the position of such employees or the  | 
 representative of such employees in collective bargaining  | 
 prior to a lawful strike.  | 
 (b) It shall be an unfair labor practice for a labor  | 
organization or its agents:
 | 
  (1) to restrain or coerce public employees in the  | 
 exercise of the rights
guaranteed in this Act, provided,  | 
 (i) that this paragraph shall
not impair the right of a  | 
 labor organization to prescribe its own rules
with respect  | 
 | 
 to the acquisition or retention of membership therein or  | 
 the
determination of fair share payments and (ii) that a  | 
 labor organization
or its agents shall commit an unfair  | 
 labor practice under this paragraph in
duty of fair  | 
 representation cases only by intentional misconduct in
 | 
 representing employees under this Act;
 | 
  (2) to restrain or coerce a public employer in the  | 
 selection of his
representatives for the purposes of  | 
 collective bargaining or the settlement
of grievances; or
 | 
  (3) to cause, or attempt to cause, an employer to  | 
 discriminate against
an employee in violation of  | 
 subsection (a)(2);
 | 
  (4) to refuse to bargain collectively in good faith  | 
 with a public employer,
if it has been designated in  | 
 accordance with the provisions of this Act
as the  | 
 exclusive representative of public employees in an  | 
 appropriate unit;
 | 
  (5) to violate any of the rules and regulations  | 
 established by the
boards with jurisdiction over them  | 
 relating to the conduct of
representation elections or the  | 
 conduct affecting the representation elections;
 | 
  (6) to discriminate against any employee because he  | 
 has signed or filed
an affidavit, petition, or charge or  | 
 provided any information or testimony
under this Act;
 | 
  (7) to picket or cause to be picketed, or threaten to  | 
 picket or cause
to be picketed, any public employer where  | 
 | 
 an object thereof is forcing or
requiring an employer to  | 
 recognize or bargain with a labor organization
of the  | 
 representative of its employees, or forcing or requiring  | 
 the employees
of an employer to accept or select such  | 
 labor organization as their collective
bargaining  | 
 representative, unless such labor organization is  | 
 currently
certified as the representative of such  | 
 employees:
 | 
   (A) where the employer has lawfully recognized in  | 
 accordance with this
Act any labor organization and a  | 
 question concerning representation may
not  | 
 appropriately be raised under Section 9 of this Act;
 | 
   (B) where within the preceding 12 months a valid  | 
 election under Section
9 of this Act has been  | 
 conducted; or
 | 
   (C) where such picketing has been conducted  | 
 without a petition under Section
9 being filed within  | 
 a reasonable period of time not to exceed 30 days from
 | 
 the commencement of such picketing; provided that when  | 
 such a petition has
been filed the Board shall  | 
 forthwith, without regard to the provisions of
 | 
 subsection (a) of Section 9 or the absence of a showing  | 
 of a substantial
interest on the part of the labor  | 
 organization, direct an election in such
unit as the  | 
 Board finds to be appropriate and shall certify the  | 
 results
thereof; provided further, that nothing in  | 
 | 
 this subparagraph shall be construed
to prohibit any  | 
 picketing or other publicity for the purpose of  | 
 truthfully
advising the public that an employer does  | 
 not employ members of, or have a
contract with, a labor  | 
 organization unless an effect of such picketing is
to  | 
 induce any individual employed by any other person in  | 
 the course of his
employment, not to pick up, deliver,  | 
 or transport any goods or not to
perform any services;  | 
 or
 | 
  (8) to refuse to reduce a collective bargaining  | 
 agreement to writing
or to refuse to sign such agreement.
 | 
 (c) The expressing of any views, argument, or opinion or  | 
the
dissemination thereof, whether in written, printed,  | 
graphic, or visual
form, shall not constitute or be evidence  | 
of an unfair labor practice under
any of the provisions of this  | 
Act, if such expression contains no threat of
reprisal or  | 
force or promise of benefit.
 | 
 (d) The employer shall not discourage public employees or  | 
applicants to be public employees from becoming or remaining  | 
union members or authorizing dues deductions, and shall not  | 
otherwise interfere with the relationship between employees  | 
and their exclusive bargaining representative. The employer  | 
shall refer all inquiries about union membership to the  | 
exclusive bargaining representative, except that the employer  | 
may communicate with employees regarding payroll processes and  | 
procedures. The employer will establish email policies in an  | 
 | 
effort to prohibit the use of its email system by outside  | 
sources.  | 
(Source: P.A. 101-620, eff. 12-20-19; 102-596, eff. 8-27-21;  | 
revised 12-2-21.)
 | 
 Section 30. The State Employee Indemnification Act is  | 
amended by changing Section 1 as follows:
 | 
 (5 ILCS 350/1) (from Ch. 127, par. 1301)
 | 
 Sec. 1. Definitions.  For the purpose of this Act:
 | 
 (a) The term "State" means the State of Illinois, the  | 
General
Assembly, the court, or any State office, department,  | 
division, bureau,
board, commission, or committee, the  | 
governing boards of the public
institutions of higher  | 
education created by the State, the Illinois
National Guard,  | 
the Illinois State Guard, the Comprehensive Health Insurance  | 
Board, any poison control
center designated under the Poison  | 
Control System Act that receives State
funding, or any other  | 
agency or instrumentality of the State. It
does not mean any  | 
local public entity as that term is defined in Section
1-206 of  | 
the Local Governmental and Governmental Employees Tort  | 
Immunity
Act or a pension fund.
 | 
 (b) The term "employee" means: any present or former  | 
elected or
appointed officer, trustee or employee of the  | 
State, or of a pension
fund;
any present or former  | 
commissioner or employee of the Executive Ethics
Commission or  | 
 | 
of the Legislative Ethics Commission; any present or former
 | 
Executive, Legislative, or Auditor General's Inspector  | 
General; any present or
former employee of an Office of an  | 
Executive, Legislative, or Auditor General's
Inspector  | 
General; any present or former member of the Illinois National
 | 
Guard
while on active duty; any present or former member of the  | 
Illinois State
Guard
while on State active duty; individuals  | 
or organizations who contract with the
Department of  | 
Corrections, the Department of Juvenile Justice, the  | 
Comprehensive Health Insurance Board, or the
Department of  | 
Veterans' Affairs to provide services; individuals or
 | 
organizations who contract with the Department of Human  | 
Services (as
successor to the Department of Mental Health and  | 
Developmental
Disabilities) to provide services including but  | 
not limited to treatment and
other services for sexually  | 
violent persons; individuals or organizations who
contract  | 
with the Department of
Military
Affairs for youth programs;  | 
individuals or
organizations who contract to perform carnival  | 
and amusement ride safety
inspections for the Department of  | 
Labor; individuals who contract with the Office of the State's  | 
Attorneys Appellate Prosecutor to provide legal services, but  | 
only when performing duties within the scope of the Office's  | 
prosecutorial activities; individual representatives of or
 | 
designated organizations authorized to represent the Office of  | 
State Long-Term
Ombudsman for the Department on Aging;  | 
individual representatives of or
organizations designated by  | 
 | 
the Department on Aging in the performance of their
duties as  | 
adult protective services agencies or regional administrative  | 
agencies
under the Adult Protective Services Act; individuals  | 
or organizations appointed as members of a review team or the  | 
Advisory Council under the Adult Protective Services Act;  | 
individuals or organizations who perform
volunteer services  | 
for the State where such volunteer relationship is reduced
to  | 
writing; individuals who serve on any public entity (whether  | 
created by law
or administrative action) described in  | 
paragraph (a) of this Section; individuals or not for profit  | 
organizations who, either as volunteers, where
such volunteer  | 
relationship is reduced to writing, or pursuant to contract,
 | 
furnish professional advice or consultation to any agency or  | 
instrumentality of
the State; individuals who serve as foster  | 
parents for the Department of
Children and Family Services  | 
when caring for youth in care as defined in Section 4d of the  | 
Children and Family Services Act; individuals who serve as  | 
members of an independent team of experts under the  | 
Developmental Disability and Mental Health Safety Act (also  | 
known as Brian's Law); and individuals
who serve as  | 
arbitrators pursuant to Part 10A of
Article II of the Code of  | 
Civil Procedure and the rules of the Supreme Court
 | 
implementing Part 10A, each as now or hereafter amended; the  | 
members of the Certification Review Panel under the Illinois  | 
Police Training Act; the term "employee" does not mean an
 | 
independent contractor except as provided in this Section. The  | 
 | 
term includes an
individual appointed as an inspector by the  | 
Director of the Illinois State Police when
performing duties  | 
within the scope of the activities of a Metropolitan
 | 
Enforcement Group or a law enforcement organization  | 
established under the
Intergovernmental Cooperation Act. An  | 
individual who renders professional
advice and consultation to  | 
the State through an organization which qualifies as
an  | 
"employee" under the Act is also an employee. The term  | 
includes the estate
or personal representative of an employee.
 | 
 (c) The term "pension fund" means a retirement system or  | 
pension
fund created under the Illinois Pension Code.
 | 
(Source: P.A. 101-81, eff. 7-12-19; 101-652, eff. 1-1-22;  | 
102-538, eff. 8-20-21; revised 10-6-21.)
 | 
 Section 35. The State Employees Group Insurance Act of  | 
1971 is amended by changing Sections 3 and 6.11 as follows:
 | 
 (5 ILCS 375/3) (from Ch. 127, par. 523)
 | 
 Sec. 3. Definitions. Unless the context otherwise  | 
requires, the
following words and phrases as used in this Act  | 
shall have the following
meanings. The Department may define  | 
these and other words and phrases
separately for the purpose  | 
of implementing specific programs providing benefits
under  | 
this Act.
 | 
 (a) "Administrative service organization" means any  | 
person, firm or
corporation experienced in the handling of  | 
 | 
claims which is
fully qualified, financially sound and capable  | 
of meeting the service
requirements of a contract of  | 
administration executed with the Department.
 | 
 (b) "Annuitant" means (1) an employee who retires, or has  | 
retired,
on or after January 1, 1966 on an immediate annuity  | 
under the provisions
of Articles 2, 14 (including an employee  | 
who has elected to receive an alternative retirement  | 
cancellation payment under Section 14-108.5 of the Illinois  | 
Pension Code in lieu of an annuity or who meets the criteria  | 
for retirement, but in lieu of receiving an annuity under that  | 
Article has elected to receive an accelerated pension benefit  | 
payment under Section 14-147.5 of that Article), 15 (including  | 
an employee who has retired under the optional
retirement  | 
program established under Section 15-158.2 or who meets the  | 
criteria for retirement but in lieu of receiving an annuity  | 
under that Article has elected to receive an accelerated  | 
pension benefit payment under Section 15-185.5 of the  | 
Article), paragraph
paragraphs (2), (3), or (5) of Section  | 
16-106 (including an employee who meets the criteria for  | 
retirement, but in lieu of receiving an annuity under that  | 
Article has elected to receive an accelerated pension benefit  | 
payment under Section 16-190.5 of the Illinois Pension Code),  | 
or
Article 18 of the Illinois Pension Code; (2) any person who  | 
was receiving
group insurance coverage under this Act as of  | 
March 31, 1978 by
reason of his status as an annuitant, even  | 
though the annuity in relation
to which such coverage was  | 
 | 
provided is a proportional annuity based on less
than the  | 
minimum period of service required for a retirement annuity in
 | 
the system involved; (3) any person not otherwise covered by  | 
this Act
who has retired as a participating member under  | 
Article 2 of the Illinois
Pension Code but is ineligible for  | 
the retirement annuity under Section
2-119 of the Illinois  | 
Pension Code; (4) the spouse of any person who
is receiving a  | 
retirement annuity under Article 18 of the Illinois Pension
 | 
Code and who is covered under a group health insurance program  | 
sponsored
by a governmental employer other than the State of  | 
Illinois and who has
irrevocably elected to waive his or her  | 
coverage under this Act and to have
his or her spouse  | 
considered as the "annuitant" under this Act and not as
a  | 
"dependent"; or (5) an employee who retires, or has retired,  | 
from a
qualified position, as determined according to rules  | 
promulgated by the
Director, under a qualified local  | 
government, a qualified rehabilitation
facility, a qualified  | 
domestic violence shelter or service, or a qualified child  | 
advocacy center. (For definition
of "retired employee", see  | 
(p) post).
 | 
 (b-5) (Blank).
 | 
 (b-6) (Blank).
 | 
 (b-7) (Blank).
 | 
 (c) "Carrier" means (1) an insurance company, a  | 
corporation organized
under the Limited Health Service  | 
Organization Act or the Voluntary Health
Services Plans Act, a  | 
 | 
partnership, or other nongovernmental organization,
which is  | 
authorized to do group life or group health insurance business  | 
in
Illinois, or (2) the State of Illinois as a self-insurer.
 | 
 (d) "Compensation" means salary or wages payable on a  | 
regular
payroll by the State Treasurer on a warrant of the  | 
State Comptroller out
of any State, trust or federal fund, or  | 
by the Governor of the State
through a disbursing officer of  | 
the State out of a trust or out of
federal funds, or by any  | 
Department out of State, trust, federal or
other funds held by  | 
the State Treasurer or the Department, to any person
for  | 
personal services currently performed, and ordinary or  | 
accidental
disability benefits under Articles 2, 14, 15  | 
(including ordinary or accidental
disability benefits under  | 
the optional retirement program established under
Section  | 
15-158.2), paragraph paragraphs (2), (3), or (5) of
Section  | 
16-106, or Article 18 of the Illinois Pension Code, for  | 
disability
incurred after January 1, 1966, or benefits payable  | 
under the Workers'
Compensation or Occupational Diseases Act  | 
or benefits payable under a sick
pay plan established in  | 
accordance with Section 36 of the State Finance Act.
 | 
"Compensation" also means salary or wages paid to an employee  | 
of any
qualified local government, qualified rehabilitation  | 
facility,
qualified domestic violence shelter or service, or  | 
qualified child advocacy center.
 | 
 (e) "Commission" means the State Employees Group Insurance  | 
Advisory
Commission authorized by this Act. Commencing July 1,  | 
 | 
1984, "Commission"
as used in this Act means the Commission on  | 
Government Forecasting and Accountability as
established by  | 
the Legislative Commission Reorganization Act of 1984.
 | 
 (f) "Contributory", when referred to as contributory  | 
coverage, shall
mean optional coverages or benefits elected by  | 
the member toward the cost of
which such member makes  | 
contribution, or which are funded in whole or in part
through  | 
the acceptance of a reduction in earnings or the foregoing of  | 
an
increase in earnings by an employee, as distinguished from  | 
noncontributory
coverage or benefits which are paid entirely  | 
by the State of Illinois
without reduction of the member's  | 
salary.
 | 
 (g) "Department" means any department, institution, board,
 | 
commission, officer, court or any agency of the State  | 
government
receiving appropriations and having power to  | 
certify payrolls to the
Comptroller authorizing payments of  | 
salary and wages against such
appropriations as are made by  | 
the General Assembly from any State fund, or
against trust  | 
funds held by the State Treasurer and includes boards of
 | 
trustees of the retirement systems created by Articles 2, 14,  | 
15, 16, and
18 of the Illinois Pension Code. "Department" also  | 
includes the Illinois
Comprehensive Health Insurance Board,  | 
the Board of Examiners established under
the Illinois Public  | 
Accounting Act, and the Illinois Finance Authority.
 | 
 (h) "Dependent", when the term is used in the context of  | 
the health
and life plan, means a member's spouse and any child  | 
 | 
(1) from
birth to age 26 including an adopted child, a child  | 
who lives with the
member from the time of the placement for  | 
adoption until entry
of an order of adoption, a stepchild or  | 
adjudicated child, or a child who lives with the member
if such  | 
member is a court appointed guardian of the child or (2)
age 19  | 
or over who has a mental or physical disability from a cause  | 
originating prior to the age of 19 (age 26 if enrolled as an  | 
adult child dependent). For
the health plan only, the term  | 
"dependent" also includes (1) any person
enrolled prior to the  | 
effective date of this Section who is dependent upon
the  | 
member to the extent that the member may claim such person as a
 | 
dependent for income tax deduction purposes and (2) any person  | 
who
has received after June 30, 2000 an organ transplant and  | 
who is financially
dependent upon the member and eligible to  | 
be claimed as a dependent for income
tax purposes. A member  | 
requesting to cover any dependent must provide documentation  | 
as requested by the Department of Central Management Services  | 
and file with the Department any and all forms required by the  | 
Department. 
 | 
 (i) "Director" means the Director of the Illinois  | 
Department of Central
Management Services.
 | 
 (j) "Eligibility period" means the period of time a member  | 
has to
elect enrollment in programs or to select benefits  | 
without regard to
age, sex or health.
 | 
 (k) "Employee" means and includes each officer or employee  | 
in the
service of a department who (1) receives his  | 
 | 
compensation for
service rendered to the department on a  | 
warrant issued pursuant to a payroll
certified by a department  | 
or on a warrant or check issued and drawn by a
department upon  | 
a trust, federal or other fund or on a warrant issued
pursuant  | 
to a payroll certified by an elected or duly appointed officer
 | 
of the State or who receives payment of the performance of  | 
personal
services on a warrant issued pursuant to a payroll  | 
certified by a
Department and drawn by the Comptroller upon  | 
the State Treasurer against
appropriations made by the General  | 
Assembly from any fund or against
trust funds held by the State  | 
Treasurer, and (2) is employed full-time or
part-time in a  | 
position normally requiring actual performance of duty
during  | 
not less than 1/2 of a normal work period, as established by  | 
the
Director in cooperation with each department, except that  | 
persons elected
by popular vote will be considered employees  | 
during the entire
term for which they are elected regardless  | 
of hours devoted to the
service of the State, and (3) except  | 
that "employee" does not include any
person who is not  | 
eligible by reason of such person's employment to
participate  | 
in one of the State retirement systems under Articles 2, 14, 15
 | 
(either the regular Article 15 system or the optional  | 
retirement program
established under Section 15-158.2), or 18,  | 
or under paragraph (2), (3), or
(5) of Section 16-106, of the  | 
Illinois
Pension Code, but such term does include persons who  | 
are employed during
the 6-month 6 month qualifying period  | 
under Article 14 of the Illinois Pension
Code. Such term also  | 
 | 
includes any person who (1) after January 1, 1966,
is  | 
receiving ordinary or accidental disability benefits under  | 
Articles
2, 14, 15 (including ordinary or accidental  | 
disability benefits under the
optional retirement program  | 
established under Section 15-158.2), paragraph paragraphs
(2),  | 
(3), or (5) of Section 16-106, or Article 18 of the
Illinois  | 
Pension Code, for disability incurred after January 1, 1966,  | 
(2)
receives total permanent or total temporary disability  | 
under the Workers'
Compensation Act or Occupational Disease  | 
Act as a result of injuries
sustained or illness contracted in  | 
the course of employment with the
State of Illinois, or (3) is  | 
not otherwise covered under this Act and has
retired as a  | 
participating member under Article 2 of the Illinois Pension
 | 
Code but is ineligible for the retirement annuity under  | 
Section 2-119 of
the Illinois Pension Code. However, a person  | 
who satisfies the criteria
of the foregoing definition of  | 
"employee" except that such person is made
ineligible to  | 
participate in the State Universities Retirement System by
 | 
clause (4) of subsection (a) of Section 15-107 of the Illinois  | 
Pension
Code is also an "employee" for the purposes of this  | 
Act. "Employee" also
includes any person receiving or eligible  | 
for benefits under a sick pay
plan established in accordance  | 
with Section 36 of the State Finance Act.
"Employee" also  | 
includes (i) each officer or employee in the service of a
 | 
qualified local government, including persons appointed as  | 
trustees of
sanitary districts regardless of hours devoted to  | 
 | 
the service of the
sanitary district, (ii) each employee in  | 
the service of a qualified
rehabilitation facility, (iii) each  | 
full-time employee in the service of a
qualified domestic  | 
violence shelter or service, and (iv) each full-time employee  | 
in the service of a qualified child advocacy center, as  | 
determined according to
rules promulgated by the Director.
 | 
 (l) "Member" means an employee, annuitant, retired  | 
employee, or survivor. In the case of an annuitant or retired  | 
employee who first becomes an annuitant or retired employee on  | 
or after January 13, 2012 (the effective date of Public Act  | 
97-668), the individual must meet the minimum vesting  | 
requirements of the applicable retirement system in order to  | 
be eligible for group insurance benefits under that system. In  | 
the case of a survivor who first becomes a survivor on or after  | 
January 13, 2012 (the effective date of Public Act 97-668),  | 
the deceased employee, annuitant, or retired employee upon  | 
whom the annuity is based must have been eligible to  | 
participate in the group insurance system under the applicable  | 
retirement system in order for the survivor to be eligible for  | 
group insurance benefits under that system. 
 | 
 (m) "Optional coverages or benefits" means those coverages  | 
or
benefits available to the member on his or her voluntary  | 
election, and at
his or her own expense.
 | 
 (n) "Program" means the group life insurance, health  | 
benefits and other
employee benefits designed and contracted  | 
for by the Director under this Act.
 | 
 | 
 (o) "Health plan" means a health benefits
program offered
 | 
by the State of Illinois for persons eligible for the plan.
 | 
 (p) "Retired employee" means any person who would be an  | 
annuitant as
that term is defined herein but for the fact that  | 
such person retired prior to
January 1, 1966. Such term also  | 
includes any person formerly employed by
the University of  | 
Illinois in the Cooperative Extension Service who would
be an  | 
annuitant but for the fact that such person was made  | 
ineligible to
participate in the State Universities Retirement  | 
System by clause (4) of
subsection (a) of Section 15-107 of the  | 
Illinois
Pension Code.
 | 
 (q) "Survivor" means a person receiving an annuity as a  | 
survivor of an
employee or of an annuitant. "Survivor" also  | 
includes: (1) the surviving
dependent of a person who  | 
satisfies the definition of "employee" except that
such person  | 
is made ineligible to participate in the State Universities
 | 
Retirement System by clause (4) of subsection (a)
of Section  | 
15-107 of the Illinois Pension Code; (2) the surviving
 | 
dependent of any person formerly employed by the University of  | 
Illinois in
the Cooperative Extension Service who would be an  | 
annuitant except for the
fact that such person was made  | 
ineligible to participate in the State
Universities Retirement  | 
System by clause (4) of subsection (a) of Section
15-107 of the  | 
Illinois Pension Code; (3) the surviving dependent of a person  | 
who was an annuitant under this Act by virtue of receiving an  | 
alternative retirement cancellation payment under Section  | 
 | 
14-108.5 of the Illinois Pension Code; and (4) a person who  | 
would be receiving an annuity as a survivor of an annuitant  | 
except that the annuitant elected on or after June 4, 2018 to  | 
receive an accelerated pension benefit payment under Section  | 
14-147.5, 15-185.5, or 16-190.5 of the Illinois Pension Code  | 
in lieu of receiving an annuity.
 | 
 (q-2) "SERS" means the State Employees' Retirement System  | 
of Illinois, created under Article 14 of the Illinois Pension  | 
Code.
 | 
 (q-3) "SURS" means the State Universities Retirement  | 
System, created under Article 15 of the Illinois Pension Code.
 | 
 (q-4) "TRS" means the Teachers' Retirement System of the  | 
State of Illinois, created under Article 16 of the Illinois  | 
Pension Code.
 | 
 (q-5) (Blank).
 | 
 (q-6) (Blank).
 | 
 (q-7) (Blank).
 | 
 (r) "Medical services" means the services provided within  | 
the scope
of their licenses by practitioners in all categories  | 
licensed under the
Medical Practice Act of 1987.
 | 
 (s) "Unit of local government" means any county,  | 
municipality,
township, school district (including a  | 
combination of school districts under
the Intergovernmental  | 
Cooperation Act), special district or other unit,
designated  | 
as a
unit of local government by law, which exercises limited  | 
governmental
powers or powers in respect to limited  | 
 | 
governmental subjects, any
not-for-profit association with a  | 
membership that primarily includes
townships and township  | 
officials, that has duties that include provision of
research  | 
service, dissemination of information, and other acts for the
 | 
purpose of improving township government, and that is funded  | 
wholly or
partly in accordance with Section 85-15 of the  | 
Township Code; any
not-for-profit corporation or association,  | 
with a membership consisting
primarily of municipalities, that  | 
operates its own utility system, and
provides research,  | 
training, dissemination of information, or other acts to
 | 
promote cooperation between and among municipalities that  | 
provide utility
services and for the advancement of the goals  | 
and purposes of its
membership;
the Southern Illinois  | 
Collegiate Common Market, which is a consortium of higher
 | 
education institutions in Southern Illinois; the Illinois  | 
Association of
Park Districts; and any hospital provider that  | 
is owned by a county that has 100 or fewer hospital beds and  | 
has not already joined the program. "Qualified
local  | 
government" means a unit of local government approved by the  | 
Director and
participating in a program created under  | 
subsection (i) of Section 10 of this
Act.
 | 
 (t) "Qualified rehabilitation facility" means any  | 
not-for-profit
organization that is accredited by the  | 
Commission on Accreditation of
Rehabilitation Facilities or  | 
certified by the Department
of Human Services (as successor to  | 
the Department of Mental Health
and Developmental  | 
 | 
Disabilities) to provide services to persons with
disabilities
 | 
and which receives funds from the State of Illinois for  | 
providing those
services, approved by the Director and  | 
participating in a program created
under subsection (j) of  | 
Section 10 of this Act.
 | 
 (u) "Qualified domestic violence shelter or service" means  | 
any Illinois
domestic violence shelter or service and its  | 
administrative offices funded
by the Department of Human  | 
Services (as successor to the Illinois Department of
Public  | 
Aid),
approved by the Director and
participating in a program  | 
created under subsection (k) of Section 10.
 | 
 (v) "TRS benefit recipient" means a person who:
 | 
  (1) is not a "member" as defined in this Section; and
 | 
  (2) is receiving a monthly benefit or retirement  | 
 annuity
under Article 16 of the Illinois Pension Code or  | 
 would be receiving such monthly benefit or retirement  | 
 annuity except that the benefit recipient elected on or  | 
 after June 4, 2018 to receive an accelerated pension  | 
 benefit payment under Section 16-190.5 of the Illinois  | 
 Pension Code in lieu of receiving an annuity; and
 | 
  (3) either (i) has at least 8 years of creditable  | 
 service under Article
16 of the Illinois Pension Code, or  | 
 (ii) was enrolled in the health insurance
program offered  | 
 under that Article on January 1, 1996, or (iii) is the  | 
 survivor
of a benefit recipient who had at least 8
years of  | 
 creditable service under Article 16 of the Illinois  | 
 | 
 Pension Code or
was enrolled in the health insurance  | 
 program offered under that Article on June 21, 1995 (the  | 
 effective date of Public Act 89-25), or (iv) is a  | 
 recipient or
survivor of a recipient of a disability  | 
 benefit under Article 16 of the
Illinois Pension Code.
 | 
 (w) "TRS dependent beneficiary" means a person who:
 | 
  (1) is not a "member" or "dependent" as defined in  | 
 this Section; and
 | 
  (2) is a TRS benefit recipient's: (A) spouse, (B)  | 
 dependent parent who
is receiving at least half of his or  | 
 her support from the TRS benefit
recipient, or (C)  | 
 natural, step, adjudicated, or adopted child who is (i)  | 
 under age 26, (ii) was, on January 1, 1996, participating  | 
 as a dependent
beneficiary in the health insurance program  | 
 offered under Article 16 of the
Illinois Pension Code, or  | 
 (iii) age 19 or over who has a mental or physical  | 
 disability from a cause originating prior to the age of 19  | 
 (age 26 if enrolled as an adult child).
 | 
 "TRS dependent beneficiary" does not include, as indicated  | 
under paragraph (2) of this subsection (w), a dependent of the  | 
survivor of a TRS benefit recipient who first becomes a  | 
dependent of a survivor of a TRS benefit recipient on or after  | 
January 13, 2012 (the effective date of Public Act 97-668)  | 
unless that dependent would have been eligible for coverage as  | 
a dependent of the deceased TRS benefit recipient upon whom  | 
the survivor benefit is based.  | 
 | 
 (x) "Military leave" refers to individuals in basic
 | 
training for reserves, special/advanced training, annual  | 
training, emergency
call up, activation by the President of  | 
the United States, or any other training or duty in service to  | 
the United States Armed Forces.
 | 
 (y) (Blank).
 | 
 (z) "Community college benefit recipient" means a person  | 
who:
 | 
  (1) is not a "member" as defined in this Section; and
 | 
  (2) is receiving a monthly survivor's annuity or  | 
 retirement annuity
under Article 15 of the Illinois  | 
 Pension Code or would be receiving such monthly survivor's  | 
 annuity or retirement annuity except that the benefit  | 
 recipient elected on or after June 4, 2018 to receive an  | 
 accelerated pension benefit payment under Section 15-185.5  | 
 of the Illinois Pension Code in lieu of receiving an  | 
 annuity; and
 | 
  (3) either (i) was a full-time employee of a community  | 
 college district or
an association of community college  | 
 boards created under the Public Community
College Act  | 
 (other than an employee whose last employer under Article  | 
 15 of the
Illinois Pension Code was a community college  | 
 district subject to Article VII
of the Public Community  | 
 College Act) and was eligible to participate in a group
 | 
 health benefit plan as an employee during the time of  | 
 employment with a
community college district (other than a  | 
 | 
 community college district subject to
Article VII of the  | 
 Public Community College Act) or an association of  | 
 community
college boards, or (ii) is the survivor of a  | 
 person described in item (i).
 | 
 (aa) "Community college dependent beneficiary" means a  | 
person who:
 | 
  (1) is not a "member" or "dependent" as defined in  | 
 this Section; and
 | 
  (2) is a community college benefit recipient's: (A)  | 
 spouse, (B) dependent
parent who is receiving at least  | 
 half of his or her support from the community
college  | 
 benefit recipient, or (C) natural, step, adjudicated, or  | 
 adopted child who is (i)
under age 26, or (ii)
age 19 or  | 
 over and has a mental or physical disability from a cause  | 
 originating prior to the age of 19 (age 26 if enrolled as  | 
 an adult child).
 | 
 "Community college dependent beneficiary" does not  | 
include, as indicated under paragraph (2) of this subsection  | 
(aa), a dependent of the survivor of a community college  | 
benefit recipient who first becomes a dependent of a survivor  | 
of a community college benefit recipient on or after January  | 
13, 2012 (the effective date of Public Act 97-668) unless that  | 
dependent would have been eligible for coverage as a dependent  | 
of the deceased community college benefit recipient upon whom  | 
the survivor annuity is based.  | 
 (bb) "Qualified child advocacy center" means any Illinois  | 
 | 
child advocacy center and its administrative offices funded by  | 
the Department of Children and Family Services, as defined by  | 
the Children's Advocacy Center Act (55 ILCS 80/), approved by  | 
the Director and participating in a program created under  | 
subsection (n) of Section 10.
 | 
 (cc) "Placement for adoption" means the assumption and  | 
retention by a member of a legal obligation for total or  | 
partial support of a child in anticipation of adoption of the  | 
child. The child's placement with the member terminates upon  | 
the termination of such legal obligation.  | 
(Source: P.A. 101-242, eff. 8-9-19; 102-558, eff. 8-20-21;  | 
revised 12-2-21.)
 | 
 (5 ILCS 375/6.11)
 | 
 Sec. 6.11. Required health benefits; Illinois Insurance  | 
Code
requirements. The program of health
benefits shall  | 
provide the post-mastectomy care benefits required to be  | 
covered
by a policy of accident and health insurance under  | 
Section 356t of the Illinois
Insurance Code. The program of  | 
health benefits shall provide the coverage
required under  | 
Sections 356g, 356g.5, 356g.5-1, 356m, 356q,
356u, 356w, 356x,  | 
356z.2, 356z.4, 356z.4a, 356z.6, 356z.8, 356z.9, 356z.10,  | 
356z.11, 356z.12, 356z.13, 356z.14, 356z.15, 356z.17, 356z.22,  | 
356z.25, 356z.26, 356z.29, 356z.30a, 356z.32, 356z.33,  | 
356z.36, 356z.40, 356z.41, 356z.45, 356z.46, 356z.47, and  | 
356z.51 and 356z.43 of the
Illinois Insurance Code.
The  | 
 | 
program of health benefits must comply with Sections 155.22a,  | 
155.37, 355b, 356z.19, 370c, and 370c.1 and Article XXXIIB of  | 
the
Illinois Insurance Code. The Department of Insurance shall  | 
enforce the requirements of this Section with respect to  | 
Sections 370c and 370c.1 of the Illinois Insurance Code; all  | 
other requirements of this Section shall be enforced by the  | 
Department of Central Management Services.
 | 
 Rulemaking authority to implement Public Act 95-1045, if  | 
any, is conditioned on the rules being adopted in accordance  | 
with all provisions of the Illinois Administrative Procedure  | 
Act and all rules and procedures of the Joint Committee on  | 
Administrative Rules; any purported rule not so adopted, for  | 
whatever reason, is unauthorized.  | 
(Source: P.A. 101-13, eff. 6-12-19; 101-281, eff. 1-1-20;  | 
101-393, eff. 1-1-20; 101-452, eff. 1-1-20; 101-461, eff.  | 
1-1-20; 101-625, eff. 1-1-21; 102-30, eff. 1-1-22; 102-103,  | 
eff. 1-1-22; 102-203, eff. 1-1-22; 102-306, eff. 1-1-22;  | 
102-642, eff. 1-1-22; 102-665, eff. 10-8-21; revised  | 
10-26-21.)
 | 
 Section 40. The Sick Leave Bank Act is amended by changing  | 
Section 5.10 as follows:
 | 
 (5 ILCS 400/5.10) (from Ch. 127, par. 4255.10)
 | 
 Sec. 5.10. 
"Agency" means any branch, department, board,  | 
committee or
commission of State government, but does not  | 
 | 
include units of local
government, school districts, or boards  | 
of election commissioners, or the State Board of Education.
 | 
(Source: P.A. 102-539, eff. 8-20-21; revised 12-2-21.)
 | 
 Section 45. The Illinois Governmental Ethics Act is  | 
amended by changing Sections 4A-102 and 4A-107 as follows:
 | 
 (5 ILCS 420/4A-102) (from Ch. 127, par. 604A-102)
 | 
 Sec. 4A-102. The statement of economic interests required  | 
by this Article
shall include the economic interests of the  | 
person making the statement as
provided in this Section.  | 
 (a) The interest (if constructively controlled by the
 | 
person making the statement) of a spouse or any other party,  | 
shall be
considered to be the same as the interest of the  | 
person making the
statement. Campaign receipts shall not be  | 
included in this statement. The following interests shall be  | 
listed by all persons required to file:  | 
  (1) each asset that has a value of more than $10,000 as  | 
 of the end of the preceding calendar year and is: (i) held  | 
 in the filer's name, (ii) held jointly by the filer with  | 
 his or her spouse, or (iii) held jointly by the filer with  | 
 his or her minor child or children. For a beneficial  | 
 interest in a trust, the value is based on the total value  | 
 of the assets either subject to the beneficial interest,  | 
 or from which income is to be derived for the benefit of  | 
 the beneficial interest, regardless of whether any  | 
 | 
 distributions have been made for the benefit of the  | 
 beneficial interest; | 
  (2) excluding the income from the position that  | 
 requires the filing of a statement of economic interests  | 
 under this Act, each source of income in excess of $7,500  | 
 during the preceding calendar year (as required to be  | 
 reported on the filer's federal income tax return covering  | 
 the preceding calendar year) for the filer and his or her  | 
 spouse and, if the sale or transfer of an asset produced  | 
 more than $7,500 in capital gains during the preceding  | 
 calendar year, the transaction date on which that asset  | 
 was sold or transferred; | 
  (3) each creditor of a debt in excess of $10,000 that,  | 
 during the preceding calendar year, was: (i) owed by the  | 
 filer, (ii) owed jointly by the filer with his or her  | 
 spouse or (iii) owed jointly by the filer with his or her  | 
 minor child or children; | 
  (4) the name of each unit of government of which the  | 
 filer or his or her spouse was an employee, contractor, or  | 
 office holder during the preceding calendar year other  | 
 than the unit or units of government in relation to which  | 
 the person is required to file and the title of the  | 
 position or nature of the contractual services;  | 
  (5) each person known to the filer to be registered as  | 
 a lobbyist with any unit of government in the State of  | 
 Illinois: (i) with whom the filer maintains an economic  | 
 | 
 relationship, or (ii) who is a member of the filer's  | 
 family; and | 
  (6) each source and type of gift or gifts, or  | 
 honorarium or honoraria, valued singly or in the aggregate  | 
 in excess of $500 that was received during the preceding  | 
 calendar year, excluding any gift or gifts from a member  | 
 of the filer's family that was not known to the filer to be  | 
 registered as a lobbyist with any unit of government in  | 
 the State of Illinois; and .  | 
  (7) the name of any spouse or immediate family member  | 
 living with such person employed by a public utility in  | 
 this State and the name of the public utility that employs  | 
 such person.  | 
 For the purposes of this Section, the unit of local  | 
government in relation to which a person is required to file  | 
under item (e) of Section 4A-101.5 shall be the unit of local  | 
government that contributes to the pension fund of which such  | 
person is a member of the board. | 
 (b) Beginning December 1, 2025, and for every 5 years  | 
thereafter, the Secretary of State shall adjust the amounts  | 
specified under this Section that prompt disclosure under this  | 
Act for purposes of inflation as determined by the Consumer  | 
Price Index for All Urban Consumers as issued by the United  | 
States Department of Labor and rounded to the nearest $100.  | 
The Secretary shall publish this information on the official  | 
website of the Secretary of State, and make changes to the  | 
 | 
statement of economic interests form to be completed for the  | 
following year. | 
 (c) The Secretary of State shall develop and make publicly  | 
available on his or her website written guidance relating to  | 
the completion and filing of the statement of economic  | 
interests upon which a filer may reasonably and in good faith  | 
rely. 
 | 
  (d) The following interest shall also be listed by  | 
 persons listed in items (a) through (f) of Section 4A-101:  | 
 the name of any spouse or immediate family member living  | 
 with such person employed by a public utility in this  | 
 State and the name of the public utility that employs such  | 
 person. is | 
(Source: P.A. 101-221, eff. 8-9-19; 102-662, eff. 9-15-21;  | 
102-664, eff. 1-1-22; revised 11-17-21.)
 | 
 (5 ILCS 420/4A-107) (from Ch. 127, par. 604A-107)
 | 
 Sec. 4A-107. Any person required to file a statement of  | 
economic interests
under this Article who willfully files a  | 
false or incomplete statement shall be
guilty of a Class A  | 
misdemeanor; provided, a filer's statement made in reasonable,  | 
good faith reliance on the guidance provided by the Secretary  | 
of State pursuant to Section 4A-102 or his or her ethics  | 
officer shall not constitute a willful false or incomplete  | 
statement.
 | 
 Except when the fees and penalties for late filing have  | 
 | 
been waived under Section 4A-105, failure to file a statement  | 
within the time prescribed shall result in
ineligibility for,  | 
or forfeiture of, office or position of employment, as
the  | 
case may be; provided, however, that if the notice of failure  | 
to
file a statement of economic interests provided in Section  | 
4A-105 of this
Act is not given by the Secretary of State or  | 
the county clerk, as the case
may be, no forfeiture shall  | 
result if a statement is filed within 30 days
of actual notice  | 
of the failure to file. The Secretary of State shall provide  | 
the Attorney General with the names of persons who failed to  | 
file a statement. The county clerk shall provide the State's  | 
Attorney of the county of the entity for which the filing of a  | 
statement of economic interest is required with the name of  | 
persons who failed to file a statement.
 | 
 The Attorney General, with respect to offices or positions  | 
described in
items (a) through (f) and items (j), (l), (n), and  | 
(p) of Section 4A-101 of this
Act, or the State's
Attorney of  | 
the county of the entity for which the filing of statements of
 | 
economic interests is required, with respect to offices or  | 
positions
described in items (a) through (e) of
Section  | 
4A-101.5,
shall bring an action in quo warranto against any  | 
person who has failed to file
by either May 31 or June 30 of  | 
any given year and for whom the fees and penalties for late  | 
filing have not been waived under Section 4A-105.
 | 
(Source: P.A. 101-221, eff. 8-9-19; 102-664, eff. 1-1-22;  | 
revised 12-16-21.)
 | 
 | 
 Section 50. The State Officials and Employees Ethics Act  | 
is amended by changing Section 5-50 as follows:
 | 
 (5 ILCS 430/5-50)
 | 
 Sec. 5-50. Ex parte communications; special government  | 
agents.
 | 
 (a) This Section applies to ex
parte communications made  | 
to any agency listed in subsection (e).
 | 
 (b) "Ex parte communication" means any written or oral  | 
communication by any
person
that imparts or requests material
 | 
information
or makes a material argument regarding
potential  | 
action concerning regulatory, quasi-adjudicatory, investment,  | 
or
licensing
matters pending before or under consideration by  | 
the agency.
"Ex parte
communication" does not include the  | 
following: (i) statements by
a person publicly made in a  | 
public forum; (ii) statements regarding
matters of procedure  | 
and practice, such as format, the
number of copies required,  | 
the manner of filing, and the status
of a matter; and (iii)  | 
statements made by a
State employee of the agency to the agency  | 
head or other employees of that
agency.
 | 
 (b-5) An ex parte communication received by an agency,
 | 
agency head, or other agency employee from an interested party  | 
or
his or her official representative or attorney shall  | 
promptly be
memorialized and made a part of the record.
 | 
 (c) An ex parte communication received by any agency,  | 
 | 
agency head, or
other agency
employee, other than an ex parte  | 
communication described in subsection (b-5),
shall immediately  | 
be reported to that agency's ethics officer by the recipient
 | 
of the communication and by any other employee of that agency  | 
who responds to
the communication. The ethics officer shall  | 
require that the ex parte
communication
be promptly made a  | 
part of the record. The ethics officer shall promptly
file the  | 
ex parte communication with the
Executive Ethics Commission,  | 
including all written
communications, all written responses to  | 
the communications, and a memorandum
prepared by the ethics  | 
officer stating the nature and substance of all oral
 | 
communications, the identity and job title of the person to  | 
whom each
communication was made,
all responses made, the  | 
identity and job title of the person making each
response,
the  | 
identity of each person from whom the written or oral ex parte
 | 
communication was received, the individual or entity  | 
represented by that
person, any action the person requested or  | 
recommended, and any other pertinent
information.
The  | 
disclosure shall also contain the date of any
ex parte  | 
communication.
 | 
 (d) "Interested party" means a person or entity whose  | 
rights,
privileges, or interests are the subject of or are  | 
directly affected by
a regulatory, quasi-adjudicatory,  | 
investment, or licensing matter.
For purposes of an ex parte  | 
communication received by either the Illinois Commerce  | 
Commission or the Illinois Power Agency, "interested party"  | 
 | 
also includes: (1) an organization comprised of 2 or more  | 
businesses, persons, nonprofit entities, or any combination  | 
thereof, that are working in concert to advance public policy  | 
advocated by the organization, or (2) any party selling  | 
renewable energy resources procured by the Illinois Power  | 
Agency pursuant to Section 16-111.5 of the Public Utilities  | 
Act and Section 1-75 of the Illinois Power Agency Act. 
 | 
 (e) This Section applies to the following agencies:
 | 
Executive Ethics Commission
 | 
Illinois Commerce Commission
 | 
Illinois Power Agency  | 
Educational Labor Relations Board
 | 
State Board of Elections
 | 
Illinois Gaming Board
 | 
Health Facilities and Services Review Board 
 | 
Illinois Workers' Compensation Commission
 | 
Illinois Labor Relations Board
 | 
Illinois Liquor Control Commission
 | 
Pollution Control Board
 | 
Property Tax Appeal Board
 | 
Illinois Racing Board
 | 
Illinois Purchased Care Review Board
 | 
Illinois State Police Merit Board
 | 
Motor Vehicle Review Board
 | 
Prisoner Review Board
 | 
Civil Service Commission
 | 
 | 
Personnel Review Board for the Treasurer
 | 
Merit Commission for the Secretary of State
 | 
Merit Commission for the Office of the Comptroller | 
Court of Claims
 | 
Board of Review of the Department of Employment Security
 | 
Department of Insurance
 | 
Department of Professional Regulation and licensing boards
 | 
 under the Department
 | 
Department of Public Health and licensing boards under the
 | 
 Department
 | 
Office of Banks and Real Estate and licensing boards under
 | 
 the Office | 
State Employees Retirement System Board of Trustees
 | 
Judges Retirement System Board of Trustees
 | 
General Assembly Retirement System Board of Trustees
 | 
Illinois Board of Investment
 | 
State Universities Retirement System Board of Trustees
 | 
Teachers Retirement System Officers Board of Trustees
 | 
 (f) Any person who fails to (i) report an ex parte  | 
communication to an
ethics officer, (ii) make information part  | 
of the record, or (iii) make a
filing
with the Executive Ethics  | 
Commission as required by this Section or as required
by
 | 
Section 5-165 of the Illinois Administrative Procedure Act  | 
violates this Act.
 | 
(Source: P.A. 102-538, eff. 8-20-21; 102-662, eff. 9-15-21;  | 
revised 11-17-21.)
 | 
 | 
 Section 55. The Community-Law Enforcement and Other First  | 
Responder Partnership for Deflection and Substance Use  | 
Disorder Treatment Act is amended by changing Sections 10 and  | 
35 as follows:
 | 
 (5 ILCS 820/10)
 | 
 Sec. 10. Definitions. In this Act:
 | 
 "Case management" means those services which will assist  | 
persons in gaining access to needed social, educational,  | 
medical, substance use and mental health treatment, and other  | 
services.
 | 
 "Community member or organization" means an individual  | 
volunteer, resident, public office, or a not-for-profit  | 
organization, religious institution, charitable organization,  | 
or other public body committed to the improvement of  | 
individual and family mental and physical well-being and the  | 
overall social welfare of the community, and may include  | 
persons with lived experience in recovery from substance use  | 
disorder, either themselves or as family members.
 | 
 "Other first responder" means and includes emergency  | 
medical services providers that are public units of  | 
government, fire departments and districts, and officials and  | 
responders representing and employed by these entities.  | 
 "Deflection program" means a program in which a peace  | 
officer or member of a law enforcement agency or other first  | 
 | 
responder facilitates contact between an individual and a  | 
licensed substance use treatment provider or clinician for  | 
assessment and coordination of treatment planning, including  | 
co-responder approaches that incorporate behavioral health,  | 
peer, or social work professionals with law enforcement or  | 
other first responders at the scene. This facilitation  | 
includes defined criteria for eligibility and communication  | 
protocols agreed to by the law enforcement agency or other  | 
first responder entity and the licensed treatment provider for  | 
the purpose of providing substance use treatment to those  | 
persons in lieu of arrest or further justice system  | 
involvement, or unnecessary admissions to the emergency  | 
department. Deflection programs may include, but are not  | 
limited to, the following types of responses: | 
  (1) a post-overdose deflection response initiated by a  | 
 peace officer or law enforcement agency subsequent to  | 
 emergency administration of medication to reverse an  | 
 overdose, or in cases of severe substance use disorder  | 
 with acute risk for overdose;
 | 
  (2) a self-referral deflection response initiated by  | 
 an individual by contacting a peace officer or law  | 
 enforcement agency or other first responder in the  | 
 acknowledgment of their substance use or disorder;
 | 
  (3) an active outreach deflection response initiated  | 
 by a peace officer or law enforcement agency or other  | 
 first responder as a result of proactive identification of  | 
 | 
 persons thought likely to have a substance use disorder;
 | 
  (4) an officer or other first responder prevention  | 
 deflection response initiated by a peace officer or law  | 
 enforcement agency in response to a community call when no  | 
 criminal charges are present; and | 
  (5) an officer intervention deflection response when  | 
 criminal charges are present but held in abeyance pending  | 
 engagement with treatment.
 | 
 "Law enforcement agency" means a municipal police  | 
department or county sheriff's office of this State, the  | 
Illinois State Police, or other law enforcement agency whose  | 
officers, by statute, are granted and authorized to exercise  | 
powers similar to those conferred upon any peace officer  | 
employed by a law enforcement agency of this State.
 | 
 "Licensed treatment provider" means an organization  | 
licensed by the Department of Human Services to perform an  | 
activity or service, or a coordinated range of those  | 
activities or services, as the Department of Human Services  | 
may establish by rule, such as the broad range of emergency,  | 
outpatient, intensive outpatient, and residential services and  | 
care, including assessment, diagnosis, case management,  | 
medical, psychiatric, psychological and social services,  | 
medication-assisted treatment, care and counseling, and  | 
recovery support, which may be extended to persons to assess  | 
or treat substance use disorder or to families of those  | 
persons.
 | 
 | 
 "Peace officer" means any peace officer or member of any  | 
duly organized State, county, or municipal peace officer unit,  | 
any police force of another State, or any police force whose  | 
members, by statute, are granted and authorized to exercise  | 
powers similar to those conferred upon any peace officer  | 
employed by a law enforcement agency of this State.
 | 
 "Substance use disorder" means a pattern of use of alcohol  | 
or other drugs leading to clinical or functional impairment,  | 
in accordance with the definition in the Diagnostic and  | 
Statistical Manual of Mental Disorders (DSM-5), or in any  | 
subsequent editions.
 | 
 "Treatment" means the broad range of emergency,  | 
outpatient, intensive outpatient, and residential services and  | 
care (including assessment, diagnosis, case management,  | 
medical, psychiatric, psychological and social services,  | 
medication-assisted treatment, care and counseling, and  | 
recovery support) which may be extended to persons who have  | 
substance use disorders, persons with mental illness, or  | 
families of those persons.
 | 
(Source: P.A. 101-652, eff. 7-1-21; 102-538, eff. 8-20-21;  | 
revised 10-6-21.)
 | 
 (5 ILCS 820/35) | 
 Sec. 35. Funding.
 | 
 (a) The General Assembly may appropriate funds to the  | 
Illinois Criminal Justice Information Authority for the  | 
 | 
purpose of funding law enforcement agencies or other first  | 
responder entities for services provided by deflection program  | 
partners as part of deflection programs subject to subsection  | 
(d) of Section 15 of this Act.
 | 
 (a.1) Up to 10 percent of appropriated funds may be  | 
expended on activities related to knowledge dissemination,  | 
training, technical assistance, or other similar activities  | 
intended to increase practitioner and public awareness of  | 
deflection and/or to support its implementation. The Illinois  | 
Criminal Justice Information Authority may adopt guidelines  | 
and requirements to direct the distribution of funds for these  | 
activities.  | 
 (b) For all appropriated funds not distributed under  | 
subsection (a.1) a.1, the Illinois Criminal Justice  | 
Information Authority may adopt guidelines and requirements to  | 
direct the distribution of funds for expenses related to  | 
deflection programs. Funding shall be made available to  | 
support both new and existing deflection programs in a broad  | 
spectrum of geographic regions in this State, including urban,  | 
suburban, and rural communities. Funding for deflection  | 
programs shall be prioritized for communities that have been  | 
impacted by the war on drugs, communities that have a  | 
police/community relations issue, and communities that have a  | 
disproportionate lack of access to mental health and drug  | 
treatment. Activities eligible for funding under this Act may  | 
include, but are not limited to, the following:
 | 
 | 
  (1) activities related to program administration,  | 
 coordination, or management, including, but not limited  | 
 to, the development of collaborative partnerships with  | 
 licensed treatment providers and community members or  | 
 organizations; collection of program data; or monitoring  | 
 of compliance with a local deflection program plan;
 | 
  (2) case management including case management provided  | 
 prior to assessment, diagnosis, and engagement in  | 
 treatment, as well as assistance navigating and gaining  | 
 access to various treatment modalities and support  | 
 services;
 | 
  (3) peer recovery or recovery support services that  | 
 include the perspectives of persons with the experience of  | 
 recovering from a substance use disorder, either  | 
 themselves or as family members;
 | 
  (4) transportation to a licensed treatment provider or  | 
 other program partner location; | 
  (5) program evaluation activities; . | 
  (6) naloxone and related supplies necessary for  | 
 carrying out overdose reversal for purposes of  | 
 distribution to program participants or for use by law  | 
 enforcement or other first responders; and | 
  (7) treatment necessary to prevent gaps in service  | 
 delivery between linkage and coverage by other funding  | 
 sources when otherwise non-reimbursable.  | 
 (c) Specific linkage agreements with recovery support  | 
 | 
services or self-help entities may be a requirement of the  | 
program services protocols. All deflection programs shall  | 
encourage the involvement of key family members and  | 
significant others as a part of a family-based approach to  | 
treatment. All deflection programs are encouraged to use  | 
evidence-based practices and outcome measures in the provision  | 
of substance use disorder treatment and medication-assisted  | 
treatment for persons with opioid use disorders.
 | 
(Source: P.A. 100-1025, eff. 1-1-19; 101-81, eff. 7-12-19;  | 
101-652, eff. 7-1-21; revised 11-24-21.)
 | 
 Section 60. The Gun Trafficking Information Act is amended  | 
by changing Section 10-5 as follows:
 | 
 (5 ILCS 830/10-5)
 | 
 Sec. 10-5. Gun trafficking information.
 | 
 (a) The Illinois State Police shall use all reasonable  | 
efforts in making publicly available, on a regular and ongoing
 | 
basis, key information related to firearms used in the
 | 
commission of crimes in this State, including, but not limited
 | 
to: reports on crimes committed with firearms, locations where
 | 
the crimes occurred, the number of persons killed or injured  | 
in
the commission of the crimes, the state where the firearms  | 
used
originated, the Federal Firearms Licensee that sold the  | 
firearm, the type of firearms used, annual statistical  | 
information concerning Firearm Owner's Identification Card and  | 
 | 
concealed carry license applications, revocations, and  | 
compliance with Section 9.5 of the Firearm Owners  | 
Identification Card Act, firearm restraining order  | 
dispositions, and firearm dealer license certification  | 
inspections. The Illinois State Police
shall make the  | 
information available on its
website, which may be presented  | 
in a dashboard format, in addition to electronically filing a  | 
report with the
Governor and the General Assembly. The report  | 
to the General
Assembly shall be filed with the Clerk of the  | 
House of
Representatives and the Secretary of the Senate in  | 
electronic
form only, in the manner that the Clerk and the  | 
Secretary shall
direct.
 | 
 (b) The Illinois State Police shall study, on a regular  | 
and ongoing basis, and compile reports on the number of  | 
Firearm Owner's Identification Card checks to determine  | 
firearms trafficking or straw purchase patterns. The Illinois  | 
State Police shall, to the extent not inconsistent with law,  | 
share such reports and underlying data with academic centers,  | 
foundations, and law enforcement agencies studying firearms  | 
trafficking, provided that personally identifying information  | 
is protected. For purposes of this subsection (b), a Firearm  | 
Owner's Identification Card number is not personally  | 
identifying information, provided that no other personal  | 
information of the card holder is attached to the record. The  | 
Illinois State Police may create and attach an alternate  | 
unique identifying number to each Firearm Owner's  | 
 | 
Identification Card number, instead of releasing the Firearm  | 
Owner's Identification Card number itself. | 
 (c) Each department, office, division, and agency of this
 | 
State shall, to the extent not inconsistent with law,  | 
cooperate
fully with the Illinois State Police and furnish the
 | 
Illinois State Police with all relevant information and  | 
assistance on a
timely basis as is necessary to accomplish the  | 
purpose of this
Act. The Illinois Criminal Justice Information  | 
Authority shall submit the information required in subsection  | 
(a) of this Section to the Illinois State Police, and any other  | 
information as the Illinois State Police may request, to  | 
assist the Illinois State Police in carrying out its duties  | 
under this Act.
 | 
(Source: P.A. 102-237, eff. 1-1-22; 102-538, eff. 8-20-21;  | 
revised 10-5-21.)
 | 
 Section 65. The Election Code is amended by changing  | 
Section 19-2 as follows:
 | 
 (10 ILCS 5/19-2) (from Ch. 46, par. 19-2) | 
 Sec. 19-2. Except as otherwise provided in this Code, any  | 
elector as defined in Section 19-1 may by mail or  | 
electronically on the website of the appropriate election  | 
authority, not more than 90 nor less than 5 days prior to the
 | 
date of such election, or by personal delivery not more than 90  | 
nor less
than one day prior to the date of such election, make  | 
 | 
application to the
county clerk or to the Board of Election  | 
Commissioners for an official
ballot for the voter's precinct  | 
to be voted at such election to. Such a ballot shall be  | 
delivered to the elector only upon separate application by the  | 
elector for each election. Voters who make an application for  | 
permanent vote by mail ballot status shall follow the  | 
procedures specified in Section 19-3 and may apply year round.  | 
Voters whose application for permanent vote by mail status is  | 
accepted by the election authority shall remain on the  | 
permanent vote by mail list until the voter requests to be  | 
removed from permanent vote by mail status, the voter provides  | 
notice to the election authority of a change in registration  | 
that affects their registration status, or the election  | 
authority receives confirmation that the voter has  | 
subsequently registered to vote in another election authority  | 
jurisdiction. The URL address at which voters may  | 
electronically request a vote by mail ballot shall be fixed no  | 
later than 90 calendar days before an election and shall not be  | 
changed until after the election.
 | 
(Source: P.A. 102-15, eff. 6-17-21; 102-668, eff. 11-15-21;  | 
102-687, eff. 12-17-21; revised 1-5-22.)
 | 
 Section 70. The Secretary of State Act is amended by  | 
setting forth, renumbering, and changing multiple
versions of  | 
Section 35 as follows:
 | 
 | 
 (15 ILCS 305/35) | 
 (Section scheduled to be repealed on July 1, 2022) | 
 Sec. 35. Task Force on Best Practices and Licensing of  | 
Non-Transplant Organ Donation Organizations. | 
 (a) The General Assembly finds and declares that: | 
  (1) Non-transplant organ donation organizations that  | 
 accept or process whole body donations or body parts not  | 
 for transplantation owe a duty of transparency and  | 
 safekeeping to the donor and his or her next of kin.  | 
 Medical and scientific research is critical to a continued  | 
 understanding of the human body, disease, and training the  | 
 next generation of medical professionals, funeral home  | 
 directors, coroners, and mortuary students. Non-transplant  | 
 organ donation organizations do not include organizations  | 
 that receive body parts for the purposes of  | 
 transplantation. | 
  (2) Recently, non-transplant organizations that  | 
 receive or process whole body donation or body part  | 
 donation not for transplantation purposes, have misused or  | 
 mishandled donor bodies and body parts. | 
  (3) Neither State nor federal law adequately regulates  | 
 this industry.  | 
 (b) As used in this Section, "Task Force" means the Task  | 
Force on Best Practices and Licensing of Non-Transplant Organ  | 
Donation Organizations.  | 
 (c) There is created a Task Force on Best Practices and  | 
 | 
Licensing of Non-Transplant Organ Donation Organizations to  | 
review and report on national standards for best practices in  | 
relation to the licensing and regulation of organizations that  | 
solicit or accept non-transplantation whole bodies and body  | 
parts, including licensing standards, State regulation,  | 
identification of bodies and body parts, and sanctions. The  | 
goal of the Task Force is to research the industry,  | 
investigate State and local standards, and provide  | 
recommendations to the General Assembly and Office of the  | 
Governor. | 
 (d) The Task Force's report shall include, but not be  | 
limited to, standards for organizations that accept whole body  | 
and body part donation, the application process for licensure,  | 
best practices regarding consent, the identification,  | 
labeling, handling and return of bodies and body parts to  | 
ensure proper end-use and return to the next of kin, and best  | 
practices for ensuring donors and next of kin are treated with  | 
transparency and dignity. The report shall also evaluate and  | 
make a recommendation as to the area of State government most  | 
appropriate for licensing organizations and regulation of the  | 
industry. The report shall also make a recommendation on  | 
legislation to enact the findings of the Task Force. | 
 (e) The Task Force shall meet no less than 5 times between  | 
July 9, 2021 (the effective date of Public Act 102-96) this  | 
amendatory Act of the 102nd General Assembly and December 31,  | 
2021. The Task Force shall prepare a report that summarizes  | 
 | 
its work and makes recommendations resulting from its review.  | 
The Task Force shall submit the report of its findings and  | 
recommendations to the Governor and General Assembly no later  | 
than January 15, 2022. | 
 (f) The Task Force shall consist of the following 8  | 
members: | 
  (1) the Secretary of State or his or her designee; | 
  (2) one member appointed by the Secretary of State  | 
 from the Department of Organ Donor of the Office of the  | 
 Secretary of State; | 
  (3) one member appointed by the President of the  | 
 Senate; | 
  (4) one member appointed by the Minority Leader of the  | 
 Senate; | 
  (5) one member appointed by the Speaker of the House  | 
 of Representatives; | 
  (6) one member appointed by the Minority Leader of the  | 
 House of Representatives; | 
  (7) one member appointed by the Director of Public  | 
 Health; and | 
  (8) one member from a University or Mortuary School  | 
 that has experience in receiving whole body donations,  | 
 appointed by the Governor. | 
 (g) The Secretary of State shall designate which member  | 
shall serve as chairperson and facilitate the Task Force. The  | 
members of the Task Force shall be appointed no later than 90  | 
 | 
days after July 9, 2021 (the effective date of Public Act  | 
102-96) this amendatory Act of the 102nd General Assembly.  | 
Vacancies in the membership of the Task Force shall be filled  | 
in the same manner as the original appointment. The members of  | 
the Task Force shall not receive compensation for serving as  | 
members of the Task Force. | 
 (h) The Office of the Secretary of State shall provide the  | 
Task Force with administrative and other support. | 
 (i) This Section is repealed on July 1, 2022. 
 | 
(Source: P.A. 102-96, eff. 7-9-21; revised 10-27-21.)
 | 
 (15 ILCS 305/36)
 | 
 Sec. 36 35. Authority to accept electronic signatures. | 
 (a) Through the adoption of administrative rules, the  | 
Secretary may authorize the filing of documents with his or  | 
her office that have been signed by electronic means. | 
 (b) The administrative rules adopted by the Secretary  | 
shall set forth the following: | 
  (1) the type of electronic signature required; | 
  (2) the manner and format in which the electronic  | 
 signature must be affixed to the electronic record; | 
  (3) the types of transactions which may be filed with  | 
 his or her office with electronic signatures; | 
  (4) the procedures for seeking certification of  | 
 compliance with electronic signature requirements; and | 
  (5) the date on which the Secretary will begin  | 
 | 
 accepting electronic signatures. | 
 (c) Any entity seeking to provide services to third  | 
parties for the execution of electronic signatures for filing  | 
with the Secretary of State shall apply for a certification of  | 
compliance with the requirements for the submission of  | 
electronic signatures. To receive a certification of  | 
compliance, the entity must establish the ability to comply  | 
with all of the requirements of this Section and the  | 
administrative rules adopted pursuant to this Section. There  | 
is no limitation on the number of entities that may be issued a  | 
certification of compliance. The Secretary shall include on  | 
its Internet website a list of the entities that have been  | 
issued a certification of compliance. | 
 (d) The Secretary shall only accept electronic signatures  | 
created by use of the services of an entity that has received a  | 
certification of compliance as set forth in this Section. | 
 (e) An electronic signature must meet all of the following  | 
requirements: | 
  (1) Be executed or adopted by a person with the intent  | 
 to sign the document so as to indicate the person's  | 
 approval of the information contained in the document. | 
  (2) Be attached to or logically associated with the  | 
 information contained in the document being signed. | 
  (3) Be capable of reliable identification and  | 
 authentication of the person as the signer. Identification  | 
 and authentication may be accomplished through additional  | 
 | 
 security procedures or processes if reliably correlated to  | 
 the electronic signature. | 
  (4) Be linked to the document in a manner that would  | 
 invalidate the electronic signature if the document is  | 
 changed. | 
  (5) Be linked to the document so as to preserve its  | 
 integrity as an accurate and complete record for the full  | 
 retention period of the document. | 
  (6) Be compatible with the standards and technology  | 
 for electronic signatures that are generally used in  | 
 commerce and industry and by state governments. | 
 (f) If the Secretary determines an electronic signature is  | 
not in compliance with this Section or the administrative  | 
rules adopted pursuant to this Section, or is not in  | 
compliance with other applicable statutory or regulatory  | 
provisions, the Secretary may refuse to accept the signature. | 
 (g) Electronic signatures accepted by the Secretary of  | 
State shall have the same force and effect as manual  | 
signatures. | 
 (h) Electronic delivery of records accepted by the  | 
Secretary of State shall have the same force and effect as  | 
physical delivery of records. | 
 (i) Electronic records and electronic signatures accepted  | 
by the Secretary of State shall be admissible in all  | 
administrative, quasi-judicial, and judicial proceedings. In  | 
any such proceeding, nothing in the application of the rules  | 
 | 
of evidence shall apply so as to deny the admissibility of an  | 
electronic record or electronic signature into evidence on the  | 
sole ground that it is an electronic record or electronic  | 
signature, or on the grounds that it is not in its original  | 
form or is not an original. Information in the form of an  | 
electronic record shall be given due evidentiary weight by the  | 
trier of fact.
 | 
(Source: P.A. 102-213, eff. 1-1-22; revised 10-27-21.)
 | 
 Section 75. The Secretary of State Merit Employment Code  | 
is amended by changing Section 10b.1 as follows:
 | 
 (15 ILCS 310/10b.1) (from Ch. 124, par. 110b.1)
 | 
 Sec. 10b.1. Competitive examinations. 
 | 
 (a) For open competitive
examinations to test the relative  | 
fitness of applicants for the
respective positions. Tests  | 
shall be designed to eliminate those who
are not qualified for  | 
entrance into the Office of the Secretary of State
and to  | 
discover the relative fitness of those who are qualified. The
 | 
Director may use any one of or any combination of the following
 | 
examination methods which in his judgment best serves this  | 
end:
investigation of education and experience; test of  | 
cultural knowledge;
test of capacity; test of knowledge; test  | 
of manual skill; test of
linguistic ability; test of  | 
character; test of physical skill; test of
psychological  | 
fitness. No person with a record of misdemeanor
convictions  | 
 | 
except those under Sections 11-1.50, 11-6, 11-7, 11-9, 11-14,
 | 
11-15, 11-17, 11-18, 11-19, 11-30, 11-35, 12-2, 12-6, 12-15,  | 
14-4, 16-1, 21.1-3, 24-3.1,
24-5, 25-1, 28-3, 31-1, 31-4,  | 
31-6, 31-7, 32-1, 32-2, 32-3, 32-4, and 32-8, subdivisions  | 
(a)(1) and (a)(2)(C) of Section 11-14.3,
and paragraphs (1),  | 
(6), and (8) of subsection (a) sub-sections 1, 6 and 8 of  | 
Section 24-1 of the Criminal Code of
1961 or the Criminal Code  | 
of 2012, or arrested for any cause but not convicted thereon  | 
shall be
disqualified from taking such examinations or  | 
subsequent appointment
unless the person is attempting to  | 
qualify for a position which would
give him the powers of a  | 
peace officer, in which case the person's
conviction or arrest  | 
record may be considered as a factor in determining
the  | 
person's fitness for the position. All examinations shall be
 | 
announced publicly at least 2 weeks in advance of the date of
 | 
examinations and may be advertised through the press, radio or  | 
other
media.
 | 
 The Director may, at his discretion, accept the results of
 | 
competitive examinations conducted by any merit system  | 
established by
Federal law or by the law of any state State,  | 
and may compile eligible lists
therefrom or may add the names  | 
of successful candidates in examinations
conducted by those  | 
merit systems to existing eligible lists in
accordance with  | 
their respective ratings. No person who is a
non-resident of  | 
the State of Illinois may be appointed from those
eligible  | 
lists, however, unless the requirement that applicants be
 | 
 | 
residents of the State of Illinois is waived by the Director of
 | 
Personnel and unless there are less than 3 Illinois residents  | 
available
for appointment from the appropriate eligible list.  | 
The results of the
examinations conducted by other merit  | 
systems may not be used unless
they are comparable in  | 
difficulty and comprehensiveness to examinations
conducted by  | 
the Department of Personnel for similar positions. Special
 | 
linguistic options may also be established where deemed  | 
appropriate.
 | 
 (b) The Director of Personnel may require that each person  | 
seeking
employment with the Secretary of State, as part of the  | 
application
process, authorize an investigation to determine  | 
if the applicant has
ever been convicted of a crime and if so,  | 
the disposition of those
convictions; this authorization shall  | 
indicate the scope of the inquiry
and the agencies which may be  | 
contacted. Upon this authorization, the
Director of Personnel  | 
may request and receive information and assistance
from any  | 
federal, state or local governmental agency as part of the
 | 
authorized investigation. The investigation shall be  | 
undertaken after the
fingerprinting of an applicant in the  | 
form and manner prescribed by the
Illinois State Police. The  | 
investigation shall consist of a criminal
history records  | 
check performed by the Illinois State Police and the
Federal  | 
Bureau of Investigation, or some other entity that has the  | 
ability to
check the applicant's fingerprints against the  | 
fingerprint records now and
hereafter filed in the Illinois  | 
 | 
State Police and Federal Bureau of
Investigation criminal  | 
history records databases. If the Illinois State Police and  | 
the Federal Bureau of Investigation
conduct an investigation  | 
directly for the Secretary of State's Office, then
the  | 
Illinois State Police shall charge a fee for conducting the  | 
criminal
history records check, which shall be deposited in  | 
the State Police Services
Fund and shall not exceed the actual  | 
cost of the records check. The
Illinois State Police shall
 | 
provide information concerning any criminal convictions, and  | 
their
disposition, brought against the applicant or  | 
prospective employee of
the Secretary of State upon request of  | 
the Department of Personnel when
the request is made in the  | 
form and manner required by the Illinois State Police. The  | 
information derived from this investigation,
including the  | 
source of this information, and any conclusions or
 | 
recommendations derived from this information by the Director  | 
of
Personnel shall be provided to the applicant or prospective  | 
employee, or
his designee, upon request to the Director of  | 
Personnel prior to any
final action by the Director of  | 
Personnel on the application. No
information obtained from  | 
such investigation may be placed in any
automated information  | 
system. Any criminal convictions and their
disposition  | 
information obtained by the Director of Personnel shall be
 | 
confidential and may not be transmitted outside the Office of  | 
the
Secretary of State, except as required herein, and may not  | 
be
transmitted to anyone within the Office of the Secretary of  | 
 | 
State except
as needed for the purpose of evaluating the  | 
application. The only
physical identity materials which the  | 
applicant or prospective employee
can be required to provide  | 
the Director of Personnel are photographs or
fingerprints;  | 
these shall be returned to the applicant or prospective
 | 
employee upon request to the Director of Personnel, after the
 | 
investigation has been completed and no copy of these  | 
materials may be
kept by the Director of Personnel or any  | 
agency to which such identity
materials were transmitted. Only  | 
information and standards which bear a
reasonable and rational  | 
relation to the performance of an employee shall
be used by the  | 
Director of Personnel. The Secretary of State shall
adopt  | 
rules and regulations for the administration of this Section.  | 
Any
employee of the Secretary of State who gives or causes to  | 
be given away
any confidential information concerning any  | 
criminal convictions and
their disposition of an applicant or  | 
prospective employee shall be
guilty of a Class A misdemeanor  | 
unless release of such information is
authorized by this  | 
Section.
 | 
(Source: P.A. 102-538, eff. 8-20-21; revised 12-2-21.)
 | 
 Section 80. The State Comptroller Act is amended by  | 
setting forth and renumbering multiple
versions of Section 28  | 
as follows:
 | 
 (15 ILCS 405/28) | 
 | 
 Sec. 28. State Comptroller purchase of real property. | 
 (a) Subject to the provisions of the Public Contract Fraud
 | 
Act, the State Comptroller, on behalf of the State of  | 
Illinois, is
authorized during State fiscal years 2021 and  | 
2022 to acquire
real property located in the City of  | 
Springfield, which the State Comptroller deems necessary to  | 
properly carry out
the powers and duties vested in him or her.  | 
Real property
acquired under this Section may be acquired  | 
subject to any
third party interests in the property that do  | 
not prevent the
State Comptroller from exercising the intended  | 
beneficial use of
such property. This subsection (a) is  | 
inoperative on and after July 1, 2022. | 
 (b) Subject to the provisions of the Comptroller's
 | 
Procurement Rules, which shall be substantially in accordance
 | 
with the requirements of the Illinois Procurement Code, the
 | 
State Comptroller may: | 
  (1) enter into contracts relating to construction,
 | 
 reconstruction, or renovation projects for any such
 | 
 buildings or lands acquired under subsection (a); and | 
  (2) equip, lease, repair, operate, and maintain those  | 
 grounds,
buildings, and facilities as may be appropriate  | 
 to carry out
his or her statutory purposes and duties. | 
 (c) The State Comptroller may enter into agreements for  | 
the purposes of exercising his or her authority under this  | 
Section. | 
 (d) The exercise of the authority vested in the  | 
 | 
Comptroller to acquire
property under this
Section is subject  | 
to appropriation. | 
 (e) The Capital Facility and Technology Modernization Fund  | 
is hereby created as a special fund in the State treasury.  | 
Subject to appropriation, moneys in the Fund shall be used by  | 
the Comptroller for the purchase, reconstruction, lease,  | 
repair, and maintenance of real property as may be acquired  | 
under this Section, including for expenses related to the  | 
modernization and maintenance of information technology  | 
systems and infrastructure. 
 | 
(Source: P.A. 101-665, eff. 4-2-21.)
 | 
 (15 ILCS 405/29)
 | 
 Sec. 29 28. Comptroller recess appointments. If, during a  | 
recess of the Senate, there is a
vacancy in an office filled by  | 
appointment by the Comptroller by
and with the advice and  | 
consent of the Senate, the Comptroller
shall make a temporary  | 
appointment until the next meeting of
the Senate, when he or  | 
she shall make a nomination to fill such
office. Any  | 
nomination not acted upon by the Senate within 60 session
days  | 
after the receipt thereof shall be deemed to have
received the  | 
advice and consent of the Senate. No person rejected by the  | 
Senate for an office
shall, except at the Senate's request, be  | 
nominated again for
that office at the same session or be  | 
appointed to that
office during a recess of that Senate.
 | 
(Source: P.A. 102-291, eff. 8-6-21; revised 10-27-21.)
 | 
 | 
 Section 85. The Comptroller Merit Employment Code is  | 
amended by changing Section 10b.1 as follows:
 | 
 (15 ILCS 410/10b.1) (from Ch. 15, par. 426)
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 Sec. 10b.1. Competitive examinations. For open competitive  | 
examinations
to test the relative fitness of applicants for  | 
the respective positions.
Tests shall be designed to eliminate  | 
those who are not qualified for entrance
into the Office of the  | 
Comptroller and to discover the relative fitness
of those who  | 
are qualified. The Director may use any one of or any  | 
combination
of the following examination methods which in his  | 
judgment best serves this
end: investigation of education and  | 
experience; test of cultural knowledge;
test of capacity; test  | 
of knowledge; test of manual skill; test of linguistic
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ability; test of character; test of physical skill; test of  | 
psychological
fitness. No person with a record of misdemeanor  | 
convictions except those
under Sections 11-1.50, 11-6, 11-7,  | 
11-9, 11-14, 11-15, 11-17, 11-18, 11-19,
11-30, 11-35, 12-2,  | 
12-6, 12-15, 14-4, 16-1, 21.1-3, 24-3.1, 24-5, 25-1, 28-3,  | 
31-1,
31-4, 31-6, 31-7, 32-1, 32-2, 32-3, 32-4, and 32-8,  | 
subdivisions (a)(1) and (a)(2)(C) of Section 11-14.3, and  | 
paragraphs (1), (6), and (8) of subsection (a) sub-sections 1,  | 
6 and
8 of Section 24-1 of the Criminal Code of 1961 or the  | 
Criminal Code of 2012, or arrested for any cause
but not  | 
convicted thereon shall be disqualified
from taking such  | 
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examinations or subsequent appointment unless the person
is  | 
attempting to qualify for a position which entails financial
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responsibilities,
in which case the person's conviction or  | 
arrest record
may be considered as a factor in determining the  | 
person's fitness for the
position. All examinations shall be  | 
announced publicly at least 2 weeks
in advance of the date of  | 
examinations and may be advertised through the
press, radio or  | 
other media.
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 The Director may, at his or her discretion, accept the  | 
results of
competitive examinations
conducted by any merit  | 
system established by Federal law or by the law of
any state  | 
State, and may compile eligible lists therefrom or may add the  | 
names
of successful candidates in examinations conducted by  | 
those merit systems
to existing eligible lists in accordance  | 
with their respective ratings.
No person who is a non-resident  | 
of the State of Illinois may be appointed
from those eligible  | 
lists, however, unless the requirement that applicants
be  | 
residents of the State of Illinois is waived by the Director of  | 
Human
Resources
and unless there are less than 3 Illinois  | 
residents available for appointment
from the appropriate  | 
eligible list. The results of the examinations conducted
by  | 
other merit systems may not be used unless they are comparable  | 
in difficulty
and comprehensiveness to examinations conducted  | 
by the Department of Human
Resources
for similar positions.  | 
Special linguistic options may also be established
where  | 
deemed appropriate.
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(Source: P.A. 96-1551, eff. 7-1-11; 97-1150, eff. 1-25-13;  | 
revised 12-2-21.)
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 Section 90. The Deposit of State Moneys Act is amended by  | 
changing Section 22.5 as follows:
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 (15 ILCS 520/22.5) (from Ch. 130, par. 41a)
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 (For force and effect of certain provisions, see Section  | 
90 of P.A. 94-79) | 
 Sec. 22.5. Permitted investments. The State Treasurer may  | 
invest and reinvest any State money in the State Treasury
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which is not needed for current expenditures due or about to  | 
become due, in
obligations of the United States government or  | 
its agencies or of National
Mortgage Associations established  | 
by or under the National Housing Act, 12
U.S.C. 1701 et seq.,  | 
or
in mortgage participation certificates representing  | 
undivided interests in
specified, first-lien conventional  | 
residential Illinois mortgages that are
underwritten, insured,  | 
guaranteed, or purchased by the Federal Home Loan
Mortgage  | 
Corporation or in Affordable Housing Program Trust Fund Bonds  | 
or
Notes as defined in and issued pursuant to the Illinois  | 
Housing Development
Act. All such obligations shall be  | 
considered as cash and may
be delivered over as cash by a State  | 
Treasurer to his successor.
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 The State Treasurer may purchase
any state bonds with any  | 
money in the State Treasury that has been set
aside and held  | 
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for the payment of the principal of and interest on the
bonds.  | 
The bonds shall be considered as cash and may be delivered over
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as cash by the State Treasurer to his successor.
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 The State Treasurer may invest or
reinvest any State money  | 
in the State Treasury
that is not needed for current  | 
expenditures due or about to become
due, or any money in the  | 
State Treasury that has been set aside and
held for the payment  | 
of the principal of and interest on any State
bonds, in bonds  | 
issued by counties or municipal corporations of the
State of  | 
Illinois.
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 The State Treasurer may invest or reinvest up to 5% of the  | 
College Savings Pool Administrative Trust Fund, the Illinois  | 
Public Treasurer Investment Pool (IPTIP) Administrative Trust  | 
Fund, and the State Treasurer's Administrative Fund that is  | 
not needed for current expenditures due or about to become  | 
due, in common or preferred stocks of publicly traded  | 
corporations, partnerships, or limited liability companies,  | 
organized in the United States, with assets exceeding  | 
$500,000,000 if: (i) the purchases do not exceed 1% of the  | 
corporation's or the limited liability company's outstanding  | 
common and preferred stock; (ii) no more than 10% of the total  | 
funds are invested in any one publicly traded corporation,  | 
partnership, or limited liability company; and (iii) the  | 
corporation or the limited liability company has not been  | 
placed on the list of restricted companies by the Illinois  | 
Investment Policy Board under Section 1-110.16 of the Illinois  | 
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Pension Code. 
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 Whenever the total amount of vouchers presented to the  | 
Comptroller under Section 9 of the State Comptroller Act  | 
exceeds the funds available in the General Revenue Fund by  | 
$1,000,000,000 or more, then the State Treasurer may invest  | 
any State money in the State Treasury, other than money in the  | 
General Revenue Fund, Health Insurance Reserve Fund, Attorney  | 
General Court Ordered and Voluntary Compliance Payment  | 
Projects Fund, Attorney General Whistleblower Reward and  | 
Protection Fund, and Attorney General's State Projects and  | 
Court Ordered Distribution Fund, which is not needed for  | 
current expenditures, due or about to become due, or any money  | 
in the State Treasury which has been set aside and held for the  | 
payment of the principal of and the interest on any State bonds  | 
with the Office of the Comptroller in order to enable the  | 
Comptroller to pay outstanding vouchers. At any time, and from  | 
time to time outstanding, such investment shall not be greater  | 
than $2,000,000,000. Such investment shall be deposited into  | 
the General Revenue Fund or Health Insurance Reserve Fund as  | 
determined by the Comptroller. Such investment shall be repaid  | 
by the Comptroller with an interest rate tied to the London  | 
Interbank Offered Rate (LIBOR) or the Federal Funds Rate or an  | 
equivalent market established variable rate, but in no case  | 
shall such interest rate exceed the lesser of the penalty rate  | 
established under the State Prompt Payment Act or the timely  | 
pay interest rate under Section 368a of the Illinois Insurance  | 
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Code. The State Treasurer and the Comptroller shall enter into  | 
an intergovernmental agreement to establish procedures for  | 
such investments, which market established variable rate to  | 
which the interest rate for the investments should be tied,  | 
and other terms which the State Treasurer and Comptroller  | 
reasonably believe to be mutually beneficial concerning these  | 
investments by the State Treasurer. The State Treasurer and  | 
Comptroller shall also enter into a written agreement for each  | 
such investment that specifies the period of the investment,  | 
the payment interval, the interest rate to be paid, the funds  | 
in the State Treasury from which the State Treasurer will draw  | 
the investment, and other terms upon which the State Treasurer  | 
and Comptroller mutually agree. Such investment agreements  | 
shall be public records and the State Treasurer shall post the  | 
terms of all such investment agreements on the State  | 
Treasurer's official website. In compliance with the  | 
intergovernmental agreement, the Comptroller shall order and  | 
the State Treasurer shall transfer amounts sufficient for the  | 
payment of principal and interest invested by the State  | 
Treasurer with the Office of the Comptroller under this  | 
paragraph from the General Revenue Fund or the Health  | 
Insurance Reserve Fund to the respective funds in the State  | 
Treasury from which the State Treasurer drew the investment.  | 
Public Act 100-1107 shall constitute an irrevocable and  | 
continuing authority for all amounts necessary for the payment  | 
of principal and interest on the investments made with the  | 
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Office of the Comptroller by the State Treasurer under this  | 
paragraph, and the irrevocable and continuing authority for  | 
and direction to the Comptroller and State Treasurer to make  | 
the necessary transfers.  | 
 The State Treasurer may invest or
reinvest any State money  | 
in the State Treasury that is not needed for current
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expenditure, due or about to become due, or any money in the  | 
State Treasury
that has been set aside and held for the payment  | 
of the principal of and
the interest on any State bonds, in any  | 
of the following:
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  (1) Bonds, notes, certificates of indebtedness,  | 
 Treasury bills, or other
securities now or hereafter  | 
 issued that are guaranteed by the full faith
and credit of  | 
 the United States of America as to principal and interest.
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  (2) Bonds, notes, debentures, or other similar  | 
 obligations of the United
States of America, its agencies,  | 
 and instrumentalities, or other obligations that are  | 
 issued or guaranteed by supranational entities; provided,  | 
 that at the time of investment, the entity has the United  | 
 States government as a shareholder.
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  (2.5) Bonds, notes, debentures, or other similar  | 
 obligations of a
foreign government, other than the  | 
 Republic of the Sudan, that are guaranteed by the full  | 
 faith and credit of that
government as to principal and  | 
 interest, but only if the foreign government
has not  | 
 defaulted and has met its payment obligations in a timely  | 
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 manner on
all similar obligations for a period of at least  | 
 25 years immediately before
the time of acquiring those  | 
 obligations.
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  (3) Interest-bearing savings accounts,  | 
 interest-bearing certificates of
deposit,  | 
 interest-bearing time deposits, or any other investments
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 constituting direct obligations of any bank as defined by  | 
 the Illinois
Banking Act.
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  (4) Interest-bearing accounts, certificates of  | 
 deposit, or any other
investments constituting direct  | 
 obligations of any savings and loan
associations  | 
 incorporated under the laws of this State or any other  | 
 state or
under the laws of the United States.
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  (5) Dividend-bearing share accounts, share certificate  | 
 accounts, or
class of share accounts of a credit union  | 
 chartered under the laws of this
State or the laws of the  | 
 United States; provided, however, the principal
office of  | 
 the credit union must be located within the State of  | 
 Illinois.
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  (6) Bankers' acceptances of banks whose senior  | 
 obligations are rated in
the top 2 rating categories by 2  | 
 national rating agencies and maintain that
rating during  | 
 the term of the investment and the bank has not been placed  | 
 on the list of restricted companies by the Illinois  | 
 Investment Policy Board under Section 1-110.16 of the  | 
 Illinois Pension Code.
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  (7) Short-term obligations of either corporations or  | 
 limited liability companies organized in the United
States  | 
 with assets exceeding $500,000,000 if (i) the obligations  | 
 are rated
at the time of purchase at one of the 3 highest  | 
 classifications established
by at least 2 standard rating  | 
 services and mature not later than 270
days from the date  | 
 of purchase, (ii) the purchases do not exceed 10% of
the  | 
 corporation's or the limited liability company's  | 
 outstanding obligations, (iii) no more than one-third of
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 the public agency's funds are invested in short-term  | 
 obligations of
either corporations or limited liability  | 
 companies, and (iv) the corporation or the limited  | 
 liability company has not been placed on the list of  | 
 restricted companies by the Illinois Investment Policy  | 
 Board under Section 1-110.16 of the Illinois Pension Code.
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  (7.5) Obligations of either corporations or limited  | 
 liability companies organized in the United States, that  | 
 have a significant presence in this State, with assets  | 
 exceeding $500,000,000 if: (i) the obligations are rated  | 
 at the time of purchase at one of the 3 highest  | 
 classifications established by at least 2 standard rating  | 
 services and mature more than 270 days, but less than 10  | 
 years, from the date of purchase; (ii) the purchases do  | 
 not exceed 10% of the corporation's or the limited  | 
 liability company's outstanding obligations; (iii) no more  | 
 than one-third of the public agency's funds are invested  | 
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 in such obligations of corporations or limited liability  | 
 companies; and (iv) the corporation or the limited  | 
 liability company has not been placed on the list of  | 
 restricted companies by the Illinois Investment Policy  | 
 Board under Section 1-110.16 of the Illinois Pension Code.  | 
  (8) Money market mutual funds registered under the  | 
 Investment Company
Act of 1940.
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  (9) The Public Treasurers' Investment Pool created  | 
 under Section 17 of
the State Treasurer Act or in a fund  | 
 managed, operated, and administered by
a bank.
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  (10) Repurchase agreements of government securities  | 
 having the meaning
set out in the Government Securities  | 
 Act of 1986, as now or hereafter amended or succeeded,  | 
 subject to the provisions
of that Act and the regulations  | 
 issued thereunder.
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  (11) Investments made in accordance with the  | 
 Technology Development
Act.
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  (12) Investments made in accordance with the Student  | 
 Investment Account Act. | 
  (13) Investments constituting direct obligations of a  | 
 community development financial institution, which is  | 
 certified by the United States Treasury Community  | 
 Development Financial Institutions Fund and is operating  | 
 in the State of Illinois. | 
  (14) Investments constituting direct obligations of a  | 
 minority depository institution, as designated by the  | 
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 Federal Deposit Insurance Corporation, that is operating  | 
 in the State of Illinois.  | 
  (15) (13) Investments made in accordance with any  | 
 other law that authorizes the State Treasurer to invest or  | 
 deposit funds.  | 
 For purposes of this Section, "agencies" of the United  | 
States
Government includes:
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  (i) the federal land banks, federal intermediate  | 
 credit banks, banks for
cooperatives, federal farm credit  | 
 banks, or any other entity authorized
to issue debt  | 
 obligations under the Farm Credit Act of 1971 (12 U.S.C.  | 
 2001
et seq.) and Acts amendatory thereto;
 | 
  (ii) the federal home loan banks and the federal home  | 
 loan
mortgage corporation;
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  (iii) the Commodity Credit Corporation; and
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  (iv) any other agency created by Act of Congress.
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 The State Treasurer may lend any securities
acquired under  | 
this Act. However, securities may be lent under this Section
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only in accordance with Federal Financial Institution  | 
Examination Council
guidelines and only if the securities are  | 
collateralized at a level sufficient
to assure the safety of  | 
the securities, taking into account market value
fluctuation.  | 
The securities may be collateralized by cash or collateral
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acceptable under Sections 11 and 11.1.
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(Source: P.A. 101-81, eff. 7-12-19; 101-206, eff. 8-2-19;  | 
101-586, eff. 8-26-19; 101-657, eff. 3-23-21; 102-297, eff.  | 
 | 
8-6-21; 102-558, eff. 8-20-21; revised 10-6-21.)
 | 
 Section 95. The Civil Administrative Code of Illinois is  | 
amended by changing Section 5-715 as follows:
 | 
 (20 ILCS 5/5-715) | 
 Sec. 5-715. Expedited licensure for service members and  | 
spouses. | 
 (a) In this Section, "service member" means any person  | 
who, at the time of application under this Section, is an  | 
active duty member of the United States Armed Forces or any  | 
reserve component of the United States Armed Forces, the Coast  | 
Guard, or the National Guard of any state, commonwealth, or  | 
territory of the United States or the District of Columbia or  | 
whose active duty service concluded within the preceding 2  | 
years before application. | 
 (a-5) The Department of Financial and Professional  | 
Regulation shall within 180 days after January 1, 2020 (the  | 
effective date of Public Act 101-240) designate one staff  | 
member as the military liaison within the Department of  | 
Financial and Professional Regulation to ensure proper  | 
enactment of the requirements of this Section. The military  | 
liaison's responsibilities shall also include, but are not  | 
limited to: (1) the management of all expedited applications  | 
to ensure processing within 30 days after receipt of a  | 
completed application; (2) coordination with all military  | 
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installation military and family support center directors  | 
within this State, including virtual, phone, or in-person  | 
periodic meetings with each military installation military and  | 
family support center; and (3) training by the military  | 
liaison to all directors of each division that issues an  | 
occupational or professional license to ensure proper  | 
application of this Section. At the end of each calendar year,  | 
the military liaison shall provide an annual report  | 
documenting the expedited licensure program for service  | 
members and spouses, and shall deliver that report to the  | 
Secretary of Financial and Professional Regulation and the  | 
Lieutenant Governor.  | 
 (b) Each director of a department that issues an  | 
occupational or professional license is authorized to and  | 
shall issue an expedited license to a service member who meets  | 
the requirements under this Section. Review and determination  | 
of an application for a license issued by the department shall  | 
be expedited by the department within 30 days after the date on  | 
which the department receives all necessary documentation  | 
required for licensure, including any required information  | 
from State and federal agencies. An expedited license shall be  | 
issued by the department to any service members meeting the  | 
application requirements of this Section, regardless of  | 
whether the service member currently resides in this State.  | 
The service member shall apply to the department on forms  | 
provided by the department. An application must include proof  | 
 | 
that: | 
  (1) the applicant is a service member; | 
  (2) the applicant holds a valid license in good  | 
 standing for the occupation or profession issued by  | 
 another state, commonwealth, possession, or territory of  | 
 the United States, the District of Columbia, or any  | 
 foreign jurisdiction; | 
  (2.5) the applicant meets the requirements and  | 
 standards for licensure through endorsement or reciprocity  | 
 for the occupation or profession for which the applicant  | 
 is applying;  | 
  (3) the applicant is assigned to a duty station in  | 
 this State, has established legal residence in this State,  | 
 or will reside in this State within 6 months after the date  | 
 of application for licensure; | 
  (4) a complete set of the applicant's fingerprints has  | 
 been submitted to the Illinois State Police for statewide  | 
 and national criminal history checks, if applicable to the  | 
 requirements of the department issuing the license; the  | 
 applicant shall pay the fee to the Illinois State Police  | 
 or to the fingerprint vendor for electronic fingerprint  | 
 processing; no temporary occupational or professional  | 
 license shall be issued to an applicant if the statewide  | 
 or national criminal history check discloses information  | 
 that would cause the denial of an application for  | 
 licensure under any applicable occupational or  | 
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 professional licensing Act; | 
  (5) the applicant is not ineligible for licensure  | 
 pursuant to Section 2105-165 of the Civil Administrative  | 
 Code of Illinois; | 
  (6) the applicant has submitted an application for  | 
 full licensure; and | 
  (7) the applicant has paid the required fee; fees  | 
 shall not be refundable. | 
 (c) Each director of a department that issues an  | 
occupational or professional license is authorized to and  | 
shall issue an expedited license to the spouse of a service  | 
member who meets the requirements under this Section. Review  | 
and determination of an application for a license shall be  | 
expedited by the department within 30 days after the date on  | 
which the department receives all necessary documentation  | 
required for licensure, including information from State and  | 
federal agencies. An expedited license shall be issued by the  | 
department to any spouse of a service member meeting the  | 
application requirements of this Section, regardless of  | 
whether the spouse or the service member currently resides  | 
reside in this State. The spouse of a service member shall  | 
apply to the department on forms provided by the department.  | 
An application must include proof that: | 
  (1) the applicant is the spouse of a service member; | 
  (2) the applicant holds a valid license in good  | 
 standing for the occupation or profession issued by  | 
 | 
 another state, commonwealth, possession, or territory of  | 
 the United States, the District of Columbia, or any  | 
 foreign jurisdiction; | 
  (2.5) the applicant meets the requirements and  | 
 standards for licensure through endorsement or reciprocity  | 
 for the occupation or profession for which the applicant  | 
 is applying;  | 
  (3) the applicant's spouse is assigned to a duty  | 
 station in this State, has established legal residence in  | 
 this State, or will reside in this State within 6 months  | 
 after the date of application for licensure; | 
  (4) a complete set of the applicant's fingerprints has  | 
 been submitted to the Illinois State Police for statewide  | 
 and national criminal history checks, if applicable to the  | 
 requirements of the department issuing the license; the  | 
 applicant shall pay the fee to the Illinois State Police  | 
 or to the fingerprint vendor for electronic fingerprint  | 
 processing; no temporary occupational or professional  | 
 license shall be issued to an applicant if the statewide  | 
 or national criminal history check discloses information  | 
 that would cause the denial of an application for  | 
 licensure under any applicable occupational or  | 
 professional licensing Act; | 
  (5) the applicant is not ineligible for licensure  | 
 pursuant to Section 2105-165 of the Civil Administrative  | 
 Code of Illinois; | 
 | 
  (6) the applicant has submitted an application for  | 
 full licensure; and | 
  (7) the applicant has paid the required fee; fees  | 
 shall not be refundable. | 
 (c-5) If a service member or his or her spouse relocates  | 
from this State, he or she shall be provided an opportunity to  | 
place his or her license in inactive status through  | 
coordination with the military liaison. If the service member  | 
or his or her spouse returns to this State, he or she may  | 
reactivate the license in accordance with the statutory  | 
provisions regulating the profession and any applicable  | 
administrative rules. The license reactivation shall be  | 
expedited and completed within 30 days after receipt of a  | 
completed application to reactivate the license. A license  | 
reactivation is only applicable when the valid license for  | 
which the first issuance of a license was predicated is still  | 
valid and in good standing. An application to reactivate a  | 
license must include proof that
the applicant still holds a  | 
valid license in good standing for the occupation or  | 
profession issued in another State, commonwealth, possession,  | 
or territory of the United States, the District of Columbia,  | 
or any foreign jurisdiction.  | 
 (d) All relevant experience of a service member or his or  | 
her spouse in the discharge of official duties, including  | 
full-time and part-time experience, shall be credited in the  | 
calculation of any years of practice in an occupation or  | 
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profession as may be required under any applicable  | 
occupational or professional licensing Act. All relevant  | 
training provided by the military and completed by a service  | 
member shall be credited to that service member as meeting any  | 
training or education requirement under any applicable  | 
occupational or professional licensing Act, provided that the  | 
training or education is determined by the department to meet  | 
the requirements under any applicable Act and is not otherwise  | 
contrary to any other licensure requirement.  | 
 (e) A department may adopt any rules necessary for the  | 
implementation and administration of this Section and shall by  | 
rule provide for fees for the administration of this Section.
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(Source: P.A. 101-240, eff. 1-1-20; 102-384, eff. 1-1-22;  | 
102-538, eff. 8-20-21; revised 1-15-22.)
 | 
 Section 100. The Substance Use Disorder Act is amended by  | 
changing Section 30-5 as follows:
 | 
 (20 ILCS 301/30-5)
 | 
 Sec. 30-5. Patients' rights established. 
 | 
 (a) For purposes of this Section, "patient" means any  | 
person who is
receiving or has received early intervention,  | 
treatment, or other recovery support services under
this Act  | 
or any category of service licensed as "intervention" under  | 
this Act.
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 (b) No patient shall be deprived of any rights, benefits,
 | 
 | 
or privileges guaranteed by law, the Constitution of the  | 
United States of
America, or the Constitution of the State of  | 
Illinois solely because of his
or her status as a patient. 
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 (c) Persons who have substance use disorders who are
also  | 
suffering from medical conditions shall not be discriminated  | 
against in
admission or treatment by any hospital that  | 
receives support in any form supported in whole or in part by  | 
funds appropriated to any State
department or agency. 
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 (d) Every patient shall have impartial access to services  | 
without regard to
race, religion, sex, ethnicity, age, sexual  | 
orientation, gender identity, marital status, or other  | 
disability. 
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 (e) Patients shall be permitted the free exercise of  | 
religion. 
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 (f) Every patient's personal dignity shall be recognized  | 
in the provision
of services, and a patient's personal privacy  | 
shall be assured and protected
within the constraints of his  | 
or her individual treatment. 
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 (g) Treatment services shall be provided in the least  | 
restrictive
environment possible. 
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 (h) Each patient receiving treatment services shall be  | 
provided an individual treatment plan, which
shall be  | 
periodically reviewed and updated as mandated by  | 
administrative rule. 
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 (i) Treatment shall be person-centered, meaning that every  | 
patient shall be permitted to participate in the planning of  | 
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his
or her total care and medical treatment to the extent that  | 
his or her condition permits. 
 | 
 (j) A person shall not be denied treatment solely because  | 
he or she has withdrawn
from treatment against medical advice  | 
on a prior occasion or had prior treatment episodes.
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 (k) The patient in residential treatment shall be  | 
permitted visits by family and
significant others, unless such  | 
visits are clinically contraindicated. 
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 (l) A patient in residential treatment shall be allowed to  | 
conduct private telephone
conversations with family and  | 
friends unless clinically contraindicated.
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 (m) A patient in residential treatment shall be permitted  | 
to send and receive mail without
hindrance, unless clinically  | 
contraindicated. 
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 (n) A patient shall be permitted to manage his or her own  | 
financial affairs unless
the patient or the patient's  | 
guardian, or if the patient is a minor, the patient's parent,  | 
authorizes
another competent person to do so. 
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 (o) A patient shall be permitted to request the opinion of  | 
a consultant at
his or her own expense, or to request an  | 
in-house review of a treatment plan, as
provided in the  | 
specific procedures of the provider. A treatment provider is
 | 
not liable for the negligence of any consultant.
 | 
 (p) Unless otherwise prohibited by State or federal law,  | 
every patient
shall be permitted to obtain from his or her own  | 
physician, the treatment provider, or
the treatment provider's  | 
 | 
consulting physician complete and current information
 | 
concerning the nature of care, procedures, and treatment that  | 
he or she will receive. 
 | 
 (q) A patient shall be permitted to refuse to participate  | 
in any
experimental research or medical procedure without  | 
compromising his or her access to
other, non-experimental  | 
services. Before a patient is placed in an
experimental  | 
research or medical procedure, the provider must first obtain  | 
his
or her informed written consent or otherwise comply with  | 
the federal requirements
regarding the protection of human  | 
subjects contained in 45 CFR C.F.R.
Part 46.
 | 
 (r) All medical treatment and procedures shall be  | 
administered as ordered
by a physician and in accordance with  | 
all Department rules.
 | 
 (s) Every patient in treatment shall be permitted to  | 
refuse medical treatment and to
know the consequences of such  | 
action. Such refusal by a patient shall free the
treatment  | 
licensee from the obligation to provide the treatment. 
 | 
 (t) Unless otherwise prohibited by State or federal law,  | 
every patient,
patient's guardian, or parent, if the patient  | 
is a minor, shall be permitted to
inspect and copy all clinical  | 
and other records kept by the intervention or treatment  | 
licensee
or by his or her physician concerning his or her care  | 
and maintenance. The licensee
or physician may charge a  | 
reasonable fee for the duplication of a record.
 | 
 (u) No owner, licensee, administrator, employee, or agent  | 
 | 
of a licensed intervention or treatment
program shall abuse or  | 
neglect a patient. It is the duty of any individual who becomes  | 
aware of such abuse or neglect to report it to
the Department  | 
immediately.
 | 
 (v) The licensee may refuse access to any
person if the  | 
actions of that person are or could be
injurious to the health  | 
and safety of a patient or the licensee, or if the
person seeks  | 
access for commercial purposes.
 | 
 (w) All patients admitted to community-based treatment  | 
facilities shall be considered voluntary treatment patients  | 
and such patients shall not be contained within a locked  | 
setting. 
 | 
 (x) Patients and their families or legal guardians shall  | 
have the right to
present complaints to the provider or the  | 
Department concerning the quality of care provided to the  | 
patient,
without threat of discharge or reprisal in any form  | 
or manner whatsoever. The complaint process and procedure  | 
shall be adopted by the Department by rule. The
treatment  | 
provider shall have in place a mechanism for receiving and  | 
responding
to such complaints, and shall inform the patient  | 
and the patient's family or legal
guardian of this mechanism  | 
and how to use it. The provider shall analyze any
complaint  | 
received and, when indicated, take appropriate corrective  | 
action.
Every patient and his or her family member or legal  | 
guardian who makes a complaint
shall receive a timely response  | 
from the provider that substantively addresses
the complaint.  | 
 | 
The provider shall inform the patient and the patient's family  | 
or legal
guardian about other sources of assistance if the  | 
provider has not resolved the
complaint to the satisfaction of  | 
the patient or the patient's family or legal guardian. 
 | 
 (y) A patient may refuse to perform labor at a program  | 
unless such labor
is a part of the patient's individual  | 
treatment plan as documented in the patient's clinical
record.
 | 
 (z) A person who is in need of services may apply for  | 
voluntary admission
in the manner and with the rights provided  | 
for under
regulations promulgated by the Department. If a  | 
person is refused admission, then staff, subject to rules
 | 
promulgated by the Department, shall refer the person to  | 
another facility or to other appropriate services. 
 | 
 (aa) No patient shall be denied services based solely on  | 
HIV status.
Further, records and information governed by the  | 
AIDS Confidentiality Act and
the AIDS Confidentiality and  | 
Testing Code (77 Ill. Adm. Code 697) shall be
maintained in  | 
accordance therewith.
 | 
 (bb) Records of the identity, diagnosis, prognosis or  | 
treatment of any
patient maintained in connection with the  | 
performance of any service or
activity relating to substance  | 
use disorder education, early
intervention, intervention,  | 
training, or treatment that is
regulated, authorized, or  | 
directly or indirectly assisted by any Department or
agency of  | 
this State or under any provision of this Act shall be  | 
confidential
and may be disclosed only in accordance with the  | 
 | 
provisions of federal law and
regulations concerning the  | 
confidentiality of substance use disorder patient
records as  | 
contained in 42 U.S.C. Sections 290dd-2 and 42 CFR C.F.R.
Part  | 
2, or any successor federal statute or regulation.
 | 
  (1) The following are exempt from the confidentiality  | 
 protections set
forth in 42 CFR C.F.R. Section 2.12(c):
 | 
   (A) Veteran's Administration records.
 | 
   (B) Information obtained by the Armed Forces.
 | 
   (C) Information given to qualified service  | 
 organizations.
 | 
   (D) Communications within a program or between a  | 
 program and an entity
having direct administrative  | 
 control over that program.
 | 
   (E) Information given to law enforcement personnel  | 
 investigating a
patient's commission of a crime on the  | 
 program premises or against program
personnel.
 | 
   (F) Reports under State law of incidents of  | 
 suspected child abuse and
neglect; however,  | 
 confidentiality restrictions continue to
apply to the  | 
 records and any follow-up information for disclosure  | 
 and use in
civil or criminal proceedings arising from  | 
 the report of suspected abuse or
neglect.
 | 
  (2) If the information is not exempt, a disclosure can  | 
 be made only under
the following circumstances:
 | 
   (A) With patient consent as set forth in 42 CFR  | 
 C.F.R. Sections 2.1(b)(1)
and 2.31, and as consistent  | 
 | 
 with pertinent State law.
 | 
   (B) For medical emergencies as set forth in 42 CFR  | 
 C.F.R. Sections
2.1(b)(2) and 2.51.
 | 
   (C) For research activities as set forth in 42 CFR  | 
 C.F.R. Sections
2.1(b)(2) and 2.52.
 | 
   (D) For audit evaluation activities as set forth  | 
 in 42 CFR C.F.R. Section
2.53.
 | 
   (E) With a court order as set forth in 42 CFR  | 
 C.F.R. Sections 2.61 through
2.67.
 | 
  (3) The restrictions on disclosure and use of patient  | 
 information apply
whether the holder of the information  | 
 already has it, has other means of
obtaining it, is a law  | 
 enforcement or other official, has obtained a subpoena,
or  | 
 asserts any other justification for a disclosure or use  | 
 that is not
permitted by 42 CFR C.F.R. Part 2. Any court  | 
 orders authorizing disclosure of
patient records under  | 
 this Act must comply with the procedures and criteria set
 | 
 forth in 42 CFR C.F.R. Sections 2.64 and 2.65. Except as  | 
 authorized by a court
order granted under this Section, no  | 
 record referred to in this Section may be
used to initiate  | 
 or substantiate any charges against a patient or to  | 
 conduct
any investigation of a patient.
 | 
  (4) The prohibitions of this subsection shall apply to  | 
 records concerning
any person who has been a patient,  | 
 regardless of whether or when the person ceases to
be a  | 
 patient.
 | 
 | 
  (5) Any person who discloses the content of any record  | 
 referred to in this
Section except as authorized shall,  | 
 upon conviction, be guilty of a Class A
misdemeanor.
 | 
  (6) The Department shall prescribe regulations to  | 
 carry out the purposes
of
this subsection. These  | 
 regulations may contain such definitions, and may
provide  | 
 for such safeguards and procedures, including procedures  | 
 and criteria
for the issuance and scope of court orders,  | 
 as in the judgment of the
Department are necessary or  | 
 proper to effectuate the purposes of this Section,
to  | 
 prevent circumvention or evasion thereof, or to facilitate  | 
 compliance
therewith. 
 | 
 (cc) Each patient shall be given a written explanation of  | 
all the rights
enumerated in this Section and a copy, signed by  | 
the patient, shall be kept in every patient record. If a  | 
patient is unable to read such written
explanation, it shall  | 
be read to the patient in a language that the patient
 | 
understands. A copy of all the rights enumerated in this  | 
Section shall be
posted in a conspicuous place within the  | 
program where it may readily be
seen and read by program  | 
patients and visitors. 
 | 
 (dd) The program shall ensure that its staff is familiar  | 
with and observes
the rights and responsibilities enumerated  | 
in this Section.
 | 
 (ee) Licensed organizations shall comply with the right of  | 
any adolescent to consent to treatment without approval of the  | 
 | 
parent or legal guardian in accordance with the Consent by  | 
Minors to Health Care Services Medical Procedures Act.  | 
 (ff) At the point of admission for services, licensed  | 
organizations must obtain written informed consent, as defined  | 
in Section 1-10 and in administrative rule, from each client,  | 
patient, or legal guardian.  | 
(Source: P.A. 99-143, eff. 7-27-15; 100-759, eff. 1-1-19;  | 
revised 12-1-21.)
 | 
 Section 105. The Department of Central Management Services  | 
Law of the
Civil Administrative Code of Illinois is amended by  | 
by setting forth and renumbering multiple
versions of Section  | 
405-535 as follows:
 | 
 (20 ILCS 405/405-535) | 
 Sec. 405-535. Race and gender wage reports. | 
 (a) Each State agency and public institution of higher  | 
education shall annually submit to the Commission on Equity  | 
and Inclusion a report, categorized by both race and gender,  | 
specifying the respective wage earnings of employees of that  | 
State agency or public institution of higher education. | 
 (b) The Commission shall compile the information submitted  | 
under this Section and make that information available to the  | 
public on the Internet website of the Commission. | 
 (c) The Commission shall annually submit a report of the  | 
information compiled under this Section to the Governor and  | 
 | 
the General Assembly. | 
 (d) As used in this Section: | 
 "Public institution of higher education" has the meaning  | 
provided in Section 1 of the Board of Higher Education Act. | 
 "State agency" has the meaning provided in subsection (b)  | 
of Section 405-5.  | 
(Source: P.A. 101-657, Article 25, Section 25-5, eff. 3-23-21;  | 
102-29, eff. 6-25-21.)
 | 
 (20 ILCS 405/405-536)
 | 
 Sec. 405-536 405-535. State building municipal  | 
identification card access. Any State-owned building that  | 
requires the display of a State-issued identification card for  | 
the purpose of gaining access to the premises shall, in  | 
addition to other acceptable forms of identification, accept  | 
the use of any Illinois municipal identification card as an  | 
acceptable form of identification for the purpose of entering  | 
the premises. An Illinois municipal
identification card may  | 
not be sufficient to access certain secure
areas within the  | 
premises and may require additional authorization or  | 
identification at the discretion of the premises' security,  | 
the Department of
Central Management Services, or the user  | 
agency. | 
 For the purposes of this Section, "municipal  | 
identification card" means a photo identification card that is  | 
issued by an Illinois municipality, as defined under Section  | 
 | 
1-1-2 of the Illinois Municipal Code, in accordance with its  | 
ordinances or codes that consists of the photo, name, and  | 
address of the card holder.
 | 
(Source: P.A. 102-561, eff. 1-1-22; revised 10-27-21.)
 | 
 Section 110. The Personnel Code is amended by changing  | 
Sections 4c and 8b.1 as follows:
 | 
 (20 ILCS 415/4c) (from Ch. 127, par. 63b104c) | 
 Sec. 4c. General exemptions.  The following positions in  | 
State
service shall be exempt from jurisdictions A, B, and C,  | 
unless the
jurisdictions shall be extended as provided in this  | 
Act:
 | 
  (1) All officers elected by the people.
 | 
  (2) All positions under the Lieutenant Governor,  | 
 Secretary of State,
State Treasurer, State Comptroller,  | 
 State Board of Education, Clerk of
the Supreme Court,
 | 
 Attorney General, and State Board of Elections.
 | 
  (3) Judges, and officers and employees of the courts,  | 
 and notaries
public.
 | 
  (4) All officers and employees of the Illinois General  | 
 Assembly, all
employees of legislative commissions, all  | 
 officers and employees of the
Illinois Legislative  | 
 Reference Bureau and the Legislative Printing Unit.
 | 
  (5) All positions in the Illinois National Guard and  | 
 Illinois State
Guard, paid from federal funds or positions
 | 
 | 
 in the State Military Service filled by enlistment and  | 
 paid from State
funds.
 | 
  (6) All employees of the Governor at the executive  | 
 mansion and on
his immediate personal staff.
 | 
  (7) Directors of Departments, the Adjutant General,  | 
 the Assistant
Adjutant General, the Director of the  | 
 Illinois Emergency
Management Agency, members of boards  | 
 and commissions, and all other
positions appointed by the  | 
 Governor by and with the consent of the
Senate.
 | 
  (8) The presidents, other principal administrative  | 
 officers, and
teaching, research and extension faculties  | 
 of
Chicago State University, Eastern Illinois University,  | 
 Governors State
University, Illinois State University,  | 
 Northeastern Illinois University,
Northern Illinois  | 
 University, Western Illinois University, the Illinois
 | 
 Community College Board, Southern Illinois
University,  | 
 Illinois Board of Higher Education, University of
 | 
 Illinois, State Universities Civil Service System,  | 
 University Retirement
System of Illinois, and the  | 
 administrative officers and scientific and
technical staff  | 
 of the Illinois State Museum.
 | 
  (9) All other employees except the presidents, other  | 
 principal
administrative officers, and teaching, research  | 
 and extension faculties
of the universities under the  | 
 jurisdiction of the Board of Regents and
the colleges and  | 
 universities under the jurisdiction of the Board of
 | 
 | 
 Governors of State Colleges and Universities, Illinois  | 
 Community College
Board, Southern Illinois University,  | 
 Illinois Board of Higher Education,
Board of Governors of  | 
 State Colleges and Universities, the Board of
Regents,  | 
 University of Illinois, State Universities Civil Service
 | 
 System, University Retirement System of Illinois, so long  | 
 as these are
subject to the provisions of the State  | 
 Universities Civil Service Act.
 | 
  (10) The Illinois State Police so long as they are  | 
 subject to the merit
provisions of the Illinois State  | 
 Police Act.
Employees of the Illinois State Police Merit  | 
 Board are subject to the provisions of this Code.
 | 
  (11) (Blank).
 | 
  (12) The technical and engineering staffs of the  | 
 Department of
Transportation, the Department of Nuclear  | 
 Safety, the Pollution Control
Board, and the Illinois  | 
 Commerce Commission, and the technical and engineering
 | 
 staff providing architectural and engineering services in  | 
 the Department of
Central Management Services.
 | 
  (13) All employees of the Illinois State Toll Highway  | 
 Authority.
 | 
  (14) The Secretary of the Illinois Workers'  | 
 Compensation Commission.
 | 
  (15) All persons who are appointed or employed by the  | 
 Director of
Insurance under authority of Section 202 of  | 
 the Illinois Insurance Code
to assist the Director of  | 
 | 
 Insurance in discharging his responsibilities
relating to  | 
 the rehabilitation, liquidation, conservation, and
 | 
 dissolution of companies that are subject to the  | 
 jurisdiction of the
Illinois Insurance Code.
 | 
  (16) All employees of the St. Louis Metropolitan Area  | 
 Airport
Authority.
 | 
  (17) All investment officers employed by the Illinois  | 
 State Board of
Investment.
 | 
  (18) Employees of the Illinois Young Adult  | 
 Conservation Corps program,
administered by the Illinois  | 
 Department of Natural Resources, authorized
grantee under  | 
 Title VIII of the Comprehensive
Employment and Training  | 
 Act of 1973, 29 U.S.C. USC 993.
 | 
  (19) Seasonal employees of the Department of  | 
 Agriculture for the
operation of the Illinois State Fair  | 
 and the DuQuoin State Fair, no one
person receiving more  | 
 than 29 days of such employment in any calendar year.
 | 
  (20) All "temporary" employees hired under the  | 
 Department of Natural
Resources' Illinois Conservation  | 
 Service, a youth
employment program that hires young  | 
 people to work in State parks for a period
of one year or  | 
 less.
 | 
  (21) All hearing officers of the Human Rights  | 
 Commission.
 | 
  (22) All employees of the Illinois Mathematics and  | 
 Science Academy.
 | 
 | 
  (23) All employees of the Kankakee River Valley Area
 | 
 Airport Authority.
 | 
  (24) The commissioners and employees of the Executive  | 
 Ethics
Commission.
 | 
  (25) The Executive Inspectors General, including  | 
 special Executive
Inspectors General, and employees of  | 
 each Office of an
Executive Inspector General.
 | 
  (26) The commissioners and employees of the  | 
 Legislative Ethics
Commission.
 | 
  (27) The Legislative Inspector General, including  | 
 special Legislative
Inspectors General, and employees of  | 
 the Office of
the Legislative Inspector General.
 | 
  (28) The Auditor General's Inspector General and  | 
 employees of the Office
of the Auditor General's Inspector  | 
 General.
 | 
  (29) All employees of the Illinois Power Agency.  | 
  (30) Employees having demonstrable, defined advanced  | 
 skills in accounting, financial reporting, or technical  | 
 expertise who are employed within executive branch  | 
 agencies and whose duties are directly related to the  | 
 submission to the Office of the Comptroller of financial  | 
 information for the publication of the Comprehensive  | 
 Annual Financial Report.  | 
  (31) All employees of the Illinois Sentencing Policy  | 
 Advisory Council.  | 
(Source: P.A. 101-652, eff. 1-1-22; 102-291, eff. 8-6-21;  | 
 | 
102-538, eff. 8-20-21; revised 10-5-21.)
 | 
 (20 ILCS 415/8b.1) (from Ch. 127, par. 63b108b.1)
 | 
 Sec. 8b.1. For open competitive
examinations to test the  | 
relative fitness of
applicants for the respective positions.  | 
Tests shall be designed to eliminate those who are not  | 
qualified for
entrance into or promotion within the service,  | 
and to discover the relative
fitness of those who are  | 
qualified. The Director may use any one of or any
combination  | 
of the following examination methods which in his judgment  | 
best
serves this end: investigation of education;  | 
investigation of experience;
test of cultural knowledge; test  | 
of capacity; test of knowledge; test of
manual skill; test of  | 
linguistic ability; test of character; test of
physical  | 
fitness; test of psychological fitness. No person with a  | 
record of
misdemeanor convictions except those under Sections  | 
11-1.50, 11-6, 11-7, 11-9,
11-14, 11-15, 11-17, 11-18, 11-19,  | 
11-30, 11-35, 12-2, 12-6, 12-15, 14-4, 16-1, 21.1-3, 24-3.1,
 | 
24-5, 25-1, 28-3, 31-1, 31-4, 31-6, 31-7, 32-1, 32-2, 32-3,  | 
32-4, and 32-8, subdivisions (a)(1) and (a)(2)(C) of Section  | 
11-14.3, and paragraphs (1), (6), and (8) of subsection (a)
 | 
sub-sections 1, 6 and 8 of Section 24-1 of the Criminal Code of  | 
1961 or the Criminal Code of 2012, or
arrested for any cause  | 
but not convicted thereon shall be disqualified from
taking  | 
such examinations or subsequent appointment, unless the person  | 
is
attempting to qualify for a position which would give him  | 
 | 
the powers of a
peace officer, in which case the person's  | 
conviction or arrest record may
be considered as a factor in  | 
determining the person's fitness for the
position. The  | 
eligibility conditions specified for the position of
Assistant  | 
Director of Healthcare and Family Services in the Department  | 
of Healthcare and Family Services in Section
5-230 of the  | 
Departments of State Government Law of the Civil  | 
Administrative Code of Illinois (20 ILCS
5/5-230) shall be  | 
applied to that position in addition to other
standards, tests  | 
or criteria established by the Director. All examinations
 | 
shall be announced publicly at least 2 weeks in advance of the  | 
date of the
examinations and may be advertised through the  | 
press, radio and other
media. The Director may, however, in  | 
his discretion, continue to receive
applications and examine  | 
candidates long enough to assure a sufficient
number of  | 
eligibles to meet the needs of the service and may add the  | 
names
of successful candidates to existing eligible lists in  | 
accordance with
their respective ratings.
 | 
 The Director may, in his discretion, accept the results of  | 
competitive
examinations conducted by any merit system  | 
established by federal law or by
the law of any state State,  | 
and may compile eligible lists therefrom or may add
the names  | 
of successful candidates in examinations conducted by those  | 
merit
systems to existing eligible lists in accordance with  | 
their respective
ratings. No person who is a non-resident of  | 
the State of Illinois may be
appointed from those eligible  | 
 | 
lists, however, unless the requirement that
applicants be  | 
residents of the State of Illinois is waived by the Director
of  | 
Central Management Services and unless there are less than 3  | 
Illinois
residents available
for appointment from the  | 
appropriate eligible list. The results of the
examinations  | 
conducted by other merit systems may not be used unless they
 | 
are comparable in difficulty and comprehensiveness to  | 
examinations
conducted by the Department of Central Management  | 
Services
for similar positions. Special
linguistic options may  | 
also be established where deemed appropriate.
 | 
 When an agency requests an open competitive eligible list  | 
from the Department, the Director shall also provide to the  | 
agency a Successful Disability Opportunities Program eligible  | 
candidate list.  | 
(Source: P.A. 101-192, eff. 1-1-20; revised 12-2-21.)
 | 
 Section 115. The Children and Family Services Act is  | 
amended by changing Section 7.3a as follows:
 | 
 (20 ILCS 505/7.3a) | 
 Sec. 7.3a. Normalcy parenting for children in foster care;  | 
participation in childhood activities.  | 
 (a) Legislative findings.  | 
  (1) Every day parents make important decisions about  | 
 their child's
participation in extracurricular activities.  | 
 Caregivers for children in out-of-home
care are faced with  | 
 | 
 making the same decisions. | 
  (2) When a caregiver makes decisions, he or she must  | 
 consider applicable laws, rules, and regulations to  | 
 safeguard the health, safety, and best interests of a  | 
 child in out-of-home care. | 
  (3) Participation in extracurricular activities is  | 
 important to a child's
well-being, not only emotionally,  | 
 but also in developing valuable life skills. | 
  (4) The General Assembly recognizes the importance of  | 
 making every effort to normalize
the lives of children in  | 
 out-of-home care and to empower a caregiver
to approve or  | 
 not approve a child's participation in appropriate  | 
 extracurricular activities based on
the caregiver's own  | 
 assessment using the reasonable and prudent
parent  | 
 standard, without prior approval of the Department, the
 | 
 caseworker, or the court.  | 
  (5) Nothing in this Section shall be presumed to  | 
 discourage or diminish the engagement of families and  | 
 guardians in the child's life activities.  | 
 (b) Definitions. As used in this Section: | 
 "Appropriate activities" means activities or items that  | 
are generally
accepted as suitable for children of the same  | 
chronological age or
developmental level of maturity.  | 
Appropriateness is based on the development
of cognitive,  | 
emotional, physical, and behavioral capacity that is
typical  | 
for an age or age group, taking into account the individual  | 
 | 
child's cognitive, emotional, physical, and behavioral  | 
development. | 
 "Caregiver" means a person with whom the child is placed  | 
in
out-of-home care or a designated official for child care  | 
facilities
licensed by the Department as
defined in the Child  | 
Care Act of 1969.  | 
 "Reasonable and prudent parent standard" means the  | 
standard
characterized by careful and sensible parental  | 
decisions that maintain
the child's health, safety, and best  | 
interests while at the same time
supporting the child's  | 
emotional and developmental growth that a
caregiver shall use  | 
when determining whether to allow a child in out-of-home care  | 
to participate in extracurricular, enrichment, cultural, and  | 
social
activities.  | 
 (c) Requirements for decision-making.  | 
  (1) Each child who comes into the care and custody of  | 
 the Department
is fully entitled to participate in  | 
 appropriate extracurricular,
enrichment, cultural, and  | 
 social activities in a manner that allows that child to  | 
 participate in his or her community to the fullest extent  | 
 possible. | 
  (2) Caregivers must use the reasonable and prudent  | 
 parent standard
in determining whether to give permission  | 
 for a child in out-of-home
care to participate in  | 
 appropriate extracurricular, enrichment, cultural, and  | 
 social activities.
Caregivers are expected to promote and  | 
 | 
 support a child's participation in such activities. When  | 
 using the reasonable and prudent parent standard, the
 | 
 caregiver shall consider:  | 
   (A) the child's age, maturity, and developmental  | 
 level to promote the
overall health, safety, and best  | 
 interests of the child; | 
   (B) the best interest of the child based on  | 
 information known by the
caregiver; | 
   (C) the importance and fundamental value of  | 
 encouraging the child's emotional and
developmental  | 
 growth gained through participation in activities in  | 
 his or her community; | 
   (D) the importance and fundamental value of  | 
 providing the child with the most family-like
living  | 
 experience possible; and | 
   (E) the behavioral history of the child and the  | 
 child's ability to safely
participate in the proposed  | 
 activity.  | 
  (3) A caregiver is not liable for harm
caused to a  | 
 child in out-of-home care who participates in an activity  | 
 approved by
the caregiver, provided that the caregiver has  | 
 acted as a reasonable
and prudent parent in permitting the  | 
 child to engage in the activity.  | 
 (c-5) No youth in care shall be required to store his or  | 
her belongings in plastic bags or in similar forms of  | 
disposable containers, including, but not limited to, trash  | 
 | 
bags, paper or plastic shopping bags, or pillow cases when  | 
relocating from one placement type to another placement type  | 
or when discharged from the custody or guardianship of the  | 
Department. The Department shall ensure that each youth in  | 
care has appropriate baggage and other items to store his or  | 
her belongings when moving through the State's child welfare  | 
system. As used in this subsection, "purchase of service  | 
agency" means any entity that contracts with the Department to  | 
provide services that are consistent with the purposes of this  | 
Act.  | 
 (d) Rulemaking. The Department shall adopt, by rule,
 | 
procedures no later than June 1, 2017 that promote and protect  | 
the ability
of children to participate in appropriate  | 
extracurricular,
enrichment, cultural, and social activities.
 | 
 (e) The Department shall ensure that every youth in care  | 
who is entering his or her final year of high school has  | 
completed a Free Application for Federal Student Aid form, if  | 
applicable, or an application for State financial aid on or  | 
after October 1, but no later than November 1, of the youth's  | 
final year of high school.  | 
(Source: P.A. 102-70, eff. 1-1-22; 102-545, eff. 1-1-22;  | 
revised 10-5-21.)
 | 
 Section 120. The Department of Commerce and Economic  | 
Opportunity Law of the
Civil Administrative Code of Illinois  | 
is amended by setting forth and renumbering multiple
versions  | 
 | 
of Section 605-1055 and by changing Section 605-1057 as  | 
follows:
 | 
 (20 ILCS 605/605-1055) | 
 Sec. 605-1055. Illinois SBIR/STTR Matching Funds Program. | 
 (a) There is established the Illinois Small Business  | 
Innovation Research (SBIR) and Small Business Technology  | 
Transfer (STTR) Matching Funds Program to be administered by  | 
the Department. In order to foster job creation and economic  | 
development in the State, the Department may make grants to  | 
eligible businesses to match funds received by the business as  | 
an SBIR or STTR Phase I award and to encourage businesses to  | 
apply for Phase II awards.  | 
 (b) In order to be eligible for a grant under this Section,  | 
a business must satisfy all of the following conditions:  | 
  (1) The business must be a for-profit, Illinois-based  | 
 business. For the purposes of this Section, an  | 
 Illinois-based business is one that has its principal  | 
 place of business in this State;  | 
  (2) The business must have received an SBIR/STTR Phase  | 
 I award from a participating federal agency in response to  | 
 a specific federal solicitation. To receive the full  | 
 match, the business must also have submitted a final Phase  | 
 I report, demonstrated that the sponsoring agency has  | 
 interest in the Phase II proposal, and submitted a Phase  | 
 II proposal to the agency.  | 
 | 
  (3) The business must satisfy all federal SBIR/STTR  | 
 requirements.  | 
  (4) The business shall not receive concurrent funding  | 
 support from other sources that duplicates the purpose of  | 
 this Section.  | 
  (5) The business must certify that at least 51% of the  | 
 research described in the federal SBIR/STTR Phase II  | 
 proposal will be conducted in this State and that the  | 
 business will remain an Illinois-based business for the  | 
 duration of the SBIR/STTR Phase II project.  | 
  (6) The business must demonstrate its ability to  | 
 conduct research in its SBIR/STTR Phase II proposal.  | 
 (c) The Department may award grants to match the funds  | 
received by a business through an SBIR/STTR Phase I proposal  | 
up to a maximum of $50,000. Seventy-five percent of the total  | 
grant shall be remitted to the business upon receipt of the  | 
SBIR/STTR Phase I award and application for funds under this  | 
Section. Twenty-five percent of the total grant shall be  | 
remitted to the business upon submission by the business of  | 
the Phase II application to the funding agency and acceptance  | 
of the Phase I report by the funding agency. A business may  | 
receive only one grant under this Section per year. A business  | 
may receive only one grant under this Section with respect to  | 
each federal proposal submission. Over its lifetime, a  | 
business may receive a maximum of 5 awards under this Section.  | 
 (d) A business shall apply, under oath, to the Department  | 
 | 
for a grant under this Section on a form prescribed by the  | 
Department that includes at least all of the following:  | 
  (1) the name of the business, the form of business  | 
 organization under which it is operated, and the names and  | 
 addresses of the principals or management of the business;  | 
  (2) an acknowledgment of receipt of the Phase I report  | 
 and Phase II proposal by the relevant federal agency; and  | 
  (3) any other information necessary for the Department  | 
 to evaluate the application.
 | 
(Source: P.A. 101-657, eff. 3-23-21.)
 | 
 (20 ILCS 605/605-1057) | 
 (Section scheduled to be repealed on July 1, 2031) | 
 Sec. 605-1057. State-designated cultural districts. | 
 (a) As used in this Section, "State-designated cultural  | 
district" means a geographical area certified under this  | 
Section that has a distinct, historic, and cultural identity.  | 
Municipalities or 501(c)(3) organizations working on behalf of  | 
a certified geographical area should seek to: | 
  (1) Promote a distinct historic and cultural  | 
 community. | 
  (2) Encourage economic development and support  | 
 supports entrepreneurship in the geographic area and  | 
 community. | 
  (3) Encourage the preservation and development of  | 
 historic and culturally significant structures,  | 
 | 
 traditions, and languages. | 
  (4) Foster local cultural development and education. | 
  (5) Provide a focal point for celebrating and  | 
 strengthening the unique cultural identity of the  | 
 community. | 
  (6) Promote growth and opportunity without generating  | 
 displacement or expanding inequality. | 
 (b) Administrative authority. The Department of Commerce  | 
and Economic Opportunity shall establish criteria and  | 
guidelines for State-designated cultural districts by rule in  | 
accordance with qualifying criteria outlined in subsection  | 
(c). In executing its powers and duties under this Section,  | 
the Department shall: | 
  (1) establish a competitive application system by  | 
 which a community may apply for certification as a  | 
 State-designated cultural district; | 
  (2) provide technical assistance for State-designated  | 
 cultural districts by collaborating with all relevant  | 
 offices and grantees of the Department to help them  | 
 identify and achieve their goals for cultural  | 
 preservation, including, but not limited to, promotional  | 
 support of State-designated cultural districts and support  | 
 for small businesses looking to access resources; | 
  (3) collaborate with other State agencies, units of  | 
 local government, community organizations, and private  | 
 entities to maximize the benefits of State-designated  | 
 | 
 cultural districts; and | 
  (4) establish an advisory committee to advise the  | 
 Department on program rules and the certification process.  | 
 The advisory committee shall reflect the diversity of the  | 
 State of Illinois, including geographic, racial, and  | 
 ethnic diversity. The advisory committee must include: | 
   (A) a representative of the Department of Commerce  | 
 and Economic Opportunity appointed by the Director; | 
   (B) a representative of the Department of  | 
 Agriculture appointed by the Director of Agriculture; | 
   (C) a representative of the Illinois Housing  | 
 Development Authority appointed by the Executive  | 
 Director of the Illinois Housing Development  | 
 Authority; | 
   (D) two members of the House of Representatives  | 
 appointed one each by the Speaker of the House of  | 
 Representatives and the Minority Leader of the House  | 
 of Representatives; | 
   (E) two members of the Senate appointed one each  | 
 by the President of the Senate and the Minority Leader  | 
 of the Senate; and | 
   (F) four community representatives appointed by  | 
 the Governor representing diverse racial, ethnic, and  | 
 geographic groups not captured in the membership of  | 
 the other designees, with the input of community and  | 
 stakeholder groups.  | 
 | 
 (c) Certification. A geographical area within the State  | 
may be certified as a State-designated cultural district by  | 
applying to the Department for certification. Certification as  | 
a State-designated cultural district shall be for a period of  | 
10 years, after which the district may renew certification  | 
every 5 years. A municipality or 501(c)(3) organization may  | 
apply for certification on behalf of a geographic area. The  | 
applying entity is responsible for complying with reporting  | 
requirements under subsection (f). The Department shall  | 
develop criteria to assess whether an applicant qualifies for  | 
certification under this Section. That criteria must include a  | 
demonstration that the applicant and the community: | 
  (1) have been historically impacted and are currently  | 
 at risk of losing their cultural identity because of  | 
 gentrification, displacement, or the COVID-19 pandemic; | 
  (2) can demonstrate a history of economic  | 
 disinvestment; and | 
  (3) can demonstrate strong community support for the  | 
 cultural district designation through active and formal  | 
 participation by community organizations and municipal and  | 
 regional government agencies or officials. | 
 (d) Each applicant shall be encouraged by the Department  | 
to:  | 
  (1) have development plans that include and prioritize  | 
 the preservation of local businesses and retention of  | 
 existing residents and businesses; and | 
 | 
  (2) have an education framework in place informed with  | 
 a vision of food justice, social justice, community  | 
 sustainability, and social equity. | 
 (e) The Department shall award no more than 5  | 
State-designated cultural districts every year. At no point  | 
shall the total amount of State-designated cultural districts  | 
be more than 15, unless otherwise directed by the Director of  | 
the Department of Commerce and Economic Opportunity in  | 
consultation with the advisory committee.  | 
 (f) Within 12 months after being designated a cultural  | 
district, the State-designated cultural district shall submit  | 
a report to the Department detailing its current programs and  | 
goals for the next 4 years of its designation. For each year  | 
thereafter that the district remains a State-designated  | 
cultural district, it shall submit a report to the Department  | 
on the status of the program and future developments of the  | 
district. Any State-designated cultural district that fails to  | 
file a report for 2 consecutive years shall lose its status. | 
 (g) This Section is repealed on July 1, 2031.
 | 
(Source: P.A. 102-628, eff. 1-1-22; revised 12-6-21.)
 | 
 (20 ILCS 605/605-1080) | 
 (Section scheduled to be repealed on January 1, 2024) | 
 Sec. 605-1080 605-1055. Personal care products industry  | 
supplier disparity study. | 
 (a) The Department shall compile and publish a disparity  | 
 | 
study by December 31, 2022 that: (1) evaluates whether there  | 
exists intentional discrimination at the
supplier or  | 
distribution level for retailers of beauty products,  | 
cosmetics, hair
care supplies, and personal care products in  | 
the State of Illinois; and (2) if so,
evaluates the impact of  | 
such discrimination on the State and includes
recommendations  | 
for reducing or eliminating any barriers to entry to those
 | 
wishing to establish businesses at the retail level involving  | 
such products.
The Department shall forward a copy of its  | 
findings and recommendations to
the General Assembly and  | 
Governor. | 
 (b) The Department may compile, collect, or otherwise  | 
gather data necessary for the administration of this Section  | 
and to carry out the Department's duty relating to the  | 
recommendation of policy changes. The Department shall compile  | 
all of the data into a single report, submit the report to the  | 
Governor and the General Assembly, and publish the report on  | 
its website. | 
 (c) This Section is repealed on January 1, 2024.
 | 
(Source: P.A. 101-658, eff. 3-23-21; revised 11-2-21.)
 | 
 (20 ILCS 605/605-1085)
 | 
 Sec. 605-1085 605-1055. The Illinois Small Business Fund.  | 
The Illinois Small Business Fund is created as a  | 
nonappropriated separate and apart trust fund in the State  | 
Treasury. The Department shall use moneys in the Fund to  | 
 | 
manage proceeds that result from investments that the  | 
Department has undertaken through economic development  | 
programs, including, but not limited to, the Department's  | 
Venture Capital Investment Program. The Department may use  | 
moneys collected to reinvest in small business and economic  | 
development initiatives through grants or loans. The Fund may  | 
receive any grants or other moneys designated for small  | 
business growth from the State, or any unit of federal or local  | 
government, or any other person, firm, partnership, or  | 
corporation. Any interest earnings that are attributable to  | 
moneys in the Fund must be deposited into the Fund.
 | 
(Source: P.A. 102-330, eff. 1-1-22; revised 11-2-21.)
 | 
 (20 ILCS 605/605-1090)
 | 
 Sec. 605-1090 605-1055. Illinois Innovation Voucher  | 
Program. | 
 (a) The Department is authorized to establish the Illinois  | 
Innovation Voucher Program to be administered in accordance  | 
with this Section for the purpose of fostering research and  | 
development in key industry clusters leading to the creation  | 
of new products and services that can be marketed by Illinois  | 
businesses. Subject to appropriation, the Department may award  | 
innovation vouchers to eligible businesses to offset a portion  | 
of expenses incurred through a collaborative research  | 
engagement with an Illinois institution of higher education. | 
 (b) Subject to appropriation, the Department may award  | 
 | 
matching funds in the form of innovation vouchers up to 75% of  | 
the cost of the research engagement not to exceed $75,000. A  | 
business may receive only one innovation voucher under this  | 
Section per year. | 
 (c) The Department, when administering the Program under  | 
this Section: | 
  (1) must encourage participation among small and  | 
 mid-sized businesses; | 
  (2) must encourage participation in the Program in  | 
 diverse geographic and economic areas, including urban,  | 
 suburban, and rural areas of the State; and | 
  (3) must encourage participation in the Program from  | 
 businesses that operate in key industries, as defined by  | 
 the Department. These industries include, but are not  | 
 limited to, the following: (i) agribusiness and agtech;  | 
 (ii) energy; (iii) information technology; (iv) life  | 
 sciences and healthcare; (v) manufacturing; and (vi)  | 
 transportation and logistics. | 
 (d) In order to be eligible for an innovation voucher  | 
under this Section, a business must satisfy all of the  | 
following conditions: | 
  (1) the business must be an Illinois-based business.  | 
 For the purposes of this Section, "Illinois-based  | 
 business" means a business that has its principal place of  | 
 business in this State or that employs at least 100  | 
 full-time employees, as defined under Section 5-5 of the  | 
 | 
 Economic Development for a Growing Economy Tax Credit Act,  | 
 in this State; | 
  (2) the business must remain in this State for the  | 
 duration of research engagement; and | 
  (3) the partnering institution of higher education  | 
 must be an Illinois-based institution of higher education  | 
 and non-profit. For the purposes of this Section,  | 
 "Illinois-based institution of higher education" means an  | 
 institution of higher education that has its main physical  | 
 campus in this State. | 
 (e) The Department may adopt any rules necessary to
 | 
administer the provisions of this Section.
 | 
(Source: P.A. 102-648, eff. 8-27-21; revised 11-2-21.)
 | 
 Section 125. The Illinois Enterprise Zone Act is amended  | 
by changing Section 5.5 as follows:
 | 
 (20 ILCS 655/5.5)
 (from Ch. 67 1/2, par. 609.1)
 | 
 Sec. 5.5. High Impact Business. 
 | 
 (a) In order to respond to unique opportunities to assist  | 
in the
encouragement, development, growth, and expansion of  | 
the private sector through
large scale investment and  | 
development projects, the Department is authorized
to receive  | 
and approve applications for the designation of "High Impact
 | 
Businesses" in Illinois subject to the following conditions:
 | 
  (1) such applications may be submitted at any time  | 
 | 
 during the year;
 | 
  (2) such business is not located, at the time of  | 
 designation, in
an enterprise zone designated pursuant to  | 
 this Act;
 | 
  (3) the business intends to do one or more of the  | 
 following:
 | 
   (A) the business intends to make a minimum  | 
 investment of
$12,000,000 which will be placed in  | 
 service in qualified property and
intends to create  | 
 500 full-time equivalent jobs at a designated location
 | 
 in Illinois or intends to make a minimum investment of  | 
 $30,000,000 which
will be placed in service in  | 
 qualified property and intends to retain 1,500
 | 
 full-time retained jobs at a designated location in  | 
 Illinois.
The business must certify in writing that  | 
 the investments would not be
placed in service in  | 
 qualified property and the job creation or job
 | 
 retention would not occur without the tax credits and  | 
 exemptions set forth
in subsection (b) of this  | 
 Section. The terms "placed in service" and
"qualified  | 
 property" have the same meanings as described in  | 
 subsection (h)
of Section 201 of the Illinois Income  | 
 Tax Act; or
 | 
   (B) the business intends to establish a new  | 
 electric generating
facility at a designated location  | 
 in Illinois. "New electric generating
facility", for  | 
 | 
 purposes of this Section, means a newly constructed  | 
 newly-constructed
electric
generation plant
or a newly  | 
 constructed newly-constructed generation capacity  | 
 expansion at an existing electric
generation
plant,  | 
 including the transmission lines and associated
 | 
 equipment that transfers electricity from points of  | 
 supply to points of
delivery, and for which such new  | 
 foundation construction commenced not sooner
than July  | 
 1,
2001. Such facility shall be designed to provide  | 
 baseload electric
generation and shall operate on a  | 
 continuous basis throughout the year;
and (i) shall  | 
 have an aggregate rated generating capacity of at  | 
 least 1,000
megawatts for all new units at one site if  | 
 it uses natural gas as its primary
fuel and foundation  | 
 construction of the facility is commenced on
or before  | 
 December 31, 2004, or shall have an aggregate rated  | 
 generating
capacity of at least 400 megawatts for all  | 
 new units at one site if it uses
coal or gases derived  | 
 from coal
as its primary fuel and
shall support the  | 
 creation of at least 150 new Illinois coal mining  | 
 jobs, or
(ii) shall be funded through a federal  | 
 Department of Energy grant before December 31, 2010  | 
 and shall support the creation of Illinois
coal-mining
 | 
 jobs, or (iii) shall use coal gasification or  | 
 integrated gasification-combined cycle units
that  | 
 generate
electricity or chemicals, or both, and shall  | 
 | 
 support the creation of Illinois
coal-mining
jobs.
The
 | 
 business must certify in writing that the investments  | 
 necessary to establish
a new electric generating  | 
 facility would not be placed in service and the
job  | 
 creation in the case of a coal-fueled plant
would not  | 
 occur without the tax credits and exemptions set forth  | 
 in
subsection (b-5) of this Section. The term "placed  | 
 in service" has
the same meaning as described in  | 
 subsection
(h) of Section 201 of the Illinois Income  | 
 Tax Act; or
 | 
   (B-5) the business intends to establish a new  | 
 gasification
facility at a designated location in  | 
 Illinois. As used in this Section, "new gasification  | 
 facility" means a newly constructed coal gasification  | 
 facility that generates chemical feedstocks or  | 
 transportation fuels derived from coal (which may  | 
 include, but are not limited to, methane, methanol,  | 
 and nitrogen fertilizer), that supports the creation  | 
 or retention of Illinois coal-mining jobs, and that  | 
 qualifies for financial assistance from the Department  | 
 before December 31, 2010. A new gasification facility  | 
 does not include a pilot project located within  | 
 Jefferson County or within a county adjacent to  | 
 Jefferson County for synthetic natural gas from coal;  | 
 or | 
   (C) the business intends to establish
production  | 
 | 
 operations at a new coal mine, re-establish production  | 
 operations at
a closed coal mine, or expand production  | 
 at an existing coal mine
at a designated location in  | 
 Illinois not sooner than July 1, 2001;
provided that  | 
 the
production operations result in the creation of  | 
 150 new Illinois coal mining
jobs as described in  | 
 subdivision (a)(3)(B) of this Section, and further
 | 
 provided that the coal extracted from such mine is  | 
 utilized as the predominant
source for a new electric  | 
 generating facility.
The business must certify in  | 
 writing that the
investments necessary to establish a  | 
 new, expanded, or reopened coal mine would
not
be  | 
 placed in service and the job creation would not
occur  | 
 without the tax credits and exemptions set forth in  | 
 subsection (b-5) of
this Section. The term "placed in  | 
 service" has
the same meaning as described in  | 
 subsection (h) of Section 201 of the
Illinois Income  | 
 Tax Act; or
 | 
   (D) the business intends to construct new  | 
 transmission facilities or
upgrade existing  | 
 transmission facilities at designated locations in  | 
 Illinois,
for which construction commenced not sooner  | 
 than July 1, 2001. For the
purposes of this Section,  | 
 "transmission facilities" means transmission lines
 | 
 with a voltage rating of 115 kilovolts or above,  | 
 including associated
equipment, that transfer  | 
 | 
 electricity from points of supply to points of
 | 
 delivery and that transmit a majority of the  | 
 electricity generated by a new
electric generating  | 
 facility designated as a High Impact Business in  | 
 accordance
with this Section. The business must  | 
 certify in writing that the investments
necessary to  | 
 construct new transmission facilities or upgrade  | 
 existing
transmission facilities would not be placed  | 
 in service
without the tax credits and exemptions set  | 
 forth in subsection (b-5) of this
Section. The term  | 
 "placed in service" has the
same meaning as described  | 
 in subsection (h) of Section 201 of the Illinois
 | 
 Income Tax Act; or
 | 
   (E) the business intends to establish a new wind  | 
 power facility at a designated location in Illinois.  | 
 For purposes of this Section, "new wind power  | 
 facility" means a newly constructed electric  | 
 generation facility, a newly constructed expansion of  | 
 an existing electric generation facility, or the  | 
 replacement of an existing electric generation  | 
 facility, including the demolition and removal of an  | 
 electric generation facility irrespective of whether  | 
 it will be replaced, placed in service or replaced on  | 
 or after July 1, 2009, that generates electricity  | 
 using wind energy devices, and such facility shall be  | 
 deemed to include any permanent structures associated  | 
 | 
 with the electric generation facility and all  | 
 associated transmission lines, substations, and other  | 
 equipment related to the generation of electricity  | 
 from wind energy devices. For purposes of this  | 
 Section, "wind energy device" means any device, with a  | 
 nameplate capacity of at least 0.5 megawatts, that is  | 
 used in the process of converting kinetic energy from  | 
 the wind to generate electricity; or  | 
   (E-5) the business intends to establish a new  | 
 utility-scale solar facility at a designated location  | 
 in Illinois. For purposes of this Section, "new  | 
 utility-scale solar power facility" means a newly  | 
 constructed electric generation facility, or a newly  | 
 constructed expansion of an existing electric  | 
 generation facility, placed in service on or after  | 
 July 1, 2021, that (i) generates electricity using  | 
 photovoltaic cells and (ii) has a nameplate capacity  | 
 that is greater than 5,000 kilowatts, and such  | 
 facility shall be deemed to include all associated  | 
 transmission lines, substations, energy storage  | 
 facilities, and other equipment related to the  | 
 generation and storage of electricity from  | 
 photovoltaic cells; or  | 
   (F) the business commits to (i) make a minimum  | 
 investment of $500,000,000, which will be placed in  | 
 service in a qualified property, (ii) create 125  | 
 | 
 full-time equivalent jobs at a designated location in  | 
 Illinois, (iii) establish a fertilizer plant at a  | 
 designated location in Illinois that complies with the  | 
 set-back standards as described in Table 1: Initial  | 
 Isolation and Protective Action Distances in the 2012  | 
 Emergency Response Guidebook published by the United  | 
 States Department of Transportation, (iv) pay a  | 
 prevailing wage for employees at that location who are  | 
 engaged in construction activities, and (v) secure an  | 
 appropriate level of general liability insurance to  | 
 protect against catastrophic failure of the fertilizer  | 
 plant or any of its constituent systems; in addition,  | 
 the business must agree to enter into a construction  | 
 project labor agreement including provisions  | 
 establishing wages, benefits, and other compensation  | 
 for employees performing work under the project labor  | 
 agreement at that location; for the purposes of this  | 
 Section, "fertilizer plant" means a newly constructed  | 
 or upgraded plant utilizing gas used in the production  | 
 of anhydrous ammonia and downstream nitrogen  | 
 fertilizer products for resale; for the purposes of  | 
 this Section, "prevailing wage" means the hourly cash  | 
 wages plus fringe benefits for training and
 | 
 apprenticeship programs approved by the U.S.  | 
 Department of Labor, Bureau of
Apprenticeship and  | 
 Training, health and welfare, insurance, vacations and
 | 
 | 
 pensions paid generally, in the
locality in which the  | 
 work is being performed, to employees engaged in
work  | 
 of a similar character on public works; this paragraph  | 
 (F) applies only to businesses that submit an  | 
 application to the Department within 60 days after  | 
 July 25, 2013 (the effective date of Public Act  | 
 98-109); and  | 
  (4) no later than 90 days after an application is  | 
 submitted, the
Department shall notify the applicant of  | 
 the Department's determination of
the qualification of the  | 
 proposed High Impact Business under this Section.
 | 
 (b) Businesses designated as High Impact Businesses  | 
pursuant to
subdivision (a)(3)(A) of this Section shall  | 
qualify for the credits and
exemptions described in the
 | 
following Acts: Section 9-222 and Section 9-222.1A of the  | 
Public Utilities
Act,
subsection (h)
of Section 201 of the  | 
Illinois Income Tax Act,
and Section 1d of
the
Retailers'  | 
Occupation Tax Act; provided that these credits and
exemptions
 | 
described in these Acts shall not be authorized until the  | 
minimum
investments set forth in subdivision (a)(3)(A) of this
 | 
Section have been placed in
service in qualified properties  | 
and, in the case of the exemptions
described in the Public  | 
Utilities Act and Section 1d of the Retailers'
Occupation Tax  | 
Act, the minimum full-time equivalent jobs or full-time  | 
retained jobs set
forth in subdivision (a)(3)(A) of this  | 
Section have been
created or retained.
Businesses designated  | 
 | 
as High Impact Businesses under
this Section shall also
 | 
qualify for the exemption described in Section 5l of the  | 
Retailers' Occupation
Tax Act. The credit provided in  | 
subsection (h) of Section 201 of the Illinois
Income Tax Act  | 
shall be applicable to investments in qualified property as  | 
set
forth in subdivision (a)(3)(A) of this Section.
 | 
 (b-5) Businesses designated as High Impact Businesses  | 
pursuant to
subdivisions (a)(3)(B), (a)(3)(B-5), (a)(3)(C),  | 
and (a)(3)(D) of this Section shall qualify
for the credits  | 
and exemptions described in the following Acts: Section 51 of
 | 
the Retailers' Occupation Tax Act, Section 9-222 and Section  | 
9-222.1A of the
Public Utilities Act, and subsection (h) of  | 
Section 201 of the Illinois Income
Tax Act; however, the  | 
credits and exemptions authorized under Section 9-222 and
 | 
Section 9-222.1A of the Public Utilities Act, and subsection  | 
(h) of Section 201
of the Illinois Income Tax Act shall not be  | 
authorized until the new electric
generating facility, the new  | 
gasification facility, the new transmission facility, or the  | 
new, expanded, or
reopened coal mine is operational,
except  | 
that a new electric generating facility whose primary fuel  | 
source is
natural gas is eligible only for the exemption under  | 
Section 5l of the
Retailers' Occupation Tax Act.
 | 
 (b-6) Businesses designated as High Impact Businesses  | 
pursuant to subdivision (a)(3)(E) or (a)(3)(E-5) of this  | 
Section shall qualify for the exemptions described in Section  | 
5l of the Retailers' Occupation Tax Act; any business so  | 
 | 
designated as a High Impact Business being, for purposes of  | 
this Section, a "Wind Energy Business".  | 
 (b-7) Beginning on January 1, 2021, businesses designated  | 
as High Impact Businesses by the Department shall qualify for  | 
the High Impact Business construction jobs credit under  | 
subsection (h-5) of Section 201 of the Illinois Income Tax Act  | 
if the business meets the criteria set forth in subsection (i)  | 
of this Section. The total aggregate amount of credits awarded  | 
under the Blue Collar Jobs Act (Article 20 of Public Act 101-9)  | 
shall not exceed $20,000,000 in any State fiscal year.  | 
 (c) High Impact Businesses located in federally designated  | 
foreign trade
zones or sub-zones are also eligible for  | 
additional credits, exemptions and
deductions as described in  | 
the following Acts: Section 9-221 and Section
9-222.1 of the  | 
Public
Utilities Act; and subsection (g) of Section 201, and  | 
Section 203
of the Illinois Income Tax Act.
 | 
 (d) Except for businesses contemplated under subdivision  | 
(a)(3)(E) or (a)(3)(E-5) of this Section, existing Illinois  | 
businesses which apply for designation as a
High Impact  | 
Business must provide the Department with the prospective plan
 | 
for which 1,500 full-time retained jobs would be eliminated in  | 
the event that the
business is not designated.
 | 
 (e) Except for new wind power facilities contemplated  | 
under subdivision (a)(3)(E) of this Section, new proposed  | 
facilities which apply for designation as High Impact
Business  | 
must provide the Department with proof of alternative  | 
 | 
non-Illinois
sites which would receive the proposed investment  | 
and job creation in the
event that the business is not  | 
designated as a High Impact Business.
 | 
 (f) Except for businesses contemplated under subdivision  | 
(a)(3)(E) of this Section, in the event that a business is  | 
designated a High Impact Business
and it is later determined  | 
after reasonable notice and an opportunity for a
hearing as  | 
provided under the Illinois Administrative Procedure Act, that
 | 
the business would have placed in service in qualified  | 
property the
investments and created or retained the requisite  | 
number of jobs without
the benefits of the High Impact  | 
Business designation, the Department shall
be required to  | 
immediately revoke the designation and notify the Director
of  | 
the Department of Revenue who shall begin proceedings to  | 
recover all
wrongfully exempted State taxes with interest. The  | 
business shall also be
ineligible for all State funded  | 
Department programs for a period of 10 years.
 | 
 (g) The Department shall revoke a High Impact Business  | 
designation if
the participating business fails to comply with  | 
the terms and conditions of
the designation.
 | 
 (h) Prior to designating a business, the Department shall  | 
provide the
members of the General Assembly and Commission on  | 
Government Forecasting and Accountability
with a report  | 
setting forth the terms and conditions of the designation and
 | 
guarantees that have been received by the Department in  | 
relation to the
proposed business being designated.
 | 
 | 
 (i) High Impact Business construction jobs credit.  | 
Beginning on January 1, 2021, a High Impact Business may  | 
receive a tax credit against the tax imposed under subsections  | 
(a) and (b) of Section 201 of the Illinois Income Tax Act in an  | 
amount equal to 50% of the amount of the incremental income tax  | 
attributable to High Impact Business construction jobs credit  | 
employees employed in the course of completing a High Impact  | 
Business construction jobs project. However, the High Impact  | 
Business construction jobs credit may equal 75% of the amount  | 
of the incremental income tax attributable to High Impact  | 
Business construction jobs credit employees if the High Impact  | 
Business construction jobs credit project is located in an  | 
underserved area.  | 
 The Department shall certify to the Department of Revenue:  | 
(1) the identity of taxpayers that are eligible for the High  | 
Impact Business construction jobs credit; and (2) the amount  | 
of High Impact Business construction jobs credits that are  | 
claimed pursuant to subsection (h-5) of Section 201 of the  | 
Illinois Income Tax Act in each taxable year. Any business  | 
entity that receives a High Impact Business construction jobs  | 
credit shall maintain a certified payroll pursuant to  | 
subsection (j) of this Section.  | 
 As used in this subsection (i): | 
 "High Impact Business construction jobs credit" means an  | 
amount equal to 50% (or 75% if the High Impact Business  | 
construction project is located in an underserved area) of the  | 
 | 
incremental income tax attributable to High Impact Business  | 
construction job employees. The total aggregate amount of  | 
credits awarded under the Blue Collar Jobs Act (Article 20 of  | 
Public Act 101-9) shall not exceed $20,000,000 in any State  | 
fiscal year | 
 "High Impact Business construction job employee" means a  | 
laborer or worker who is employed by an Illinois contractor or  | 
subcontractor in the actual construction work on the site of a  | 
High Impact Business construction job project. | 
 "High Impact Business construction jobs project" means  | 
building a structure or building or making improvements of any  | 
kind to real property, undertaken and commissioned by a  | 
business that was designated as a High Impact Business by the  | 
Department. The term "High Impact Business construction jobs  | 
project" does not include the routine operation, routine  | 
repair, or routine maintenance of existing structures,  | 
buildings, or real property. | 
 "Incremental income tax" means the total amount withheld  | 
during the taxable year from the compensation of High Impact  | 
Business construction job employees. | 
 "Underserved area" means a geographic area that meets one  | 
or more of the following conditions: | 
  (1) the area has a poverty rate of at least 20%  | 
 according to the latest American Community Survey;  | 
  (2) 35% or more of the families with children in the  | 
 area are living below 130% of the poverty line, according  | 
 | 
 to the latest American Community Survey;  | 
  (3) at least 20% of the households in the area receive  | 
 assistance under the Supplemental Nutrition Assistance  | 
 Program (SNAP); or  | 
  (4) the area has an average unemployment rate, as  | 
 determined by the Illinois Department of Employment  | 
 Security, that is more than 120% of the national  | 
 unemployment average, as determined by the U.S. Department  | 
 of Labor, for a period of at least 2 consecutive calendar  | 
 years preceding the date of the application.  | 
 (j) Each contractor and subcontractor who is engaged in  | 
and executing a High Impact Business Construction jobs  | 
project, as defined under subsection (i) of this Section, for  | 
a business that is entitled to a credit pursuant to subsection  | 
(i) of this Section shall:  | 
  (1) make and keep, for a period of 5 years from the  | 
 date of the last payment made on or after June 5, 2019 (the  | 
 effective date of Public Act 101-9) on a contract or  | 
 subcontract for a High Impact Business Construction Jobs  | 
 Project, records for all laborers and other workers  | 
 employed by the contractor or subcontractor on the  | 
 project; the records shall include:  | 
   (A) the worker's name;  | 
   (B) the worker's address;  | 
   (C) the worker's telephone number, if available;  | 
   (D) the worker's social security number;  | 
 | 
   (E) the worker's classification or  | 
 classifications;  | 
   (F) the worker's gross and net wages paid in each  | 
 pay period;  | 
   (G) the worker's number of hours worked each day;  | 
   (H) the worker's starting and ending times of work  | 
 each day;  | 
   (I) the worker's hourly wage rate; | 
   (J) the worker's hourly overtime wage rate;  | 
   (K) the worker's race and ethnicity; and | 
   (L) the worker's gender; | 
  (2) no later than the 15th day of each calendar month,  | 
 provide a certified payroll for the immediately preceding  | 
 month to the taxpayer in charge of the High Impact  | 
 Business construction jobs project; within 5 business days  | 
 after receiving the certified payroll, the taxpayer shall  | 
 file the certified payroll with the Department of Labor  | 
 and the Department of Commerce and Economic Opportunity; a  | 
 certified payroll must be filed for only those calendar  | 
 months during which construction on a High Impact Business  | 
 construction jobs project has occurred; the certified  | 
 payroll shall consist of a complete copy of the records  | 
 identified in paragraph (1) of this subsection (j), but  | 
 may exclude the starting and ending times of work each  | 
 day; the certified payroll shall be accompanied by a  | 
 statement signed by the contractor or subcontractor or an  | 
 | 
 officer, employee, or agent of the contractor or  | 
 subcontractor which avers that:  | 
   (A) he or she has examined the certified payroll  | 
 records required to be submitted by the Act and such  | 
 records are true and accurate; and  | 
   (B) the contractor or subcontractor is aware that  | 
 filing a certified payroll that he or she knows to be  | 
 false is a Class A misdemeanor.  | 
 A general contractor is not prohibited from relying on a  | 
certified payroll of a lower-tier subcontractor, provided the  | 
general contractor does not knowingly rely upon a  | 
subcontractor's false certification.  | 
 Any contractor or subcontractor subject to this  | 
subsection, and any officer, employee, or agent of such  | 
contractor or subcontractor whose duty as an officer,  | 
employee, or agent it is to file a certified payroll under this  | 
subsection, who willfully fails to file such a certified  | 
payroll on or before the date such certified payroll is  | 
required by this paragraph to be filed and any person who  | 
willfully files a false certified payroll that is false as to  | 
any material fact is in violation of this Act and guilty of a  | 
Class A misdemeanor.  | 
 The taxpayer in charge of the project shall keep the  | 
records submitted in accordance with this subsection on or  | 
after June 5, 2019 (the effective date of Public Act 101-9) for  | 
a period of 5 years from the date of the last payment for work  | 
 | 
on a contract or subcontract for the High Impact Business  | 
construction jobs project.  | 
 The records submitted in accordance with this subsection  | 
shall be considered public records, except an employee's  | 
address, telephone number, and social security number, and  | 
made available in accordance with the Freedom of Information  | 
Act. The Department of Labor shall share the information with  | 
the Department in order to comply with the awarding of a High  | 
Impact Business construction jobs credit. A contractor,  | 
subcontractor, or public body may retain records required  | 
under this Section in paper or electronic format.  | 
 (k) Upon 7 business days' notice, each contractor and  | 
subcontractor shall make available for inspection and copying  | 
at a location within this State during reasonable hours, the  | 
records identified in this subsection (j) to the taxpayer in  | 
charge of the High Impact Business construction jobs project,  | 
its officers and agents, the Director of the Department of  | 
Labor and his or her deputies and agents, and to federal,  | 
State, or local law enforcement agencies and prosecutors.  | 
(Source: P.A. 101-9, eff. 6-5-19; 102-108, eff. 1-1-22;  | 
102-558, eff. 8-20-21; 102-605, eff. 8-27-21; 102-662, eff.  | 
9-15-21; 102-673, eff. 11-30-21; revised 12-8-21.)
 | 
 Section 130. The Illinois Promotion Act is amended by  | 
changing Section 8a as follows:
 | 
 | 
 (20 ILCS 665/8a) (from Ch. 127, par. 200-28a)
 | 
 Sec. 8a. Tourism grants and loans. 
 | 
 (1) The Department is authorized to make grants and loans,  | 
subject to
appropriations by the General Assembly for this  | 
purpose from the Tourism
Promotion Fund,
to counties,  | 
municipalities, other units of local government, local  | 
promotion groups, not-for-profit
organizations, or
for-profit  | 
businesses for the development or improvement of tourism
 | 
attractions in Illinois. Individual grants and loans shall not
 | 
exceed
$1,000,000
and shall not exceed 50% of the entire  | 
amount of the actual expenditures for
the development or  | 
improvement of a tourist attraction. Agreements for
loans made  | 
by the Department pursuant to this subsection may contain
 | 
provisions regarding term, interest rate, security as may be  | 
required by
the Department and any other provisions the  | 
Department may require to
protect the State's interest.
 | 
 (2) From appropriations to the Department from the State  | 
CURE fund for this purpose, the Department shall establish  | 
Tourism Attraction grants for purposes outlined in subsection  | 
(1). Grants under this subsection shall not exceed $1,000,000  | 
but may exceed 50% of the entire amount of the actual  | 
expenditure for the development or improvement of a tourist  | 
attraction, including, but not limited to, festivals.  | 
Expenditures of such funds shall be in accordance with the  | 
permitted purposes under Section 9901 of the American Rescue  | 
Plan Act of 2021 and all related federal guidance.
 | 
 | 
(Source: P.A. 102-16, eff. 6-17-21; 102-287, eff. 8-6-21;  | 
revised 9-28-21.)
 | 
 Section 135. The Financial Institutions Code is amended by  | 
changing Section 6 as follows:
 | 
 (20 ILCS 1205/6) (from Ch. 17, par. 106)
 | 
 Sec. 6. In addition to the duties imposed elsewhere in  | 
this Act, the
Department has the following powers:
 | 
 (1) To exercise the rights, powers and duties vested by  | 
law in the
Auditor of Public Accounts under "An Act to provide  | 
for the incorporation,
management and regulation of pawners'  | 
societies and limiting the rate of
compensation to be paid for  | 
advances, storage and insurance on pawns and
pledges and to  | 
allow the loaning of money upon personal property", approved
 | 
March 29, 1899, as amended.
 | 
 (2) To exercise the rights, powers and duties vested by  | 
law in the
Auditor of Public Accounts under the Currency  | 
Exchange Act "An Act in relation to the definition,
licensing  | 
and regulation of community currency exchanges and ambulatory
 | 
currency exchanges, and the operators and employees thereof,  | 
and to make an
appropriation therefor, and to provide  | 
penalties and remedies for the
violation thereof", approved  | 
June 30, 1943, as amended.
 | 
 (3) To exercise the rights, powers, and duties vested by  | 
law in the
Auditor of Public Accounts under "An Act in relation  | 
 | 
to the buying and
selling of foreign exchange and the  | 
transmission or transfer of money to
foreign countries",  | 
approved June 28, 1923, as amended.
 | 
 (4) To exercise the rights, powers, and duties vested by  | 
law in the
Auditor of Public Accounts under "An Act to provide  | 
for and regulate the
business of guaranteeing titles to real  | 
estate by corporations", approved
May 13, 1901, as amended.
 | 
 (5) To exercise the rights, powers and duties vested by  | 
law in the
Department of Insurance under "An Act to define,  | 
license, and regulate the
business of making loans of eight  | 
hundred dollars or less, permitting an
interest charge thereon  | 
greater than otherwise allowed by law, authorizing
and  | 
regulating the assignment of wages or salary when taken as  | 
security for
any such loan or as consideration for a payment of  | 
eight hundred dollars or
less, providing penalties, and to  | 
repeal Acts therein named", approved July
11, 1935, as  | 
amended.
 | 
 (6) To administer and enforce the Safety Deposit License  | 
Act "An Act to license and regulate the
keeping and letting of  | 
safety deposit boxes, safes, and vaults, and the
opening  | 
thereof, and to repeal a certain Act therein named", approved  | 
June
13, 1945, as amended.
 | 
 (7) 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  | 
powers and responsibilities, then, upon request
and payment of  | 
 | 
fees in conformance with the requirements of Section 2605-400  | 
of the Illinois State Police Law, the
Illinois State Police is  | 
authorized to furnish, pursuant to positive
identification,  | 
such information contained in State files as is necessary
to  | 
fulfill the request.
 | 
 (8) To administer the Payday Loan Reform Act, the Consumer  | 
Installment Loan Act, the Predatory Loan Prevention Act, the  | 
Motor Vehicle Retail Installment Sales Act, and the Retail  | 
Installment Sales Act.
 | 
(Source: P.A. 101-658, eff. 3-23-21; 102-538, eff. 8-20-21;  | 
revised 10-5-21.)
 | 
 Section 140. The Department of Innovation and Technology  | 
Act is amended by changing Section 1-5 as follows:
 | 
 (20 ILCS 1370/1-5)
 | 
 Sec. 1-5. Definitions. In this Act: | 
 "Client agency" means each transferring agency, or its  | 
successor, and any other public agency to which the Department  | 
provides service to the extent specified in an interagency  | 
agreement with the public agency. | 
 "Dedicated unit" means the dedicated bureau, division,  | 
office, or other unit within a transferring agency that is  | 
responsible for the information technology functions of the  | 
transferring agency. | 
 "Department" means the Department of Innovation and  | 
 | 
Technology. | 
 "Information technology" means technology,  | 
infrastructure, equipment, systems, software, networks, and  | 
processes used to create, send, receive, and store electronic  | 
or digital information, including, without limitation,  | 
computer systems and telecommunication services and systems.  | 
"Information technology" shall be construed broadly to  | 
incorporate future technologies (such as sensors and balanced  | 
private hybrid or public cloud posture tailored to the mission  | 
of the agency) that change or supplant those in effect as of  | 
the effective date of this Act. | 
 "Information technology functions" means the development,  | 
procurement, installation, retention, maintenance, operation,  | 
possession, storage, and related functions of all information  | 
technology. | 
 "Secretary" means the Secretary of Innovation and  | 
Technology. | 
 "State agency" means each State agency, department, board,  | 
and commission under the jurisdiction of the Governor. | 
 "Transferring agency" means the Department on Aging; the  | 
Departments of Agriculture, Central Management Services,  | 
Children and Family Services, Commerce and Economic  | 
Opportunity, Corrections, Employment Security, Financial and  | 
Professional Regulation, Healthcare and Family Services, Human  | 
Rights, Human Services, Insurance, Juvenile Justice, Labor,  | 
Lottery, Military Affairs, Natural Resources, Public Health,  | 
 | 
Revenue, Transportation, and Veterans' Affairs; the Illinois  | 
State Police; the Capital Development Board; the Deaf and Hard  | 
of Hearing Commission; the Environmental Protection Agency;  | 
the Governor's Office of Management and Budget; the  | 
Guardianship and Advocacy Commission; the Abraham Lincoln  | 
Presidential Library and Museum; the Illinois Arts Council;  | 
the Illinois Council on Developmental Disabilities; the  | 
Illinois Emergency Management Agency; the Illinois Gaming  | 
Board; the Illinois Health Information Exchange Authority; the  | 
Illinois Liquor Control Commission; the Office of the State  | 
Fire Marshal; and the Prisoner Review Board. 
 | 
(Source: P.A. 102-376, eff. 1-1-22; 102-538, eff. 8-20-21;  | 
revised 9-28-21.)
 | 
 Section 145. The Department of Insurance Law of the
Civil  | 
Administrative Code of Illinois is amended by setting forth,  | 
renumbering, and changing multiple
versions of Section 1405-40  | 
as follows:
 | 
 (20 ILCS 1405/1405-40) | 
 Sec. 1405-40. Transfer of functions. | 
 (a) On July 1, 2021 (the effective date of Public Act  | 
102-37) this amendatory Act of the 102nd General Assembly, all  | 
powers, duties, rights, and responsibilities of the Insurance  | 
Compliance Division within the Illinois Workers' Compensation  | 
Commission are transferred to the Department of Insurance. The  | 
 | 
personnel of the Insurance Compliance Division are transferred  | 
to the Department of Insurance. The status and rights of such  | 
personnel under the Personnel Code are not affected by the  | 
transfer. The rights of the employees and the State of  | 
Illinois and its agencies under the Personnel Code and  | 
applicable collective bargaining agreements or under any  | 
pension, retirement, or annuity plan are not affected by  | 
Public Act 102-37 this amendatory Act of the 102nd General  | 
Assembly. All books, records, papers, documents, property  | 
(real and personal), contracts, causes of action, and pending  | 
business pertaining to the powers, duties, rights, and  | 
responsibilities transferred by Public Act 102-37 this  | 
amendatory Act of the 102nd General Assembly from the  | 
Insurance Compliance Division to the Department of Insurance,  | 
including, but not limited to, material in electronic or  | 
magnetic format and necessary computer hardware and software,  | 
are transferred to the Department of Insurance. The powers,  | 
duties, rights, and responsibilities relating to the Insurance  | 
Compliance Division transferred by Public Act 102-37 this  | 
amendatory Act of the 102nd General Assembly are vested in the  | 
Department of Insurance. | 
 (b) Whenever reports or notices are required to be made or  | 
given or papers or documents furnished or served by any person  | 
to or upon the Insurance Compliance Division in connection  | 
with any of the powers, duties, rights, and responsibilities  | 
transferred by Public Act 102-37 this amendatory Act of the  | 
 | 
102nd General Assembly, the Department of Insurance shall  | 
make, give, furnish, or serve them. | 
 (c) Public Act 102-37 This amendatory Act of the 102nd  | 
General Assembly does not affect any act done, ratified, or  | 
canceled, any right occurring or established, or any action or  | 
proceeding had or commenced in an administrative, civil, or  | 
criminal cause by the Insurance Compliance Division before  | 
July 1, 2021 (the effective date of Public Act 102-37) this  | 
amendatory Act of the 102nd General Assembly. Such actions or  | 
proceedings may be prosecuted and continued by the Department  | 
of Insurance. | 
 (d) Any rules that relate to its powers, duties, rights,  | 
and responsibilities of the Insurance Compliance Division and  | 
are in force on July 1, 2021 (the effective date of Public Act  | 
102-37) this amendatory Act of the 102nd General Assembly  | 
become the rules of the Department of Insurance. Public Act  | 
102-37 This amendatory Act of the 102nd General Assembly does  | 
not affect the legality of any such rules. | 
 (e) Any proposed rules filed with the Secretary of State  | 
by the Illinois Workers' Compensation Commission that are  | 
pending in the rulemaking process on July 1, 2021 (the  | 
effective date of Public Act 102-37) this amendatory Act of  | 
the 102nd General Assembly and pertain to the transferred  | 
powers, duties, rights, and responsibilities are deemed to  | 
have been filed by the Department of Insurance. As soon as  | 
practicable, the Department of Insurance shall revise and  | 
 | 
clarify the rules transferred to it under Public Act 102-37  | 
this amendatory Act of the 102nd General Assembly to reflect  | 
the reorganization of powers, duties, rights, and  | 
responsibilities affected by Public Act 102-37 this amendatory  | 
Act of the 102nd General Assembly, using the procedures for  | 
recodification of rules available under the Illinois  | 
Administrative Procedure Act, except that existing title,  | 
part, and section numbering for the affected rules may be  | 
retained. The Department of Insurance may propose and adopt  | 
under the Illinois Administrative Procedure Act other rules of  | 
the Illinois Workers' Compensation Commission pertaining to  | 
Public Act 102-37 this amendatory Act of the 102nd General  | 
Assembly that are administered by the Department of Insurance.
 | 
(Source: P.A. 102-37, eff. 7-1-21; revised 11-3-21.)
 | 
 (20 ILCS 1405/1405-45)
 | 
 Sec. 1405-45 1405-40. Transfer of the Illinois  | 
Comprehensive Health Insurance Plan. Upon entry of an Order of  | 
Rehabilitation or Liquidation against the Comprehensive Health  | 
Insurance Plan in accordance with Article XIII of the Illinois  | 
Insurance Code, all powers, duties, rights, and  | 
responsibilities of the Illinois Comprehensive Health  | 
Insurance Plan and the Illinois Comprehensive Health Insurance  | 
Board under the Comprehensive Health Insurance Plan Act shall  | 
be transferred to and vested in the Director of Insurance as  | 
rehabilitator or liquidator as provided in the provisions of  | 
 | 
Public Act 102-159 this amendatory Act of the 102nd General  | 
Assembly.
 | 
(Source: P.A. 102-159, eff. 7-23-21; revised 11-3-21.)
 | 
 Section 150. The Department of Labor Law of the
Civil  | 
Administrative Code of Illinois is amended by changing Section  | 
1505-215 as follows:
 | 
 (20 ILCS 1505/1505-215) | 
 Sec. 1505-215. Bureau on Apprenticeship Programs and Clean  | 
Energy Jobs.  | 
 (a) For purposes of this Section, "clean energy sector"  | 
means solar energy, wind energy, energy efficiency, solar  | 
thermal, green hydrogen, geothermal, and electric vehicle  | 
industries and other renewable energy industries, industries  | 
achieving emission reductions, and related industries that  | 
manufacture, develop, build, maintain, or provide ancillary  | 
services to renewable energy resources or energy efficiency  | 
products or services, including the manufacture and  | 
installation of healthier building materials that contain  | 
fewer hazardous chemicals. | 
 (b) There is created within the Department of Labor a  | 
Bureau on Apprenticeship Programs and Clean Energy Jobs. This  | 
Bureau shall work to increase minority participation in active  | 
apprentice programs in Illinois that are approved by the  | 
United States Department of Labor and in clean energy jobs in  | 
 | 
Illinois. The Bureau shall identify barriers to minorities  | 
gaining access to construction careers and careers in the  | 
clean energy sector and make recommendations to the Governor  | 
and the General Assembly for policies to remove those  | 
barriers. The Department may hire staff to perform outreach in  | 
promoting diversity in active apprenticeship programs approved  | 
by the United States Department of Labor.  | 
 (c) The Bureau shall annually compile racial and gender  | 
workforce diversity information from contractors receiving  | 
State or other public funds and by labor unions with members  | 
working on projects receiving State or other public funds.
 | 
 (d) The Bureau shall compile racial and gender workforce  | 
diversity information from certified transcripts of payroll  | 
reports filed in the preceding year pursuant to the Prevailing  | 
Wage Act for all clean energy sector construction projects.  | 
The Bureau shall work with the Department of Commerce and  | 
Economic Opportunity, the Illinois Power Agency, the Illinois  | 
Commerce Commission, and other agencies, as necessary, to  | 
receive and share data and reporting on racial and gender  | 
workforce diversity, demographic data, and any other data  | 
necessary to achieve the goals of this Section. | 
 (e) By April 15, 2022 and every April 15 thereafter, the  | 
Bureau shall publish and make available on the Department's  | 
website a report summarizing the racial and gender diversity  | 
of the workforce on all clean energy sector projects by  | 
county. The report shall use a consistent structure for  | 
 | 
information requests and presentation, with an easy-to-use  | 
table of contents, to enable comparable year-over-year  | 
solicitation and benchmarking of data. The development of the  | 
report structure shall be open to a public review and comment  | 
period. That report shall compare the race, ethnicity, and  | 
gender of the workers on covered clean energy sector projects  | 
to the general population of the county in which the project is  | 
located. The report shall also disaggregate such data to  | 
compare the race, ethnicity, and gender of workers employed by  | 
union and nonunion contractors and compare the race,  | 
ethnicity, and gender of workers who reside in Illinois and  | 
those who reside outside of Illinois. The report shall also  | 
include the race, ethnicity, and gender of the workers by  | 
prevailing wage classification. | 
 (f) The Bureau shall present its annual report to the  | 
Energy Workforce Advisory Council in order to inform its  | 
program evaluations, recommendations, and objectives pursuant  | 
to Section 5-65 of the Energy Transition Act. The Bureau shall  | 
also present its annual report to the Illinois Power Agency in  | 
order to inform its ongoing equity and compliance efforts in  | 
the clean energy sector. | 
 The Bureau and all entities subject to the requirements of  | 
subsection (d) shall hold an annual workshop open to the  | 
public in 2022 and every year thereafter on the state of racial  | 
and gender workforce diversity in the clean energy sector in  | 
order to collaboratively seek solutions to structural  | 
 | 
impediments to achieving diversity, equity, and inclusion  | 
goals, including testimony from each participating entity,  | 
subject matter experts, and advocates. | 
 (g) The Bureau shall publish each annual report prepared  | 
and filed pursuant to subsection (d) on the Department of  | 
Labor's website for at least 5 years.  | 
(Source: P.A. 101-170, eff. 1-1-20; 101-601, eff. 1-1-20;  | 
102-558, eff. 8-20-21; 102-662, eff. 9-15-21; revised  | 
10-12-21.)
 | 
 Section 155. The Illinois Lottery Law is amended by  | 
changing Section 21.8 as follows:
 | 
 (20 ILCS 1605/21.8) | 
 Sec. 21.8. Quality of Life scratch-off game. | 
 (a) The Department shall offer a special instant  | 
scratch-off game with the title of "Quality of Life". The game  | 
shall commence on July 1, 2007 or as soon thereafter, in the  | 
discretion of the Director, as is reasonably practical, and  | 
shall be discontinued on December 31, 2025. The operation of  | 
the game is governed by this Act and by any rules adopted by  | 
the Department. The Department must consult with the Quality  | 
of Life Board, which is established under Section 2310-348 of  | 
the Department of Public Health Powers and Duties Law of the
 | 
Civil Administrative Code of Illinois, regarding the design  | 
and promotion of the game. If any provision of this Section is  | 
 | 
inconsistent with any other provision of this Act, then this  | 
Section governs. | 
 (b) The Quality of Life Endowment Fund is created as a  | 
special fund in the State treasury. The net revenue from the  | 
Quality of Life special instant scratch-off game must be  | 
deposited into the Fund for appropriation by the General  | 
Assembly solely to the Department of Public Health for the  | 
purpose of HIV/AIDS-prevention education and for making grants  | 
to public or private entities in Illinois for the purpose of  | 
funding organizations that serve the highest at-risk  | 
categories for contracting HIV or developing AIDS. Grants  | 
shall be targeted to serve at-risk populations in proportion  | 
to the distribution of recent reported Illinois HIV/AIDS cases  | 
among risk groups as reported by the Illinois Department of  | 
Public Health. The recipient organizations must be engaged in  | 
HIV/AIDS-prevention education and HIV/AIDS healthcare  | 
treatment. The Department must, before grants are awarded,  | 
provide copies of all grant applications to the Quality of  | 
Life Board, receive and review the Board's recommendations and  | 
comments, and consult with the Board regarding the grants.  | 
Organizational size will determine an organization's  | 
competitive slot in the "Request for Proposal" process.  | 
Organizations with an annual budget of $300,000 or less will  | 
compete with like size organizations for 50% of the Quality of  | 
Life annual fund. Organizations with an annual budget of  | 
$300,001 to $700,000 will compete with like organizations for  | 
 | 
25% of the Quality of Life annual fund, and organizations with  | 
an annual budget of $700,001 and upward will compete with like  | 
organizations for 25% of the Quality of Life annual fund. The  | 
lottery may designate a percentage of proceeds for marketing  | 
purposes purpose. The grant funds may not be used for  | 
institutional, organizational, or community-based overhead  | 
costs, indirect costs, or levies. | 
 Grants awarded from the Fund are intended to augment the  | 
current and future State funding for the prevention and  | 
treatment of HIV/AIDS and are not intended to replace that  | 
funding.
 | 
 Moneys received for the purposes of this Section,  | 
including, without limitation, net revenue from the special  | 
instant scratch-off game and gifts, grants, and awards from  | 
any public or private entity, must be deposited into the Fund.  | 
Any interest earned on moneys in the Fund must be deposited  | 
into the Fund. | 
 For purposes of this subsection, "net revenue" means the  | 
total amount for which tickets have been sold less the sum of  | 
the amount paid out in prizes and the actual administrative  | 
expenses of the Department solely related to the Quality of  | 
Life game. | 
 (c) During the time that tickets are sold for the Quality  | 
of Life game, the Department shall not unreasonably diminish  | 
the efforts devoted to marketing any other instant scratch-off  | 
lottery game. | 
 | 
 (d) The Department may adopt any rules necessary to  | 
implement and administer the provisions of this Section in  | 
consultation with the Quality of Life Board.
 | 
(Source: P.A. 98-499, eff. 8-16-13; 99-791, eff. 8-12-16;  | 
revised 12-2-21.)
 | 
 Section 160. The Department of Healthcare and Family  | 
Services Law of the
Civil Administrative Code of Illinois is  | 
amended by renumbering Section 30 as follows:
 | 
 (20 ILCS 2205/2205-31) | 
 Sec. 2205-31 30. Health care telementoring. | 
 (a) The Department of Healthcare and Family Services shall  | 
designate one or more health care telementoring entities based  | 
on an application to be developed by the Department of  | 
Healthcare and Family Services. Applicants shall demonstrate a  | 
record of expertise and demonstrated success in providing  | 
health care telementoring services. Approved applicants from  | 
Illinois shall be eligible for State funding in accordance  | 
with rules developed by the Department of Healthcare and  | 
Family Services. Funding shall be provided based on the number  | 
of physicians who are assisted by each approved health care  | 
telementoring entity and the hours of assistance provided to  | 
each physician. | 
 (b) In this Section, "health care telementoring" means a  | 
program: | 
 | 
  (1) based on interactive video technology that  | 
 connects groups of community health care providers in  | 
 urban and rural underserved areas with specialists in  | 
 regular real-time collaborative sessions; | 
  (2) designed around case-based learning and  | 
 mentorship; and | 
  (3) that helps local health care providers gain the  | 
 expertise required to more effectively provide needed  | 
 services.  | 
 "Health care telementoring" includes, but is not limited  | 
to, a program provided to improve services in a variety of  | 
areas, including, but not limited to, adolescent health,  | 
Hepatitis C, complex diabetes, geriatrics, mental illness,  | 
opioid use disorders, substance use disorders, maternity care,  | 
childhood adversity and trauma, pediatric ADHD, and other  | 
priorities identified by the Department of Healthcare and  | 
Family Services. 
 | 
(Source: P.A. 102-512, eff. 1-1-22; revised 9-30-21.)
 | 
 Section 165. The Department of Public Health Powers and  | 
Duties Law of the
Civil Administrative Code of Illinois is  | 
amended by changing Section 2310-223 and by setting forth and  | 
renumbering multiple
versions of Section 2310-431 as follows:
 | 
 (20 ILCS 2310/2310-223) | 
 Sec. 2310-223. Maternal care. | 
 | 
 (a) The Department shall establish a classification system  | 
for the following levels of maternal care:  | 
  (1) basic care: care of uncomplicated pregnancies with  | 
 the ability to detect, stabilize, and initiate management  | 
 of unanticipated maternal-fetal or neonatal problems that  | 
 occur during the antepartum, intrapartum, or postpartum  | 
 period until the patient can be transferred to a facility  | 
 at which specialty maternal care is available; | 
  (2) specialty care: basic care plus care of  | 
 appropriate high-risk antepartum, intrapartum, or  | 
 postpartum conditions, both directly admitted and  | 
 transferred to another facility; | 
  (3) subspecialty care: specialty care plus care of  | 
 more complex maternal medical conditions, obstetric  | 
 complications, and fetal conditions; and | 
  (4) regional perinatal health care: subspecialty care  | 
 plus on-site medical and surgical care of the most complex  | 
 maternal conditions, critically ill pregnant women, and  | 
 fetuses throughout antepartum, intrapartum, and postpartum  | 
 care.  | 
 (b) The Department shall:  | 
  (1) introduce uniform designations for levels of  | 
 maternal care that are complementary complimentary but  | 
 distinct from levels of neonatal care; | 
  (2) establish clear, uniform criteria for designation  | 
 of maternal centers that are integrated with emergency  | 
 | 
 response systems to help ensure that the appropriate  | 
 personnel, physical space, equipment, and technology are  | 
 available to achieve optimal outcomes, as well as to  | 
 facilitate subsequent data collection regarding  | 
 risk-appropriate care; | 
  (3) require each health care facility to have a clear  | 
 understanding of its capability to handle increasingly  | 
 complex levels of maternal care, and to have a  | 
 well-defined threshold for transferring women to health  | 
 care facilities that offer a higher level of care; to  | 
 ensure optimal care of all pregnant women, the Department  | 
 shall require all birth centers, hospitals, and  | 
 higher-level facilities to collaborate in order to develop  | 
 and maintain maternal and neonatal transport plans and  | 
 cooperative agreements capable of managing the health care  | 
 needs of women who develop complications; the Department  | 
 shall require that receiving hospitals openly accept  | 
 transfers; | 
  (4) require higher-level facilities to provide  | 
 training for quality improvement initiatives, educational  | 
 support, and severe morbidity and mortality case review  | 
 for lower-level hospitals; the Department shall ensure  | 
 that, in those regions that do not have a facility that  | 
 qualifies as a regional perinatal health care facility,  | 
 any specialty care facility in the region will provide the  | 
 educational and consultation function; | 
 | 
  (5) require facilities and regional systems to develop  | 
 methods to track severe maternal morbidity and mortality  | 
 to assess the efficacy of utilizing maternal levels of  | 
 care; | 
  (6) analyze data collected from all facilities and  | 
 regional systems in order to inform future updates to the  | 
 levels of maternal care; | 
  (7) require follow-up interdisciplinary work groups to  | 
 further explore the implementation needs that are  | 
 necessary to adopt the proposed classification system for  | 
 levels of maternal care in all facilities that provide  | 
 maternal care; | 
  (8) disseminate data and materials to raise public  | 
 awareness about the importance of prenatal care and  | 
 maternal health; | 
  (9) engage the Illinois Chapter of the American  | 
 Academy of Pediatrics in creating a quality improvement  | 
 initiative to expand efforts of pediatricians conducting  | 
 postpartum depression screening at well baby visits during  | 
 the first year of life; and  | 
  (10) adopt rules in accordance with the Illinois  | 
 Administrative Procedure Act to implement this subsection. 
 | 
(Source: P.A. 101-447, eff. 8-23-19; 102-558, eff. 8-20-21;  | 
revised 12-1-21.)
 | 
 (20 ILCS 2310/2310-431) | 
 | 
 Sec. 2310-431. Healthy Illinois Survey. | 
 (a) The General Assembly finds the following: | 
  (1) The Coronavirus pandemic that struck in 2020  | 
 caused more illness and death in Black, Latinx, and other  | 
 communities with people of color in Illinois. | 
  (2) Many rural and other underserved communities in  | 
 Illinois experienced higher rates of COVID-19 illness and  | 
 death than higher-resourced communities. | 
  (3) The structural racism and underlying health and  | 
 social disparities in communities of color and other  | 
 underserved communities that produced these COVID-19  | 
 disparities also produce disparities in chronic disease,  | 
 access to care, and social determinants of health, such as  | 
 overcrowded housing and prevalence of working in low-wage  | 
 essential jobs. | 
  (4) Traditional public health data collected by  | 
 existing methods is insufficient to help State and local  | 
 governments, health care partners, and communities  | 
 understand local health concerns and social factors  | 
 associated with health. Nor does the data provide adequate  | 
 information to help identify policies and interventions  | 
 that address health inequities. | 
  (5) Comprehensive, relevant, and current public health  | 
 data could be used to: identify health concerns for  | 
 communities across Illinois; understand environmental,  | 
 neighborhood, and social factors associated with health;  | 
 | 
 and support the development, implementation, and progress  | 
 of programs for public health interventions and addressing  | 
 health inequities.  | 
 (b) Subject to appropriation, the Department shall  | 
administer an annual survey, which shall be named the Healthy  | 
Illinois Survey. The Healthy Illinois Survey shall:  | 
  (1) include interviews of a sample of State residents  | 
 such that statistically reliable data for every county,  | 
 zip code groupings within more highly populated counties  | 
 and cities, suburban Cook County municipalities, and  | 
 Chicago community areas can be developed, as well as  | 
 statistically reliable data on racial, ethnic, gender,  | 
 age, and other demographic groups of State residents  | 
 important to inform health equity goals; | 
  (2) be collected at the zip code level; and | 
  (3) include questions on a range of topics designed to  | 
 establish an initial baseline public health data set and  | 
 annual updates, including:  | 
   (A) access to health services; | 
   (B) civic engagement; | 
   (C) childhood experiences; | 
   (D) chronic health conditions; | 
   (E) COVID-19; | 
   (F) diet; | 
   (G) financial security; | 
   (H) food security; | 
 | 
   (I) mental health; | 
   (J) community conditions; | 
   (K) physical activity; | 
   (L) physical safety; | 
   (M) substance abuse; and | 
   (N) violence.  | 
 (c) In developing the Healthy Illinois Survey, the  | 
Department shall consult with local public health departments  | 
and stakeholders with expertise in health, mental health,  | 
nutrition, physical activity, violence prevention, safety,  | 
tobacco and drug use, and emergency preparedness with the goal  | 
of developing a comprehensive survey that will assist the  | 
State and other partners in developing the data to measure  | 
public health and health equity. | 
 (d) The Department shall provide the results of the  | 
Healthy Illinois Survey in forms useful to cities,  | 
communities, local health departments, hospitals, and other  | 
potential users, including annually publishing on its website  | 
data at the most granular geographic and demographic levels  | 
possible while protecting identifying information. The  | 
Department shall produce periodic special reports and analyses  | 
relevant to ongoing and emerging health and social issues in  | 
communities and the State. The Department shall use this data  | 
to inform the development and monitoring of its State Health  | 
Assessment. The Department shall provide the full relevant  | 
jurisdictional data set to local health departments for their  | 
 | 
local use and analysis each year. | 
 (e) The identity, or any group of facts that tends to lead  | 
to the identity, of any person whose condition or
treatment is  | 
submitted to the Healthy Illinois Survey is confidential and  | 
shall not be open to public inspection
or dissemination and is  | 
exempt from disclosure under Section 7 of the Freedom of  | 
Information Act.
Information for specific research purposes  | 
may be released in accordance with procedures established by
 | 
the Department. 
 | 
(Source: P.A. 102-483, eff. 1-1-22.)
 | 
 (20 ILCS 2310/2310-432)
 | 
 Sec. 2310-432 2310-431. Medical examiner offices; medical  | 
facilities. The Department shall ensure that medical examiner  | 
offices are included as part of medical facilities for the  | 
purposes of complying with and implementing Sections 212(e)  | 
and 214(l) of the federal Immigration and Nationality Act (8  | 
U.S.C. 1182(e) and 8 U.S.C. 1184(l)) and 22 CFR 62 regarding  | 
the federal Exchange Visitor Program.
 | 
(Source: P.A. 102-488, eff. 1-1-22; revised 11-3-21.)
 | 
 Section 170. The Illinois State Police Law of the
Civil  | 
Administrative Code of Illinois is amended by changing  | 
Sections 2605-35, 2605-40, 2605-50, 2605-410, and 2605-605 and  | 
by setting forth, renumbering, and changing multiple
versions  | 
of Section 2601-51 as follows:
 | 
 | 
 (20 ILCS 2605/2605-35) (was 20 ILCS 2605/55a-3)
 | 
 Sec. 2605-35. Division of Criminal
Investigation. | 
 (a) The Division of Criminal
Investigation shall exercise
 | 
the following functions and those in Section 2605-30:
 | 
  (1) Exercise the rights, powers, and duties vested by
 | 
 law in the Illinois State Police by the Illinois Horse  | 
 Racing Act of 1975, including those set forth in Section  | 
 2605-215.
 | 
  (2) Investigate the origins, activities, personnel,  | 
 and
incidents of crime and enforce the criminal laws of  | 
 this State related thereto.
 | 
  (3) Enforce all laws regulating the production, sale,
 | 
 prescribing, manufacturing, administering, transporting,  | 
 having in possession,
dispensing, delivering,  | 
 distributing, or use of controlled substances
and  | 
 cannabis.
 | 
  (4) Cooperate with the police of cities, villages, and
 | 
 incorporated towns and with the police officers of any  | 
 county in
enforcing the laws of the State and in making  | 
 arrests and recovering
property.
 | 
  (5) Apprehend and deliver up any person charged in  | 
 this State or any other
state with treason or a felony or  | 
 other crime who has fled from justice and is
found in this  | 
 State.
 | 
  (6) Investigate recipients and providers under the  | 
 | 
 Illinois Public Aid
Code and any personnel involved in the  | 
 administration of the Code who are
suspected of any  | 
 violation of the Code pertaining to fraud in the
 | 
 administration, receipt, or provision of assistance and  | 
 pertaining to any
violation of criminal law; and exercise  | 
 the functions required under Section
2605-220 in the  | 
 conduct of those investigations.
 | 
  (7) Conduct other investigations as provided by law.
 | 
  (8) Investigate public corruption..
 | 
  (9) Exercise other duties that may be assigned by the  | 
 Director in order to
fulfill the responsibilities and  | 
 achieve the purposes of the Illinois State Police, which  | 
 may include the coordination of gang, terrorist, and  | 
 organized crime prevention, control activities, and  | 
 assisting local law enforcement in their crime control  | 
 activities.
 | 
 (b) (Blank).
 | 
(Source: P.A. 102-538, eff. 8-20-21; revised 12-2-21.)
 | 
 (20 ILCS 2605/2605-40) (was 20 ILCS 2605/55a-4)
 | 
 Sec. 2605-40. Division of Forensic Services. The Division  | 
of
Forensic Services shall exercise the following functions:
 | 
  (1) Provide crime scene services and traffic crash  | 
 reconstruction..
 | 
  (2) Exercise the rights, powers, and duties vested by
 | 
 law in the Illinois State Police by Section 2605-300 of  | 
 | 
 this Law.
 | 
  (3) Provide assistance to local law enforcement  | 
 agencies
through training, management, and consultant  | 
 services.
 | 
  (4) (Blank).
 | 
  (5) Exercise other duties that may be assigned by the  | 
 Director in
order to fulfill the responsibilities and  | 
 achieve the purposes of the Illinois State Police.
 | 
  (6) Establish and operate a forensic science  | 
 laboratory system,
including a forensic toxicological  | 
 laboratory service, for the purpose of
testing specimens  | 
 submitted by coroners and other law enforcement officers
 | 
 in their efforts to determine whether alcohol, drugs, or  | 
 poisonous or other
toxic substances have been involved in  | 
 deaths, accidents, or illness.
Forensic toxicological  | 
 laboratories shall be established in Springfield,
Chicago,  | 
 and elsewhere in the State as needed.
 | 
  (6.5) Establish administrative rules in order to set  | 
 forth standardized requirements for the disclosure of  | 
 toxicology results and other relevant documents related to  | 
 a toxicological analysis. These administrative rules are  | 
 to be adopted to produce uniform and sufficient  | 
 information to allow a proper, well-informed determination  | 
 of the admissibility of toxicology evidence and to ensure  | 
 that this evidence is presented competently. These  | 
 administrative rules are designed to provide a minimum  | 
 | 
 standard for compliance of toxicology evidence and are not  | 
 intended to limit the production and discovery of material  | 
 information. | 
  (7) Subject to specific appropriations made for these  | 
 purposes, establish
and coordinate a system for providing  | 
 accurate and expedited
forensic science and other  | 
 investigative and laboratory services to local law
 | 
 enforcement agencies and local State's Attorneys in aid of  | 
 the investigation
and trial of capital cases.
 | 
(Source: P.A. 101-378, eff. 1-1-20; 102-538, eff. 8-20-21;  | 
revised 12-2-21.)
 | 
 (20 ILCS 2605/2605-50) (was 20 ILCS 2605/55a-6)
 | 
 Sec. 2605-50. Division of Internal Investigation. The  | 
Division
of Internal Investigation shall have jurisdiction and  | 
initiate internal Illinois State Police
investigations and, at  | 
the direction of the Governor,
investigate
complaints and  | 
initiate investigations of official misconduct by State  | 
officers
and all State employees. Notwithstanding any other  | 
provisions of law, the Division shall serve as the  | 
investigative body for the Illinois State Police for purposes  | 
of compliance with the provisions of Sections 12.6 and 12.7 of  | 
the Illinois State Police this Act.
 | 
(Source: P.A. 101-652, eff. 1-1-22; 102-538, eff. 8-20-21;  | 
revised 10-4-21.)
 | 
 | 
 (20 ILCS 2605/2605-51)
 | 
 Sec. 2605-51. Division of the Academy and Training. | 
 (a) The Division of the Academy and Training shall  | 
exercise, but not be limited to, the following functions: | 
  (1) Oversee and operate the Illinois State Police  | 
 Training Academy. | 
  (2) Train and prepare new officers for a career in law  | 
 enforcement, with innovative, quality training and  | 
 educational practices. | 
  (3) Offer continuing training and educational programs  | 
 for Illinois State Police employees. | 
  (4) Oversee the Illinois State Police's recruitment  | 
 initiatives. | 
  (5) Oversee and operate the Illinois State Police's  | 
 quartermaster. | 
  (6) Duties assigned to the Illinois State Police in  | 
 Article 5, Chapter 11 of the Illinois Vehicle Code  | 
 concerning testing and training officers on the detection  | 
 of impaired driving. | 
  (7) Duties assigned to the Illinois State Police in  | 
 Article 108B of the Code of Criminal Procedure.  | 
 (b) The Division of the Academy and Training shall  | 
exercise the rights, powers, and duties vested in the former  | 
Division of State Troopers by Section 17 of the Illinois State  | 
Police Act. | 
 (c) Specialized training. | 
 | 
  (1) Training; cultural diversity. The Division of the  | 
 Academy and Training shall provide training and continuing  | 
 education to State police officers concerning cultural  | 
 diversity, including sensitivity toward racial and ethnic  | 
 differences. This training and continuing education shall  | 
 include, but not be limited to, an emphasis on the fact  | 
 that the primary purpose of enforcement of the Illinois  | 
 Vehicle Code is safety and equal and uniform enforcement  | 
 under the law. | 
  (2) Training; death and homicide investigations. The  | 
 Division of the Academy and Training shall provide  | 
 training in death and homicide investigation for State  | 
 police officers. Only State police officers who  | 
 successfully complete the training may be assigned as lead  | 
 investigators in death and homicide investigations.  | 
 Satisfactory completion of the training shall be evidenced  | 
 by a certificate issued to the officer by the Division of  | 
 the Academy and Training. The Director shall develop a  | 
 process for waiver applications for officers whose prior  | 
 training and experience as homicide investigators may  | 
 qualify them for a waiver. The Director may issue a  | 
 waiver, at his or her discretion, based solely on the  | 
 prior training and experience of an officer as a homicide  | 
 investigator. | 
  (3) Training; police dog training standards. All  | 
 police dogs used by the Illinois State Police for drug  | 
 | 
 enforcement purposes pursuant to the Cannabis Control Act,  | 
 the Illinois Controlled Substances Act, and the  | 
 Methamphetamine Control and Community Protection Act shall  | 
 be trained by programs that meet the certification  | 
 requirements set by the Director or the Director's  | 
 designee. Satisfactory completion of the training shall be  | 
 evidenced by a certificate issued by the Division of the  | 
 Academy and Training. | 
  (4) Training; post-traumatic stress disorder. The  | 
 Division of the Academy and Training shall conduct or  | 
 approve a training program in post-traumatic stress  | 
 disorder for State police officers. The purpose of that  | 
 training shall be to equip State police officers to  | 
 identify the symptoms of post-traumatic stress disorder  | 
 and to respond appropriately to individuals exhibiting  | 
 those symptoms. | 
  (5) Training; opioid antagonists. The Division of the  | 
 Academy and Training shall conduct or approve a training  | 
 program for State police officers in the administration of  | 
 opioid antagonists as defined in paragraph (1) of  | 
 subsection (e) of Section 5-23 of the Substance Use  | 
 Disorder Act that is in accordance with that Section. As  | 
 used in this Section, "State police officers" includes  | 
 full-time or part-time State police officers,  | 
 investigators, and any other employee of the Illinois  | 
 State Police exercising the powers of a peace officer. | 
 | 
  (6) Training; sexual assault and sexual abuse. | 
   (A) Every 3 years, the Division of the Academy and  | 
 Training shall present in-service training on sexual  | 
 assault and sexual abuse response and report writing  | 
 training requirements, including, but not limited to,  | 
 the following: | 
    (i) recognizing the symptoms of trauma; | 
    (ii) understanding the role trauma has played  | 
 in a victim's life; | 
    (iii) responding to the needs and concerns of  | 
 a victim; | 
    (iv) delivering services in a compassionate,  | 
 sensitive, and nonjudgmental manner; | 
    (v) interviewing techniques in accordance with  | 
 the curriculum standards in this paragraph (6); | 
    (vi) understanding cultural perceptions and  | 
 common myths of sexual assault and sexual abuse;  | 
 and | 
    (vii) report writing techniques in accordance  | 
 with the curriculum standards in this paragraph  | 
 (6). | 
   (B) This training must also be presented in all  | 
 full and part-time basic law enforcement academies. | 
   (C) Instructors providing this training shall have  | 
 successfully completed training on evidence-based,  | 
 trauma-informed, victim-centered responses to cases of  | 
 | 
 sexual assault and sexual abuse and have experience  | 
 responding to sexual assault and sexual abuse cases. | 
   (D) The Illinois State Police shall adopt rules,  | 
 in consultation with the Office of the Attorney  | 
 General and the Illinois Law Enforcement Training  | 
 Standards Board, to determine the specific training  | 
 requirements for these courses, including, but not  | 
 limited to, the following: | 
    (i) evidence-based curriculum standards for  | 
 report writing and immediate response to sexual  | 
 assault and sexual abuse, including  | 
 trauma-informed, victim-centered interview  | 
 techniques, which have been demonstrated to  | 
 minimize retraumatization, for all State police  | 
 officers; and | 
    (ii) evidence-based curriculum standards for  | 
 trauma-informed, victim-centered investigation  | 
 and interviewing techniques, which have been  | 
 demonstrated to minimize retraumatization, for  | 
 cases of sexual assault and sexual abuse for all  | 
 State police officers who conduct sexual assault  | 
 and sexual abuse investigations. | 
  (7) Training; human trafficking. The Division of the  | 
 Academy and Training shall conduct or approve a training  | 
 program in the detection and investigation of all forms of  | 
 human trafficking, including, but not limited to,  | 
 | 
 involuntary servitude under subsection (b) of Section 10-9  | 
 of the Criminal Code of 2012, involuntary sexual servitude  | 
 of a minor under subsection (c) of Section 10-9 of the  | 
 Criminal Code of 2012, and trafficking in persons under  | 
 subsection (d) of Section 10-9 of the Criminal Code of  | 
 2012. This program shall be made available to all cadets  | 
 and State police officers. | 
  (8) Training; hate crimes. The Division of the Academy  | 
 and Training shall provide training for State police  | 
 officers in identifying, responding to, and reporting all  | 
 hate crimes.
 | 
(Source: P.A. 102-538, eff. 8-20-21.)
 | 
 (20 ILCS 2605/2605-51.1) | 
 (This Section may contain text from a Public Act with a  | 
delayed effective date) | 
 (Section scheduled to be repealed on June 1, 2026) | 
 Sec. 2605-51.1 2605-51. Commission on Implementing the  | 
Firearms Restraining Order Act. | 
 (a) There is created the Commission on Implementing the  | 
Firearms Restraining Order Act composed of at least 12 members  | 
to advise on the strategies of education and implementation of  | 
the Firearms Restraining Order Act. The Commission shall be  | 
appointed by the Director of the Illinois State Police or his  | 
or her designee and shall include a liaison or representative  | 
nominated from the following:  | 
 | 
  (1) the Office of the Attorney General, appointed by  | 
 the Attorney General; | 
  (2) the Director of the Illinois State Police or his  | 
 or her designee; | 
  (3) at least 3 State's Attorneys, nominated by the  | 
 Director of the Office of the State's Attorneys Appellate  | 
 Prosecutor; | 
  (4) at least 2 municipal police department  | 
 representatives,
nominated by the Illinois Association of  | 
 Chiefs of Police; | 
  (5) an Illinois sheriff,
nominated by the Illinois  | 
 Sheriffs' Association; | 
  (6) the Director of Public Health or his or her  | 
 designee; | 
  (7) the Illinois Law Enforcement Training Standards  | 
 Board, nominated by the Executive Director of the Board; | 
  (8) a representative from a public defender's office,
 | 
 nominated by the State Appellate Defender; | 
  (9) a circuit court judge,
nominated by the Chief  | 
 Justice of the Supreme Court; | 
  (10) a prosecutor with experience managing or  | 
 directing a program in another state where the  | 
 implementation of that state's extreme risk protection  | 
 order law has achieved high rates of petition filings  | 
 nominated by the National District Attorneys Association;  | 
 and | 
 | 
  (11) an expert from law enforcement who has experience  | 
 managing or directing a program in another state where the  | 
 implementation of that state's extreme risk protection  | 
 order law has achieved high rates of petition filings  | 
 nominated by the Director of the Illinois State Police. | 
 (b)
The Commission shall be chaired by the Director of the  | 
Illinois State Police or his or her designee. The Commission  | 
shall meet, either virtually or in person, to discuss the  | 
implementation of the Firearms Restraining Order Act as  | 
determined by the Commission while the strategies are being  | 
established. | 
 (c) The members of the Commission shall serve without  | 
compensation and shall serve 3-year terms. | 
 (d) An annual report shall be submitted to the General  | 
Assembly by the Commission that may include summary  | 
information about firearms restraining order use by county,  | 
challenges to Firearms Restraining Order Act implementation,  | 
and recommendations for increasing and improving  | 
implementation. | 
 (e)
The Commission shall develop a model policy with an  | 
overall framework for the timely relinquishment of firearms  | 
whenever a firearms restraining order is issued. The model  | 
policy shall be finalized within the first 4 months of  | 
convening. In formulating the model policy, the Commission  | 
shall consult counties in Illinois and other states with  | 
extreme risk protection order laws which have achieved a high  | 
 | 
rate of petition filings. Once approved, the Illinois State  | 
Police shall work with their local law enforcement agencies  | 
within their county to design a comprehensive strategy for the  | 
timely relinquishment of firearms, using the model policy as  | 
an overall framework. Each individual agency may make small  | 
modifications as needed to the model policy and must approve  | 
and adopt a policy that aligns with the model policy. The  | 
Illinois State Police shall convene local police chiefs and  | 
sheriffs within their county as needed to discuss the  | 
relinquishment of firearms. | 
 (f) The Commission shall be dissolved June 1, 2025 (3  | 
years after the effective date of Public Act 102-345) this  | 
amendatory Act of the 102nd General Assembly. | 
 (g) This Section is repealed June 1, 2026 (4 years after  | 
the effective date of Public Act 102-345) this amendatory Act  | 
of the 102nd General Assembly.
 | 
(Source: P.A. 102-345, eff. 6-1-22; revised 11-3-21.)
 | 
 (20 ILCS 2605/2605-410) | 
 (Section scheduled to be repealed on January 1, 2023) | 
 Sec. 2605-410. Over Dimensional Load Police Escort Fund.  | 
To charge, collect, and receive fees or moneys as described in  | 
Section 15-312 of the Illinois Vehicle Code. All fees received  | 
by the Illinois State Police under Section 15-312 of the  | 
Illinois Vehicle Code shall be deposited into the Over  | 
Dimensional Load Police Escort Fund, a special fund that is  | 
 | 
created in the State treasury. Subject to appropriation, the  | 
money in the Over Dimensional Load Police Escort Fund shall be  | 
used by the Illinois State Police for its expenses in  | 
providing police escorts and commercial vehicle enforcement  | 
activities. This Fund is dissolved upon the transfer of the  | 
remaining balance from the Over Dimensional Load Police Escort  | 
Fund to the State Police Operations Assistance Fund as  | 
provided under subsection (a-5) of Section 6z-82 of the State  | 
Finance Act. This Section is repealed on January 1, 2023.
 | 
(Source: P.A. 102-505, eff. 8-20-21; 102-538, eff. 8-20-21;  | 
revised 10-4-21.)
 | 
 (20 ILCS 2605/2605-605) | 
 Sec. 2605-605. Violent Crime Intelligence Task Force. The  | 
Director of the Illinois State Police shall establish a  | 
statewide multi-jurisdictional Violent Crime Intelligence Task  | 
Force led by the Illinois State Police dedicated to combating  | 
gun violence, gun-trafficking, and other violent crime with  | 
the primary mission of preservation of life and reducing the  | 
occurrence and the fear of crime. The objectives of the Task  | 
Force shall include, but not be limited to, reducing and  | 
preventing illegal possession and use of firearms,  | 
firearm-related homicides, and other violent crimes, and  | 
solving firearm-related crimes.  | 
 (1) The Task Force may develop and acquire information,  | 
training, tools, and resources necessary to implement a  | 
 | 
data-driven approach to policing, with an emphasis on  | 
intelligence development. | 
 (2) The Task Force may utilize information sharing,  | 
partnerships, crime analysis, and evidence-based practices to  | 
assist in the reduction of firearm-related shootings,  | 
homicides, and gun-trafficking, including, but not limited to,  | 
ballistic data, eTrace data, DNA evidence, latent  | 
fingerprints, firearm training data, and National Integrated  | 
Ballistic Information Network (NIBIN) data. The Task Force may  | 
design a model crime gun intelligence strategy which may  | 
include, but is not limited to, comprehensive collection and  | 
documentation of all ballistic evidence, timely transfer of  | 
NIBIN and eTrace leads to an intelligence center, which may  | 
include the Division of Criminal Investigation of the Illinois  | 
State Police, timely dissemination of intelligence to  | 
investigators, investigative follow-up, and coordinated  | 
prosecution. | 
 (3) The Task Force may recognize and utilize best  | 
practices of community policing and may develop potential  | 
partnerships with faith-based and community organizations to  | 
achieve its goals. | 
 (4) The Task Force may identify and utilize best practices  | 
in drug-diversion programs and other community-based services  | 
to redirect low-level offenders. | 
 (5) The Task Force may assist in violence suppression  | 
strategies including, but not limited to, details in  | 
 | 
identified locations that have shown to be the most prone to  | 
gun violence and violent crime, focused deterrence against  | 
violent gangs and groups considered responsible for the  | 
violence in communities, and other intelligence driven methods  | 
deemed necessary to interrupt cycles of violence or prevent  | 
retaliation. | 
 (6) In consultation with the Chief Procurement Officer,  | 
the Illinois State Police may obtain contracts for software,  | 
commodities, resources, and equipment to assist the Task Force  | 
with achieving this Act. Any contracts necessary to support  | 
the delivery of necessary software, commodities, resources,  | 
and equipment are not subject to the Illinois Procurement  | 
Code, except for Sections 20-60, 20-65, 20-70, and 20-160 and  | 
Article 50 of that Code, provided that the Chief Procurement  | 
Officer may, in writing with justification, waive any  | 
certification required under Article 50 of the Illinois  | 
Procurement Code. | 
 (7) The Task Force shall conduct enforcement operations
 | 
against persons whose Firearm Owner's Identification Cards
 | 
have been revoked or suspended and persons who fail to comply
 | 
with the requirements of Section 9.5 of the Firearm Owners
 | 
Identification Card Act, prioritizing individuals presenting a
 | 
clear and present danger to themselves or to others under
 | 
paragraph (2) of subsection (d) of Section 8.1 of the Firearm
 | 
Owners Identification Card Act. | 
 (8) The Task Force shall collaborate with local law
 | 
 | 
enforcement agencies to enforce provisions of the Firearm
 | 
Owners Identification Card Act, the Firearm Concealed Carry
 | 
Act, the Firearm Dealer License Certification Act, and Article
 | 
24 of the Criminal Code of 2012. | 
 (9) To implement this Section, the Director of the
 | 
Illinois State Police may establish intergovernmental
 | 
agreements with law enforcement agencies in accordance with  | 
the
Intergovernmental Cooperation Act. | 
 (10) Law enforcement agencies that participate in
 | 
activities described in paragraphs (7) through (9) may apply
 | 
to the Illinois State Police for grants from the State Police
 | 
Revocation Enforcement Fund. 
 | 
(Source: P.A. 102-237, eff. 1-1-22; 102-538, eff. 8-20-21;  | 
revised 10-4-21.)
 | 
 Section 175. The Illinois State Police Act is amended by  | 
changing Sections 3, 8, 9, 12.6, 12.7, 14, and 46 as follows:
 | 
 (20 ILCS 2610/3) (from Ch. 121, par. 307.3)
 | 
 Sec. 3. 
The Governor shall appoint, by and with the advice  | 
and consent of
the Senate, an Illinois State Police Merit  | 
Board, hereinafter called
the Board, consisting of 7 members  | 
to hold office. The Governor shall appoint new board members  | 
within 30 days for the vacancies created under Public Act  | 
101-652 this amendatory Act. Board members shall be appointed  | 
to four-year terms. No member shall be appointed to more than 2  | 
 | 
terms. In making the appointments, the Governor shall make a  | 
good faith effort to appoint members reflecting the  | 
geographic, ethnic ethic, and cultural diversity of this  | 
State. In making the appointments, the Governor should also  | 
consider appointing: persons with professional backgrounds,  | 
possessing legal, management, personnel, or labor experience;  | 
at least one member with at least 10 years of experience as a  | 
licensed physician or clinical psychologist with expertise in  | 
mental health; and at least one member affiliated
with an  | 
organization committed commitment to social and economic  | 
rights and to eliminating discrimination.. No more than 4  | 
members of the Board shall be affiliated with the
same  | 
political party. If the Senate is not in session at the time  | 
initial
appointments are made pursuant to this Section  | 
section, the Governor shall make
temporary appointments as in  | 
the case of a vacancy. In order to avoid actual conflicts of  | 
interest, or the appearance of conflicts of interest, no board  | 
member shall be a retired or former employee of the Illinois  | 
State Police. When a Board member may have an actual,  | 
perceived, or potential conflict of interest that could  | 
prevent the Board member from making a fair and impartial  | 
decision on a complaint or formal complaint against an  | 
Illinois State Police officer, the Board member shall recuse  | 
himself or herself; or, if If the Board member fails to recuse  | 
himself or herself, then the Board may, by a simple majority,  | 
vote to recuse the Board member. 
 | 
 | 
(Source: P.A. 101-652, eff. 1-1-22; 102-538, eff. 8-20-21;  | 
revised 11-22-21.)
 | 
 (20 ILCS 2610/8) (from Ch. 121, par. 307.8)
 | 
 Sec. 8. Board jurisdiction.   | 
 (a) The Board shall exercise jurisdiction over the  | 
certification for
appointment and promotion, and over the  | 
discipline, removal, demotion, and
suspension of Illinois  | 
State Police officers.
The Board and the Illinois State Police  | 
should also ensure Illinois State Police cadets and officers  | 
represent the utmost integrity and professionalism and  | 
represent the geographic, ethnic, and cultural diversity of  | 
this State. The Board shall also exercise jurisdiction to  | 
certify and terminate Illinois State Police officers Officers  | 
in compliance with certification standards consistent with  | 
Sections 9, 11.5, and 12.6 of this Act. Pursuant to recognized
 | 
merit principles of public employment, the Board shall  | 
formulate, adopt,
and put into effect rules, regulations, and  | 
procedures for its operation
and the transaction of its  | 
business. The Board shall establish a classification
of ranks  | 
of persons subject to its jurisdiction and shall set standards
 | 
and qualifications for each rank. Each Illinois State Police  | 
officer
appointed by the Director shall be classified as a  | 
State Police officer
as follows: trooper, sergeant, master  | 
sergeant, lieutenant,
captain,
major, or Special
Agent. 
 | 
 (b) The Board shall publish all standards and  | 
 | 
qualifications for each rank, including Cadet, on its website.  | 
This shall include, but not be limited to, all physical  | 
fitness, medical, visual, and hearing standards. The Illinois  | 
State Police shall cooperate with the Board by providing any  | 
necessary information to complete this requirement.  | 
(Source: P.A. 101-652, eff. 1-1-22; 102-538, eff. 8-20-21;  | 
revised 10-4-21.)
 | 
 (20 ILCS 2610/9) (from Ch. 121, par. 307.9)
 | 
 Sec. 9. Appointment; qualifications. 
 | 
 (a) Except as otherwise provided in this Section, the  | 
appointment of
Illinois State Police officers shall be made  | 
from those applicants who
have been certified by the Board as  | 
being qualified for appointment. All
persons so appointed  | 
shall, at the time of their appointment, be not less than
21  | 
years of age, or 20 years of age and have successfully  | 
completed an associate's degree or 60 credit hours at an  | 
accredited college or university. Any person
appointed  | 
subsequent to successful completion of an associate's degree  | 
or 60 credit hours at an accredited college or university  | 
shall not have power of arrest, nor shall he or she be  | 
permitted
to carry firearms, until he or she reaches 21 years  | 
of age. In addition,
all persons so certified for appointment  | 
shall be of sound mind and body, be of
good moral character, be  | 
citizens of the United States, have no criminal
records,  | 
possess such prerequisites of training, education, and  | 
 | 
experience as
the Board may from time to time prescribe so long  | 
as persons who have an associate's degree or 60 credit hours at  | 
an accredited college or university are not disqualified, and  | 
shall be required to pass
successfully such mental and  | 
physical tests and examinations as may be
prescribed by the  | 
Board. All persons who meet one of the following requirements  | 
are deemed to have met the collegiate educational  | 
requirements: | 
  (i) have been honorably discharged and who have been  | 
 awarded a Southwest Asia Service Medal, Kosovo Campaign  | 
 Medal, Korean Defense Service Medal, Afghanistan Campaign  | 
 Medal, Iraq Campaign Medal, or Global War on Terrorism  | 
 Expeditionary Medal by the United States Armed Forces; | 
  (ii) are active members of the Illinois National Guard  | 
 or a reserve component of the United States Armed Forces  | 
 and who have been awarded a Southwest Asia Service Medal,  | 
 Kosovo Campaign Medal, Korean Defense Service Medal,  | 
 Afghanistan Campaign Medal, Iraq Campaign Medal, or Global  | 
 War on Terrorism Expeditionary Medal as a result of  | 
 honorable service during deployment on active duty;  | 
  (iii) have been honorably discharged who served in a  | 
 combat mission by proof of hostile fire pay or imminent  | 
 danger pay during deployment on active duty; or | 
  (iv) have at least 3 years of full active and  | 
 continuous military duty and received an honorable  | 
 discharge before hiring. | 
 | 
 Preference shall be given in such appointments to
persons  | 
who have honorably served in the military or naval services of  | 
the
United States. All appointees shall serve a probationary  | 
period of 12 months
from the date of appointment and during  | 
that period may be discharged at the
will of the Director.  | 
However, the Director may in his or her sole discretion
extend  | 
the probationary period of an officer up to an additional 6  | 
months when
to do so is deemed in the best interest of the  | 
Illinois State Police. Nothing in this subsection (a) limits  | 
the Board's ability to prescribe education prerequisites or  | 
requirements to certify Illinois State Police officers for  | 
promotion as provided in Section 10 of this Act.
 | 
 (b) Notwithstanding the other provisions of this Act,  | 
after July 1,
1977 and before July 1, 1980, the Director of  | 
State Police may appoint and
promote not more than 20 persons  | 
having special qualifications as special
agents as he or she  | 
deems necessary to carry out the Department's objectives. Any
 | 
such appointment or promotion shall be ratified by the Board.
 | 
 (c) During the 90 days following March 31, 1995 (the  | 
effective date of Public Act 89-9) this amendatory Act
of  | 
1995, the Director of State Police may appoint up to 25 persons  | 
as State
Police officers. These appointments shall be made in  | 
accordance with the
requirements of this subsection (c) and  | 
any additional criteria that may be
established by the  | 
Director, but are not subject to any other requirements of
 | 
this Act. The Director may specify the initial rank for each  | 
 | 
person appointed
under this subsection.
 | 
 All appointments under this subsection (c) shall be made  | 
from personnel
certified by the Board. A person certified by  | 
the Board and appointed by the
Director under this subsection  | 
must have been employed by the Illinois Commerce
Commission on  | 
November 30, 1994 in a job title
subject to the Personnel Code  | 
and in a position for which the person was
eligible to earn  | 
"eligible creditable service" as a "noncovered employee", as
 | 
those terms are defined in Article 14 of the Illinois Pension  | 
Code.
 | 
 Persons appointed under this subsection (c) shall  | 
thereafter be subject to
the same requirements and procedures  | 
as other State police officers. A person
appointed under this  | 
subsection must serve a probationary period of 12 months
from  | 
the date of appointment, during which he or she may be  | 
discharged at the
will of the Director.
 | 
 This subsection (c) does not affect or limit the  | 
Director's authority to
appoint other State Police officers  | 
under subsection (a) of this Section. | 
 (d) During the 180 days following January 1, 2022 (the  | 
effective date of Public Act 101-652) this amendatory Act of  | 
the 101st General Assembly, the Director of the Illinois State  | 
Police may appoint current Illinois State Police employees  | 
Employees serving in law enforcement officer positions  | 
previously within Central Management Services as State Police  | 
officers Officers. These appointments shall be made in  | 
 | 
accordance with the requirements of this subsection (d) and  | 
any institutional criteria that may be established by the  | 
Director, but are not subject to any other requirements of  | 
this Act.
All appointments under this subsection (d) shall be  | 
made from personnel certified by the Board. A person certified  | 
by the Board and appointed by the Director under this  | 
subsection must have been employed by the a State state  | 
agency, board, or commission on January 1, 2021, in a job title  | 
subject to the Personnel Code and in a position for which the  | 
person was eligible to earn "eligible creditable service" as a  | 
"noncovered employee", as those terms are defined in Article  | 
14 of the Illinois Pension Code.
Persons appointed under this  | 
subsection (d) shall thereafter be subject to the same  | 
requirements, and subject to the same contractual benefits and  | 
obligations, as other State police officers.
This subsection  | 
(d) does not affect or limit the Director's authority to  | 
appoint other State Police officers under subsection (a) of  | 
this Section. | 
 (e) The Merit Board shall review Illinois State Police  | 
Cadet applicants. The Illinois State Police may provide  | 
background check and investigation material to the Board for  | 
its their review
10
pursuant to this Section section. The  | 
Board shall approve and ensure that no cadet applicant is  | 
certified unless the applicant is a person of good character  | 
and has not been convicted of, or entered a plea of guilty to,  | 
a felony offense, any of the misdemeanors specified in this  | 
 | 
Section or if committed in any other state would be an offense  | 
similar to Section 11-1.50, 11-6, 11-6.5, 11-6.6, 11-9.1,  | 
11-14, 11-14.1, 11-30, 12-2, 12- 3.2, 12-3.5, 16-1, 17-1,  | 
17-2, 26.5-1, 26.5-2, 26.5-3, 28-3, 29-1, any misdemeanor in  | 
violation of any Section section of Part E of Title III of the  | 
Criminal Code of 1961 or the Criminal Code of 2012, 32-4a, or  | 
32-7 of the Criminal Code of 1961 or the Criminal Code of 2012,  | 
or subsection (a) of Section 17-32 of the Criminal Code of 1961  | 
or the Criminal Code of 2012, to Section 5 or 5.2 of the  | 
Cannabis Control Act, or any felony or misdemeanor in  | 
violation of federal law or the law of any state that is the  | 
equivalent of any of the offenses specified therein. The  | 
Officer Professional Conduct Misconduct Database, provided for  | 
in Section 9.2 of the Illinois Police Training Act, shall be  | 
searched as part of this process. For purposes of this  | 
Section, "convicted of, or entered a plea of guilty"  | 
regardless of whether the adjudication of guilt or sentence is  | 
withheld or not entered thereon. This includes sentences of  | 
supervision, conditional discharge, or first offender  | 
probation, or any similar disposition provided for by law. | 
 (f) The Board shall by rule establish an application fee  | 
waiver program for any person who meets one or more of the  | 
following criteria: | 
  (1) his or her available personal income is 200% or  | 
 less of the current poverty level; or | 
  (2) he or she is, in the discretion of the Board,  | 
 | 
 unable to proceed in an action with payment of application  | 
 fee and payment of that fee would result in substantial  | 
 hardship to the person or the person's family. 
 | 
(Source: P.A. 101-374, eff. 1-1-20; 101-652, eff. 1-1-22;  | 
102-538, eff 8-20-21; revised 11-22-21.)
 | 
 (20 ILCS 2610/12.6) | 
 Sec. 12.6. Automatic termination of Illinois State Police  | 
officers. The Board shall terminate a State state police  | 
officer convicted of a felony offense under the laws of this  | 
State or any other state which if committed in this State would  | 
be punishable as a felony. The Board must also terminate  | 
Illinois State Police officers who were convicted of, or  | 
entered a plea of guilty to, on or after the effective date of  | 
this amendatory Act of the 101st General Assembly, any  | 
misdemeanor specified in this Section or if committed in any  | 
other state would be an offense similar to Section 11-1.50,  | 
11-6, 11-6.5, 11-6.6, 11-9.1, 11-14, 11-14.1, 11-30, 12-2,  | 
12-3.2, 12-3.5, 16-1, 17-1, 17-2, 26.5-1, 26.5-2, 26.5-3,  | 
28-3, 29-1, any misdemeanor in violation of any Section  | 
section of Part E of Title III of the Criminal Code of 1961 or  | 
the Criminal Code of 2012, 32-4a, or 32-7 of the Criminal Code  | 
of 1961 or the Criminal Code of 2012, or subsection (a) of  | 
Section 17-32 of the Criminal Code of 1961 or the Criminal Code  | 
of 2012, to Section 5 or 5.2 of the Cannabis Control Act, or  | 
any felony or misdemeanor in violation of federal law or the  | 
 | 
law of any state that is the equivalent of any of the offenses  | 
specified therein. The Illinois State Police Merit Board shall  | 
report terminations under this Section to the Officer  | 
Professional Conduct Misconduct Database, provided in Section  | 
9.2 of the Illinois Police Training Act. For purposes of this  | 
Section, section "convicted of, or entered a plea of guilty"  | 
regardless of whether the adjudication of guilt or sentence is  | 
withheld or not entered thereon. This includes sentences of  | 
supervision, conditional discharge, or first offender  | 
probation, or any similar disposition provided for by law.
 | 
(Source: P.A. 101-652, eff. 1-1-22; revised 12-1-21.)
 | 
 (20 ILCS 2610/12.7) | 
 Sec. 12.7. Discretionary termination of Illinois State  | 
Police officers. | 
 (a) Definitions. For purposes of this Section 12.7 6.3: | 
 "Duty to intervene" means an obligation to intervene to  | 
prevent harm from occurring that arises when an officer is  | 
present and has reason to know: | 
  (1) that excessive force is being used; or | 
  (2) that any constitutional violation has been  | 
 committed by a law enforcement official; and the officer  | 
 has a realistic opportunity to intervene. | 
 This duty applies equally to supervisory and  | 
 nonsupervisory officers. If aid is required, the officer  | 
 shall not, when reasonable to administer aid, knowingly  | 
 | 
 and willingly refuse to render aid as defined by State or  | 
 federal law. An officer does not violate this duty if the  | 
 failure to render aid is due to circumstances such as lack  | 
 of appropriate specialized training, lack of resources or  | 
 equipment, or both, or if it is unsafe or impracticable to  | 
 render aid. | 
 "Excessive use of force" means using force in violation of  | 
State or federal law. | 
 "False statement" means: | 
  (1) any knowingly false statement provided on a form  | 
 or report; | 
  (2) that the writer does not believe to be true; and | 
  (3) that the writer includes to mislead a public  | 
 servant in performing that public servant's official  | 
 functions. | 
 "Perjury" has the meaning as defined under Sections 32-2  | 
and 32-3 of the Criminal Code of 2012. | 
 "Tampers with or fabricates evidence" means if a law  | 
enforcement officer: | 
  (1) has reason to believe that an official proceeding  | 
 is pending or may be instituted; and | 
  (2) alters, destroys, conceals, or removes any record,  | 
 document, data, video or thing to impair its validity or  | 
 availability in the proceeding. | 
 (b) Discretionary termination conduct.
The Board may  | 
terminate an Illinois State Police officer upon a  | 
 | 
determination by the Board that the Illinois State Police  | 
officer has: | 
  (1) committed an act that would constitute a felony or  | 
 misdemeanor which could serve as basis for automatic  | 
 decertification, whether or not the law enforcement  | 
 officer was criminally prosecuted, and whether or not the  | 
 law enforcement officer's employment was terminated; | 
  (2) exercised excessive use of force; | 
  (3) failed to comply with the officer's duty to  | 
 intervene, including through acts or omission; | 
  (4) tampered with a dash camera or body-worn camera or  | 
 data recorded by a dash camera or body-worn camera or  | 
 directed another to tamper with or turn off a dash camera  | 
 or body-worn camera or data recorded by a dash camera or  | 
 body-worn camera for the purpose of concealing, destroying  | 
 or altering potential evidence; | 
  (5) engaged in the following conduct relating to the  | 
 reporting, investigation, or prosecution of a crime:  | 
 committed perjury, made a false statement, or knowingly  | 
 tampered with or fabricated evidence; | 
  (6) engaged in any unprofessional, unethical,  | 
 deceptive, or deleterious conduct or practice harmful to  | 
 the public; such conduct or practice need not have  | 
 resulted in actual injury to any person. As used in this  | 
 paragraph, the term "unprofessional conduct" shall include  | 
 any departure from, or failure to conform to, the minimal  | 
 | 
 standards of acceptable and prevailing practice of an  | 
 officer. | 
 (c) (b) If an officer enters a plea of guilty, nolo  | 
contendere, stipulates to the facts or is found guilty of a  | 
violation of any law, or if there is any other Board or  | 
judicial determination that will support any punitive measure  | 
taken against the officer, such action by the officer or  | 
judicial entity may be considered for the purposes of this  | 
Section. Termination under this Section shall be by clear and  | 
convincing evidence. If the Board votes to terminate, the  | 
Board shall put its decision in writing, setting forth the  | 
specific reasons for its decision. Final decisions under this  | 
Section are reviewable under the Administrative Review Law. | 
 (d) (c) The Illinois State Police Merit Board shall report  | 
all terminations under this Section to the Officer  | 
Professional Conduct Misconduct Database, provided in Section  | 
9.2 of the Illinois Police Training Act. | 
 (e) (d) Nothing in this Act shall require an Illinois  | 
State Police officer to waive any applicable constitutional  | 
rights. | 
 (f) (e) Nothing in this Section shall prohibit the Merit  | 
Board from administering discipline up to and including  | 
termination for violations of Illinois State Police policies  | 
and procedures pursuant to other Sections sections of this  | 
Act.
 | 
(Source: P.A. 101-652, eff. 1-1-22; revised 12-1-21.)
 | 
 | 
 (20 ILCS 2610/14) (from Ch. 121, par. 307.14)
 | 
 Sec. 14. Except as is otherwise provided in this Act, no  | 
Illinois
State Police officer shall be removed, demoted, or  | 
suspended except for
cause, upon written charges filed with  | 
the Board by the Director and a hearing
before the Board  | 
thereon upon not less than 10 days' notice at a place to
be  | 
designated by the chairman thereof. At such hearing, the  | 
accused shall
be afforded full opportunity to be heard in his  | 
or her own defense and
to produce proof in his or her defense.  | 
It shall not be a requirement of a person filing a complaint  | 
against a State Police officer Officer to have a complaint  | 
supported by a sworn affidavit or any other legal  | 
documentation. This ban on an affidavit requirement shall  | 
apply to any collective bargaining agreements entered after  | 
the effective date of this provision.
 | 
 Before any such officer may be interrogated or examined by  | 
or before the
Board, or by an Illinois
State Police agent or  | 
investigator specifically assigned
to conduct an internal  | 
investigation, the results of which hearing,
interrogation,
or  | 
examination may be the basis for filing charges seeking his or  | 
her
suspension for more than 15 days or his or her removal or  | 
discharge,
he or she shall be advised in writing as to what  | 
specific improper or
illegal act he or she is alleged to have  | 
committed; he or she shall
be advised in writing that his or  | 
her admissions made in the course
of the hearing,  | 
 | 
interrogation, or examination may be used as the basis for
 | 
charges seeking his or her suspension, removal, or discharge;  | 
and he
or she shall be advised in writing that he or she has a  | 
right to
counsel of his or her choosing, who may be present to  | 
advise him or
her at any hearing, interrogation, or  | 
examination. A complete record of
any hearing, interrogation,  | 
or examination shall be made, and a complete
transcript or  | 
electronic recording thereof shall be made available to such
 | 
officer without charge and without delay.
 | 
 The Board shall have the power to secure by its subpoena
 | 
both the attendance and testimony of witnesses and the  | 
production of books
and papers in support of the charges and  | 
for the defense. Each member of
the Board or a designated  | 
hearing officer shall have the power to administer
oaths or  | 
affirmations. If the charges against an accused are  | 
established
by a preponderance of evidence, the Board shall  | 
make a finding of guilty
and order either removal, demotion,  | 
suspension for a period of not more
than 180 days, or such  | 
other disciplinary punishment as may be prescribed
by the  | 
rules and regulations of the Board which, in the opinion of the  | 
members
thereof, the offense merits. Thereupon the
Director  | 
shall direct such removal or other punishment as ordered by  | 
the
Board and if the accused refuses to abide by any such  | 
disciplinary
order, the Director shall remove him or her  | 
forthwith.
 | 
 If the accused is found not guilty or has served a period  | 
 | 
of suspension
greater than prescribed by the Board, the Board  | 
shall order that the officer receive compensation for the  | 
period involved.
The award of compensation shall include  | 
interest at the rate of 7% per
annum.
 | 
 The Board may include in its order appropriate sanctions  | 
based upon the
Board's rules and regulations. If the Board  | 
finds that a party has made
allegations or denials without  | 
reasonable cause or has engaged in frivolous
litigation for  | 
the purpose of delay or needless increase in the cost of
 | 
litigation, it may order that party to pay the other party's  | 
reasonable
expenses, including costs and reasonable attorney's  | 
fees. The State of
Illinois and the Illinois
State Police  | 
shall be subject to these sanctions in the same
manner as other  | 
parties.
 | 
 In case of the neglect or refusal of any person to obey a  | 
subpoena issued
by the Board, any circuit court, upon  | 
application
of any member of the Board, may order such person  | 
to appear before the Board
and give testimony or produce  | 
evidence, and any failure to obey such order
is punishable by  | 
the court as a contempt thereof.
 | 
 The provisions of the Administrative Review Law, and all  | 
amendments and
modifications thereof, and the rules adopted  | 
pursuant thereto, shall apply
to and govern all proceedings  | 
for the judicial review of any order of the
Board rendered  | 
pursuant to the provisions of this Section.
 | 
 Notwithstanding the provisions of this Section, a policy  | 
 | 
making
officer, as defined in the Employee Rights Violation  | 
Act, of the Illinois State Police shall be discharged from the  | 
Illinois State Police as
provided in the Employee Rights  | 
Violation Act, enacted by the 85th General
Assembly.
 | 
(Source: P.A. 101-652, eff. 7-1-21; 102-538, eff. 8-20-21;  | 
revised 10-4-21.)
 | 
 (20 ILCS 2610/46) | 
 Sec. 46. Officer Professional Conduct Database; reporting,  | 
transparency. | 
 (a) The Illinois State Police Merit Board shall be  | 
responsible for reporting all required information contained  | 
in the Officer Professional Conduct Misconduct Database,  | 
provided in Section 9.2 of the Illinois Police Training Act. | 
 (b) Before the Illinois State Police Merit Board certifies  | 
any Illinois State Police Cadet the Board shall conduct a  | 
search of all Illinois State Police Cadet applicants in the  | 
Officer Professional Conduct Database. | 
 (c) The database, documents, materials, or other  | 
information in the possession or control of the Board that are  | 
obtained by or disclosed to the Board pursuant to this  | 
subsection shall be confidential by law and privileged, shall  | 
not be subject to subpoena, and shall not be subject to  | 
discovery or admissible in evidence in any private civil  | 
action. However, the Board is authorized to use such  | 
documents, materials, or other information in furtherance of  | 
 | 
any regulatory or legal action brought as part of the Board's  | 
official duties. Unless otherwise required by law, the Board  | 
shall not disclose the database or make such documents,  | 
materials, or other information public without the prior  | 
written consent of the governmental agency and the law  | 
enforcement officer. The Board nor any person who received  | 
documents, materials or other information shared pursuant to  | 
this subsection shall be required to testify in any private  | 
civil action concerning the database or any confidential  | 
documents, materials, or information subject to this  | 
subsection. | 
 Nothing in this Section shall exempt a governmental agency  | 
from disclosing public records in accordance with the Freedom  | 
of Information Act. 
 | 
(Source: P.A. 101-652, eff. 1-1-22; revised 12-1-21.)
 | 
 Section 180. The Criminal Identification Act is amended by  | 
changing Section 5.2 as follows:
 | 
 (20 ILCS 2630/5.2)
 | 
 Sec. 5.2. Expungement, sealing, and immediate sealing. | 
 (a) General Provisions. | 
  (1) Definitions. In this Act, words and phrases have
 | 
 the meanings set forth in this subsection, except when a
 | 
 particular context clearly requires a different meaning. | 
   (A) The following terms shall have the meanings  | 
 | 
 ascribed to them in the following Sections of the  | 
 Unified Code of Corrections, 730 ILCS 5/5-1-2 through  | 
 5/5-1-22: | 
    (i) Business Offense, Section 5-1-2. (730 ILCS  | 
 5/5-1-2), | 
    (ii) Charge, Section 5-1-3. (730 ILCS  | 
 5/5-1-3), | 
    (iii) Court, Section 5-1-6. (730 ILCS  | 
 5/5-1-6), | 
    (iv) Defendant, Section 5-1-7. (730 ILCS  | 
 5/5-1-7), | 
    (v) Felony, Section 5-1-9. (730 ILCS 5/5-1-9), | 
    (vi) Imprisonment, Section 5-1-10. (730 ILCS  | 
 5/5-1-10), | 
    (vii) Judgment, Section 5-1-12. (730 ILCS  | 
 5/5-1-12), | 
    (viii) Misdemeanor, Section 5-1-14. (730 ILCS  | 
 5/5-1-14), | 
    (ix) Offense, Section 5-1-15. (730 ILCS  | 
 5/5-1-15), | 
    (x) Parole, Section 5-1-16. (730 ILCS  | 
 5/5-1-16), | 
    (xi) Petty Offense, Section 5-1-17. (730 ILCS  | 
 5/5-1-17), | 
    (xii) Probation, Section 5-1-18. (730 ILCS  | 
 5/5-1-18), | 
 | 
    (xiii) Sentence, Section 5-1-19. (730 ILCS  | 
 5/5-1-19), | 
    (xiv) Supervision, Section 5-1-21. (730 ILCS  | 
 5/5-1-21), and | 
    (xv) Victim, Section 5-1-22. (730 ILCS  | 
 5/5-1-22). | 
   (B) As used in this Section, "charge not initiated  | 
 by arrest" means a charge (as defined by Section 5-1-3  | 
 of the Unified Code of Corrections 730 ILCS 5/5-1-3)  | 
 brought against a defendant where the defendant is not  | 
 arrested prior to or as a direct result of the charge. | 
   (C) "Conviction" means a judgment of conviction or  | 
 sentence entered upon a plea of guilty or upon a  | 
 verdict or finding of guilty of an offense, rendered  | 
 by a legally constituted jury or by a court of  | 
 competent jurisdiction authorized to try the case  | 
 without a jury. An order of supervision successfully  | 
 completed by the petitioner is not a conviction. An  | 
 order of qualified probation (as defined in subsection  | 
 (a)(1)(J)) successfully completed by the petitioner is  | 
 not a conviction. An order of supervision or an order  | 
 of qualified probation that is terminated  | 
 unsatisfactorily is a conviction, unless the  | 
 unsatisfactory termination is reversed, vacated, or  | 
 modified and the judgment of conviction, if any, is  | 
 reversed or vacated. | 
 | 
   (D) "Criminal offense" means a petty offense,  | 
 business offense, misdemeanor, felony, or municipal  | 
 ordinance violation (as defined in subsection  | 
 (a)(1)(H)). As used in this Section, a minor traffic  | 
 offense (as defined in subsection (a)(1)(G)) shall not  | 
 be considered a criminal offense. | 
   (E) "Expunge" means to physically destroy the  | 
 records or return them to the petitioner and to  | 
 obliterate the petitioner's name from any official  | 
 index or public record, or both. Nothing in this Act  | 
 shall require the physical destruction of the circuit  | 
 court file, but such records relating to arrests or  | 
 charges, or both, ordered expunged shall be impounded  | 
 as required by subsections (d)(9)(A)(ii) and  | 
 (d)(9)(B)(ii). | 
   (F) As used in this Section, "last sentence" means  | 
 the sentence, order of supervision, or order of  | 
 qualified probation (as defined by subsection  | 
 (a)(1)(J)), for a criminal offense (as defined by  | 
 subsection (a)(1)(D)) that terminates last in time in  | 
 any jurisdiction, regardless of whether the petitioner  | 
 has included the criminal offense for which the  | 
 sentence or order of supervision or qualified  | 
 probation was imposed in his or her petition. If  | 
 multiple sentences, orders of supervision, or orders  | 
 of qualified probation terminate on the same day and  | 
 | 
 are last in time, they shall be collectively  | 
 considered the "last sentence" regardless of whether  | 
 they were ordered to run concurrently. | 
   (G) "Minor traffic offense" means a petty offense,  | 
 business offense, or Class C misdemeanor under the  | 
 Illinois Vehicle Code or a similar provision of a  | 
 municipal or local ordinance. | 
   (G-5) "Minor Cannabis Offense" means a violation  | 
 of Section 4 or 5 of the Cannabis Control Act  | 
 concerning not more than 30 grams of any substance  | 
 containing cannabis, provided the violation did not  | 
 include a penalty enhancement under Section 7 of the  | 
 Cannabis Control Act and is not associated with an  | 
 arrest, conviction or other disposition for a violent  | 
 crime as defined in subsection (c) of Section 3 of the  | 
 Rights of Crime Victims and Witnesses Act.  | 
   (H) "Municipal ordinance violation" means an  | 
 offense defined by a municipal or local ordinance that  | 
 is criminal in nature and with which the petitioner  | 
 was charged or for which the petitioner was arrested  | 
 and released without charging. | 
   (I) "Petitioner" means an adult or a minor  | 
 prosecuted as an
adult who has applied for relief  | 
 under this Section. | 
   (J) "Qualified probation" means an order of  | 
 probation under Section 10 of the Cannabis Control  | 
 | 
 Act, Section 410 of the Illinois Controlled Substances  | 
 Act, Section 70 of the Methamphetamine Control and  | 
 Community Protection Act, Section 5-6-3.3 or 5-6-3.4  | 
 of the Unified Code of Corrections, Section  | 
 12-4.3(b)(1) and (2) of the Criminal Code of 1961 (as  | 
 those provisions existed before their deletion by  | 
 Public Act 89-313), Section 10-102 of the Illinois  | 
 Alcoholism and Other Drug Dependency Act, Section  | 
 40-10 of the Substance Use Disorder Act, or Section 10  | 
 of the Steroid Control Act. For the purpose of this  | 
 Section, "successful completion" of an order of  | 
 qualified probation under Section 10-102 of the  | 
 Illinois Alcoholism and Other Drug Dependency Act and  | 
 Section 40-10 of the Substance Use Disorder Act means  | 
 that the probation was terminated satisfactorily and  | 
 the judgment of conviction was vacated. | 
   (K) "Seal" means to physically and electronically  | 
 maintain the records, unless the records would  | 
 otherwise be destroyed due to age, but to make the  | 
 records unavailable without a court order, subject to  | 
 the exceptions in Sections 12 and 13 of this Act. The  | 
 petitioner's name shall also be obliterated from the  | 
 official index required to be kept by the circuit  | 
 court clerk under Section 16 of the Clerks of Courts  | 
 Act, but any index issued by the circuit court clerk  | 
 before the entry of the order to seal shall not be  | 
 | 
 affected. | 
   (L) "Sexual offense committed against a minor"  | 
 includes, but is
not limited to, the offenses of  | 
 indecent solicitation of a child
or criminal sexual  | 
 abuse when the victim of such offense is
under 18 years  | 
 of age. | 
   (M) "Terminate" as it relates to a sentence or  | 
 order of supervision or qualified probation includes  | 
 either satisfactory or unsatisfactory termination of  | 
 the sentence, unless otherwise specified in this  | 
 Section. A sentence is terminated notwithstanding any  | 
 outstanding financial legal obligation.  | 
  (2) Minor Traffic Offenses.
Orders of supervision or  | 
 convictions for minor traffic offenses shall not affect a  | 
 petitioner's eligibility to expunge or seal records  | 
 pursuant to this Section. | 
  (2.5) Commencing 180 days after July 29, 2016 (the  | 
 effective date of Public Act 99-697), the law enforcement  | 
 agency issuing the citation shall automatically expunge,  | 
 on or before January 1 and July 1 of each year, the law  | 
 enforcement records of a person found to have committed a  | 
 civil law violation of subsection (a) of Section 4 of the  | 
 Cannabis Control Act or subsection (c) of Section 3.5 of  | 
 the Drug Paraphernalia Control Act in the law enforcement  | 
 agency's possession or control and which contains the  | 
 final satisfactory disposition which pertain to the person  | 
 | 
 issued a citation for that offense.
The law enforcement  | 
 agency shall provide by rule the process for access,  | 
 review, and to confirm the automatic expungement by the  | 
 law enforcement agency issuing the citation.
Commencing  | 
 180 days after July 29, 2016 (the effective date of Public  | 
 Act 99-697), the clerk of the circuit court shall expunge,  | 
 upon order of the court, or in the absence of a court order  | 
 on or before January 1 and July 1 of each year, the court  | 
 records of a person found in the circuit court to have  | 
 committed a civil law violation of subsection (a) of  | 
 Section 4 of the Cannabis Control Act or subsection (c) of  | 
 Section 3.5 of the Drug Paraphernalia Control Act in the  | 
 clerk's possession or control and which contains the final  | 
 satisfactory disposition which pertain to the person  | 
 issued a citation for any of those offenses.  | 
  (3) Exclusions. Except as otherwise provided in  | 
 subsections (b)(5), (b)(6), (b)(8), (e), (e-5), and (e-6)  | 
 of this Section, the court shall not order: | 
   (A) the sealing or expungement of the records of  | 
 arrests or charges not initiated by arrest that result  | 
 in an order of supervision for or conviction of:
(i)  | 
 any sexual offense committed against a
minor; (ii)  | 
 Section 11-501 of the Illinois Vehicle Code or a  | 
 similar provision of a local ordinance; or (iii)  | 
 Section 11-503 of the Illinois Vehicle Code or a  | 
 similar provision of a local ordinance, unless the  | 
 | 
 arrest or charge is for a misdemeanor violation of  | 
 subsection (a) of Section 11-503 or a similar  | 
 provision of a local ordinance, that occurred prior to  | 
 the offender reaching the age of 25 years and the  | 
 offender has no other conviction for violating Section  | 
 11-501 or 11-503 of the Illinois Vehicle Code or a  | 
 similar provision of a local ordinance. | 
   (B) the sealing or expungement of records of minor  | 
 traffic offenses (as defined in subsection (a)(1)(G)),  | 
 unless the petitioner was arrested and released  | 
 without charging. | 
   (C) the sealing of the records of arrests or  | 
 charges not initiated by arrest which result in an  | 
 order of supervision or a conviction for the following  | 
 offenses: | 
    (i) offenses included in Article 11 of the  | 
 Criminal Code of 1961 or the Criminal Code of 2012  | 
 or a similar provision of a local ordinance,  | 
 except Section 11-14 and a misdemeanor violation  | 
 of Section 11-30 of the Criminal Code of 1961 or  | 
 the Criminal Code of 2012, or a similar provision  | 
 of a local ordinance; | 
    (ii) Section 11-1.50, 12-3.4, 12-15, 12-30,  | 
 26-5, or 48-1 of the Criminal Code of 1961 or the  | 
 Criminal Code of 2012, or a similar provision of a  | 
 local ordinance; | 
 | 
    (iii) Sections 12-3.1 or 12-3.2 of the  | 
 Criminal Code of 1961 or the Criminal Code of  | 
 2012, or Section 125 of the Stalking No Contact  | 
 Order Act, or Section 219 of the Civil No Contact  | 
 Order Act, or a similar provision of a local  | 
 ordinance; | 
    (iv) Class A misdemeanors or felony offenses  | 
 under the Humane Care for Animals Act; or | 
    (v) any offense or attempted offense that  | 
 would subject a person to registration under the  | 
 Sex Offender Registration Act. | 
   (D) (blank). | 
 (b) Expungement. | 
  (1) A petitioner may petition the circuit court to  | 
 expunge the
records of his or her arrests and charges not  | 
 initiated by arrest when each arrest or charge not  | 
 initiated by arrest
sought to be expunged resulted in:
(i)  | 
 acquittal, dismissal, or the petitioner's release without  | 
 charging, unless excluded by subsection (a)(3)(B);
(ii) a  | 
 conviction which was vacated or reversed, unless excluded  | 
 by subsection (a)(3)(B);
(iii) an order of supervision and  | 
 such supervision was successfully completed by the  | 
 petitioner, unless excluded by subsection (a)(3)(A) or  | 
 (a)(3)(B); or
(iv) an order of qualified probation (as  | 
 defined in subsection (a)(1)(J)) and such probation was  | 
 successfully completed by the petitioner. | 
 | 
  (1.5) When a petitioner seeks to have a record of  | 
 arrest expunged under this Section, and the offender has  | 
 been convicted of a criminal offense, the State's Attorney  | 
 may object to the expungement on the grounds that the  | 
 records contain specific relevant information aside from  | 
 the mere fact of the arrest.  | 
  (2) Time frame for filing a petition to expunge. | 
   (A) When the arrest or charge not initiated by  | 
 arrest sought to be expunged resulted in an acquittal,  | 
 dismissal, the petitioner's release without charging,  | 
 or the reversal or vacation of a conviction, there is  | 
 no waiting period to petition for the expungement of  | 
 such records. | 
   (B) When the arrest or charge not initiated by  | 
 arrest
sought to be expunged resulted in an order of  | 
 supervision, successfully
completed by the petitioner,  | 
 the following time frames will apply: | 
    (i) Those arrests or charges that resulted in  | 
 orders of
supervision under Section 3-707, 3-708,  | 
 3-710, or 5-401.3 of the Illinois Vehicle Code or  | 
 a similar provision of a local ordinance, or under  | 
 Section 11-1.50, 12-3.2, or 12-15 of the Criminal  | 
 Code of 1961 or the Criminal Code of 2012, or a  | 
 similar provision of a local ordinance, shall not  | 
 be eligible for expungement until 5 years have  | 
 passed following the satisfactory termination of  | 
 | 
 the supervision. | 
    (i-5) Those arrests or charges that resulted  | 
 in orders of supervision for a misdemeanor  | 
 violation of subsection (a) of Section 11-503 of  | 
 the Illinois Vehicle Code or a similar provision  | 
 of a local ordinance, that occurred prior to the  | 
 offender reaching the age of 25 years and the  | 
 offender has no other conviction for violating  | 
 Section 11-501 or 11-503 of the Illinois Vehicle  | 
 Code or a similar provision of a local ordinance  | 
 shall not be eligible for expungement until the  | 
 petitioner has reached the age of 25 years.  | 
    (ii) Those arrests or charges that resulted in  | 
 orders
of supervision for any other offenses shall  | 
 not be
eligible for expungement until 2 years have  | 
 passed
following the satisfactory termination of  | 
 the supervision. | 
   (C) When the arrest or charge not initiated by  | 
 arrest sought to
be expunged resulted in an order of  | 
 qualified probation, successfully
completed by the  | 
 petitioner, such records shall not be eligible for
 | 
 expungement until 5 years have passed following the  | 
 satisfactory
termination of the probation. | 
  (3) Those records maintained by the Illinois State  | 
 Police Department for
persons arrested prior to their 17th  | 
 birthday shall be
expunged as provided in Section 5-915 of  | 
 | 
 the Juvenile Court
Act of 1987. | 
  (4) Whenever a person has been arrested for or  | 
 convicted of any
offense, in the name of a person whose  | 
 identity he or she has stolen or otherwise
come into  | 
 possession of, the aggrieved person from whom the identity
 | 
 was stolen or otherwise obtained without authorization,
 | 
 upon learning of the person having been arrested using his
 | 
 or her identity, may, upon verified petition to the chief  | 
 judge of
the circuit wherein the arrest was made, have a  | 
 court order
entered nunc pro tunc by the Chief Judge to  | 
 correct the
arrest record, conviction record, if any, and  | 
 all official
records of the arresting authority, the  | 
 Illinois State Police Department, other
criminal justice  | 
 agencies, the prosecutor, and the trial
court concerning  | 
 such arrest, if any, by removing his or her name
from all  | 
 such records in connection with the arrest and
conviction,  | 
 if any, and by inserting in the records the
name of the  | 
 offender, if known or ascertainable, in lieu of
the  | 
 aggrieved's name. The records of the circuit court clerk  | 
 shall be sealed until further order of
the court upon good  | 
 cause shown and the name of the
aggrieved person  | 
 obliterated on the official index
required to be kept by  | 
 the circuit court clerk under
Section 16 of the Clerks of  | 
 Courts Act, but the order shall
not affect any index  | 
 issued by the circuit court clerk
before the entry of the  | 
 order. Nothing in this Section
shall limit the Illinois  | 
 | 
 Department of State Police or other
criminal justice  | 
 agencies or prosecutors from listing
under an offender's  | 
 name the false names he or she has
used. | 
  (5) Whenever a person has been convicted of criminal
 | 
 sexual assault, aggravated criminal sexual assault,
 | 
 predatory criminal sexual assault of a child, criminal
 | 
 sexual abuse, or aggravated criminal sexual abuse, the
 | 
 victim of that offense may request that the State's
 | 
 Attorney of the county in which the conviction occurred
 | 
 file a verified petition with the presiding trial judge at
 | 
 the petitioner's trial to have a court order entered to  | 
 seal
the records of the circuit court clerk in connection
 | 
 with the proceedings of the trial court concerning that
 | 
 offense. However, the records of the arresting authority
 | 
 and the Illinois Department of State Police concerning the  | 
 offense
shall not be sealed. The court, upon good cause  | 
 shown,
shall make the records of the circuit court clerk  | 
 in
connection with the proceedings of the trial court
 | 
 concerning the offense available for public inspection. | 
  (6) If a conviction has been set aside on direct  | 
 review
or on collateral attack and the court determines by  | 
 clear
and convincing evidence that the petitioner was  | 
 factually
innocent of the charge, the court that finds the  | 
 petitioner factually innocent of the charge shall enter an
 | 
 expungement order for the conviction for which the  | 
 petitioner has been determined to be innocent as provided  | 
 | 
 in subsection (b) of Section
5-5-4 of the Unified Code of  | 
 Corrections. | 
  (7) Nothing in this Section shall prevent the Illinois  | 
 Department of
State Police from maintaining all records of  | 
 any person who
is admitted to probation upon terms and  | 
 conditions and who
fulfills those terms and conditions  | 
 pursuant to Section 10
of the Cannabis Control Act,  | 
 Section 410 of the Illinois
Controlled Substances Act,  | 
 Section 70 of the
Methamphetamine Control and Community  | 
 Protection Act,
Section 5-6-3.3 or 5-6-3.4 of the Unified  | 
 Code of Corrections, Section 12-4.3 or subdivision (b)(1)  | 
 of Section 12-3.05 of the Criminal Code of 1961 or the  | 
 Criminal Code of 2012, Section 10-102
of the Illinois  | 
 Alcoholism and Other Drug Dependency Act,
Section 40-10 of  | 
 the Substance Use Disorder Act, or Section 10 of the  | 
 Steroid Control Act. | 
  (8) If the petitioner has been granted a certificate  | 
 of innocence under Section 2-702 of the Code of Civil  | 
 Procedure, the court that grants the certificate of  | 
 innocence shall also enter an order expunging the  | 
 conviction for which the petitioner has been determined to  | 
 be innocent as provided in subsection (h) of Section 2-702  | 
 of the Code of Civil Procedure. | 
 (c) Sealing. | 
  (1) Applicability. Notwithstanding any other provision  | 
 of this Act to the contrary, and cumulative with any  | 
 | 
 rights to expungement of criminal records, this subsection  | 
 authorizes the sealing of criminal records of adults and  | 
 of minors prosecuted as adults. Subsection (g) of this  | 
 Section provides for immediate sealing of certain records.  | 
  (2) Eligible Records. The following records may be  | 
 sealed: | 
   (A) All arrests resulting in release without  | 
 charging; | 
   (B) Arrests or charges not initiated by arrest  | 
 resulting in acquittal, dismissal, or conviction when  | 
 the conviction was reversed or vacated, except as  | 
 excluded by subsection (a)(3)(B); | 
   (C) Arrests or charges not initiated by arrest  | 
 resulting in orders of supervision, including orders  | 
 of supervision for municipal ordinance violations,  | 
 successfully completed by the petitioner, unless  | 
 excluded by subsection (a)(3); | 
   (D) Arrests or charges not initiated by arrest  | 
 resulting in convictions, including convictions on  | 
 municipal ordinance violations, unless excluded by  | 
 subsection (a)(3); | 
   (E) Arrests or charges not initiated by arrest  | 
 resulting in orders of first offender probation under  | 
 Section 10 of the Cannabis Control Act, Section 410 of  | 
 the Illinois Controlled Substances Act, Section 70 of  | 
 the Methamphetamine Control and Community Protection  | 
 | 
 Act, or Section 5-6-3.3 of the Unified Code of  | 
 Corrections; and | 
   (F) Arrests or charges not initiated by arrest  | 
 resulting in felony convictions unless otherwise  | 
 excluded by subsection (a) paragraph (3) of this  | 
 Section. | 
  (3) When Records Are Eligible to Be Sealed. Records  | 
 identified as eligible under subsection (c)(2) may be  | 
 sealed as follows: | 
   (A) Records identified as eligible under  | 
 subsection (c)(2)(A) and (c)(2)(B) may be sealed at  | 
 any time. | 
   (B) Except as otherwise provided in subparagraph  | 
 (E) of this paragraph (3), records identified as  | 
 eligible under subsection (c)(2)(C) may be sealed
2  | 
 years after the termination of petitioner's last  | 
 sentence (as defined in subsection (a)(1)(F)). | 
   (C) Except as otherwise provided in subparagraph  | 
 (E) of this paragraph (3), records identified as  | 
 eligible under subsections (c)(2)(D), (c)(2)(E), and  | 
 (c)(2)(F) may be sealed 3 years after the termination  | 
 of the petitioner's last sentence (as defined in  | 
 subsection (a)(1)(F)). Convictions requiring public  | 
 registration under the Arsonist Registration Act, the  | 
 Sex Offender Registration Act, or the Murderer and  | 
 Violent Offender Against Youth Registration Act may  | 
 | 
 not be sealed until the petitioner is no longer  | 
 required to register under that relevant Act. | 
   (D) Records identified in subsection  | 
 (a)(3)(A)(iii) may be sealed after the petitioner has  | 
 reached the age of 25 years.  | 
   (E) Records identified as eligible under  | 
 subsections (c)(2)(C), (c)(2)(D), (c)(2)(E), or  | 
 (c)(2)(F) may be sealed upon termination of the  | 
 petitioner's last sentence if the petitioner earned a  | 
 high school diploma, associate's degree, career  | 
 certificate, vocational technical certification, or  | 
 bachelor's degree, or passed the high school level  | 
 Test of General Educational Development, during the  | 
 period of his or her sentence or mandatory supervised  | 
 release. This subparagraph shall apply only to a  | 
 petitioner who has not completed the same educational  | 
 goal prior to the period of his or her sentence or  | 
 mandatory supervised release. If a petition for  | 
 sealing eligible records filed under this subparagraph  | 
 is denied by the court, the time periods under  | 
 subparagraph (B) or (C) shall apply to any subsequent  | 
 petition for sealing filed by the petitioner. | 
  (4) Subsequent felony convictions. A person may not  | 
 have
subsequent felony conviction records sealed as  | 
 provided in this subsection
(c) if he or she is convicted  | 
 of any felony offense after the date of the
sealing of  | 
 | 
 prior felony convictions as provided in this subsection  | 
 (c). The court may, upon conviction for a subsequent  | 
 felony offense, order the unsealing of prior felony  | 
 conviction records previously ordered sealed by the court. | 
  (5) Notice of eligibility for sealing. Upon entry of a  | 
 disposition for an eligible record under this subsection  | 
 (c), the petitioner shall be informed by the court of the  | 
 right to have the records sealed and the procedures for  | 
 the sealing of the records. | 
 (d) Procedure. The following procedures apply to  | 
expungement under subsections (b), (e), and (e-6) and sealing  | 
under subsections (c) and (e-5): | 
  (1) Filing the petition. Upon becoming eligible to  | 
 petition for
the expungement or sealing of records under  | 
 this Section, the petitioner shall file a petition  | 
 requesting the expungement
or sealing of records with the  | 
 clerk of the court where the arrests occurred or the  | 
 charges were brought, or both. If arrests occurred or  | 
 charges were brought in multiple jurisdictions, a petition  | 
 must be filed in each such jurisdiction. The petitioner  | 
 shall pay the applicable fee, except no fee shall be  | 
 required if the petitioner has obtained a court order  | 
 waiving fees under Supreme Court Rule 298 or it is  | 
 otherwise waived. | 
  (1.5) County fee waiver pilot program.
From August 9,  | 
 2019 (the effective date of Public Act 101-306) through  | 
 | 
 December 31, 2020, in a county of 3,000,000 or more  | 
 inhabitants, no fee shall be required to be paid by a  | 
 petitioner if the records sought to be expunged or sealed  | 
 were arrests resulting in release without charging or  | 
 arrests or charges not initiated by arrest resulting in  | 
 acquittal, dismissal, or conviction when the conviction  | 
 was reversed or vacated, unless excluded by subsection  | 
 (a)(3)(B). The provisions of this paragraph (1.5), other  | 
 than this sentence, are inoperative on and after January  | 
 1, 2022.  | 
  (2) Contents of petition. The petition shall be
 | 
 verified and shall contain the petitioner's name, date of
 | 
 birth, current address and, for each arrest or charge not  | 
 initiated by
arrest sought to be sealed or expunged, the  | 
 case number, the date of
arrest (if any), the identity of  | 
 the arresting authority, and such
other information as the  | 
 court may require. During the pendency
of the proceeding,  | 
 the petitioner shall promptly notify the
circuit court  | 
 clerk of any change of his or her address. If the  | 
 petitioner has received a certificate of eligibility for  | 
 sealing from the Prisoner Review Board under paragraph  | 
 (10) of subsection (a) of Section 3-3-2 of the Unified  | 
 Code of Corrections, the certificate shall be attached to  | 
 the petition. | 
  (3) Drug test. The petitioner must attach to the  | 
 petition proof that the petitioner has passed a test taken  | 
 | 
 within 30 days before the filing of the petition showing  | 
 the absence within his or her body of all illegal  | 
 substances as defined by the Illinois Controlled  | 
 Substances Act, the Methamphetamine Control and Community  | 
 Protection Act, and the Cannabis Control Act if he or she  | 
 is petitioning to: | 
   (A) seal felony records under clause (c)(2)(E); | 
   (B) seal felony records for a violation of the  | 
 Illinois Controlled Substances Act, the  | 
 Methamphetamine Control and Community Protection Act,  | 
 or the Cannabis Control Act under clause (c)(2)(F); | 
   (C) seal felony records under subsection (e-5); or  | 
   (D) expunge felony records of a qualified  | 
 probation under clause (b)(1)(iv). | 
  (4) Service of petition. The circuit court clerk shall  | 
 promptly
serve a copy of the petition and documentation to  | 
 support the petition under subsection (e-5) or (e-6) on  | 
 the State's Attorney or
prosecutor charged with the duty  | 
 of prosecuting the
offense, the Illinois Department of  | 
 State Police, the arresting
agency and the chief legal  | 
 officer of the unit of local
government effecting the  | 
 arrest. | 
  (5) Objections. | 
   (A) Any party entitled to notice of the petition  | 
 may file an objection to the petition. All objections  | 
 shall be in writing, shall be filed with the circuit  | 
 | 
 court clerk, and shall state with specificity the  | 
 basis of the objection. Whenever a person who has been  | 
 convicted of an offense is granted
a pardon by the  | 
 Governor which specifically authorizes expungement, an  | 
 objection to the petition may not be filed. | 
   (B) Objections to a petition to expunge or seal  | 
 must be filed within 60 days of the date of service of  | 
 the petition. | 
  (6) Entry of order. | 
   (A) The Chief Judge of the circuit wherein the  | 
 charge was brought, any judge of that circuit  | 
 designated by the Chief Judge, or in counties of less  | 
 than 3,000,000 inhabitants, the presiding trial judge  | 
 at the petitioner's trial, if any, shall rule on the  | 
 petition to expunge or seal as set forth in this  | 
 subsection (d)(6). | 
   (B) Unless the State's Attorney or prosecutor, the  | 
 Illinois Department of
State Police, the arresting  | 
 agency, or the chief legal officer
files an objection  | 
 to the petition to expunge or seal within 60 days from  | 
 the date of service of the petition, the court shall  | 
 enter an order granting or denying the petition. | 
   (C) Notwithstanding any other provision of law,  | 
 the court shall not deny a petition for sealing under  | 
 this Section because the petitioner has not satisfied  | 
 an outstanding legal financial obligation established,  | 
 | 
 imposed, or originated by a court, law enforcement  | 
 agency, or a municipal, State, county, or other unit  | 
 of local government, including, but not limited to,  | 
 any cost, assessment, fine, or fee. An outstanding  | 
 legal financial obligation does not include any court  | 
 ordered restitution to a victim under Section 5-5-6 of  | 
 the Unified Code of Corrections, unless the  | 
 restitution has been converted to a civil judgment.  | 
 Nothing in this subparagraph (C) waives, rescinds, or  | 
 abrogates a legal financial obligation or otherwise  | 
 eliminates or affects the right of the holder of any  | 
 financial obligation to pursue collection under  | 
 applicable federal, State, or local law.  | 
  (7) Hearings. If an objection is filed, the court  | 
 shall set a date for a hearing and notify the petitioner  | 
 and all parties entitled to notice of the petition of the  | 
 hearing date at least 30 days prior to the hearing. Prior  | 
 to the hearing, the State's Attorney shall consult with  | 
 the Illinois State Police Department as to the  | 
 appropriateness of the relief sought in the petition to  | 
 expunge or seal. At the hearing, the court shall hear  | 
 evidence on whether the petition should or should not be  | 
 granted, and shall grant or deny the petition to expunge  | 
 or seal the records based on the evidence presented at the  | 
 hearing. The court may consider the following: | 
   (A) the strength of the evidence supporting the  | 
 | 
 defendant's conviction;  | 
   (B) the reasons for retention of the conviction  | 
 records by the State;  | 
   (C) the petitioner's age, criminal record history,  | 
 and employment history;  | 
   (D) the period of time between the petitioner's  | 
 arrest on the charge resulting in the conviction and  | 
 the filing of the petition under this Section; and  | 
   (E) the specific adverse consequences the  | 
 petitioner may be subject to if the petition is  | 
 denied.  | 
  (8) Service of order. After entering an order to  | 
 expunge or
seal records, the court must provide copies of  | 
 the order to the
Illinois State Police Department, in a  | 
 form and manner prescribed by the Illinois State Police  | 
 Department,
to the petitioner, to the State's Attorney or  | 
 prosecutor
charged with the duty of prosecuting the  | 
 offense, to the
arresting agency, to the chief legal  | 
 officer of the unit of
local government effecting the  | 
 arrest, and to such other
criminal justice agencies as may  | 
 be ordered by the court. | 
  (9) Implementation of order. | 
   (A) Upon entry of an order to expunge records  | 
 pursuant to subsection (b)(2)(A) or (b)(2)(B)(ii), or  | 
 both: | 
    (i) the records shall be expunged (as defined  | 
 | 
 in subsection (a)(1)(E)) by the arresting agency,  | 
 the Illinois State Police Department, and any  | 
 other agency as ordered by the court, within 60  | 
 days of the date of service of the order, unless a  | 
 motion to vacate, modify, or reconsider the order  | 
 is filed pursuant to paragraph (12) of subsection  | 
 (d) of this Section; | 
    (ii) the records of the circuit court clerk  | 
 shall be impounded until further order of the  | 
 court upon good cause shown and the name of the  | 
 petitioner obliterated on the official index  | 
 required to be kept by the circuit court clerk  | 
 under Section 16 of the Clerks of Courts Act, but  | 
 the order shall not affect any index issued by the  | 
 circuit court clerk before the entry of the order;  | 
 and | 
    (iii) in response to an inquiry for expunged  | 
 records, the court, the Illinois State Police  | 
 Department, or the agency receiving such inquiry,  | 
 shall reply as it does in response to inquiries  | 
 when no records ever existed. | 
   (B) Upon entry of an order to expunge records  | 
 pursuant to subsection (b)(2)(B)(i) or (b)(2)(C), or  | 
 both: | 
    (i) the records shall be expunged (as defined  | 
 in subsection (a)(1)(E)) by the arresting agency  | 
 | 
 and any other agency as ordered by the court,  | 
 within 60 days of the date of service of the order,  | 
 unless a motion to vacate, modify, or reconsider  | 
 the order is filed pursuant to paragraph (12) of  | 
 subsection (d) of this Section; | 
    (ii) the records of the circuit court clerk  | 
 shall be impounded until further order of the  | 
 court upon good cause shown and the name of the  | 
 petitioner obliterated on the official index  | 
 required to be kept by the circuit court clerk  | 
 under Section 16 of the Clerks of Courts Act, but  | 
 the order shall not affect any index issued by the  | 
 circuit court clerk before the entry of the order; | 
    (iii) the records shall be impounded by the
 | 
 Illinois State Police Department within 60 days of  | 
 the date of service of the order as ordered by the  | 
 court, unless a motion to vacate, modify, or  | 
 reconsider the order is filed pursuant to  | 
 paragraph (12) of subsection (d) of this Section; | 
    (iv) records impounded by the Illinois State  | 
 Police Department may be disseminated by the  | 
 Illinois State Police Department only as required  | 
 by law or to the arresting authority, the State's  | 
 Attorney, and the court upon a later arrest for  | 
 the same or a similar offense or for the purpose of  | 
 sentencing for any subsequent felony, and to the  | 
 | 
 Department of Corrections upon conviction for any  | 
 offense; and | 
    (v) in response to an inquiry for such records  | 
 from anyone not authorized by law to access such  | 
 records, the court, the Illinois State Police  | 
 Department, or the agency receiving such inquiry  | 
 shall reply as it does in response to inquiries  | 
 when no records ever existed. | 
   (B-5) Upon entry of an order to expunge records  | 
 under subsection (e-6): | 
    (i) the records shall be expunged (as defined  | 
 in subsection (a)(1)(E)) by the arresting agency  | 
 and any other agency as ordered by the court,  | 
 within 60 days of the date of service of the order,  | 
 unless a motion to vacate, modify, or reconsider  | 
 the order is filed under paragraph (12) of  | 
 subsection (d) of this Section; | 
    (ii) the records of the circuit court clerk  | 
 shall be impounded until further order of the  | 
 court upon good cause shown and the name of the  | 
 petitioner obliterated on the official index  | 
 required to be kept by the circuit court clerk  | 
 under Section 16 of the Clerks of Courts Act, but  | 
 the order shall not affect any index issued by the  | 
 circuit court clerk before the entry of the order; | 
    (iii) the records shall be impounded by the
 | 
 | 
 Illinois State Police Department within 60 days of  | 
 the date of service of the order as ordered by the  | 
 court, unless a motion to vacate, modify, or  | 
 reconsider the order is filed under paragraph (12)  | 
 of subsection (d) of this Section; | 
    (iv) records impounded by the Illinois State  | 
 Police Department may be disseminated by the  | 
 Illinois State Police Department only as required  | 
 by law or to the arresting authority, the State's  | 
 Attorney, and the court upon a later arrest for  | 
 the same or a similar offense or for the purpose of  | 
 sentencing for any subsequent felony, and to the  | 
 Department of Corrections upon conviction for any  | 
 offense; and | 
    (v) in response to an inquiry for these  | 
 records from anyone not authorized by law to  | 
 access the records, the court, the Illinois State  | 
 Police Department, or the agency receiving the  | 
 inquiry shall reply as it does in response to  | 
 inquiries when no records ever existed.  | 
   (C) Upon entry of an order to seal records under  | 
 subsection
(c), the arresting agency, any other agency  | 
 as ordered by the court, the Illinois State Police  | 
 Department, and the court shall seal the records (as  | 
 defined in subsection (a)(1)(K)). In response to an  | 
 inquiry for such records, from anyone not authorized  | 
 | 
 by law to access such records, the court, the Illinois  | 
 State Police Department, or the agency receiving such  | 
 inquiry shall reply as it does in response to  | 
 inquiries when no records ever existed. | 
   (D) The Illinois State Police Department shall  | 
 send written notice to the petitioner of its  | 
 compliance with each order to expunge or seal records  | 
 within 60 days of the date of service of that order or,  | 
 if a motion to vacate, modify, or reconsider is filed,  | 
 within 60 days of service of the order resolving the  | 
 motion, if that order requires the Illinois State  | 
 Police Department to expunge or seal records. In the  | 
 event of an appeal from the circuit court order, the  | 
 Illinois State Police Department shall send written  | 
 notice to the petitioner of its compliance with an  | 
 Appellate Court or Supreme Court judgment to expunge  | 
 or seal records within 60 days of the issuance of the  | 
 court's mandate. The notice is not required while any  | 
 motion to vacate, modify, or reconsider, or any appeal  | 
 or petition for discretionary appellate review, is  | 
 pending.  | 
   (E) Upon motion, the court may order that a sealed  | 
 judgment or other court record necessary to  | 
 demonstrate the amount of any legal financial  | 
 obligation due and owing be made available for the  | 
 limited purpose of collecting any legal financial  | 
 | 
 obligations owed by the petitioner that were  | 
 established, imposed, or originated in the criminal  | 
 proceeding for which those records have been sealed.  | 
 The records made available under this subparagraph (E)  | 
 shall not be entered into the official index required  | 
 to be kept by the circuit court clerk under Section 16  | 
 of the Clerks of Courts Act and shall be immediately  | 
 re-impounded upon the collection of the outstanding  | 
 financial obligations.  | 
   (F) Notwithstanding any other provision of this  | 
 Section, a circuit court clerk may access a sealed  | 
 record for the limited purpose of collecting payment  | 
 for any legal financial obligations that were  | 
 established, imposed, or originated in the criminal  | 
 proceedings for which those records have been sealed.  | 
  (10) Fees. The Illinois State Police Department may  | 
 charge the petitioner a fee equivalent to the cost of  | 
 processing any order to expunge or seal records.  | 
 Notwithstanding any provision of the Clerks of Courts Act  | 
 to the contrary, the circuit court clerk may charge a fee  | 
 equivalent to the cost associated with the sealing or  | 
 expungement of records by the circuit court clerk. From  | 
 the total filing fee collected for the petition to seal or  | 
 expunge, the circuit court clerk shall deposit $10 into  | 
 the Circuit Court Clerk Operation and Administrative Fund,  | 
 to be used to offset the costs incurred by the circuit  | 
 | 
 court clerk in performing the additional duties required  | 
 to serve the petition to seal or expunge on all parties.  | 
 The circuit court clerk shall collect and remit the  | 
 Illinois Department of State Police portion of the fee to  | 
 the State Treasurer and it shall be deposited in the State  | 
 Police Services Fund. If the record brought under an  | 
 expungement petition was previously sealed under this  | 
 Section, the fee for the expungement petition for that  | 
 same record shall be waived.  | 
  (11) Final Order. No court order issued under the  | 
 expungement or sealing provisions of this Section shall  | 
 become final for purposes of appeal until 30 days after  | 
 service of the order on the petitioner and all parties  | 
 entitled to notice of the petition. | 
  (12) Motion to Vacate, Modify, or Reconsider. Under  | 
 Section 2-1203 of the Code of Civil Procedure, the  | 
 petitioner or any party entitled to notice may file a  | 
 motion to vacate, modify, or reconsider the order granting  | 
 or denying the petition to expunge or seal within 60 days  | 
 of service of the order. If filed more than 60 days after  | 
 service of the order, a petition to vacate, modify, or  | 
 reconsider shall comply with subsection (c) of Section  | 
 2-1401 of the Code of Civil Procedure. Upon filing of a  | 
 motion to vacate, modify, or reconsider, notice of the  | 
 motion shall be served upon the petitioner and all parties  | 
 entitled to notice of the petition.  | 
 | 
  (13) Effect of Order. An order granting a petition  | 
 under the expungement or sealing provisions of this  | 
 Section shall not be considered void because it fails to  | 
 comply with the provisions of this Section or because of  | 
 any error asserted in a motion to vacate, modify, or  | 
 reconsider. The circuit court retains jurisdiction to  | 
 determine whether the order is voidable and to vacate,  | 
 modify, or reconsider its terms based on a motion filed  | 
 under paragraph (12) of this subsection (d). | 
  (14) Compliance with Order Granting Petition to Seal  | 
 Records. Unless a court has entered a stay of an order  | 
 granting a petition to seal, all parties entitled to  | 
 notice of the petition must fully comply with the terms of  | 
 the order within 60 days of service of the order even if a  | 
 party is seeking relief from the order through a motion  | 
 filed under paragraph (12) of this subsection (d) or is  | 
 appealing the order. | 
  (15) Compliance with Order Granting Petition to  | 
 Expunge Records. While a party is seeking relief from the  | 
 order granting the petition to expunge through a motion  | 
 filed under paragraph (12) of this subsection (d) or is  | 
 appealing the order, and unless a court has entered a stay  | 
 of that order, the parties entitled to notice of the  | 
 petition must seal, but need not expunge, the records  | 
 until there is a final order on the motion for relief or,  | 
 in the case of an appeal, the issuance of that court's  | 
 | 
 mandate. | 
  (16) The changes to this subsection (d) made by Public  | 
 Act 98-163 apply to all petitions pending on August 5,  | 
 2013 (the effective date of Public Act 98-163) and to all  | 
 orders ruling on a petition to expunge or seal on or after  | 
 August 5, 2013 (the effective date of Public Act 98-163).  | 
 (e) Whenever a person who has been convicted of an offense  | 
is granted
a pardon by the Governor which specifically  | 
authorizes expungement, he or she may,
upon verified petition  | 
to the Chief Judge of the circuit where the person had
been  | 
convicted, any judge of the circuit designated by the Chief  | 
Judge, or in
counties of less than 3,000,000 inhabitants, the  | 
presiding trial judge at the
defendant's trial, have a court  | 
order entered expunging the record of
arrest from the official  | 
records of the arresting authority and order that the
records  | 
of the circuit court clerk and the Illinois State Police  | 
Department be sealed until
further order of the court upon  | 
good cause shown or as otherwise provided
herein, and the name  | 
of the defendant obliterated from the official index
requested  | 
to be kept by the circuit court clerk under Section 16 of the  | 
Clerks
of Courts Act in connection with the arrest and  | 
conviction for the offense for
which he or she had been  | 
pardoned but the order shall not affect any index issued by
the  | 
circuit court clerk before the entry of the order. All records  | 
sealed by
the Illinois State Police Department may be  | 
disseminated by the Illinois State Police Department only to  | 
 | 
the arresting authority, the State's Attorney, and the court  | 
upon a later
arrest for the same or similar offense or for the  | 
purpose of sentencing for any
subsequent felony. Upon  | 
conviction for any subsequent offense, the Department
of  | 
Corrections shall have access to all sealed records of the  | 
Illinois State Police Department
pertaining to that  | 
individual. Upon entry of the order of expungement, the
 | 
circuit court clerk shall promptly mail a copy of the order to  | 
the
person who was pardoned. | 
 (e-5) Whenever a person who has been convicted of an  | 
offense is granted a certificate of eligibility for sealing by  | 
the Prisoner Review Board which specifically authorizes  | 
sealing, he or she may, upon verified petition to the Chief  | 
Judge of the circuit where the person had been convicted, any  | 
judge of the circuit designated by the Chief Judge, or in  | 
counties of less than 3,000,000 inhabitants, the presiding  | 
trial judge at the petitioner's trial, have a court order  | 
entered sealing the record of arrest from the official records  | 
of the arresting authority and order that the records of the  | 
circuit court clerk and the Illinois State Police Department  | 
be sealed until further order of the court upon good cause  | 
shown or as otherwise provided herein, and the name of the  | 
petitioner obliterated from the official index requested to be  | 
kept by the circuit court clerk under Section 16 of the Clerks  | 
of Courts Act in connection with the arrest and conviction for  | 
the offense for which he or she had been granted the  | 
 | 
certificate but the order shall not affect any index issued by  | 
the circuit court clerk before the entry of the order. All  | 
records sealed by the Illinois State Police Department may be  | 
disseminated by the Illinois State Police Department only as  | 
required by this Act or to the arresting authority, a law  | 
enforcement agency, the State's Attorney, and the court upon a  | 
later arrest for the same or similar offense or for the purpose  | 
of sentencing for any subsequent felony. Upon conviction for  | 
any subsequent offense, the Department of Corrections shall  | 
have access to all sealed records of the Illinois State Police  | 
Department pertaining to that individual. Upon entry of the  | 
order of sealing, the circuit court clerk shall promptly mail  | 
a copy of the order to the person who was granted the  | 
certificate of eligibility for sealing.  | 
 (e-6) Whenever a person who has been convicted of an  | 
offense is granted a certificate of eligibility for  | 
expungement by the Prisoner Review Board which specifically  | 
authorizes expungement, he or she may, upon verified petition  | 
to the Chief Judge of the circuit where the person had been  | 
convicted, any judge of the circuit designated by the Chief  | 
Judge, or in counties of less than 3,000,000 inhabitants, the  | 
presiding trial judge at the petitioner's trial, have a court  | 
order entered expunging the record of arrest from the official  | 
records of the arresting authority and order that the records  | 
of the circuit court clerk and the Illinois State Police  | 
Department be sealed until further order of the court upon  | 
 | 
good cause shown or as otherwise provided herein, and the name  | 
of the petitioner obliterated from the official index  | 
requested to be kept by the circuit court clerk under Section  | 
16 of the Clerks of Courts Act in connection with the arrest  | 
and conviction for the offense for which he or she had been  | 
granted the certificate but the order shall not affect any  | 
index issued by the circuit court clerk before the entry of the  | 
order. All records sealed by the Illinois State Police  | 
Department may be disseminated by the Illinois State Police  | 
Department only as required by this Act or to the arresting  | 
authority, a law enforcement agency, the State's Attorney, and  | 
the court upon a later arrest for the same or similar offense  | 
or for the purpose of sentencing for any subsequent felony.  | 
Upon conviction for any subsequent offense, the Department of  | 
Corrections shall have access to all expunged records of the  | 
Illinois State Police Department pertaining to that  | 
individual. Upon entry of the order of expungement, the  | 
circuit court clerk shall promptly mail a copy of the order to  | 
the person who was granted the certificate of eligibility for  | 
expungement.  | 
 (f) Subject to available funding, the Illinois Department
 | 
of Corrections shall conduct a study of the impact of sealing,
 | 
especially on employment and recidivism rates, utilizing a
 | 
random sample of those who apply for the sealing of their
 | 
criminal records under Public Act 93-211. At the request of  | 
the
Illinois Department of Corrections, records of the  | 
 | 
Illinois
Department of Employment Security shall be utilized  | 
as
appropriate to assist in the study. The study shall not
 | 
disclose any data in a manner that would allow the
 | 
identification of any particular individual or employing unit.
 | 
The study shall be made available to the General Assembly no
 | 
later than September 1, 2010.
 | 
 (g) Immediate Sealing. | 
  (1) Applicability. Notwithstanding any other provision  | 
 of this Act to the contrary, and cumulative with any  | 
 rights to expungement or sealing of criminal records, this  | 
 subsection authorizes the immediate sealing of criminal  | 
 records of adults and of minors prosecuted as adults. | 
  (2) Eligible Records. Arrests or charges not initiated  | 
 by arrest resulting in acquittal or dismissal with  | 
 prejudice, except as excluded by subsection (a)(3)(B),  | 
 that occur on or after January 1, 2018 (the effective date  | 
 of Public Act 100-282), may be sealed immediately if the  | 
 petition is filed with the circuit court clerk on the same  | 
 day and during the same hearing in which the case is  | 
 disposed. | 
  (3) When Records are Eligible to be Immediately  | 
 Sealed. Eligible records under paragraph (2) of this  | 
 subsection (g) may be sealed immediately after entry of  | 
 the final disposition of a case, notwithstanding the  | 
 disposition of other charges in the same case. | 
  (4) Notice of Eligibility for Immediate Sealing. Upon  | 
 | 
 entry of a disposition for an eligible record under this  | 
 subsection (g), the defendant shall be informed by the  | 
 court of his or her right to have eligible records  | 
 immediately sealed and the procedure for the immediate  | 
 sealing of these records. | 
  (5) Procedure. The following procedures apply to  | 
 immediate sealing under this subsection (g). | 
   (A) Filing the Petition. Upon entry of the final  | 
 disposition of the case, the defendant's attorney may  | 
 immediately petition the court, on behalf of the  | 
 defendant, for immediate sealing of eligible records  | 
 under paragraph (2) of this subsection (g) that are  | 
 entered on or after January 1, 2018 (the effective  | 
 date of Public Act 100-282). The immediate sealing  | 
 petition may be filed with the circuit court clerk  | 
 during the hearing in which the final disposition of  | 
 the case is entered. If the defendant's attorney does  | 
 not file the petition for immediate sealing during the  | 
 hearing, the defendant may file a petition for sealing  | 
 at any time as authorized under subsection (c)(3)(A). | 
   (B) Contents of Petition. The immediate sealing  | 
 petition shall be verified and shall contain the  | 
 petitioner's name, date of birth, current address, and  | 
 for each eligible record, the case number, the date of  | 
 arrest if applicable, the identity of the arresting  | 
 authority if applicable, and other information as the  | 
 | 
 court may require. | 
   (C) Drug Test. The petitioner shall not be  | 
 required to attach proof that he or she has passed a  | 
 drug test. | 
   (D) Service of Petition. A copy of the petition  | 
 shall be served on the State's Attorney in open court.  | 
 The petitioner shall not be required to serve a copy of  | 
 the petition on any other agency. | 
   (E) Entry of Order. The presiding trial judge  | 
 shall enter an order granting or denying the petition  | 
 for immediate sealing during the hearing in which it  | 
 is filed. Petitions for immediate sealing shall be  | 
 ruled on in the same hearing in which the final  | 
 disposition of the case is entered. | 
   (F) Hearings. The court shall hear the petition  | 
 for immediate sealing on the same day and during the  | 
 same hearing in which the disposition is rendered. | 
   (G) Service of Order. An order to immediately seal  | 
 eligible records shall be served in conformance with  | 
 subsection (d)(8). | 
   (H) Implementation of Order. An order to  | 
 immediately seal records shall be implemented in  | 
 conformance with subsections (d)(9)(C) and (d)(9)(D). | 
   (I) Fees. The fee imposed by the circuit court  | 
 clerk and the Illinois Department of State Police  | 
 shall comply with paragraph (1) of subsection (d) of  | 
 | 
 this Section. | 
   (J) Final Order. No court order issued under this  | 
 subsection (g) shall become final for purposes of  | 
 appeal until 30 days after service of the order on the  | 
 petitioner and all parties entitled to service of the  | 
 order in conformance with subsection (d)(8). | 
   (K) Motion to Vacate, Modify, or Reconsider. Under  | 
 Section 2-1203 of the Code of Civil Procedure, the  | 
 petitioner, State's Attorney, or the Illinois  | 
 Department of State Police may file a motion to  | 
 vacate, modify, or reconsider the order denying the  | 
 petition to immediately seal within 60 days of service  | 
 of the order. If filed more than 60 days after service  | 
 of the order, a petition to vacate, modify, or  | 
 reconsider shall comply with subsection (c) of Section  | 
 2-1401 of the Code of Civil Procedure. | 
   (L) Effect of Order. An order granting an  | 
 immediate sealing petition shall not be considered  | 
 void because it fails to comply with the provisions of  | 
 this Section or because of an error asserted in a  | 
 motion to vacate, modify, or reconsider. The circuit  | 
 court retains jurisdiction to determine whether the  | 
 order is voidable, and to vacate, modify, or  | 
 reconsider its terms based on a motion filed under  | 
 subparagraph (L) of this subsection (g). | 
   (M) Compliance with Order Granting Petition to  | 
 | 
 Seal Records. Unless a court has entered a stay of an  | 
 order granting a petition to immediately seal, all  | 
 parties entitled to service of the order must fully  | 
 comply with the terms of the order within 60 days of  | 
 service of the order.  | 
 (h) Sealing; trafficking victims. | 
  (1) A trafficking victim as defined by paragraph (10)  | 
 of subsection (a) of Section 10-9 of the Criminal Code of  | 
 2012 shall be eligible to petition for immediate sealing  | 
 of his or her criminal record upon the completion of his or  | 
 her last sentence if his or her participation in the  | 
 underlying offense was a direct result of human  | 
 trafficking under Section 10-9 of the Criminal Code of  | 
 2012 or a severe form of trafficking under the federal  | 
 Trafficking Victims Protection Act. | 
  (2) A petitioner under this subsection (h), in  | 
 addition to the requirements provided under paragraph (4)  | 
 of subsection (d) of this Section, shall include in his or  | 
 her petition a clear and concise statement that: (A) he or  | 
 she was a victim of human trafficking at the time of the  | 
 offense; and (B) that his or her participation in the  | 
 offense was a direct result of human trafficking under  | 
 Section 10-9 of the Criminal Code of 2012 or a severe form  | 
 of trafficking under the federal Trafficking Victims  | 
 Protection Act.  | 
  (3) If an objection is filed alleging that the  | 
 | 
 petitioner is not entitled to immediate sealing under this  | 
 subsection (h), the court shall conduct a hearing under  | 
 paragraph (7) of subsection (d) of this Section and the  | 
 court shall determine whether the petitioner is entitled  | 
 to immediate sealing under this subsection (h). A  | 
 petitioner is eligible for immediate relief under this  | 
 subsection (h) if he or she shows, by a preponderance of  | 
 the evidence, that: (A) he or she was a victim of human  | 
 trafficking at the time of the offense; and (B) that his or  | 
 her participation in the offense was a direct result of  | 
 human trafficking under Section 10-9 of the Criminal Code  | 
 of 2012 or a severe form of trafficking under the federal  | 
 Trafficking Victims Protection Act. | 
 (i) Minor Cannabis Offenses under the Cannabis Control  | 
Act. | 
  (1) Expungement of Arrest Records of Minor Cannabis  | 
 Offenses. | 
   (A) The Illinois Department of State Police and  | 
 all law enforcement agencies within the State shall  | 
 automatically expunge all criminal history records of  | 
 an arrest, charge not initiated by arrest, order of  | 
 supervision, or order of qualified probation for a  | 
 Minor Cannabis Offense committed prior to June 25,  | 
 2019 (the effective date of Public Act 101-27) if: | 
    (i) One year or more has elapsed since the  | 
 date of the arrest or law enforcement interaction  | 
 | 
 documented in the records; and | 
    (ii) No criminal charges were filed relating  | 
 to the arrest or law enforcement interaction or  | 
 criminal charges were filed and subsequently  | 
 dismissed or vacated or the arrestee was  | 
 acquitted. | 
   (B) If the law enforcement agency is unable to  | 
 verify satisfaction of condition (ii) in paragraph  | 
 (A), records that satisfy condition (i) in paragraph  | 
 (A) shall be automatically expunged. | 
   (C) Records shall be expunged by the law  | 
 enforcement agency under the following timelines: | 
    (i) Records created prior to June 25, 2019  | 
 (the effective date of Public Act 101-27), but on  | 
 or after January 1, 2013, shall be automatically  | 
 expunged prior to January 1, 2021; | 
    (ii) Records created prior to January 1, 2013,  | 
 but on or after January 1, 2000, shall be  | 
 automatically expunged prior to January 1, 2023; | 
    (iii) Records created prior to January 1, 2000  | 
 shall be automatically expunged prior to January  | 
 1, 2025. | 
   In response to an inquiry for expunged records,  | 
 the law enforcement agency receiving such inquiry  | 
 shall reply as it does in response to inquiries when no  | 
 records ever existed; however, it shall provide a  | 
 | 
 certificate of disposition or confirmation that the  | 
 record was expunged to the individual whose record was  | 
 expunged if such a record exists.  | 
   (D) Nothing in this Section shall be construed to  | 
 restrict or modify an individual's right to have that  | 
 individual's records expunged except as otherwise may  | 
 be provided in this Act, or diminish or abrogate any  | 
 rights or remedies otherwise available to the  | 
 individual. | 
  (2) Pardons Authorizing Expungement of Minor Cannabis  | 
 Offenses. | 
   (A) Upon June 25, 2019 (the effective date of  | 
 Public Act 101-27), the Department of State Police  | 
 shall review all criminal history record information  | 
 and identify all records that meet all of the  | 
 following criteria: | 
    (i) one or more convictions for a Minor  | 
 Cannabis Offense; | 
    (ii) the conviction identified in paragraph  | 
 (2)(A)(i) did not include a penalty enhancement  | 
 under Section 7 of the Cannabis Control Act; and | 
    (iii) the conviction identified in paragraph  | 
 (2)(A)(i) is not associated with a conviction for  | 
 a violent crime as defined in subsection (c) of  | 
 Section 3 of the Rights of Crime Victims and  | 
 Witnesses Act. | 
 | 
   (B) Within 180 days after June 25, 2019 (the  | 
 effective date of Public Act 101-27), the Department  | 
 of State Police shall notify the Prisoner Review Board  | 
 of all such records that meet the criteria established  | 
 in paragraph (2)(A). | 
    (i) The Prisoner Review Board shall notify the  | 
 State's Attorney of the county of conviction of  | 
 each record identified by State Police in  | 
 paragraph (2)(A) that is classified as a Class 4  | 
 felony. The State's Attorney may provide a written  | 
 objection to the Prisoner Review Board on the sole  | 
 basis that the record identified does not meet the  | 
 criteria established in paragraph (2)(A). Such an  | 
 objection must be filed within 60 days or by such  | 
 later date set by the Prisoner Review Board in the  | 
 notice after the State's Attorney received notice  | 
 from the Prisoner Review Board. | 
    (ii) In response to a written objection from a  | 
 State's Attorney, the Prisoner Review Board is  | 
 authorized to conduct a non-public hearing to  | 
 evaluate the information provided in the  | 
 objection. | 
    (iii) The Prisoner Review Board shall make a  | 
 confidential and privileged recommendation to the  | 
 Governor as to whether to grant a pardon  | 
 authorizing expungement for each of the records  | 
 | 
 identified by the Department of State Police as  | 
 described in paragraph (2)(A). | 
   (C) If an individual has been granted a pardon  | 
 authorizing expungement as described in this Section,  | 
 the Prisoner Review Board, through the Attorney  | 
 General, shall file a petition for expungement with  | 
 the Chief Judge of the circuit or any judge of the  | 
 circuit designated by the Chief Judge where the  | 
 individual had been convicted. Such petition may  | 
 include more than one individual. Whenever an  | 
 individual who has been convicted of an offense is  | 
 granted a pardon by the Governor that specifically  | 
 authorizes expungement, an objection to the petition  | 
 may not be filed. Petitions to expunge under this  | 
 subsection (i) may include more than one individual.  | 
 Within 90 days of the filing of such a petition, the  | 
 court shall enter an order expunging the records of  | 
 arrest from the official records of the arresting  | 
 authority and order that the records of the circuit  | 
 court clerk and the Illinois Department of State  | 
 Police be expunged and the name of the defendant  | 
 obliterated from the official index requested to be  | 
 kept by the circuit court clerk under Section 16 of the  | 
 Clerks of Courts Act in connection with the arrest and  | 
 conviction for the offense for which the individual  | 
 had received a pardon but the order shall not affect  | 
 | 
 any index issued by the circuit court clerk before the  | 
 entry of the order. Upon entry of the order of  | 
 expungement, the circuit court clerk shall promptly  | 
 provide a copy of the order and a certificate of  | 
 disposition to the individual who was pardoned to the  | 
 individual's last known address or by electronic means  | 
 (if available) or otherwise make it available to the  | 
 individual upon request. | 
   (D) Nothing in this Section is intended to  | 
 diminish or abrogate any rights or remedies otherwise  | 
 available to the individual. | 
  (3) Any individual may file a motion to vacate and  | 
 expunge a conviction for a misdemeanor or Class 4 felony  | 
 violation of Section 4 or Section 5 of the Cannabis  | 
 Control Act. Motions to vacate and expunge under this  | 
 subsection (i) may be filed with the circuit court, Chief  | 
 Judge of a judicial circuit or any judge of the circuit  | 
 designated by the Chief Judge. The circuit court clerk  | 
 shall promptly serve a copy of the motion to vacate and  | 
 expunge, and any supporting documentation, on the State's  | 
 Attorney or prosecutor charged with the duty of  | 
 prosecuting the offense. When considering such a motion to  | 
 vacate and expunge, a court shall consider the following:  | 
 the reasons to retain the records provided by law  | 
 enforcement, the petitioner's age, the petitioner's age at  | 
 the time of offense, the time since the conviction, and  | 
 | 
 the specific adverse consequences if denied. An individual  | 
 may file such a petition after the completion of any  | 
 non-financial sentence or non-financial condition imposed  | 
 by the conviction. Within 60 days of the filing of such  | 
 motion, a State's Attorney may file an objection to such a  | 
 petition along with supporting evidence. If a motion to  | 
 vacate and expunge is granted, the records shall be  | 
 expunged in accordance with subparagraphs (d)(8) and  | 
 (d)(9)(A) of this Section. An agency providing civil legal  | 
 aid, as defined by Section 15 of the Public Interest  | 
 Attorney Assistance Act, assisting individuals seeking to  | 
 file a motion to vacate and expunge under this subsection  | 
 may file motions to vacate and expunge with the Chief  | 
 Judge of a judicial circuit or any judge of the circuit  | 
 designated by the Chief Judge, and the motion may include  | 
 more than one individual. Motions filed by an agency  | 
 providing civil legal aid concerning more than one  | 
 individual may be prepared, presented, and signed  | 
 electronically. | 
  (4) Any State's Attorney may file a motion to vacate  | 
 and expunge a conviction for a misdemeanor or Class 4  | 
 felony violation of Section 4 or Section 5 of the Cannabis  | 
 Control Act. Motions to vacate and expunge under this  | 
 subsection (i) may be filed with the circuit court, Chief  | 
 Judge of a judicial circuit or any judge of the circuit  | 
 designated by the Chief Judge, and may include more than  | 
 | 
 one individual. Motions filed by a State's Attorney  | 
 concerning more than one individual may be prepared,  | 
 presented, and signed electronically. When considering  | 
 such a motion to vacate and expunge, a court shall  | 
 consider the following: the reasons to retain the records  | 
 provided by law enforcement, the individual's age, the  | 
 individual's age at the time of offense, the time since  | 
 the conviction, and the specific adverse consequences if  | 
 denied. Upon entry of an order granting a motion to vacate  | 
 and expunge records pursuant to this Section, the State's  | 
 Attorney shall notify the Prisoner Review Board within 30  | 
 days. Upon entry of the order of expungement, the circuit  | 
 court clerk shall promptly provide a copy of the order and  | 
 a certificate of disposition to the individual whose  | 
 records will be expunged to the individual's last known  | 
 address or by electronic means (if available) or otherwise  | 
 make available to the individual upon request. If a motion  | 
 to vacate and expunge is granted, the records shall be  | 
 expunged in accordance with subparagraphs (d)(8) and  | 
 (d)(9)(A) of this Section. | 
  (5) In the public interest, the State's Attorney of a  | 
 county has standing to file motions to vacate and expunge  | 
 pursuant to this Section in the circuit court with  | 
 jurisdiction over the underlying conviction. | 
  (6) If a person is arrested for a Minor Cannabis  | 
 Offense as defined in this Section before June 25, 2019  | 
 | 
 (the effective date of Public Act 101-27) and the person's  | 
 case is still pending but a sentence has not been imposed,  | 
 the person may petition the court in which the charges are  | 
 pending for an order to summarily dismiss those charges  | 
 against him or her, and expunge all official records of  | 
 his or her arrest, plea, trial, conviction, incarceration,  | 
 supervision, or expungement. If the court determines, upon  | 
 review, that:
(A) the person was arrested before June 25,  | 
 2019 (the effective date of Public Act 101-27) for an  | 
 offense that has been made eligible for expungement;
(B)  | 
 the case is pending at the time; and
(C) the person has not  | 
 been sentenced of the minor cannabis violation eligible  | 
 for expungement under this subsection, the court shall  | 
 consider the following: the reasons to retain the records  | 
 provided by law enforcement, the petitioner's age, the  | 
 petitioner's age at the time of offense, the time since  | 
 the conviction, and the specific adverse consequences if  | 
 denied. If a motion to dismiss and expunge is granted, the  | 
 records shall be expunged in accordance with subparagraph  | 
 (d)(9)(A) of this Section. | 
  (7) A person imprisoned solely as a result of one or  | 
 more convictions for Minor Cannabis Offenses under this  | 
 subsection (i) shall be released from incarceration upon  | 
 the issuance of an order under this subsection. | 
  (8) The Illinois Department of State Police shall  | 
 allow a person to use the access and review process,  | 
 | 
 established in the Illinois Department of State Police,  | 
 for verifying that his or her records relating to Minor  | 
 Cannabis Offenses of the Cannabis Control Act eligible  | 
 under this Section have been expunged. | 
  (9) No conviction vacated pursuant to this Section  | 
 shall serve as the basis for damages for time unjustly  | 
 served as provided in the Court of Claims Act.  | 
  (10) Effect of Expungement. A person's right to  | 
 expunge an expungeable offense shall not be limited under  | 
 this Section. The effect of an order of expungement shall  | 
 be to restore the person to the status he or she occupied  | 
 before the arrest, charge, or conviction. | 
  (11) Information. The Illinois Department of State  | 
 Police shall post general information on its website about  | 
 the expungement process described in this subsection (i).  | 
 (j) Felony Prostitution Convictions. | 
  (1) Any individual may file a motion to vacate and  | 
 expunge a conviction for a prior Class 4 felony violation  | 
 of prostitution. Motions to vacate and expunge under this  | 
 subsection (j) may be filed with the circuit court, Chief  | 
 Judge of a judicial circuit, or any judge of the circuit  | 
 designated by the Chief Judge. When considering the motion  | 
 to vacate and expunge, a court shall consider the  | 
 following: | 
   (A) the reasons to retain the records provided by  | 
 law enforcement; | 
 | 
   (B) the petitioner's age; | 
   (C) the petitioner's age at the time of offense;  | 
 and | 
   (D) the time since the conviction, and the  | 
 specific adverse consequences if denied. An individual  | 
 may file the petition after the completion of any  | 
 sentence or condition imposed by the conviction.  | 
 Within 60 days of the filing of the motion, a State's  | 
 Attorney may file an objection to the petition along  | 
 with supporting evidence. If a motion to vacate and  | 
 expunge is granted, the records shall be expunged in  | 
 accordance with subparagraph (d)(9)(A) of this  | 
 Section. An agency providing civil legal aid, as  | 
 defined in Section 15 of the Public Interest Attorney  | 
 Assistance Act, assisting individuals seeking to file  | 
 a motion to vacate and expunge under this subsection  | 
 may file motions to vacate and expunge with the Chief  | 
 Judge of a judicial circuit or any judge of the circuit  | 
 designated by the Chief Judge, and the motion may  | 
 include more than one individual. | 
  (2) Any State's Attorney may file a motion to vacate  | 
 and expunge a conviction for a Class 4 felony violation of  | 
 prostitution. Motions to vacate and expunge under this  | 
 subsection (j) may be filed with the circuit court, Chief  | 
 Judge of a judicial circuit, or any judge of the circuit  | 
 court designated by the Chief Judge, and may include more  | 
 | 
 than one individual. When considering the motion to vacate  | 
 and expunge, a court shall consider the following reasons: | 
   (A) the reasons to retain the records provided by  | 
 law enforcement; | 
   (B) the petitioner's age; | 
   (C) the petitioner's age at the time of offense; | 
   (D) the time since the conviction; and | 
   (E) the specific adverse consequences if denied. | 
  If the State's Attorney files a motion to vacate and  | 
 expunge records for felony prostitution convictions  | 
 pursuant to this Section, the State's Attorney shall  | 
 notify the Prisoner Review Board within 30 days of the  | 
 filing. If a motion to vacate and expunge is granted, the  | 
 records shall be expunged in accordance with subparagraph  | 
 (d)(9)(A) of this Section. | 
  (3) In the public interest, the State's Attorney of a  | 
 county has standing to file motions to vacate and expunge  | 
 pursuant to this Section in the circuit court with  | 
 jurisdiction over the underlying conviction. | 
  (4) The Illinois State Police shall allow a person to  | 
 a use the access and review process, established in the  | 
 Illinois State Police, for verifying that his or her  | 
 records relating to felony prostitution eligible under  | 
 this Section have been expunged. | 
  (5) No conviction vacated pursuant to this Section  | 
 shall serve as the basis for damages for time unjustly  | 
 | 
 served as provided in the Court of Claims Act. | 
  (6) Effect of Expungement. A person's right to expunge  | 
 an expungeable offense shall not be limited under this  | 
 Section. The effect of an order of expungement shall be to  | 
 restore the person to the status he or she occupied before  | 
 the arrest, charge, or conviction. | 
  (7) Information. The Illinois State Police shall post  | 
 general information on its website about the expungement  | 
 process described in this subsection (j). | 
(Source: P.A. 101-27, eff. 6-25-19; 101-81, eff. 7-12-19;  | 
101-159, eff. 1-1-20; 101-306, eff. 8-9-19; 101-593, eff.  | 
12-4-19; 101-645, eff. 6-26-20; 102-145, eff. 7-23-21;  | 
102-558, 8-20-21; 102-639, eff. 8-27-21; revised 10-5-21.)
 | 
 Section 185. The Department of Veterans' Affairs Act is  | 
amended by changing Sections 2.01a and 2.04 as follows:
 | 
 (20 ILCS 2805/2.01a) (from Ch. 126 1/2, par. 67.01a)
 | 
 Sec. 2.01a. Members benefits fund; personal property. The
 | 
Department
shall direct the expenditure of all money which
has  | 
been or may be received by any officer of an Illinois Veterans  | 
Home
including profit on sales from commissary stores. The  | 
money shall be deposited
into the members benefits fund and  | 
expenditures from the fund
shall be made
under the direction  | 
of the Department for the special comfort, pleasure, and
 | 
amusement of residents and employees, provided that amounts  | 
 | 
expended for
comfort, pleasure,
and amusement of employees  | 
shall not exceed the amount of profits derived from
sales made  | 
to employees by such commissaries, as determined by the  | 
Department. The Department may also make expenditures from the  | 
fund, subject to approval by the Director of Veterans'  | 
Affairs, for recognition and appreciation programs for  | 
volunteers who assist the Veterans Homes.
Expenditures from  | 
the fund may not be used to supplement a
shortfall in the  | 
ordinary and contingent operating expenses of the Home and
 | 
shall be expended only for the special comfort, pleasure, and  | 
amusement of the
residents.
 | 
 The Department shall prepare a quarterly report on all  | 
locally held locally-held
member's benefits funds from each  | 
Illinois Veterans Home. The report shall contain the amount of  | 
donations received for each veterans' home, including monetary  | 
and nonmonetary items, the expenditures and items disbursed  | 
dispersed, and the end of quarter balance of the locally held  | 
locally-held
member's benefits funds. The Department shall  | 
submit the quarterly report to the General Assembly and to the  | 
Governor and publish the report on its website.  | 
 Money received as interest and income on funds deposited  | 
for residents
of an Illinois Veterans Home shall be paid to the  | 
individual accounts of the residents.
If home residents choose  | 
to hold savings accounts or other
investments outside the  | 
Home, interest or income on the individual savings
accounts or  | 
investments of residents shall
accrue
to the individual  | 
 | 
accounts of the residents.
 | 
 Any money belonging to residents separated by death,  | 
discharge, or
unauthorized absence from an Illinois Veterans  | 
Home, in custody of officers
thereof, may, if unclaimed by the  | 
resident or the legal
representatives thereof for a period of  | 
2 years, be expended at the
direction of the Department for the  | 
purposes and in the manner specified
above. Articles of  | 
personal property, with the exception of clothing left
in the  | 
custody of officers, shall, if unclaimed for the period of
2  | 
years, be sold and the money disposed of in the same manner.
 | 
 Clothing left at a Home by residents at the time of  | 
separation
may be used as determined by the Home if unclaimed  | 
by the resident
or legal representatives thereof within 30  | 
days after notification.
 | 
(Source: P.A. 102-549, eff. 1-1-22; revised 12-1-21.)
 | 
 (20 ILCS 2805/2.04) (from Ch. 126 1/2, par. 67.04)
 | 
 Sec. 2.04. 
There shall be established in the State  | 
Treasury special funds
known as (i) the LaSalle Veterans Home  | 
Fund, (ii) the Anna Veterans Home Fund,
(iii) the Manteno  | 
Veterans Home Fund, and (iv) the Quincy Veterans Home
Fund.
 | 
All moneys received by an Illinois Veterans Home from Medicare  | 
and from
maintenance charges to veterans, spouses, and  | 
surviving spouses residing at
that Home shall be paid into  | 
that Home's Fund. All moneys
received from the
U.S. Department  | 
of Veterans Affairs for patient care shall be transmitted to
 | 
 | 
the Treasurer of the State for deposit in the Veterans Home  | 
Fund for the Home
in which the veteran resides. Appropriations  | 
shall be made from a Fund only
for the needs of the Home,  | 
including capital improvements, building
rehabilitation, and  | 
repairs. The Illinois Veterans' Homes Fund shall be the  | 
Veterans Home Fund for the Illinois Veterans Home at Chicago. 
 | 
 The administrator of each Veterans Home shall establish a  | 
locally held
locally-held
member's benefits fund. The Director  | 
may authorize the Veterans Home to conduct limited fundraising  | 
in accordance with applicable laws and regulations for which  | 
the sole purpose is to benefit the Veterans Home's member's  | 
benefits fund. Revenues accruing to an Illinois Veterans Home,
 | 
including any donations, grants for the operation of the Home,  | 
profits from
commissary stores, and funds received from any  | 
individual or other source, including limited fundraising,
 | 
shall be deposited into that Home's benefits fund.  | 
Expenditures from the benefits funds
shall
be solely for the  | 
special comfort, pleasure, and amusement of residents.
 | 
Contributors of unsolicited private donations may specify the  | 
purpose for which
the private donations are to be used.
 | 
 Upon request of the Department, the State's Attorney of  | 
the county in which
a resident or living former resident of an  | 
Illinois Veterans Home
who is liable under this Act
for  | 
payment of sums representing maintenance charges resides shall  | 
file
an action in a court of competent jurisdiction against  | 
any such person who
fails or refuses to pay such sums. The  | 
 | 
court may order the payment of sums
due to maintenance charges  | 
for such period or periods of time as the
circumstances  | 
require.
 | 
 Upon the death of a person who is or has been a resident of  | 
an
Illinois Veterans Home who is
liable for maintenance  | 
charges and who is possessed of property, the
Department may  | 
present a claim for such sum or for the balance due in
case  | 
less than the rate prescribed under this Act has been paid. The
 | 
claim shall be allowed and paid as other lawful claims against  | 
the estate.
 | 
 The administrator of each Veterans Home shall establish a  | 
locally held
locally-held
trust fund to maintain moneys held  | 
for residents. Whenever the Department
finds it necessary to  | 
preserve order,
preserve health, or enforce discipline, the  | 
resident shall deposit in a
trust account at the Home such  | 
monies from any source of income as may
be determined  | 
necessary, and disbursement of these funds to the resident
 | 
shall be made only by direction of the administrator.
 | 
 If a resident of an Illinois Veterans Home has a
dependent  | 
child, spouse, or parent the administrator may
require that  | 
all monies
received be deposited in a trust account with  | 
dependency contributions
being made at the direction of the  | 
administrator. The balance retained
in the trust account shall  | 
be disbursed to the resident at the time of
discharge from the  | 
Home or to his or her heirs or legal representative
at the time  | 
of the resident's death, subject to Department regulations
or  | 
 | 
order of the court.
 | 
 The Director of Central Management Services, with the
 | 
consent of the Director of Veterans' Affairs, is authorized
 | 
and empowered to lease or let any real property held by the  | 
Department of
Veterans' Affairs for an Illinois Veterans Home  | 
to entities or
persons upon terms and conditions which are  | 
considered to be in the best
interest of that Home. The real  | 
property must not be needed for any direct
or immediate  | 
purpose of the Home. In any leasing or letting, primary
 | 
consideration shall be given to the use of real property for  | 
agricultural
purposes, and all moneys received shall be  | 
transmitted to the Treasurer of
the State for deposit in the  | 
appropriate Veterans Home Fund. | 
 Each administrator of an Illinois Veterans Home who has an  | 
established locally held locally-held
member's benefits fund  | 
shall prepare and submit to the Department a monthly report of  | 
all donations received, including donations of a nonmonetary  | 
nature. The report shall include the end of month balance of  | 
the locally held locally-held
member's benefits fund. 
 | 
(Source: P.A. 102-549, eff. 1-1-22; revised 12-1-21.)
 | 
 Section 190. The State Fire Marshal Act is amended by  | 
changing Section 3 as follows:
 | 
 (20 ILCS 2905/3) (from Ch. 127 1/2, par. 3)
 | 
 Sec. 3. 
There is created the Illinois Fire Advisory  | 
 | 
Commission which
shall advise the Office in the exercise of  | 
its powers and duties. The
Commission shall be appointed by  | 
the Governor as follows:  | 
  (1) 3 professional, full-time paid firefighters; | 
  (2) one volunteer firefighter; | 
  (3) one Fire Protection Engineer who is registered in
 | 
 Illinois; | 
  (4) one person who is a representative of the fire  | 
 insurance industry in Illinois; | 
  (5) one person who is a representative of a
registered  | 
 United States Department of Labor
apprenticeship program  | 
 primarily instructing
in the installation and repair of
 | 
 fire extinguishing systems; | 
  (6) one licensed operating or stationary engineer who
 | 
 has an associate degree in facilities engineering
 | 
 technology and has knowledge of the operation and
 | 
 maintenance of fire alarm and fire
extinguishing systems  | 
 primarily for the life safety of
occupants in a variety of  | 
 commercial or residential
structures; and | 
  (7) 3 persons with an interest in and knowledgeable
 | 
 about fire prevention methods.
 | 
 In addition, the following shall serve as ex officio  | 
members of the
Commission: the Chicago Fire Commissioner, or  | 
his or her designee; the
executive officer, or his or her  | 
designee, of each of the following
organizations: the Illinois  | 
Fire Chiefs Association, the Illinois Fire
Protection District  | 
 | 
Association, the Illinois Fire Inspectors
Association, the  | 
Illinois Professional Firefighters Association, the
Illinois  | 
Firemen's Association, the Associated Firefighters of  | 
Illinois,
the Illinois Society of Fire Service Instructors,  | 
the Illinois Chapter of the International Association of Arson  | 
Investigators, the Mutual Aid Box Alarm System (MABAS)  | 
Illinois,
and the Fire Service Institute, University of  | 
Illinois.
 | 
 The Governor shall designate, at the time of appointment,  | 
3 members
to serve terms expiring on the third Monday in  | 
January, 1979; 3 members
to serve terms expiring the third  | 
Monday in January, 1980; and 2 members
to serve terms expiring  | 
the third Monday in January, 1981. The
additional member  | 
appointed by the Governor pursuant to Public Act 85-718 shall  | 
serve for a term expiring the third Monday in January, 1990.  | 
Thereafter,
all terms shall be for 3 years. A member shall  | 
serve until his or her
successor is appointed and qualified. A  | 
vacancy shall be filled for the
unexpired term.
 | 
 The Governor shall designate one of the appointed members  | 
to be
chairperson of the Commission.
 | 
 Members shall serve without compensation but shall be  | 
reimbursed for
their actual reasonable expenses incurred in  | 
the performance of their
duties.
 | 
(Source: P.A. 101-234, eff. 8-9-19; 102-269, eff. 8-6-21;  | 
102-558, eff. 8-20-21; revised 10-5-21.)
 | 
 | 
 Section 195. The Energy
Efficient Building Act is amended  | 
by changing Sections 10, 15, and 30 as follows:
 | 
 (20 ILCS 3125/10) | 
 Sec. 10. Definitions.
 | 
 "Agency" means the Environmental Protection Agency.  | 
 "Board" means the Capital Development Board.
 | 
 "Building" includes both residential buildings and  | 
commercial buildings.
 | 
 "Code" means the latest published edition of the  | 
International Code Council's International Energy Conservation  | 
Code as adopted by the Board, including any published  | 
supplements adopted by the Board and any amendments and  | 
adaptations to the Code that are made by the
Board.
 | 
 "Commercial building" means any building except a building  | 
that is a residential building, as defined in this Section. | 
 "Municipality" means any city, village, or incorporated  | 
town.
 | 
 "Residential building" means (i) a detached one-family or  | 
2-family dwelling or (ii) any building that is 3 stories or  | 
less in height above grade that contains multiple dwelling  | 
units, in which the occupants reside on a primarily permanent  | 
basis, such as a townhouse, a row house, an apartment house, a  | 
convent, a monastery, a rectory, a fraternity or sorority  | 
house, a dormitory, and a rooming house; provided, however,  | 
that when applied to a building located within the boundaries  | 
 | 
of a municipality having a population of 1,000,000 or more,  | 
the term "residential building" means a building containing  | 
one or more dwelling units, not exceeding 4 stories above  | 
grade, where occupants are primarily permanent. | 
 "Site energy index" means a scalar published by the  | 
Pacific Northwest National Laboratories representing the ratio  | 
of the site energy performance of an evaluated code compared  | 
to the site energy performance of the 2006 International  | 
Energy Conservation Code. A "site energy index" includes only  | 
conservation measures and excludes net energy credit for any  | 
on-site or off-site energy production. 
 | 
(Source: P.A. 101-144, eff. 7-26-19; 102-444, eff. 8-20-21;  | 
102-662, eff. 9-15-21; revised 10-12-21.)
 | 
 (20 ILCS 3125/15)
 | 
 Sec. 15. Energy Efficient Building Code.  The Board, in  | 
consultation with the Agency, shall adopt the Code as minimum
 | 
requirements for commercial buildings, applying to the  | 
construction of, renovations to, and additions to all  | 
commercial buildings in the State. The Board, in consultation  | 
with the Agency, shall also adopt the Code as the minimum and  | 
maximum requirements for residential buildings, applying to  | 
the construction of, renovations to, and additions to all  | 
residential buildings in the State, except as provided for in  | 
Section 45 of this Act. The Board may
appropriately adapt the  | 
International Energy Conservation Code to apply to the
 | 
 | 
particular economy, population distribution, geography, and  | 
climate of the
State and construction therein, consistent with  | 
the public policy
objectives of this Act.
 | 
(Source: P.A. 102-444, eff. 8-20-21; 102-662, eff. 9-15-21;  | 
revised 10-21-21.)
 | 
 (20 ILCS 3125/30)
 | 
 Sec. 30. Enforcement.  The
Board, in consultation with the  | 
Agency, shall
determine
procedures for compliance with the  | 
Code. These procedures
may include but need not be
limited to  | 
certification by a national, State, or local accredited energy
 | 
conservation program or inspections from private  | 
Code-certified inspectors
using the Code.
For purposes of the  | 
Illinois Stretch Energy Code under Section 55, the Board shall  | 
allow and encourage, as an alternative compliance mechanism,  | 
project certification by a nationally recognized nonprofit  | 
certification organization specializing in high-performance  | 
passive buildings and offering climate-specific building  | 
energy standards that require equal or better energy  | 
performance than the Illinois Stretch Energy Code. 
 | 
(Source: P.A. 102-444, eff. 8-20-21; 102-662, eff. 9-15-21;  | 
revised 10-19-21.)
 | 
 Section 200. The Illinois Emergency Management Agency Act  | 
is amended by changing Section 5 as follows:
 | 
 | 
 (20 ILCS 3305/5) (from Ch. 127, par. 1055)
 | 
 Sec. 5. Illinois Emergency Management Agency. 
 | 
 (a) There is created within the executive branch of the  | 
State Government an
Illinois Emergency Management Agency and a  | 
Director of the Illinois Emergency
Management Agency, herein  | 
called the "Director" who shall be the head thereof.
The  | 
Director shall be appointed by the Governor, with the advice  | 
and consent of
the Senate, and shall serve for a term of 2  | 
years beginning on the third Monday
in January of the  | 
odd-numbered year, and until a successor is appointed and
has  | 
qualified; except that the term of the first Director  | 
appointed under this
Act shall expire on the third Monday in  | 
January, 1989. The Director shall not
hold any other  | 
remunerative public office. For terms ending before December  | 
31, 2019, the Director shall receive an annual
salary as set by  | 
the
Compensation Review Board. For terms beginning after  | 
January 18, 2019 (the effective date of Public Act 100-1179)  | 
this amendatory Act of the 100th General Assembly, the annual  | 
salary of the Director shall be as provided in Section 5-300 of  | 
the Civil Administrative Code of Illinois.
 | 
 (b) The Illinois Emergency Management Agency shall obtain,  | 
under the
provisions of the Personnel Code, technical,  | 
clerical, stenographic and other
administrative personnel, and  | 
may make expenditures within the appropriation
therefor as may  | 
be necessary to carry out the purpose of this Act. The agency
 | 
created by this Act is intended to be a successor to the agency  | 
 | 
created under
the Illinois Emergency Services and Disaster  | 
Agency Act of 1975 and the
personnel, equipment, records, and  | 
appropriations of that agency are
transferred to the successor  | 
agency as of June 30, 1988 (the effective date of this Act).
 | 
 (c) The Director, subject to the direction and control of  | 
the Governor,
shall be the executive head of the Illinois  | 
Emergency Management Agency and
the State Emergency Response  | 
Commission and shall be responsible under the
direction of the  | 
Governor, for carrying out the program for emergency
 | 
management of this State. The Director shall also maintain  | 
liaison
and cooperate with
the emergency management  | 
organizations of this State and other states and of
the  | 
federal government.
 | 
 (d) The Illinois Emergency Management Agency shall take an  | 
integral part in
the development and revision of political  | 
subdivision emergency operations
plans prepared under  | 
paragraph (f) of Section 10. To this end it shall employ
or  | 
otherwise secure the services of professional and technical  | 
personnel
capable of providing expert assistance to the  | 
emergency services and disaster
agencies. These personnel  | 
shall consult with emergency services and disaster
agencies on  | 
a regular basis and shall make field examinations of the  | 
areas,
circumstances, and conditions that particular political  | 
subdivision emergency
operations plans are intended to apply.
 | 
 (e) The Illinois Emergency Management Agency and political  | 
subdivisions
shall be encouraged to form an emergency  | 
 | 
management advisory committee composed
of private and public  | 
personnel representing the emergency management phases of
 | 
mitigation, preparedness, response, and recovery.
The Local  | 
Emergency Planning Committee, as created under the Illinois
 | 
Emergency
Planning and Community Right to Know Act, shall  | 
serve as
an advisory
committee to the emergency services and  | 
disaster agency or agencies serving
within the boundaries
of  | 
that Local Emergency Planning Committee planning district for:
 | 
  (1) the development of emergency operations plan  | 
 provisions for hazardous
chemical
emergencies; and
 | 
  (2) the assessment of emergency response capabilities  | 
 related to hazardous
chemical
emergencies.
 | 
 (f) The Illinois Emergency Management Agency shall:
 | 
  (1) Coordinate the overall emergency management  | 
 program of the State.
 | 
  (2) Cooperate with local governments, the federal  | 
 government, and any
public or private agency or entity in  | 
 achieving any purpose of this Act and
in implementing  | 
 emergency management programs for mitigation,  | 
 preparedness,
response, and recovery.
 | 
  (2.5) Develop a comprehensive emergency preparedness  | 
 and response plan for any nuclear
accident in accordance  | 
 with Section 65 of the Nuclear Safety
Law of 2004 and in  | 
 development of the
Illinois
Nuclear Safety Preparedness  | 
 program in accordance with Section 8 of the
Illinois  | 
 Nuclear Safety Preparedness Act.
 | 
 | 
  (2.6) Coordinate with the Department of Public Health
 | 
 with respect to planning for and responding to public  | 
 health emergencies.
 | 
  (3) Prepare, for issuance by the Governor, executive  | 
 orders,
proclamations, and regulations as necessary or  | 
 appropriate in coping with
disasters.
 | 
  (4) Promulgate rules and requirements for political  | 
 subdivision
emergency operations plans that are not  | 
 inconsistent with and are at least
as stringent as  | 
 applicable federal laws and regulations.
 | 
  (5) Review and approve, in accordance with Illinois  | 
 Emergency Management
Agency rules, emergency operations
 | 
 plans for those political subdivisions required to have an  | 
 emergency services
and disaster agency pursuant to this  | 
 Act.
 | 
  (5.5) Promulgate rules and requirements for the  | 
 political subdivision
emergency management
exercises,  | 
 including, but not limited to, exercises of the emergency  | 
 operations
plans.
 | 
  (5.10) Review, evaluate, and approve, in accordance  | 
 with Illinois
Emergency
Management
Agency rules, political  | 
 subdivision emergency management exercises for those
 | 
 political subdivisions
required to have an emergency  | 
 services and disaster agency pursuant to this
Act.
 | 
  (6) Determine requirements of the State and its  | 
 political
subdivisions
for food, clothing, and other  | 
 | 
 necessities in event of a disaster.
 | 
  (7) Establish a register of persons with types of  | 
 emergency
management
training and skills in mitigation,  | 
 preparedness, response, and recovery. 
 | 
  (8) Establish a register of government and private  | 
 response
resources
available for use in a disaster.
 | 
  (9) Expand the Earthquake Awareness Program and its  | 
 efforts to
distribute earthquake preparedness materials to  | 
 schools, political
subdivisions, community groups, civic  | 
 organizations, and the media.
Emphasis will be placed on  | 
 those areas of the State most at risk from an
earthquake.  | 
 Maintain the list of all school districts, hospitals,
 | 
 airports, power plants, including nuclear power plants,  | 
 lakes, dams,
emergency response facilities of all types,  | 
 and all other major public or
private structures which are  | 
 at the greatest risk of damage from
earthquakes under  | 
 circumstances where the damage would cause subsequent
harm  | 
 to the surrounding communities and residents.
 | 
  (10) Disseminate all information, completely and  | 
 without
delay, on water
levels for rivers and streams and  | 
 any other data pertaining to potential
flooding supplied  | 
 by the Division of Water Resources within the Department  | 
 of
Natural Resources to all political subdivisions to the  | 
 maximum extent possible.
 | 
  (11) Develop agreements, if feasible, with medical  | 
 supply and
equipment
firms to
supply resources as are  | 
 | 
 necessary to respond to an earthquake or any other
 | 
 disaster as defined in this Act. These resources will be  | 
 made available
upon notifying the vendor of the disaster.  | 
 Payment for the resources will
be in accordance with  | 
 Section 7 of this Act. The Illinois Department of
Public  | 
 Health shall determine which resources will be required  | 
 and requested.
 | 
  (11.5) In coordination with the Illinois State Police,  | 
 develop and
implement a community outreach program to  | 
 promote awareness among the State's
parents and children  | 
 of child abduction prevention and response.
 | 
  (12) Out of funds appropriated for these purposes,  | 
 award capital and
non-capital grants to Illinois hospitals  | 
 or health care facilities located
outside of a city with a  | 
 population in excess of 1,000,000 to be used for
purposes  | 
 that include, but are not limited to, preparing to respond  | 
 to mass
casualties and disasters, maintaining and  | 
 improving patient safety and
quality of care, and  | 
 protecting the confidentiality of patient information.
No  | 
 single grant for a capital expenditure shall exceed  | 
 $300,000.
No single grant for a non-capital expenditure  | 
 shall exceed $100,000.
In awarding such grants, preference  | 
 shall be given to hospitals that serve
a significant  | 
 number of Medicaid recipients, but do not qualify for
 | 
 disproportionate share hospital adjustment payments under  | 
 the Illinois Public
Aid Code. To receive such a grant, a  | 
 | 
 hospital or health care facility must
provide funding of  | 
 at least 50% of the cost of the project for which the grant
 | 
 is being requested.
In awarding such grants the Illinois  | 
 Emergency Management Agency shall consider
the  | 
 recommendations of the Illinois Hospital Association.
 | 
  (13) Do all other things necessary, incidental or  | 
 appropriate
for the implementation of this Act.
 | 
 (g) The Illinois Emergency Management Agency is authorized  | 
to make grants to various higher education institutions,  | 
public K-12 school districts, area vocational centers as  | 
designated by the State Board of Education, inter-district  | 
special education cooperatives, regional safe schools, and  | 
nonpublic K-12 schools for safety and security improvements.  | 
For the purpose of this subsection (g), "higher education  | 
institution" means a public university, a public community  | 
college, or an independent, not-for-profit or for-profit  | 
higher education institution located in this State. Grants  | 
made under this subsection (g) shall be paid out of moneys  | 
appropriated for that purpose from the Build Illinois Bond  | 
Fund. The Illinois Emergency Management Agency shall adopt  | 
rules to implement this subsection (g). These rules may  | 
specify: (i) the manner of applying for grants; (ii) project  | 
eligibility requirements; (iii) restrictions on the use of  | 
grant moneys; (iv) the manner in which the various higher  | 
education institutions must account for the use of grant  | 
moneys; and (v) any other provision that the Illinois  | 
 | 
Emergency Management Agency determines to be necessary or  | 
useful for the administration of this subsection (g). | 
 (g-5) The Illinois Emergency Management Agency is  | 
authorized to make grants to not-for-profit organizations  | 
which are exempt from federal income taxation under section  | 
501(c)(3) of the Federal Internal Revenue Code for eligible  | 
security improvements that assist the organization in  | 
preventing, preparing for, or responding to acts of terrorism.  | 
The Director shall establish procedures and forms by which  | 
applicants may apply for a grant and procedures for  | 
distributing grants to recipients. The procedures shall  | 
require each applicant to do the following: | 
  (1) identify and substantiate prior threats or attacks  | 
 by a terrorist organization, network, or cell against the  | 
 not-for-profit organization; | 
  (2) indicate the symbolic or strategic value of one or  | 
 more sites that renders the site a possible target of  | 
 terrorism; | 
  (3) discuss potential consequences to the organization  | 
 if the site is damaged, destroyed, or disrupted by a  | 
 terrorist act; | 
  (4) describe how the grant will be used to integrate  | 
 organizational preparedness with broader State and local  | 
 preparedness efforts; | 
  (5) submit a vulnerability assessment conducted by  | 
 experienced security, law enforcement, or military  | 
 | 
 personnel, and a description of how the grant award will  | 
 be used to address the vulnerabilities identified in the  | 
 assessment; and | 
  (6) submit any other relevant information as may be  | 
 required by the Director. | 
 The Agency is authorized to use funds appropriated for the  | 
grant program described in this subsection (g-5) to administer  | 
the program.  | 
 (h) Except as provided in Section 17.5 of this Act, any  | 
moneys received by the Agency from donations or sponsorships  | 
unrelated to a disaster shall be deposited in the Emergency  | 
Planning and Training Fund and used by the Agency, subject to  | 
appropriation, to effectuate planning and training activities.  | 
Any moneys received by the Agency from donations during a  | 
disaster and intended for disaster response or recovery shall  | 
be deposited into the Disaster Response and Recovery Fund and  | 
used for disaster response and recovery pursuant to the  | 
Disaster Relief Act.  | 
 (i) The Illinois Emergency Management Agency may by rule  | 
assess and collect reasonable fees for attendance at  | 
Agency-sponsored conferences to enable the Agency to carry out  | 
the requirements of this Act. Any moneys received under this  | 
subsection shall be deposited in the Emergency Planning and  | 
Training Fund and used by the Agency, subject to  | 
appropriation, for planning and training activities. | 
 (j) The Illinois Emergency Management Agency is authorized  | 
 | 
to make grants to other State agencies, public universities,  | 
units of local government, and statewide mutual aid  | 
organizations to enhance statewide emergency preparedness and  | 
response.  | 
(Source: P.A. 102-16, eff. 6-17-21; 102-538, eff. 8-20-21;  | 
revised 10-5-21.)
 | 
 Section 205. The Nuclear Safety Law of 2004 is amended by  | 
changing Section 40 as follows:
 | 
 (20 ILCS 3310/40)
 | 
 Sec. 40. Regulation of nuclear safety. The Illinois  | 
Emergency Management Agency shall have primary responsibility  | 
for the coordination and oversight of all State governmental  | 
functions concerning the regulation of nuclear power,  | 
including low level waste management, environmental  | 
monitoring, environmental radiochemical analysis, and  | 
transportation of nuclear waste. Functions performed by the  | 
Illinois State Police and the Department of Transportation in  | 
the area of nuclear safety, on the effective date of this Act,  | 
may continue to be performed by these agencies but under the  | 
direction of the Illinois Emergency Management Agency. All  | 
other governmental functions regulating nuclear safety shall  | 
be coordinated by the Illinois Emergency Management Agency.
 | 
(Source: P.A. 102-133, eff. 7-23-21; 102-538, eff. 8-20-21;  | 
revised 9-28-21.)
 | 
 | 
 Section 210. The Illinois Criminal Justice Information Act  | 
is amended by changing Section 7.7 as follows:
 | 
 (20 ILCS 3930/7.7) | 
 Sec. 7.7. Pretrial data collection. | 
 (a) The Administrative Director of the Administrative  | 
Office Officer of the Illinois Courts shall convene an  | 
oversight board to be known as the Pretrial Practices Data  | 
Oversight Board to oversee the collection and analysis of data  | 
regarding pretrial practices in circuit court systems. The  | 
Board shall include, but is not limited to, designees from the  | 
Administrative Office of the Illinois Courts, the Illinois  | 
Criminal Justice Information Authority, and other entities  | 
that possess knowledge of pretrial practices and data  | 
collection issues. Members of the Board shall serve without  | 
compensation. | 
 (b) The Oversight Board shall: | 
  (1) identify existing pretrial data collection  | 
 processes in local jurisdictions; | 
  (2) define, gather and maintain records of pretrial  | 
 data relating to the topics listed in subsection (c) from  | 
 circuit clerks' offices, sheriff's departments, law  | 
 enforcement agencies, jails, pretrial departments,  | 
 probation department, State's Attorneys' offices, public  | 
 defenders' offices and other applicable criminal justice  | 
 | 
 system agencies; | 
  (3) identify resources necessary to systematically  | 
 collect and report data related to the topics listed in  | 
 subsection subsections (c); and | 
  (4) develop a plan to implement data collection  | 
 processes sufficient to collect data on the topics listed  | 
 in subsection (c) no later than one year after July 1, 2021  | 
 (the effective date of Public Act 101-652) this amendatory  | 
 Act of the 101st General Assembly.
The plan and, once  | 
 implemented, the reports and analysis shall be published  | 
 and made publicly available on the Administrative Office  | 
 of the Illinois Courts (AOIC) website. | 
 (c) The Pretrial Practices Data Oversight Board shall  | 
develop a strategy to collect quarterly, county-level data on  | 
the following topics; which collection of data shall begin  | 
starting one year after July 1, 2021 (the effective date of  | 
Public Act 101-652) this amendatory Act of the 101st General  | 
Assembly: | 
  (1) information on all persons arrested and charged  | 
 with misdemeanor or felony charges, or both, including  | 
 information on persons released directly from law  | 
 enforcement custody; | 
  (2) information on the outcomes of pretrial conditions  | 
 and pretrial detention hearings in the county courts,  | 
 including but not limited to the number of hearings held,  | 
 the number of defendants detained, the number of  | 
 | 
 defendants released, and the number of defendants released  | 
 with electronic monitoring; | 
  (3) information regarding persons detained in the  | 
 county jail pretrial, including, but not limited to, the  | 
 number of persons detained in the jail pretrial and the  | 
 number detained in the jail for other reasons, the  | 
 demographics of the pretrial jail population, race, sex,  | 
 sexual orientation, gender identity, age, and ethnicity,  | 
 the charges including on which pretrial defendants are  | 
 detained, the average length of stay of pretrial  | 
 defendants; | 
  (4) information regarding persons placed on electronic  | 
 monitoring programs pretrial, including, but not limited  | 
 to, the number of participants, the demographics of the  | 
 participant population, including race, sex, sexual  | 
 orientation, gender identity, age, and ethnicity, the  | 
 charges on which participants are ordered to the program,  | 
 and the average length of participation in the program; | 
  (5) discharge data regarding persons detained pretrial  | 
 in the county jail, including, but not limited to, the  | 
 number who are sentenced to the Illinois Department of  | 
 Corrections, the number released after being sentenced to  | 
 time served, the number who are released on probation,  | 
 conditional discharge, or other community supervision, the  | 
 number found not guilty, the number whose cases are  | 
 dismissed, the number whose cases are dismissed as part of  | 
 | 
 diversion or deferred prosecution program, and the number  | 
 who are released pretrial after a hearing re-examining  | 
 their pretrial detention; | 
  (6) information on the pretrial rearrest of  | 
 individuals released pretrial, including the number  | 
 arrested and charged with a new misdemeanor offense while  | 
 released, the number arrested and charged with a new  | 
 felony offense while released, and the number arrested and  | 
 charged with a new forcible felony offense while released,  | 
 and how long after release these arrests occurred; | 
  (7) information on the pretrial failure to appear  | 
 rates of individuals released pretrial, including the  | 
 number who missed one or more court dates, how many  | 
 warrants for failures to appear were issued, and how many  | 
 individuals were detained pretrial or placed on electronic  | 
 monitoring pretrial after a failure to appear in court; | 
  (8) what, if any, validated pretrial risk assessment  | 
 tools are in use in each jurisdiction, and comparisons of  | 
 the pretrial release and pretrial detention decisions of  | 
 judges as compared to and the risk assessment scores of  | 
 individuals; and | 
  (9) any other information the Pretrial Practices Data  | 
 Oversight Board considers important and probative of the  | 
 effectiveness of pretrial practices in the State state of  | 
 Illinois.
 | 
 (d) d) Circuit clerks' offices, sheriff's departments, law  | 
 | 
enforcement agencies, jails, pretrial departments, probation  | 
department, State's Attorneys' offices, public defenders'  | 
offices and other applicable criminal justice system agencies  | 
are mandated to provide data to the Administrative Office of  | 
the Illinois Courts as described in subsection (c). 
 | 
(Source: P.A. 101-652, eff. 7-1-21; revised 12-3-21.)
 | 
 Section 215. The State Finance Act is amended by setting  | 
forth and renumbering multiple
versions of Sections 5.935,  | 
5.937, and 5.938, by setting forth, renumbering, and changing  | 
multiple versions of Sections 5.936 and 6z-125, and by  | 
changing Sections 6z-82, 6z-99, 8.3, and 25 as follows:
 | 
 (30 ILCS 105/5.935) | 
 Sec. 5.935. The Freedom Schools Fund. | 
(Source: P.A. 101-654, eff. 3-8-21.)
 | 
 (30 ILCS 105/5.936)
 | 
 Sec. 5.936. The Law Enforcement Training Fund. | 
(Source: P.A. 102-16, eff. 6-17-21.)
 | 
 (30 ILCS 105/5.937) | 
 Sec. 5.937. The Sickle Cell Chronic Disease Fund. | 
(Source: P.A. 102-4, eff. 4-27-21.)
 | 
 (30 ILCS 105/5.938) | 
 | 
 (30 ILCS 105/5.963)
 | 
 Sec. 5.963 5.938. The State Police Revocation Enforcement  | 
Fund. | 
(Source: P.A. 102-237, eff. 1-1-22; revised 10-5-21.)
 | 
 (30 ILCS 105/5.964)
 | 
 Sec. 5.964 5.938. The Lead Service Line Replacement Fund. | 
(Source: P.A. 102-613, eff. 1-1-22; revised 10-5-21.)
 | 
 (30 ILCS 105/6z-82) | 
 Sec. 6z-82. State Police Operations Assistance Fund. | 
 (a) There is created in the State treasury a special fund  | 
known as the State Police Operations Assistance Fund. The Fund  | 
shall receive revenue under the Criminal and Traffic  | 
Assessment Act. The Fund may also receive revenue from grants,  | 
donations, appropriations, and any other legal source. | 
 (a-5) Notwithstanding any other provision of law to the  | 
contrary, and in addition to any other transfers that may be  | 
provided by law, on August 20, 2021 (the effective date of  | 
Public Act 102-505) this amendatory Act of the 102nd General  | 
Assembly, or as soon thereafter as practical, the State  | 
Comptroller shall direct and the State Treasurer shall  | 
transfer the remaining balance from the Over Dimensional Load  | 
Police Escort Fund into the State Police Operations Assistance  | 
Fund. Upon completion of the transfer, the Over Dimensional  | 
 | 
Load Police Escort Fund is dissolved, and any future deposits  | 
due to that Fund and any outstanding obligations or  | 
liabilities of that Fund shall pass to the State Police  | 
Operations Assistance Fund. | 
 This Fund may charge, collect, and receive fees or moneys  | 
as described in Section 15-312 of the Illinois Vehicle Code,  | 
and receive all fees received by the Illinois State Police  | 
under that Section. The moneys shall be used by the Illinois  | 
State Police for its expenses in providing police escorts and  | 
commercial vehicle enforcement activities.  | 
 (b) The Illinois State Police may use moneys in the Fund to  | 
finance any of its lawful purposes or functions. | 
 (c) Expenditures may be made from the Fund only as  | 
appropriated by the General Assembly by law. | 
 (d) Investment income that is attributable to the  | 
investment of moneys in the Fund shall be retained in the Fund  | 
for the uses specified in this Section.  | 
 (e) The State Police Operations Assistance Fund shall not  | 
be subject to administrative chargebacks. 
 | 
 (f) (Blank). the Illinois | 
 (g) Notwithstanding any other provision of State law to  | 
the contrary, on or after July 1, 2021, in addition to any  | 
other transfers that may be provided for by law, at the  | 
direction of and upon notification from the Director of the  | 
Illinois State Police, the State Comptroller shall direct and  | 
the State Treasurer shall transfer amounts not exceeding  | 
 | 
$7,000,000 into the State Police Operations Assistance Fund  | 
from the State Police Services Fund.  | 
(Source: P.A. 102-16, eff. 6-17-21; 102-505, eff. 8-20-21;  | 
102-538, eff. 8-20-21; revised 10-22-21.)
 | 
 (30 ILCS 105/6z-99) | 
 Sec. 6z-99. The Mental Health Reporting Fund. | 
 (a) There is created in the State treasury a special fund  | 
known as the Mental Health Reporting Fund. The Fund shall  | 
receive revenue under the Firearm Concealed Carry Act. The  | 
Fund may also receive revenue from grants, pass-through  | 
grants, donations, appropriations, and any other legal source. | 
 (b) The Illinois State Police and Department of Human  | 
Services shall coordinate to use moneys in the Fund to finance  | 
their respective duties of collecting and reporting data on  | 
mental health records and ensuring that mental health firearm  | 
possession prohibitors are enforced as set forth under the  | 
Firearm Concealed Carry Act and the Firearm Owners  | 
Identification Card Act. Any surplus in the Fund beyond what  | 
is necessary to ensure compliance with mental health reporting  | 
under these Acts shall be used by the Department of Human  | 
Services for mental health treatment programs as follows: (1)  | 
50% shall be used to fund
community-based mental health  | 
programs aimed at reducing gun
violence, community integration  | 
and education, or mental
health awareness and prevention,  | 
including administrative
costs; and (2) 50% shall be used to  | 
 | 
award grants that use and
promote the National School Mental  | 
Health Curriculum model for
school-based mental health  | 
support, integration, and services. | 
 (c) Investment income that is attributable to the  | 
investment of moneys in the Fund shall be retained in the Fund  | 
for the uses specified in this Section.
 | 
(Source: P.A. 102-237, eff. 1-1-22; 102-538, eff. 8-20-21;  | 
revised 10-26-21.)
 | 
 (30 ILCS 105/6z-125) | 
 Sec. 6z-125. State Police Training and Academy Fund. The  | 
State Police Training and Academy Fund is hereby created as a  | 
special fund in the State treasury. Moneys in the Fund shall  | 
consist of: (i) 10% of the revenue from increasing the  | 
insurance producer license fees, as provided under subsection  | 
(a-5) of Section 500-135 of the Illinois Insurance Code; and  | 
(ii) 10% of the moneys collected from auto insurance policy  | 
fees under Section 8.6 of the Illinois Motor Vehicle Theft  | 
Prevention and Insurance Verification Act. This Fund shall be  | 
used by the Illinois State Police to fund training and other  | 
State Police institutions, including, but not limited to,  | 
forensic laboratories.
 | 
(Source: P.A. 102-16, eff. 6-17-21.)
 | 
 (30 ILCS 105/6z-127)
 | 
 Sec. 6z-127 6z-125. State Police Revocation Enforcement  | 
 | 
Fund. | 
 (a) The State Police Revocation Enforcement Fund is  | 
established as a special fund in the State treasury. This Fund  | 
is established to receive moneys from the Firearm Owners  | 
Identification Card Act to enforce that Act, the Firearm  | 
Concealed Carry Act, Article 24 of the Criminal Code of 2012,  | 
and other firearm offenses. The Fund may also receive revenue  | 
from grants, donations, appropriations, and any other legal  | 
source. | 
 (b) The Illinois State Police may use moneys from the Fund  | 
to establish task forces and, if necessary, include other law  | 
enforcement agencies, under intergovernmental contracts  | 
written and executed in conformity with the Intergovernmental  | 
Cooperation Act. | 
 (c) The Illinois State Police may use moneys in the Fund to  | 
hire and train State Police officers and for the prevention of  | 
violent crime. | 
 (d) The State Police Revocation Enforcement Fund is not  | 
subject to administrative chargebacks. | 
 (e) Law enforcement agencies that participate in Firearm  | 
Owner's Identification Card revocation enforcement in the  | 
Violent Crime Intelligence Task Force may apply for grants  | 
from the Illinois State Police.
 | 
(Source: P.A. 102-237, eff. 1-1-22; revised 11-9-21.)
 | 
 (30 ILCS 105/8.3) (from Ch. 127, par. 144.3) | 
 | 
 Sec. 8.3. Money in the Road Fund shall, if and when the  | 
State of
Illinois incurs any bonded indebtedness for the  | 
construction of
permanent highways, be set aside and used for  | 
the purpose of paying and
discharging annually the principal  | 
and interest on that bonded
indebtedness then due and payable,  | 
and for no other purpose. The
surplus, if any, in the Road Fund  | 
after the payment of principal and
interest on that bonded  | 
indebtedness then annually due shall be used as
follows: | 
  first -- to pay the cost of administration of Chapters  | 
 2 through 10 of
the Illinois Vehicle Code, except the cost  | 
 of administration of Articles I and
II of Chapter 3 of that  | 
 Code, and to pay the costs of the Executive Ethics  | 
 Commission for oversight and administration of the Chief  | 
 Procurement Officer appointed under paragraph (2) of  | 
 subsection (a) of Section 10-20 of the Illinois  | 
 Procurement Code for transportation; and | 
  secondly -- for expenses of the Department of  | 
 Transportation for
construction, reconstruction,  | 
 improvement, repair, maintenance,
operation, and  | 
 administration of highways in accordance with the
 | 
 provisions of laws relating thereto, or for any purpose  | 
 related or
incident to and connected therewith, including  | 
 the separation of grades
of those highways with railroads  | 
 and with highways and including the
payment of awards made  | 
 by the Illinois Workers' Compensation Commission under the  | 
 terms of
the Workers' Compensation Act or Workers'  | 
 | 
 Occupational Diseases Act for
injury or death of an  | 
 employee of the Division of Highways in the
Department of  | 
 Transportation; or for the acquisition of land and the
 | 
 erection of buildings for highway purposes, including the  | 
 acquisition of
highway right-of-way or for investigations  | 
 to determine the reasonably
anticipated future highway  | 
 needs; or for making of surveys, plans,
specifications and  | 
 estimates for and in the construction and maintenance
of  | 
 flight strips and of highways necessary to provide access  | 
 to military
and naval reservations, to defense industries  | 
 and defense-industry
sites, and to the sources of raw  | 
 materials and for replacing existing
highways and highway  | 
 connections shut off from general public use at
military  | 
 and naval reservations and defense-industry sites, or for  | 
 the
purchase of right-of-way, except that the State shall  | 
 be reimbursed in
full for any expense incurred in building  | 
 the flight strips; or for the
operating and maintaining of  | 
 highway garages; or for patrolling and
policing the public  | 
 highways and conserving the peace; or for the operating  | 
 expenses of the Department relating to the administration  | 
 of public transportation programs; or, during fiscal year  | 
 2021 only, for the purposes of a grant not to exceed  | 
 $8,394,800 to the Regional Transportation Authority on  | 
 behalf of PACE for the purpose of ADA/Para-transit  | 
 expenses; or, during fiscal year 2022 only, for the  | 
 purposes of a grant not to exceed $8,394,800 to the  | 
 | 
 Regional Transportation Authority on behalf of PACE for  | 
 the purpose of ADA/Para-transit expenses; or for any of
 | 
 those purposes or any other purpose that may be provided  | 
 by law. | 
 Appropriations for any of those purposes are payable from  | 
the Road
Fund. Appropriations may also be made from the Road  | 
Fund for the
administrative expenses of any State agency that  | 
are related to motor
vehicles or arise from the use of motor  | 
vehicles. | 
 Beginning with fiscal year 1980 and thereafter, no Road  | 
Fund monies
shall be appropriated to the following Departments  | 
or agencies of State
government for administration, grants, or  | 
operations; but this
limitation is not a restriction upon  | 
appropriating for those purposes any
Road Fund monies that are  | 
eligible for federal reimbursement: | 
  1. Department of Public Health; | 
  2. Department of Transportation, only with respect to  | 
 subsidies for
one-half fare Student Transportation and  | 
 Reduced Fare for Elderly, except fiscal year 2021 only  | 
 when no more than $17,570,000 may be expended and except  | 
 fiscal year 2022 only when no more than $17,570,000 may be  | 
 expended; | 
  3. Department of Central Management
Services, except  | 
 for expenditures
incurred for group insurance premiums of  | 
 appropriate personnel; | 
  4. Judicial Systems and Agencies. | 
 | 
 Beginning with fiscal year 1981 and thereafter, no Road  | 
Fund monies
shall be appropriated to the following Departments  | 
or agencies of State
government for administration, grants, or  | 
operations; but this
limitation is not a restriction upon  | 
appropriating for those purposes any
Road Fund monies that are  | 
eligible for federal reimbursement: | 
  1. Illinois State Police, except for expenditures with
 | 
 respect to the Division of Patrol Operations and Division  | 
 of Criminal Investigation; | 
  2. Department of Transportation, only with respect to  | 
 Intercity Rail
Subsidies, except fiscal year 2021 only  | 
 when no more than $50,000,000 may be expended and except  | 
 fiscal year 2022 only when no more than $50,000,000 may be  | 
 expended, and Rail Freight Services. | 
 Beginning with fiscal year 1982 and thereafter, no Road  | 
Fund monies
shall be appropriated to the following Departments  | 
or agencies of State
government for administration, grants, or  | 
operations; but this
limitation is not a restriction upon  | 
appropriating for those purposes any
Road Fund monies that are  | 
eligible for federal reimbursement: Department
of Central  | 
Management Services, except for awards made by
the Illinois  | 
Workers' Compensation Commission under the terms of the  | 
Workers' Compensation Act
or Workers' Occupational Diseases  | 
Act for injury or death of an employee of
the Division of  | 
Highways in the Department of Transportation. | 
 Beginning with fiscal year 1984 and thereafter, no Road  | 
 | 
Fund monies
shall be appropriated to the following Departments  | 
or agencies of State
government for administration, grants, or  | 
operations; but this
limitation is not a restriction upon  | 
appropriating for those purposes any
Road Fund monies that are  | 
eligible for federal reimbursement: | 
  1. Illinois State Police, except not more than 40% of  | 
 the
funds appropriated for the Division of Patrol  | 
 Operations and Division of Criminal Investigation; | 
  2. State Officers. | 
 Beginning with fiscal year 1984 and thereafter, no Road  | 
Fund monies
shall be appropriated to any Department or agency  | 
of State government
for administration, grants, or operations  | 
except as provided hereafter;
but this limitation is not a  | 
restriction upon appropriating for those
purposes any Road  | 
Fund monies that are eligible for federal
reimbursement. It  | 
shall not be lawful to circumvent the above
appropriation  | 
limitations by governmental reorganization or other
methods.  | 
Appropriations shall be made from the Road Fund only in
 | 
accordance with the provisions of this Section. | 
 Money in the Road Fund shall, if and when the State of  | 
Illinois
incurs any bonded indebtedness for the construction  | 
of permanent
highways, be set aside and used for the purpose of  | 
paying and
discharging during each fiscal year the principal  | 
and interest on that
bonded indebtedness as it becomes due and  | 
payable as provided in the
Transportation Bond Act, and for no  | 
other
purpose. The surplus, if any, in the Road Fund after the  | 
 | 
payment of
principal and interest on that bonded indebtedness  | 
then annually due
shall be used as follows: | 
  first -- to pay the cost of administration of Chapters  | 
 2 through 10
of the Illinois Vehicle Code; and | 
  secondly -- no Road Fund monies derived from fees,  | 
 excises, or
license taxes relating to registration,  | 
 operation and use of vehicles on
public highways or to  | 
 fuels used for the propulsion of those vehicles,
shall be  | 
 appropriated or expended other than for costs of  | 
 administering
the laws imposing those fees, excises, and  | 
 license taxes, statutory
refunds and adjustments allowed  | 
 thereunder, administrative costs of the
Department of  | 
 Transportation, including, but not limited to, the  | 
 operating expenses of the Department relating to the  | 
 administration of public transportation programs, payment  | 
 of debts and liabilities incurred
in construction and  | 
 reconstruction of public highways and bridges,
acquisition  | 
 of rights-of-way for and the cost of construction,
 | 
 reconstruction, maintenance, repair, and operation of  | 
 public highways and
bridges under the direction and  | 
 supervision of the State, political
subdivision, or  | 
 municipality collecting those monies, or during fiscal  | 
 year 2021 only for the purposes of a grant not to exceed  | 
 $8,394,800 to the Regional Transportation Authority on  | 
 behalf of PACE for the purpose of ADA/Para-transit  | 
 expenses, or during fiscal year 2022 only for the purposes  | 
 | 
 of a grant not to exceed $8,394,800 to the Regional  | 
 Transportation Authority on behalf of PACE for the purpose  | 
 of ADA/Para-transit expenses, and the costs for
patrolling  | 
 and policing the public highways (by the State, political
 | 
 subdivision, or municipality collecting that money) for  | 
 enforcement of
traffic laws. The separation of grades of  | 
 such highways with railroads
and costs associated with  | 
 protection of at-grade highway and railroad
crossing shall  | 
 also be permissible. | 
 Appropriations for any of such purposes are payable from  | 
the Road
Fund or the Grade Crossing Protection Fund as  | 
provided in Section 8 of
the Motor Fuel Tax Law. | 
 Except as provided in this paragraph, beginning with  | 
fiscal year 1991 and
thereafter, no Road Fund monies
shall be  | 
appropriated to the Illinois State Police for the purposes of
 | 
this Section in excess of its total fiscal year 1990 Road Fund
 | 
appropriations for those purposes unless otherwise provided in  | 
Section 5g of
this Act.
For fiscal years 2003,
2004, 2005,  | 
2006, and 2007 only, no Road Fund monies shall
be appropriated  | 
to the
Department of State Police for the purposes of this  | 
Section in excess of
$97,310,000.
For fiscal year 2008 only,  | 
no Road
Fund monies shall be appropriated to the Department of  | 
State Police for the purposes of
this Section in excess of  | 
$106,100,000. For fiscal year 2009 only, no Road Fund monies  | 
shall be appropriated to the Department of State Police for  | 
the purposes of this Section in excess of $114,700,000.  | 
 | 
Beginning in fiscal year 2010, no road fund moneys shall be  | 
appropriated to the Illinois State Police. It shall not be  | 
lawful to circumvent this limitation on
appropriations by  | 
governmental reorganization or other methods unless
otherwise  | 
provided in Section 5g of this Act. | 
 In fiscal year 1994, no Road Fund monies shall be  | 
appropriated
to the
Secretary of State for the purposes of  | 
this Section in excess of the total
fiscal year 1991 Road Fund  | 
appropriations to the Secretary of State for
those purposes,  | 
plus $9,800,000. It
shall not be
lawful to circumvent
this  | 
limitation on appropriations by governmental reorganization or  | 
other
method. | 
 Beginning with fiscal year 1995 and thereafter, no Road  | 
Fund
monies
shall be appropriated to the Secretary of State  | 
for the purposes of this
Section in excess of the total fiscal  | 
year 1994 Road Fund
appropriations to
the Secretary of State  | 
for those purposes. It shall not be lawful to
circumvent this  | 
limitation on appropriations by governmental reorganization
or  | 
other methods. | 
 Beginning with fiscal year 2000, total Road Fund  | 
appropriations to the
Secretary of State for the purposes of  | 
this Section shall not exceed the
amounts specified for the  | 
following fiscal years: | 
|
  Fiscal Year 2000 | $80,500,000; |  |
  Fiscal Year 2001 | $80,500,000; |  |
  Fiscal Year 2002 | $80,500,000; |  |
 
  | 
 | 
 Fiscal Year 2003 | $130,500,000; |  |
  Fiscal Year 2004 | $130,500,000; |  |
  Fiscal Year 2005 | $130,500,000;
 |  |
  Fiscal Year 2006
 | $130,500,000;
 |  |
  Fiscal Year 2007
 | $130,500,000;
 |  |
  Fiscal Year 2008 | $130,500,000;  |  |
  Fiscal Year 2009  | $130,500,000.  |  
  | 
 For fiscal year 2010, no road fund moneys shall be  | 
appropriated to the Secretary of State.  | 
 Beginning in fiscal year 2011, moneys in the Road Fund  | 
shall be appropriated to the Secretary of State for the  | 
exclusive purpose of paying refunds due to overpayment of fees  | 
related to Chapter 3 of the Illinois Vehicle Code unless  | 
otherwise provided for by law.  | 
 It shall not be lawful to circumvent this limitation on  | 
appropriations by
governmental reorganization or other  | 
methods. | 
 No new program may be initiated in fiscal year 1991 and
 | 
thereafter that is not consistent with the limitations imposed  | 
by this
Section for fiscal year 1984 and thereafter, insofar  | 
as appropriation of
Road Fund monies is concerned. | 
 Nothing in this Section prohibits transfers from the Road  | 
Fund to the
State Construction Account Fund under Section 5e  | 
of this Act; nor to the
General Revenue Fund, as authorized by  | 
Public Act 93-25. | 
 The additional amounts authorized for expenditure in this  | 
 | 
Section by Public Acts 92-0600, 93-0025, 93-0839, and 94-91
 | 
shall be repaid to the Road Fund
from the General Revenue Fund  | 
in the next succeeding fiscal year that the
General Revenue  | 
Fund has a positive budgetary balance, as determined by
 | 
generally accepted accounting principles applicable to  | 
government. | 
 The additional amounts authorized for expenditure by the  | 
Secretary of State
and
the Department of State Police in this  | 
Section by Public Act 94-91 shall be repaid to the Road Fund  | 
from the General Revenue Fund in the
next
succeeding fiscal  | 
year that the General Revenue Fund has a positive budgetary
 | 
balance,
as determined by generally accepted accounting  | 
principles applicable to
government. | 
(Source: P.A. 101-10, eff. 6-5-19; 101-636, eff. 6-10-20;  | 
102-16, eff. 6-17-21; 102-538, eff. 8-20-21; revised  | 
10-15-21.)
 | 
 (30 ILCS 105/25) (from Ch. 127, par. 161)
 | 
 Sec. 25. Fiscal year limitations. 
 | 
 (a) All appropriations shall be
available for expenditure  | 
for the fiscal year or for a lesser period if the
Act making  | 
that appropriation so specifies. A deficiency or emergency
 | 
appropriation shall be available for expenditure only through  | 
June 30 of
the year when the Act making that appropriation is  | 
enacted unless that Act
otherwise provides.
 | 
 (b) Outstanding liabilities as of June 30, payable from  | 
 | 
appropriations
which have otherwise expired, may be paid out  | 
of the expiring
appropriations during the 2-month period  | 
ending at the
close of business on August 31. Any service  | 
involving
professional or artistic skills or any personal  | 
services by an employee whose
compensation is subject to  | 
income tax withholding must be performed as of June
30 of the  | 
fiscal year in order to be considered an "outstanding  | 
liability as of
June 30" that is thereby eligible for payment  | 
out of the expiring
appropriation.
 | 
 (b-1) However, payment of tuition reimbursement claims  | 
under Section 14-7.03 or
18-3 of the School Code may be made by  | 
the State Board of Education from its
appropriations for those  | 
respective purposes for any fiscal year, even though
the  | 
claims reimbursed by the payment may be claims attributable to  | 
a prior
fiscal year, and payments may be made at the direction  | 
of the State
Superintendent of Education from the fund from  | 
which the appropriation is made
without regard to any fiscal  | 
year limitations, except as required by subsection (j) of this  | 
Section. Beginning on June 30, 2021, payment of tuition  | 
reimbursement claims under Section 14-7.03 or 18-3 of the  | 
School Code as of June 30, payable from appropriations that  | 
have otherwise expired, may be paid out of the expiring  | 
appropriation during the 4-month period ending at the close of  | 
business on October 31.
 | 
 (b-2) (Blank). | 
 (b-2.5) (Blank).  | 
 | 
 (b-2.6) (Blank).  | 
 (b-2.6a) (Blank).  | 
 (b-2.6b) (Blank).  | 
 (b-2.6c) (Blank).  | 
 (b-2.6d) All outstanding liabilities as of June 30, 2020,  | 
payable from appropriations that would otherwise expire at the  | 
conclusion of the lapse period for fiscal year 2020, and  | 
interest penalties payable on those liabilities under the  | 
State Prompt Payment Act, may be paid out of the expiring  | 
appropriations until December 31, 2020, without regard to the  | 
fiscal year in which the payment is made, as long as vouchers  | 
for the liabilities are received by the Comptroller no later  | 
than September 30, 2020.  | 
 (b-2.6e) All outstanding liabilities as of June 30, 2021,  | 
payable from appropriations that would otherwise expire at the  | 
conclusion of the lapse period for fiscal year 2021, and  | 
interest penalties payable on those liabilities under the  | 
State Prompt Payment Act, may be paid out of the expiring  | 
appropriations until September 30, 2021, without regard to the  | 
fiscal year in which the payment is made.  | 
 (b-2.7) For fiscal years 2012, 2013, 2014, 2018, 2019,  | 
2020, 2021, and 2022, interest penalties payable under the  | 
State Prompt Payment Act associated with a voucher for which  | 
payment is issued after June 30 may be paid out of the next  | 
fiscal year's appropriation. The future year appropriation  | 
must be for the same purpose and from the same fund as the  | 
 | 
original payment. An interest penalty voucher submitted  | 
against a future year appropriation must be submitted within  | 
60 days after the issuance of the associated voucher, except  | 
that, for fiscal year 2018 only, an interest penalty voucher  | 
submitted against a future year appropriation must be  | 
submitted within 60 days of June 5, 2019 (the effective date of  | 
Public Act 101-10). The Comptroller must issue the interest  | 
payment within 60 days after acceptance of the interest  | 
voucher.  | 
 (b-3) Medical payments may be made by the Department of  | 
Veterans' Affairs from
its
appropriations for those purposes  | 
for any fiscal year, without regard to the
fact that the  | 
medical services being compensated for by such payment may  | 
have
been rendered in a prior fiscal year, except as required  | 
by subsection (j) of this Section. Beginning on June 30, 2021,  | 
medical payments payable from appropriations that have  | 
otherwise expired may be paid out of the expiring  | 
appropriation during the 4-month period ending at the close of  | 
business on October 31.
 | 
 (b-4) Medical payments and child care
payments may be made  | 
by the Department of
Human Services (as successor to the  | 
Department of Public Aid) from
appropriations for those  | 
purposes for any fiscal year,
without regard to the fact that  | 
the medical or child care services being
compensated for by  | 
such payment may have been rendered in a prior fiscal
year; and  | 
payments may be made at the direction of the Department of
 | 
 | 
Healthcare and Family Services (or successor agency) from the  | 
Health Insurance Reserve Fund without regard to any fiscal
 | 
year limitations, except as required by subsection (j) of this  | 
Section. Beginning on June 30, 2021, medical and child care  | 
payments made by the Department of Human Services and payments  | 
made at the discretion of the Department of Healthcare and  | 
Family Services (or successor agency) from the Health  | 
Insurance Reserve Fund and payable from appropriations that  | 
have otherwise expired may be paid out of the expiring  | 
appropriation during the 4-month period ending at the close of  | 
business on October 31.
 | 
 (b-5) Medical payments may be made by the Department of  | 
Human Services from its appropriations relating to substance  | 
abuse treatment services for any fiscal year, without regard  | 
to the fact that the medical services being compensated for by  | 
such payment may have been rendered in a prior fiscal year,  | 
provided the payments are made on a fee-for-service basis  | 
consistent with requirements established for Medicaid  | 
reimbursement by the Department of Healthcare and Family  | 
Services, except as required by subsection (j) of this  | 
Section. Beginning on June 30, 2021, medical payments made by  | 
the Department of Human Services relating to substance abuse  | 
treatment services payable from appropriations that have  | 
otherwise expired may be paid out of the expiring  | 
appropriation during the 4-month period ending at the close of  | 
business on October 31. | 
 | 
 (b-6) (Blank).
 | 
 (b-7) Payments may be made in accordance with a plan  | 
authorized by paragraph (11) or (12) of Section 405-105 of the  | 
Department of Central Management Services Law from  | 
appropriations for those payments without regard to fiscal  | 
year limitations.  | 
 (b-8) Reimbursements to eligible airport sponsors for the  | 
construction or upgrading of Automated Weather Observation  | 
Systems may be made by the Department of Transportation from  | 
appropriations for those purposes for any fiscal year, without  | 
regard to the fact that the qualification or obligation may  | 
have occurred in a prior fiscal year, provided that at the time  | 
the expenditure was made the project had been approved by the  | 
Department of Transportation prior to June 1, 2012 and, as a  | 
result of recent changes in federal funding formulas, can no  | 
longer receive federal reimbursement.  | 
 (b-9) (Blank).  | 
 (c) Further, payments may be made by the Department of  | 
Public Health and the
Department of Human Services (acting as  | 
successor to the Department of Public
Health under the  | 
Department of Human Services Act)
from their respective  | 
appropriations for grants for medical care to or on
behalf of  | 
premature and high-mortality risk infants and their mothers  | 
and
for grants for supplemental food supplies provided under  | 
the United States
Department of Agriculture Women, Infants and  | 
Children Nutrition Program,
for any fiscal year without regard  | 
 | 
to the fact that the services being
compensated for by such  | 
payment may have been rendered in a prior fiscal year, except  | 
as required by subsection (j) of this Section. Beginning on  | 
June 30, 2021, payments made by the Department of Public  | 
Health and the Department of Human Services from their  | 
respective appropriations for grants for medical care to or on  | 
behalf of premature and high-mortality risk infants and their  | 
mothers and for grants for supplemental food supplies provided  | 
under the United States Department of Agriculture Women,  | 
Infants and Children Nutrition Program payable from  | 
appropriations that have otherwise expired may be paid out of  | 
the expiring appropriations during the 4-month period ending  | 
at the close of business on October 31.
 | 
 (d) The Department of Public Health and the Department of  | 
Human Services
(acting as successor to the Department of  | 
Public Health under the Department of
Human Services Act)  | 
shall each annually submit to the State Comptroller, Senate
 | 
President, Senate
Minority Leader, Speaker of the House, House  | 
Minority Leader, and the
respective Chairmen and Minority  | 
Spokesmen of the
Appropriations Committees of the Senate and  | 
the House, on or before
December 31, a report of fiscal year  | 
funds used to pay for services
provided in any prior fiscal  | 
year. This report shall document by program or
service  | 
category those expenditures from the most recently completed  | 
fiscal
year used to pay for services provided in prior fiscal  | 
years.
 | 
 | 
 (e) The Department of Healthcare and Family Services, the  | 
Department of Human Services
(acting as successor to the  | 
Department of Public Aid), and the Department of Human  | 
Services making fee-for-service payments relating to substance  | 
abuse treatment services provided during a previous fiscal  | 
year shall each annually
submit to the State
Comptroller,  | 
Senate President, Senate Minority Leader, Speaker of the  | 
House,
House Minority Leader, the respective Chairmen and  | 
Minority Spokesmen of the
Appropriations Committees of the  | 
Senate and the House, on or before November
30, a report that  | 
shall document by program or service category those
 | 
expenditures from the most recently completed fiscal year used  | 
to pay for (i)
services provided in prior fiscal years and (ii)  | 
services for which claims were
received in prior fiscal years.
 | 
 (f) The Department of Human Services (as successor to the  | 
Department of
Public Aid) shall annually submit to the State
 | 
Comptroller, Senate President, Senate Minority Leader, Speaker  | 
of the House,
House Minority Leader, and the respective  | 
Chairmen and Minority Spokesmen of
the Appropriations  | 
Committees of the Senate and the House, on or before
December  | 
31, a report
of fiscal year funds used to pay for services  | 
(other than medical care)
provided in any prior fiscal year.  | 
This report shall document by program or
service category  | 
those expenditures from the most recently completed fiscal
 | 
year used to pay for services provided in prior fiscal years.
 | 
 (g) In addition, each annual report required to be  | 
 | 
submitted by the
Department of Healthcare and Family Services  | 
under subsection (e) shall include the following
information  | 
with respect to the State's Medicaid program:
 | 
  (1) Explanations of the exact causes of the variance  | 
 between the previous
year's estimated and actual  | 
 liabilities.
 | 
  (2) Factors affecting the Department of Healthcare and  | 
 Family Services' liabilities,
including, but not limited  | 
 to, numbers of aid recipients, levels of medical
service  | 
 utilization by aid recipients, and inflation in the cost  | 
 of medical
services.
 | 
  (3) The results of the Department's efforts to combat  | 
 fraud and abuse.
 | 
 (h) As provided in Section 4 of the General Assembly  | 
Compensation Act,
any utility bill for service provided to a  | 
General Assembly
member's district office for a period  | 
including portions of 2 consecutive
fiscal years may be paid  | 
from funds appropriated for such expenditure in
either fiscal  | 
year.
 | 
 (i) An agency which administers a fund classified by the  | 
Comptroller as an
internal service fund may issue rules for:
 | 
  (1) billing user agencies in advance for payments or  | 
 authorized inter-fund transfers
based on estimated charges  | 
 for goods or services;
 | 
  (2) issuing credits, refunding through inter-fund  | 
 transfers, or reducing future inter-fund transfers
during
 | 
 | 
 the subsequent fiscal year for all user agency payments or  | 
 authorized inter-fund transfers received during the
prior  | 
 fiscal year which were in excess of the final amounts owed  | 
 by the user
agency for that period; and
 | 
  (3) issuing catch-up billings to user agencies
during  | 
 the subsequent fiscal year for amounts remaining due when  | 
 payments or authorized inter-fund transfers
received from  | 
 the user agency during the prior fiscal year were less  | 
 than the
total amount owed for that period.
 | 
User agencies are authorized to reimburse internal service  | 
funds for catch-up
billings by vouchers drawn against their  | 
respective appropriations for the
fiscal year in which the  | 
catch-up billing was issued or by increasing an authorized  | 
inter-fund transfer during the current fiscal year. For the  | 
purposes of this Act, "inter-fund transfers" means transfers  | 
without the use of the voucher-warrant process, as authorized  | 
by Section 9.01 of the State Comptroller Act.
 | 
 (i-1) Beginning on July 1, 2021, all outstanding  | 
liabilities, not payable during the 4-month lapse period as  | 
described in subsections (b-1), (b-3), (b-4), (b-5), and (c)  | 
of this Section, that are made from appropriations for that  | 
purpose for any fiscal year, without regard to the fact that  | 
the services being compensated for by those payments may have  | 
been rendered in a prior fiscal year, are limited to only those  | 
claims that have been incurred but for which a proper bill or  | 
invoice as defined by the State Prompt Payment Act has not been  | 
 | 
received by September 30th following the end of the fiscal  | 
year in which the service was rendered.  | 
 (j) Notwithstanding any other provision of this Act, the  | 
aggregate amount of payments to be made without regard for  | 
fiscal year limitations as contained in subsections (b-1),  | 
(b-3), (b-4), (b-5), and (c) of this Section, and determined  | 
by using Generally Accepted Accounting Principles, shall not  | 
exceed the following amounts:  | 
  (1) $6,000,000,000 for outstanding liabilities related  | 
 to fiscal year 2012;  | 
  (2) $5,300,000,000 for outstanding liabilities related  | 
 to fiscal year 2013;  | 
  (3) $4,600,000,000 for outstanding liabilities related  | 
 to fiscal year 2014;  | 
  (4) $4,000,000,000 for outstanding liabilities related  | 
 to fiscal year 2015;  | 
  (5) $3,300,000,000 for outstanding liabilities related  | 
 to fiscal year 2016;  | 
  (6) $2,600,000,000 for outstanding liabilities related  | 
 to fiscal year 2017;  | 
  (7) $2,000,000,000 for outstanding liabilities related  | 
 to fiscal year 2018;  | 
  (8) $1,300,000,000 for outstanding liabilities related  | 
 to fiscal year 2019;  | 
  (9) $600,000,000 for outstanding liabilities related  | 
 to fiscal year 2020; and  | 
 | 
  (10) $0 for outstanding liabilities related to fiscal  | 
 year 2021 and fiscal years thereafter.  | 
 (k) Department of Healthcare and Family Services Medical  | 
Assistance Payments.  | 
  (1) Definition of Medical Assistance.  | 
   For purposes of this subsection, the term "Medical  | 
 Assistance" shall include, but not necessarily be  | 
 limited to, medical programs and services authorized  | 
 under Titles XIX and XXI of the Social Security Act,  | 
 the Illinois Public Aid Code, the Children's Health  | 
 Insurance Program Act, the Covering ALL KIDS Health  | 
 Insurance Act, the Long Term Acute Care Hospital  | 
 Quality Improvement Transfer Program Act, and medical  | 
 care to or on behalf of persons suffering from chronic  | 
 renal disease, persons suffering from hemophilia, and  | 
 victims of sexual assault.  | 
  (2) Limitations on Medical Assistance payments that  | 
 may be paid from future fiscal year appropriations.  | 
   (A) The maximum amounts of annual unpaid Medical  | 
 Assistance bills received and recorded by the  | 
 Department of Healthcare and Family Services on or  | 
 before June 30th of a particular fiscal year  | 
 attributable in aggregate to the General Revenue Fund,  | 
 Healthcare Provider Relief Fund, Tobacco Settlement  | 
 Recovery Fund, Long-Term Care Provider Fund, and the  | 
 Drug Rebate Fund that may be paid in total by the  | 
 | 
 Department from future fiscal year Medical Assistance  | 
 appropriations to those funds are:
$700,000,000 for  | 
 fiscal year 2013 and $100,000,000 for fiscal year 2014  | 
 and each fiscal year thereafter.  | 
   (B) Bills for Medical Assistance services rendered  | 
 in a particular fiscal year, but received and recorded  | 
 by the Department of Healthcare and Family Services  | 
 after June 30th of that fiscal year, may be paid from  | 
 either appropriations for that fiscal year or future  | 
 fiscal year appropriations for Medical Assistance.  | 
 Such payments shall not be subject to the requirements  | 
 of subparagraph (A).  | 
   (C) Medical Assistance bills received by the  | 
 Department of Healthcare and Family Services in a  | 
 particular fiscal year, but subject to payment amount  | 
 adjustments in a future fiscal year may be paid from a  | 
 future fiscal year's appropriation for Medical  | 
 Assistance. Such payments shall not be subject to the  | 
 requirements of subparagraph (A).  | 
   (D) Medical Assistance payments made by the  | 
 Department of Healthcare and Family Services from  | 
 funds other than those specifically referenced in  | 
 subparagraph (A) may be made from appropriations for  | 
 those purposes for any fiscal year without regard to  | 
 the fact that the Medical Assistance services being  | 
 compensated for by such payment may have been rendered  | 
 | 
 in a prior fiscal year. Such payments shall not be  | 
 subject to the requirements of subparagraph (A).  | 
  (3) Extended lapse period for Department of Healthcare  | 
 and Family Services Medical Assistance payments.  | 
 Notwithstanding any other State law to the contrary,  | 
 outstanding Department of Healthcare and Family Services  | 
 Medical Assistance liabilities, as of June 30th, payable  | 
 from appropriations which have otherwise expired, may be  | 
 paid out of the expiring appropriations during the 4-month  | 
 period ending at the close of business on October 31st.  | 
 (l) The changes to this Section made by Public Act 97-691  | 
shall be effective for payment of Medical Assistance bills  | 
incurred in fiscal year 2013 and future fiscal years. The  | 
changes to this Section made by Public Act 97-691 shall not be  | 
applied to Medical Assistance bills incurred in fiscal year  | 
2012 or prior fiscal years.  | 
 (m) The Comptroller must issue payments against  | 
outstanding liabilities that were received prior to the lapse  | 
period deadlines set forth in this Section as soon thereafter  | 
as practical, but no payment may be issued after the 4 months  | 
following the lapse period deadline without the signed  | 
authorization of the Comptroller and the Governor.  | 
(Source: P.A. 101-10, eff. 6-5-19; 101-275, eff. 8-9-19;  | 
101-636, eff. 6-10-20; 102-16, eff. 6-17-21; 102-291, eff.  | 
8-6-21; revised 9-28-21.)
 | 
 | 
 Section 220. The Illinois Procurement Code is amended by  | 
changing Section 1-10 as follows:
 | 
 (30 ILCS 500/1-10)
  | 
 Sec. 1-10. Application. 
 | 
 (a) This Code applies only to procurements for which  | 
bidders, offerors, potential contractors, or contractors were  | 
first
solicited on or after July 1, 1998. This Code shall not  | 
be construed to affect
or impair any contract, or any  | 
provision of a contract, entered into based on a
solicitation  | 
prior to the implementation date of this Code as described in
 | 
Article 99, including, but not limited to, any covenant  | 
entered into with respect
to any revenue bonds or similar  | 
instruments.
All procurements for which contracts are  | 
solicited between the effective date
of Articles 50 and 99 and  | 
July 1, 1998 shall be substantially in accordance
with this  | 
Code and its intent.
 | 
 (b) This Code shall apply regardless of the source of the  | 
funds with which
the contracts are paid, including federal  | 
assistance moneys. This
Code shall
not apply to:
 | 
  (1) Contracts between the State and its political  | 
 subdivisions or other
governments, or between State  | 
 governmental bodies, except as specifically provided in  | 
 this Code.
 | 
  (2) Grants, except for the filing requirements of  | 
 Section 20-80.
 | 
 | 
  (3) Purchase of care, except as provided in Section  | 
 5-30.6 of the Illinois Public Aid
Code and this Section.
 | 
  (4) Hiring of an individual as an employee and not as  | 
 an independent
contractor, whether pursuant to an  | 
 employment code or policy or by contract
directly with  | 
 that individual.
 | 
  (5) Collective bargaining contracts.
 | 
  (6) Purchase of real estate, except that notice of  | 
 this type of contract with a value of more than $25,000  | 
 must be published in the Procurement Bulletin within 10  | 
 calendar days after the deed is recorded in the county of  | 
 jurisdiction. The notice shall identify the real estate  | 
 purchased, the names of all parties to the contract, the  | 
 value of the contract, and the effective date of the  | 
 contract.
 | 
  (7) Contracts necessary to prepare for anticipated  | 
 litigation, enforcement
actions, or investigations,  | 
 provided
that the chief legal counsel to the Governor  | 
 shall give his or her prior
approval when the procuring  | 
 agency is one subject to the jurisdiction of the
Governor,  | 
 and provided that the chief legal counsel of any other  | 
 procuring
entity
subject to this Code shall give his or  | 
 her prior approval when the procuring
entity is not one  | 
 subject to the jurisdiction of the Governor.
 | 
  (8) (Blank).
 | 
  (9) Procurement expenditures by the Illinois  | 
 | 
 Conservation Foundation
when only private funds are used.
 | 
  (10) (Blank).  | 
  (11) Public-private agreements entered into according  | 
 to the procurement requirements of Section 20 of the  | 
 Public-Private Partnerships for Transportation Act and  | 
 design-build agreements entered into according to the  | 
 procurement requirements of Section 25 of the  | 
 Public-Private Partnerships for Transportation Act. | 
  (12) (A) Contracts for legal, financial, and other  | 
 professional and artistic services entered into by the  | 
 Illinois Finance Authority in which the State of Illinois  | 
 is not obligated. Such contracts shall be awarded through  | 
 a competitive process authorized by the members of the  | 
 Illinois Finance Authority and are subject to Sections  | 
 5-30, 20-160, 50-13, 50-20, 50-35, and 50-37 of this Code,  | 
 as well as the final approval by the members of the  | 
 Illinois Finance Authority of the terms of the contract. | 
  (B) Contracts for legal and financial services entered  | 
 into by the Illinois Housing Development Authority in  | 
 connection with the issuance of bonds in which the State  | 
 of Illinois is not obligated. Such contracts shall be  | 
 awarded through a competitive process authorized by the  | 
 members of the Illinois Housing Development Authority and  | 
 are subject to Sections 5-30, 20-160, 50-13, 50-20, 50-35,  | 
 and 50-37 of this Code, as well as the final approval by  | 
 the members of the Illinois Housing Development Authority  | 
 | 
 of the terms of the contract.  | 
  (13) Contracts for services, commodities, and  | 
 equipment to support the delivery of timely forensic  | 
 science services in consultation with and subject to the  | 
 approval of the Chief Procurement Officer as provided in  | 
 subsection (d) of Section 5-4-3a of the Unified Code of  | 
 Corrections, except for the requirements of Sections  | 
 20-60, 20-65, 20-70, and 20-160 and Article 50 of this  | 
 Code; however, the Chief Procurement Officer may, in  | 
 writing with justification, waive any certification  | 
 required under Article 50 of this Code. For any contracts  | 
 for services which are currently provided by members of a  | 
 collective bargaining agreement, the applicable terms of  | 
 the collective bargaining agreement concerning  | 
 subcontracting shall be followed. | 
  On and after January 1, 2019, this paragraph (13),  | 
 except for this sentence, is inoperative.  | 
  (14) Contracts for participation expenditures required  | 
 by a domestic or international trade show or exhibition of  | 
 an exhibitor, member, or sponsor. | 
  (15) Contracts with a railroad or utility that  | 
 requires the State to reimburse the railroad or utilities  | 
 for the relocation of utilities for construction or other  | 
 public purpose. Contracts included within this paragraph  | 
 (15) shall include, but not be limited to, those  | 
 associated with: relocations, crossings, installations,  | 
 | 
 and maintenance. For the purposes of this paragraph (15),  | 
 "railroad" means any form of non-highway ground  | 
 transportation that runs on rails or electromagnetic  | 
 guideways and "utility" means: (1) public utilities as  | 
 defined in Section 3-105 of the Public Utilities Act, (2)  | 
 telecommunications carriers as defined in Section 13-202  | 
 of the Public Utilities Act, (3) electric cooperatives as  | 
 defined in Section 3.4 of the Electric Supplier Act, (4)  | 
 telephone or telecommunications cooperatives as defined in  | 
 Section 13-212 of the Public Utilities Act, (5) rural  | 
 water or waste water systems with 10,000 connections or  | 
 less, (6) a holder as defined in Section 21-201 of the  | 
 Public Utilities Act, and (7) municipalities owning or  | 
 operating utility systems consisting of public utilities  | 
 as that term is defined in Section 11-117-2 of the  | 
 Illinois Municipal Code.  | 
  (16) Procurement expenditures necessary for the  | 
 Department of Public Health to provide the delivery of  | 
 timely newborn screening services in accordance with the  | 
 Newborn Metabolic Screening Act.  | 
  (17) Procurement expenditures necessary for the  | 
 Department of Agriculture, the Department of Financial and  | 
 Professional Regulation, the Department of Human Services,  | 
 and the Department of Public Health to implement the  | 
 Compassionate Use of Medical Cannabis Program and Opioid  | 
 Alternative Pilot Program requirements and ensure access  | 
 | 
 to medical cannabis for patients with debilitating medical  | 
 conditions in accordance with the Compassionate Use of  | 
 Medical Cannabis Program Act. | 
  (18) This Code does not apply to any procurements  | 
 necessary for the Department of Agriculture, the  | 
 Department of Financial and Professional Regulation, the  | 
 Department of Human Services, the Department of Commerce  | 
 and Economic Opportunity, and the Department of Public  | 
 Health to implement the Cannabis Regulation and Tax Act if  | 
 the applicable agency has made a good faith determination  | 
 that it is necessary and appropriate for the expenditure  | 
 to fall within this exemption and if the process is  | 
 conducted in a manner substantially in accordance with the  | 
 requirements of Sections 20-160, 25-60, 30-22, 50-5,  | 
 50-10, 50-10.5, 50-12, 50-13, 50-15, 50-20, 50-21, 50-35,  | 
 50-36, 50-37, 50-38, and 50-50 of this Code; however, for  | 
 Section 50-35, compliance applies only to contracts or  | 
 subcontracts over $100,000. Notice of each contract  | 
 entered into under this paragraph (18) that is related to  | 
 the procurement of goods and services identified in  | 
 paragraph (1) through (9) of this subsection shall be  | 
 published in the Procurement Bulletin within 14 calendar  | 
 days after contract execution. The Chief Procurement  | 
 Officer shall prescribe the form and content of the  | 
 notice. Each agency shall provide the Chief Procurement  | 
 Officer, on a monthly basis, in the form and content  | 
 | 
 prescribed by the Chief Procurement Officer, a report of  | 
 contracts that are related to the procurement of goods and  | 
 services identified in this subsection. At a minimum, this  | 
 report shall include the name of the contractor, a  | 
 description of the supply or service provided, the total  | 
 amount of the contract, the term of the contract, and the  | 
 exception to this Code utilized. A copy of any or all of  | 
 these contracts shall be made available to the Chief  | 
 Procurement Officer immediately upon request. The Chief  | 
 Procurement Officer shall submit a report to the Governor  | 
 and General Assembly no later than November 1 of each year  | 
 that includes, at a minimum, an annual summary of the  | 
 monthly information reported to the Chief Procurement  | 
 Officer. This exemption becomes inoperative 5 years after  | 
 June 25, 2019 (the effective date of Public Act 101-27). | 
  (19) Acquisition of modifications or adjustments,  | 
 limited to assistive technology devices and assistive  | 
 technology services, adaptive equipment, repairs, and  | 
 replacement parts to provide reasonable accommodations (i)  | 
 that enable a qualified applicant with a disability to  | 
 complete the job application process and be considered for  | 
 the position such qualified applicant desires, (ii) that  | 
 modify or adjust the work environment to enable a  | 
 qualified current employee with a disability to perform  | 
 the essential functions of the position held by that  | 
 employee, (iii) to enable a qualified current employee  | 
 | 
 with a disability to enjoy equal benefits and privileges  | 
 of employment as are enjoyed by its other similarly  | 
 situated employees without disabilities, and (iv) that  | 
 allow a customer, client, claimant, or member of the  | 
 public seeking State services full use and enjoyment of  | 
 and access to its programs, services, or benefits.  | 
  For purposes of this paragraph (19): | 
  "Assistive technology devices" means any item, piece  | 
 of equipment, or product system, whether acquired  | 
 commercially off the shelf, modified, or customized, that  | 
 is used to increase, maintain, or improve functional  | 
 capabilities of individuals with disabilities. | 
  "Assistive technology services" means any service that  | 
 directly assists an individual with a disability in  | 
 selection, acquisition, or use of an assistive technology  | 
 device. | 
  "Qualified" has the same meaning and use as provided  | 
 under the federal Americans with Disabilities Act when  | 
 describing an individual with a disability.  | 
  (20) (19) Procurement expenditures necessary for the
 | 
 Illinois Commerce Commission to hire third-party
 | 
 facilitators pursuant to Sections 16-105.17 and Section
 | 
 16-108.18 of the Public Utilities Act or an ombudsman  | 
 pursuant to Section 16-107.5 of the Public Utilities Act,  | 
 a facilitator pursuant to Section 16-105.17 of the Public  | 
 Utilities Act, or a grid auditor pursuant to Section  | 
 | 
 16-105.10 of the Public Utilities Act.  | 
 Notwithstanding any other provision of law, for contracts  | 
entered into on or after October 1, 2017 under an exemption  | 
provided in any paragraph of this subsection (b), except  | 
paragraph (1), (2), or (5), each State agency shall post to the  | 
appropriate procurement bulletin the name of the contractor, a  | 
description of the supply or service provided, the total  | 
amount of the contract, the term of the contract, and the  | 
exception to the Code utilized. The chief procurement officer  | 
shall submit a report to the Governor and General Assembly no  | 
later than November 1 of each year that shall include, at a  | 
minimum, an annual summary of the monthly information reported  | 
to the chief procurement officer.  | 
 (c) This Code does not apply to the electric power  | 
procurement process provided for under Section 1-75 of the  | 
Illinois Power Agency Act and Section 16-111.5 of the Public  | 
Utilities Act. | 
 (d) Except for Section 20-160 and Article 50 of this Code,  | 
and as expressly required by Section 9.1 of the Illinois  | 
Lottery Law, the provisions of this Code do not apply to the  | 
procurement process provided for under Section 9.1 of the  | 
Illinois Lottery Law.  | 
 (e) This Code does not apply to the process used by the  | 
Capital Development Board to retain a person or entity to  | 
assist the Capital Development Board with its duties related  | 
to the determination of costs of a clean coal SNG brownfield  | 
 | 
facility, as defined by Section 1-10 of the Illinois Power  | 
Agency Act, as required in subsection (h-3) of Section 9-220  | 
of the Public Utilities Act, including calculating the range  | 
of capital costs, the range of operating and maintenance  | 
costs, or the sequestration costs or monitoring the  | 
construction of clean coal SNG brownfield facility for the  | 
full duration of construction. | 
 (f) (Blank).  | 
 (g) (Blank). | 
 (h) This Code does not apply to the process to procure or  | 
contracts entered into in accordance with Sections 11-5.2 and  | 
11-5.3 of the Illinois Public Aid Code.  | 
 (i) Each chief procurement officer may access records  | 
necessary to review whether a contract, purchase, or other  | 
expenditure is or is not subject to the provisions of this  | 
Code, unless such records would be subject to attorney-client  | 
privilege.  | 
 (j) This Code does not apply to the process used by the  | 
Capital Development Board to retain an artist or work or works  | 
of art as required in Section 14 of the Capital Development  | 
Board Act.  | 
 (k) This Code does not apply to the process to procure  | 
contracts, or contracts entered into, by the State Board of  | 
Elections or the State Electoral Board for hearing officers  | 
appointed pursuant to the Election Code.  | 
 (l) This Code does not apply to the processes used by the  | 
 | 
Illinois Student Assistance Commission to procure supplies and  | 
services paid for from the private funds of the Illinois  | 
Prepaid Tuition Fund. As used in this subsection (l), "private  | 
funds" means funds derived from deposits paid into the  | 
Illinois Prepaid Tuition Trust Fund and the earnings thereon.  | 
 (m) This Code shall apply regardless of the source of  | 
funds with which contracts are paid, including federal  | 
assistance moneys. Except as specifically provided in this  | 
Code, this Code shall not apply to procurement expenditures  | 
necessary for the Department of Public Health to conduct the  | 
Healthy Illinois Survey in accordance with Section 2310-431 of  | 
the Department of Public Health Powers and Duties Law of the  | 
Civil Administrative Code of Illinois.  | 
(Source: P.A. 101-27, eff. 6-25-19; 101-81, eff. 7-12-19;  | 
101-363, eff. 8-9-19; 102-175, eff. 7-29-21; 102-483, eff  | 
1-1-22; 102-558, eff. 8-20-21; 102-600, eff. 8-27-21; 102-662,  | 
eff. 9-15-21; revised 11-23-21.)
 | 
 Section 225. The State Property Control Act is amended by  | 
changing Sections 7b and 7c as follows:
 | 
 (30 ILCS 605/7b)
 | 
 Sec. 7b. Maintenance and operation of Illinois State  | 
Police vehicles. All proceeds received by the Department
of  | 
Central Management Services under this Act from the sale of  | 
vehicles
operated
by the Illinois State Police shall be  | 
 | 
deposited
into the State Police Vehicle Fund.
Illinois
 | 
(Source: P.A. 101-636, eff. 6-10-20; 102-505, eff. 8-20-21;  | 
102-538, eff. 8-20-21; revised 10-28-21.)
 | 
 (30 ILCS 605/7c) | 
 Sec. 7c. Acquisition of Illinois State Police vehicles.  | 
 (a) The State Police Vehicle Fund is created as a special  | 
fund in the State treasury. All moneys in the Fund, subject to  | 
appropriation, shall be used by the Illinois State Police: | 
  (1) for the acquisition of vehicles for the Illinois  | 
 State Police; | 
  (2) for debt service on bonds issued to finance the  | 
 acquisition of vehicles for the Illinois State Police; or
 | 
  (3) for the maintenance and operation of vehicles for  | 
 the Illinois State Police.  | 
 (b) Notwithstanding any other provision of law to the  | 
contrary, and in addition to any other transfers that may be  | 
provided by law, on August 20, 2021 (the effective date of  | 
Public Act 102-505) this amendatory Act of the 102nd General  | 
Assembly, or as soon thereafter as practicable, the State  | 
Comptroller shall direct and the State Treasurer shall  | 
transfer the remaining balance from the State Police Vehicle  | 
Maintenance Fund into the State Police Vehicle Fund. Upon  | 
completion of the transfer, the State Police Vehicle  | 
Maintenance Fund is dissolved, and any future deposits due to  | 
that Fund and any outstanding obligations or liabilities of  | 
 | 
that Fund shall pass to the State Police Vehicle Fund.  | 
(Source: P.A. 102-505, eff. 8-20-21; 102-538, eff. 8-20-21;  | 
revised 11-2-21.)
 | 
 Section 230. The Grant Accountability and Transparency Act  | 
is amended by changing Sections 20 and 45 as follows:
 | 
 (30 ILCS 708/20)
 | 
 Sec. 20. Adoption of federal rules applicable to grants.  | 
 (a) On or before July 1, 2016, the Governor's Office of  | 
Management and Budget, with the advice and technical  | 
assistance of the Illinois Single Audit Commission, shall  | 
adopt rules which adopt the Uniform Guidance at 2 CFR 200. The  | 
rules, which shall apply to all State and federal pass-through  | 
awards effective on and after July 1, 2016, shall include the  | 
following:
 | 
  (1) Administrative requirements. In accordance with  | 
 Subparts B through D of 2 CFR 200, the rules shall set  | 
 forth the uniform administrative requirements for grant  | 
 and cooperative agreements, including the requirements for  | 
 the management by State awarding agencies of federal grant  | 
 programs before State and federal pass-through awards have  | 
 been made and requirements that State awarding agencies  | 
 may impose on non-federal entities in State and federal  | 
 pass-through awards.
 | 
  (2) Cost principles. In accordance with Subpart E of 2  | 
 | 
 CFR 200, the rules shall establish principles for  | 
 determining the allowable costs incurred by non-federal  | 
 entities under State and federal pass-through awards. The  | 
 principles are intended for cost determination, but are  | 
 not intended to identify the circumstances or dictate the  | 
 extent of State or federal pass-through participation in  | 
 financing a particular program or project. The principles  | 
 shall provide that State and federal awards bear their  | 
 fair share of cost recognized under these principles,  | 
 except where restricted or prohibited by State or federal  | 
 law.
 | 
  (3) Audit and single audit requirements and audit  | 
 follow-up. In accordance with Subpart F of 2 CFR 200 and  | 
 the federal Single Audit Act Amendments of 1996, the rules  | 
 shall set forth standards to obtain consistency and  | 
 uniformity among State and federal pass-through awarding  | 
 agencies for the audit of non-federal entities expending  | 
 State and federal awards. These provisions shall also set  | 
 forth the policies and procedures for State and federal  | 
 pass-through entities when using the results of these  | 
 audits. | 
  The provisions of this item (3) do not apply to  | 
 for-profit subrecipients because for-profit subrecipients  | 
 are not subject to the requirements of 2 CFR 200, Subpart  | 
 F, Audits of States, Local and Non-Profit Organizations.  | 
 Audits of for-profit subrecipients must be conducted  | 
 | 
 pursuant to a Program Audit Guide issued by the Federal  | 
 awarding agency. If a Program Audit Guide is not  | 
 available, the State awarding agency must prepare a  | 
 Program Audit Guide in accordance with the 2 CFR 200,  | 
 Subpart F – Audit Requirements - Compliance Supplement.  | 
 For-profit entities are subject to all other general  | 
 administrative requirements and cost principles applicable  | 
 to grants. | 
 (b) This Act addresses only State and federal pass-through  | 
auditing functions and does not address the external audit  | 
function of the Auditor General. | 
 (c) For public institutions of higher education, the  | 
provisions of this Section apply only to awards funded by  | 
federal pass-through awards from a State agency to public  | 
institutions of higher education. Federal pass-through awards  | 
from a State agency to public institutions of higher education  | 
are governed by and must comply with federal guidelines under  | 
2 CFR 200. | 
 (d) The State grant-making agency is responsible for  | 
establishing requirements, as necessary, to ensure compliance  | 
by for-profit subrecipients. The agreement with the for-profit  | 
subrecipient shall describe the applicable compliance  | 
requirements and the for-profit subrecipient's compliance  | 
responsibility. Methods to ensure compliance for State and  | 
federal pass-through awards made to for-profit subrecipients  | 
shall include pre-award, audits, monitoring during the  | 
 | 
agreement, and post-award audits. The Governor's Office of  | 
Management and Budget shall provide such advice and technical  | 
assistance to the State grant-making agency as is necessary or  | 
indicated.
 | 
(Source: P.A. 102-626, eff. 8-27-21; revised 12-2-21.)
 | 
 (30 ILCS 708/45)
 | 
 Sec. 45. Applicability.
 | 
 (a) Except as otherwise provided in this Section, the  | 
requirements established under this Act apply to State  | 
grant-making agencies that make State and federal pass-through  | 
awards to non-federal entities. These requirements apply to  | 
all costs related to State and federal pass-through awards.
 | 
The requirements established under this Act do not apply to  | 
private awards, to allocations of State revenues paid over by  | 
the Comptroller to units of local government and other taxing  | 
districts pursuant to the State Revenue Sharing Act from the  | 
Local Government Distributive Fund or the Personal Property  | 
Tax Replacement Fund, or to allotments of State motor fuel tax  | 
revenues distributed by the Department of Transportation to  | 
units of local government pursuant to the Motor Fuel Tax Law  | 
from the Motor Fuel Tax Fund or the Transportation Renewal  | 
Fund. | 
 (a-5) Nothing in this Act shall prohibit the use of State  | 
funds for purposes of federal match or maintenance of effort. | 
 (b) The terms and conditions of State, federal, and  | 
 | 
pass-through awards apply to subawards and subrecipients  | 
unless a particular Section of this Act or the terms and  | 
conditions of the State or federal award specifically indicate  | 
otherwise. Non-federal entities shall comply with requirements  | 
of this Act regardless of whether the non-federal entity is a  | 
recipient or subrecipient of a State or federal pass-through  | 
award. Pass-through entities shall comply with the  | 
requirements set forth under the rules adopted under  | 
subsection (a) of Section 20 of this Act, but not to any  | 
requirements in this Act directed towards State or federal  | 
awarding agencies, unless the requirements of the State or  | 
federal awards indicate otherwise.
 | 
 When a non-federal entity is awarded a cost-reimbursement  | 
contract, only 2 CFR 200.330 through 200.332 are incorporated  | 
by reference into the contract. However, when the Cost  | 
Accounting Standards are applicable to the contract, they take  | 
precedence over the requirements of this Act unless they are  | 
in conflict with Subpart F of 2 CFR 200. In addition, costs  | 
that are made unallowable under 10 U.S.C. 2324(e) and 41  | 
U.S.C. 4304(a), as described in the Federal Acquisition  | 
Regulations, subpart 31.2 and subpart 31.603, are always  | 
unallowable. For requirements other than those covered in  | 
Subpart D of 2 CFR 200.330 through 200.332, the terms of the  | 
contract and the Federal Acquisition Regulations apply.
 | 
 With the exception of Subpart F of 2 CFR 200, which is  | 
required by the Single Audit Act, in any circumstances where  | 
 | 
the provisions of federal statutes or regulations differ from  | 
the provisions of this Act, the provision of the federal  | 
statutes or regulations govern. This includes, for agreements  | 
with Indian tribes, the provisions of the Indian  | 
Self-Determination and Education and Assistance Act, as  | 
amended, 25 U.S.C. 450-458ddd-2.
 | 
 (c) State grant-making agencies may apply subparts A  | 
through E of 2 CFR 200 to for-profit entities, foreign public  | 
entities, or foreign organizations, except where the awarding  | 
agency determines that the application of these subparts would  | 
be inconsistent with the international obligations of the  | 
United States or the statute or regulations of a foreign  | 
government.
 | 
 (d) 2 CFR 200.101 specifies how 2 CFR 200 is applicable to  | 
different types of awards. The same applicability applies to  | 
this Act.
 | 
 (e) (Blank). | 
 (f) For public institutions of higher education, the  | 
provisions of this Act apply only to awards funded by federal  | 
pass-through awards from a State agency to public institutions  | 
of higher education. This Act shall recognize provisions in 2  | 
CFR 200 as applicable to public institutions of higher  | 
education, including Appendix III of Part 200 and the cost  | 
principles under Subpart E.  | 
 (g) Each grant-making agency shall enhance its processes  | 
to monitor and address noncompliance with reporting  | 
 | 
requirements and with program performance standards. Where  | 
applicable, the process may include a corrective action plan.  | 
The monitoring process shall include a plan for tracking and  | 
documenting performance-based contracting decisions.
 | 
 (h) Notwithstanding any provision of law to the contrary,  | 
grants awarded from federal funds received from the federal  | 
Coronavirus State Fiscal Recovery Fund in accordance with  | 
Section 9901 of the American Rescue Plan Act of 2021 are  | 
subject to the provisions of this Act, but only to the extent  | 
required by Section 9901 of the American Rescue Plan Act of  | 
2021 and other applicable federal law or regulation.  | 
(Source: P.A. 101-81, eff. 7-12-19; 102-16, eff. 6-17-21;  | 
102-626, eff. 8-27-21; revised 10-27-21.)
 | 
 Section 235. The Intergovernmental Drug Laws Enforcement  | 
Act is amended by changing Section 3 as follows:
 | 
 (30 ILCS 715/3) (from Ch. 56 1/2, par. 1703)
 | 
 Sec. 3. 
A Metropolitan Enforcement Group which meets the  | 
minimum
criteria established in this Section is eligible to  | 
receive State grants
to help defray the costs of operation. To  | 
be eligible a MEG must:
 | 
  (1) Be established and operating pursuant to  | 
 intergovernmental
contracts written and executed in  | 
 conformity with the Intergovernmental
Cooperation Act, and  | 
 involve 2 or more units of local government.
 | 
 | 
  (2) Establish a MEG Policy Board composed of an  | 
 elected official, or
his designee, and the chief law  | 
 enforcement officer, or his designee,
from each  | 
 participating unit of local government to oversee the
 | 
 operations of the MEG and make such reports to the  | 
 Illinois State
Police as the Illinois State
Police may  | 
 require.
 | 
  (3) Designate a single appropriate elected official of  | 
 a
participating unit of local government to act as the  | 
 financial officer
of the MEG for all participating units  | 
 of local government and to
receive funds for the operation  | 
 of the MEG.
 | 
  (4) Limit its operations to enforcement of drug laws;  | 
 enforcement of
Sections 10-9, 24-1, 24-1.1, 24-1.2,  | 
 24-1.2-5, 24-1.5, 24-1.7, 24-1.8, 24-2.1,
24-2.2, 24-3,  | 
 24-3.1, 24-3.2, 24-3.3, 24-3.4, 24-3.5, 24-3.7, 24-3.8,  | 
 24-3.9, 24-3A, 24-3B, 24-4, and 24-5 of the
Criminal Code  | 
 of 2012; Sections 2, 3, 6.1, and 14 of the Firearm Owners  | 
 Identification Card Act; and the investigation of  | 
 streetgang related offenses.
 | 
  (5) Cooperate with the Illinois State Police in order  | 
 to
assure compliance with this Act and to enable the  | 
 Illinois State
Police to fulfill
its duties under this  | 
 Act, and supply the Illinois State
Police with all
 | 
 information the Illinois State
Police deems necessary  | 
 therefor.
 | 
 | 
  (6) Receive funding of at least 50% of the total  | 
 operating budget of
the MEG from the participating units  | 
 of local government.
 | 
(Source: P.A. 102-237, eff. 1-1-22; 102-538, eff. 8-20-21;  | 
revised 10-6-21.)
 | 
 Section 240. The State Mandates Act is amended by changing  | 
Sections 8.43, 8.44, and 8.45 as follows:
 | 
 (30 ILCS 805/8.43) | 
 Sec. 8.43. Exempt mandate.  | 
 (a) Notwithstanding Sections 6 and 8 of this Act, no  | 
reimbursement by the State is required for the implementation  | 
of any mandate created by Public Act 101-11, 101-49, 101-275,  | 
101-320, 101-377, 101-387, 101-474, 101-492, 101-502, 101-504,  | 
101-522, 101-610, or 101-627, or 101-673. | 
 (b) Notwithstanding Sections 6 and 8 of this Act, no  | 
reimbursement by the State is required for the implementation  | 
of any mandate created by the Seizure Smart School Act. | 
(Source: P.A. 101-11, eff. 6-7-19; 101-49, eff. 7-12-19;  | 
101-50, eff. 7-1-20; 101-275, eff. 8-9-19; 101-320, eff.  | 
8-9-19; 101-377, eff. 8-16-19; 101-387, eff. 8-16-19; 101-474,  | 
eff. 8-23-19; 101-492, eff. 8-23-19; 101-502, eff. 8-23-19;  | 
101-504, eff. 7-1-20; 101-522, eff. 8-23-19; 101-610, eff.  | 
1-1-20; 101-627, eff. 1-24-20; 101-673, eff. 4-5-21; 102-558,  | 
eff. 8-20-21; revised 9-28-21.)
 | 
 | 
 (30 ILCS 805/8.44) | 
 Sec. 8.44. Exempt mandate.  | 
 (a) Notwithstanding Sections 6 and 8 of this Act, no  | 
reimbursement by the State is required for the implementation  | 
of any mandate created by Section 4-7 of the Illinois Local  | 
Library Act or Section 30-55.60 of the Public Library District  | 
Act of 1991.
 | 
 (b) Notwithstanding Sections 6 and 8 of this Act, no  | 
reimbursement by the State is required for the implementation  | 
of any mandate created by Public Act 101-633 or 101-653. | 
(Source: P.A. 101-632, eff. 6-5-20; 101-633, eff. 6-5-20;  | 
101-653, eff. 2-28-21; 102-558, eff. 8-20-21; revised  | 
8-20-21.)
 | 
 (30 ILCS 805/8.45) | 
 (Text of Section before amendment by P.A. 102-466) | 
 Sec. 8.45. Exempt mandate. Notwithstanding Sections 6 and  | 
8 of this Act, no reimbursement by the State is required for  | 
the implementation of any mandate created by Public Act  | 
102-16, 102-63, 102-81, 102-91, 102-97, 102-113, 102-125,  | 
102-202, 102-210, 102-263, 102-265, 102-293, 102-342, 102-540,  | 
102-552, or 102-636 this amendatory Act of the 102nd General  | 
Assembly.
 | 
(Source: P.A. 102-16, eff. 6-17-21; 102-63, eff. 7-9-21;  | 
102-81, eff. 7-9-21; 102-91, eff. 7-9-21; 102-97, eff. 1-1-22;  | 
 | 
102-113, eff. 7-23-21; 102-125, eff. 7-23-21; 102-202, eff.  | 
7-30-21; 102-210, eff. 1-1-22; 102-263, eff. 8-6-21; 102-265,  | 
eff. 8-6-21; 102-293, eff. 8-6-21; 102-342, eff. 8-13-21;  | 
102-540, eff. 8-20-21; 102-552, eff. 1-1-22; 102-636, eff.  | 
8-27-21; revised 10-1-21.)
 | 
 (Text of Section after amendment by P.A. 102-466) | 
 Sec. 8.45. Exempt mandate. Notwithstanding Sections 6 and  | 
8 of this Act, no reimbursement by the State is required for  | 
the implementation of any mandate created by Public Act  | 
102-16, 102-63, 102-81, 102-91, 102-97, 102-113, 102-125,  | 
102-202, 102-210, 102-263, 102-265, 102-293, 102-342, 102-466,  | 
102-540, 102-552, or 102-636 this amendatory Act of the 102nd  | 
General Assembly.
 | 
(Source: P.A. 102-16, eff. 6-17-21; 102-63, eff. 7-9-21;  | 
102-81, eff. 7-9-21; 102-91, eff. 7-9-21; 102-97, eff. 1-1-22;  | 
102-113, eff. 7-23-21; 102-125, eff. 7-23-21; 102-202, eff.  | 
7-30-21; 102-210, eff. 1-1-22; 102-263, eff. 8-6-21; 102-265,  | 
eff. 8-6-21; 102-293, eff. 8-6-21; 102-342, eff. 8-13-21;  | 
102-466, eff. 7-1-25; 102-540, eff. 8-20-21; 102-552, eff.  | 
1-1-22; 102-636, eff. 8-27-21; revised 10-1-21.)
 | 
 Section 245. The Illinois Income Tax Act is amended by  | 
changing Sections 203, 901, and 917 as follows:
 | 
 (35 ILCS 5/203) (from Ch. 120, par. 2-203) | 
 | 
 Sec. 203. Base income defined.  | 
 (a) Individuals. | 
  (1) In general. In the case of an individual, base  | 
 income means an
amount equal to the taxpayer's adjusted  | 
 gross income for the taxable
year as modified by paragraph  | 
 (2). | 
  (2) Modifications. The adjusted gross income referred  | 
 to in
paragraph (1) shall be modified by adding thereto  | 
 the sum of the
following amounts: | 
   (A) An amount equal to all amounts paid or accrued  | 
 to the taxpayer
as interest or dividends during the  | 
 taxable year to the extent excluded
from gross income  | 
 in the computation of adjusted gross income, except  | 
 stock
dividends of qualified public utilities  | 
 described in Section 305(e) of the
Internal Revenue  | 
 Code; | 
   (B) An amount equal to the amount of tax imposed by  | 
 this Act to the
extent deducted from gross income in  | 
 the computation of adjusted gross
income for the  | 
 taxable year; | 
   (C) An amount equal to the amount received during  | 
 the taxable year
as a recovery or refund of real  | 
 property taxes paid with respect to the
taxpayer's  | 
 principal residence under the Revenue Act of
1939 and  | 
 for which a deduction was previously taken under  | 
 subparagraph (L) of
this paragraph (2) prior to July  | 
 | 
 1, 1991, the retrospective application date of
Article  | 
 4 of Public Act 87-17. In the case of multi-unit or  | 
 multi-use
structures and farm dwellings, the taxes on  | 
 the taxpayer's principal residence
shall be that  | 
 portion of the total taxes for the entire property  | 
 which is
attributable to such principal residence; | 
   (D) An amount equal to the amount of the capital  | 
 gain deduction
allowable under the Internal Revenue  | 
 Code, to the extent deducted from gross
income in the  | 
 computation of adjusted gross income; | 
   (D-5) An amount, to the extent not included in  | 
 adjusted gross income,
equal to the amount of money  | 
 withdrawn by the taxpayer in the taxable year from
a  | 
 medical care savings account and the interest earned  | 
 on the account in the
taxable year of a withdrawal  | 
 pursuant to subsection (b) of Section 20 of the
 | 
 Medical Care Savings Account Act or subsection (b) of  | 
 Section 20 of the
Medical Care Savings Account Act of  | 
 2000; | 
   (D-10) For taxable years ending after December 31,  | 
 1997, an
amount equal to any eligible remediation  | 
 costs that the individual
deducted in computing  | 
 adjusted gross income and for which the
individual  | 
 claims a credit under subsection (l) of Section 201; | 
   (D-15) For taxable years 2001 and thereafter, an  | 
 amount equal to the
bonus depreciation deduction taken  | 
 | 
 on the taxpayer's federal income tax return for the  | 
 taxable
year under subsection (k) of Section 168 of  | 
 the Internal Revenue Code; | 
   (D-16) If the taxpayer sells, transfers, abandons,  | 
 or otherwise disposes of property for which the  | 
 taxpayer was required in any taxable year to
make an  | 
 addition modification under subparagraph (D-15), then  | 
 an amount equal
to the aggregate amount of the  | 
 deductions taken in all taxable
years under  | 
 subparagraph (Z) with respect to that property. | 
   If the taxpayer continues to own property through  | 
 the last day of the last tax year for which a  | 
 subtraction is allowed with respect to that property  | 
 under subparagraph (Z) and for which the taxpayer was  | 
 allowed in any taxable year to make a subtraction  | 
 modification under subparagraph (Z), then an amount  | 
 equal to that subtraction modification.
 | 
   The taxpayer is required to make the addition  | 
 modification under this
subparagraph
only once with  | 
 respect to any one piece of property; | 
   (D-17) An amount equal to the amount otherwise  | 
 allowed as a deduction in computing base income for  | 
 interest paid, accrued, or incurred, directly or  | 
 indirectly, (i) for taxable years ending on or after  | 
 December 31, 2004, to a foreign person who would be a  | 
 member of the same unitary business group but for the  | 
 | 
 fact that foreign person's business activity outside  | 
 the United States is 80% or more of the foreign  | 
 person's total business activity and (ii) for taxable  | 
 years ending on or after December 31, 2008, to a person  | 
 who would be a member of the same unitary business  | 
 group but for the fact that the person is prohibited  | 
 under Section 1501(a)(27) from being included in the  | 
 unitary business group because he or she is ordinarily  | 
 required to apportion business income under different  | 
 subsections of Section 304. The addition modification  | 
 required by this subparagraph shall be reduced to the  | 
 extent that dividends were included in base income of  | 
 the unitary group for the same taxable year and  | 
 received by the taxpayer or by a member of the  | 
 taxpayer's unitary business group (including amounts  | 
 included in gross income under Sections 951 through  | 
 964 of the Internal Revenue Code and amounts included  | 
 in gross income under Section 78 of the Internal  | 
 Revenue Code) with respect to the stock of the same  | 
 person to whom the interest was paid, accrued, or  | 
 incurred. | 
   This paragraph shall not apply to the following:
 | 
    (i) an item of interest paid, accrued, or  | 
 incurred, directly or indirectly, to a person who  | 
 is subject in a foreign country or state, other  | 
 than a state which requires mandatory unitary  | 
 | 
 reporting, to a tax on or measured by net income  | 
 with respect to such interest; or | 
    (ii) an item of interest paid, accrued, or  | 
 incurred, directly or indirectly, to a person if  | 
 the taxpayer can establish, based on a  | 
 preponderance of the evidence, both of the  | 
 following: | 
     (a) the person, during the same taxable  | 
 year, paid, accrued, or incurred, the interest  | 
 to a person that is not a related member, and | 
     (b) the transaction giving rise to the  | 
 interest expense between the taxpayer and the  | 
 person did not have as a principal purpose the  | 
 avoidance of Illinois income tax, and is paid  | 
 pursuant to a contract or agreement that  | 
 reflects an arm's-length interest rate and  | 
 terms; or
 | 
    (iii) the taxpayer can establish, based on  | 
 clear and convincing evidence, that the interest  | 
 paid, accrued, or incurred relates to a contract  | 
 or agreement entered into at arm's-length rates  | 
 and terms and the principal purpose for the  | 
 payment is not federal or Illinois tax avoidance;  | 
 or
 | 
    (iv) an item of interest paid, accrued, or  | 
 incurred, directly or indirectly, to a person if  | 
 | 
 the taxpayer establishes by clear and convincing  | 
 evidence that the adjustments are unreasonable; or  | 
 if the taxpayer and the Director agree in writing  | 
 to the application or use of an alternative method  | 
 of apportionment under Section 304(f).
 | 
    Nothing in this subsection shall preclude the  | 
 Director from making any other adjustment  | 
 otherwise allowed under Section 404 of this Act  | 
 for any tax year beginning after the effective  | 
 date of this amendment provided such adjustment is  | 
 made pursuant to regulation adopted by the  | 
 Department and such regulations provide methods  | 
 and standards by which the Department will utilize  | 
 its authority under Section 404 of this Act;
 | 
   (D-18) An amount equal to the amount of intangible  | 
 expenses and costs otherwise allowed as a deduction in  | 
 computing base income, and that were paid, accrued, or  | 
 incurred, directly or indirectly, (i) for taxable  | 
 years ending on or after December 31, 2004, to a  | 
 foreign person who would be a member of the same  | 
 unitary business group but for the fact that the  | 
 foreign person's business activity outside the United  | 
 States is 80% or more of that person's total business  | 
 activity and (ii) for taxable years ending on or after  | 
 December 31, 2008, to a person who would be a member of  | 
 the same unitary business group but for the fact that  | 
 | 
 the person is prohibited under Section 1501(a)(27)  | 
 from being included in the unitary business group  | 
 because he or she is ordinarily required to apportion  | 
 business income under different subsections of Section  | 
 304. The addition modification required by this  | 
 subparagraph shall be reduced to the extent that  | 
 dividends were included in base income of the unitary  | 
 group for the same taxable year and received by the  | 
 taxpayer or by a member of the taxpayer's unitary  | 
 business group (including amounts included in gross  | 
 income under Sections 951 through 964 of the Internal  | 
 Revenue Code and amounts included in gross income  | 
 under Section 78 of the Internal Revenue Code) with  | 
 respect to the stock of the same person to whom the  | 
 intangible expenses and costs were directly or  | 
 indirectly paid, incurred, or accrued. The preceding  | 
 sentence does not apply to the extent that the same  | 
 dividends caused a reduction to the addition  | 
 modification required under Section 203(a)(2)(D-17) of  | 
 this Act. As used in this subparagraph, the term  | 
 "intangible expenses and costs" includes (1) expenses,  | 
 losses, and costs for, or related to, the direct or  | 
 indirect acquisition, use, maintenance or management,  | 
 ownership, sale, exchange, or any other disposition of  | 
 intangible property; (2) losses incurred, directly or  | 
 indirectly, from factoring transactions or discounting  | 
 | 
 transactions; (3) royalty, patent, technical, and  | 
 copyright fees; (4) licensing fees; and (5) other  | 
 similar expenses and costs.
For purposes of this  | 
 subparagraph, "intangible property" includes patents,  | 
 patent applications, trade names, trademarks, service  | 
 marks, copyrights, mask works, trade secrets, and  | 
 similar types of intangible assets. | 
   This paragraph shall not apply to the following: | 
    (i) any item of intangible expenses or costs  | 
 paid, accrued, or incurred, directly or  | 
 indirectly, from a transaction with a person who  | 
 is subject in a foreign country or state, other  | 
 than a state which requires mandatory unitary  | 
 reporting, to a tax on or measured by net income  | 
 with respect to such item; or | 
    (ii) any item of intangible expense or cost  | 
 paid, accrued, or incurred, directly or  | 
 indirectly, if the taxpayer can establish, based  | 
 on a preponderance of the evidence, both of the  | 
 following: | 
     (a) the person during the same taxable  | 
 year paid, accrued, or incurred, the  | 
 intangible expense or cost to a person that is  | 
 not a related member, and | 
     (b) the transaction giving rise to the  | 
 intangible expense or cost between the  | 
 | 
 taxpayer and the person did not have as a  | 
 principal purpose the avoidance of Illinois  | 
 income tax, and is paid pursuant to a contract  | 
 or agreement that reflects arm's-length terms;  | 
 or | 
    (iii) any item of intangible expense or cost  | 
 paid, accrued, or incurred, directly or  | 
 indirectly, from a transaction with a person if  | 
 the taxpayer establishes by clear and convincing  | 
 evidence, that the adjustments are unreasonable;  | 
 or if the taxpayer and the Director agree in  | 
 writing to the application or use of an  | 
 alternative method of apportionment under Section  | 
 304(f);
 | 
    Nothing in this subsection shall preclude the  | 
 Director from making any other adjustment  | 
 otherwise allowed under Section 404 of this Act  | 
 for any tax year beginning after the effective  | 
 date of this amendment provided such adjustment is  | 
 made pursuant to regulation adopted by the  | 
 Department and such regulations provide methods  | 
 and standards by which the Department will utilize  | 
 its authority under Section 404 of this Act;
 | 
   (D-19) For taxable years ending on or after  | 
 December 31, 2008, an amount equal to the amount of  | 
 insurance premium expenses and costs otherwise allowed  | 
 | 
 as a deduction in computing base income, and that were  | 
 paid, accrued, or incurred, directly or indirectly, to  | 
 a person who would be a member of the same unitary  | 
 business group but for the fact that the person is  | 
 prohibited under Section 1501(a)(27) from being  | 
 included in the unitary business group because he or  | 
 she is ordinarily required to apportion business  | 
 income under different subsections of Section 304. The  | 
 addition modification required by this subparagraph  | 
 shall be reduced to the extent that dividends were  | 
 included in base income of the unitary group for the  | 
 same taxable year and received by the taxpayer or by a  | 
 member of the taxpayer's unitary business group  | 
 (including amounts included in gross income under  | 
 Sections 951 through 964 of the Internal Revenue Code  | 
 and amounts included in gross income under Section 78  | 
 of the Internal Revenue Code) with respect to the  | 
 stock of the same person to whom the premiums and costs  | 
 were directly or indirectly paid, incurred, or  | 
 accrued. The preceding sentence does not apply to the  | 
 extent that the same dividends caused a reduction to  | 
 the addition modification required under Section  | 
 203(a)(2)(D-17) or Section 203(a)(2)(D-18) of this  | 
 Act;
 | 
   (D-20) For taxable years beginning on or after  | 
 January 1,
2002 and ending on or before December 31,  | 
 | 
 2006, in
the
case of a distribution from a qualified  | 
 tuition program under Section 529 of
the Internal  | 
 Revenue Code, other than (i) a distribution from a  | 
 College Savings
Pool created under Section 16.5 of the  | 
 State Treasurer Act or (ii) a
distribution from the  | 
 Illinois Prepaid Tuition Trust Fund, an amount equal  | 
 to
the amount excluded from gross income under Section  | 
 529(c)(3)(B). For taxable years beginning on or after  | 
 January 1, 2007, in the case of a distribution from a  | 
 qualified tuition program under Section 529 of the  | 
 Internal Revenue Code, other than (i) a distribution  | 
 from a College Savings Pool created under Section 16.5  | 
 of the State Treasurer Act, (ii) a distribution from  | 
 the Illinois Prepaid Tuition Trust Fund, or (iii) a  | 
 distribution from a qualified tuition program under  | 
 Section 529 of the Internal Revenue Code that (I)  | 
 adopts and determines that its offering materials  | 
 comply with the College Savings Plans Network's  | 
 disclosure principles and (II) has made reasonable  | 
 efforts to inform in-state residents of the existence  | 
 of in-state qualified tuition programs by informing  | 
 Illinois residents directly and, where applicable, to  | 
 inform financial intermediaries distributing the  | 
 program to inform in-state residents of the existence  | 
 of in-state qualified tuition programs at least  | 
 annually, an amount equal to the amount excluded from  | 
 | 
 gross income under Section 529(c)(3)(B). | 
   For the purposes of this subparagraph (D-20), a  | 
 qualified tuition program has made reasonable efforts  | 
 if it makes disclosures (which may use the term  | 
 "in-state program" or "in-state plan" and need not  | 
 specifically refer to Illinois or its qualified  | 
 programs by name) (i) directly to prospective  | 
 participants in its offering materials or makes a  | 
 public disclosure, such as a website posting; and (ii)  | 
 where applicable, to intermediaries selling the  | 
 out-of-state program in the same manner that the  | 
 out-of-state program distributes its offering  | 
 materials; | 
   (D-20.5) For taxable years beginning on or after  | 
 January 1, 2018, in the case of a distribution from a  | 
 qualified ABLE program under Section 529A of the  | 
 Internal Revenue Code, other than a distribution from  | 
 a qualified ABLE program created under Section 16.6 of  | 
 the State Treasurer Act, an amount equal to the amount  | 
 excluded from gross income under Section 529A(c)(1)(B)  | 
 of the Internal Revenue Code;  | 
   (D-21) For taxable years beginning on or after  | 
 January 1, 2007, in the case of transfer of moneys from  | 
 a qualified tuition program under Section 529 of the  | 
 Internal Revenue Code that is administered by the  | 
 State to an out-of-state program, an amount equal to  | 
 | 
 the amount of moneys previously deducted from base  | 
 income under subsection (a)(2)(Y) of this Section; | 
   (D-21.5) For taxable years beginning on or after  | 
 January 1, 2018, in the case of the transfer of moneys  | 
 from a qualified tuition program under Section 529 or  | 
 a qualified ABLE program under Section 529A of the  | 
 Internal Revenue Code that is administered by this  | 
 State to an ABLE account established under an  | 
 out-of-state ABLE account program, an amount equal to  | 
 the contribution component of the transferred amount  | 
 that was previously deducted from base income under  | 
 subsection (a)(2)(Y) or subsection (a)(2)(HH) of this  | 
 Section;  | 
   (D-22) For taxable years beginning on or after  | 
 January 1, 2009, and prior to January 1, 2018, in the  | 
 case of a nonqualified withdrawal or refund of moneys  | 
 from a qualified tuition program under Section 529 of  | 
 the Internal Revenue Code administered by the State  | 
 that is not used for qualified expenses at an eligible  | 
 education institution, an amount equal to the  | 
 contribution component of the nonqualified withdrawal  | 
 or refund that was previously deducted from base  | 
 income under subsection (a)(2)(y) of this Section,  | 
 provided that the withdrawal or refund did not result  | 
 from the beneficiary's death or disability. For  | 
 taxable years beginning on or after January 1, 2018:  | 
 | 
 (1) in the case of a nonqualified withdrawal or  | 
 refund, as defined under Section
16.5 of the State  | 
 Treasurer Act, of moneys from a qualified tuition  | 
 program under Section 529 of the Internal Revenue Code  | 
 administered by the State, an amount equal to the  | 
 contribution component of the nonqualified withdrawal  | 
 or refund that was previously deducted from base
 | 
 income under subsection (a)(2)(Y) of this Section, and  | 
 (2) in the case of a nonqualified withdrawal or refund  | 
 from a qualified ABLE program under Section 529A of  | 
 the Internal Revenue Code administered by the State  | 
 that is not used for qualified disability expenses, an  | 
 amount equal to the contribution component of the  | 
 nonqualified withdrawal or refund that was previously  | 
 deducted from base income under subsection (a)(2)(HH)  | 
 of this Section; | 
   (D-23) An amount equal to the credit allowable to  | 
 the taxpayer under Section 218(a) of this Act,  | 
 determined without regard to Section 218(c) of this  | 
 Act; | 
   (D-24) For taxable years ending on or after  | 
 December 31, 2017, an amount equal to the deduction  | 
 allowed under Section 199 of the Internal Revenue Code  | 
 for the taxable year;  | 
   (D-25) In the case of a resident, an amount equal  | 
 to the amount of tax for which a credit is allowed  | 
 | 
 pursuant to Section 201(p)(7) of this Act;  | 
 and by deducting from the total so obtained the
sum of the  | 
 following amounts: | 
   (E) For taxable years ending before December 31,  | 
 2001,
any amount included in such total in respect of  | 
 any compensation
(including but not limited to any  | 
 compensation paid or accrued to a
serviceman while a  | 
 prisoner of war or missing in action) paid to a  | 
 resident
by reason of being on active duty in the Armed  | 
 Forces of the United States
and in respect of any  | 
 compensation paid or accrued to a resident who as a
 | 
 governmental employee was a prisoner of war or missing  | 
 in action, and in
respect of any compensation paid to a  | 
 resident in 1971 or thereafter for
annual training  | 
 performed pursuant to Sections 502 and 503, Title 32,
 | 
 United States Code as a member of the Illinois  | 
 National Guard or, beginning with taxable years ending  | 
 on or after December 31, 2007, the National Guard of  | 
 any other state.
For taxable years ending on or after  | 
 December 31, 2001, any amount included in
such total  | 
 in respect of any compensation (including but not  | 
 limited to any
compensation paid or accrued to a  | 
 serviceman while a prisoner of war or missing
in  | 
 action) paid to a resident by reason of being a member  | 
 of any component of
the Armed Forces of the United  | 
 States and in respect of any compensation paid
or  | 
 | 
 accrued to a resident who as a governmental employee  | 
 was a prisoner of war
or missing in action, and in  | 
 respect of any compensation paid to a resident in
2001  | 
 or thereafter by reason of being a member of the  | 
 Illinois National Guard or, beginning with taxable  | 
 years ending on or after December 31, 2007, the  | 
 National Guard of any other state.
The provisions of  | 
 this subparagraph (E) are exempt
from the provisions  | 
 of Section 250; | 
   (F) An amount equal to all amounts included in  | 
 such total pursuant
to the provisions of Sections  | 
 402(a), 402(c), 403(a), 403(b), 406(a), 407(a),
and  | 
 408 of the Internal Revenue Code, or included in such  | 
 total as
distributions under the provisions of any  | 
 retirement or disability plan for
employees of any  | 
 governmental agency or unit, or retirement payments to
 | 
 retired partners, which payments are excluded in  | 
 computing net earnings
from self employment by Section  | 
 1402 of the Internal Revenue Code and
regulations  | 
 adopted pursuant thereto; | 
   (G) The valuation limitation amount; | 
   (H) An amount equal to the amount of any tax  | 
 imposed by this Act
which was refunded to the taxpayer  | 
 and included in such total for the
taxable year; | 
   (I) An amount equal to all amounts included in  | 
 such total pursuant
to the provisions of Section 111  | 
 | 
 of the Internal Revenue Code as a
recovery of items  | 
 previously deducted from adjusted gross income in the
 | 
 computation of taxable income; | 
   (J) An amount equal to those dividends included in  | 
 such total which were
paid by a corporation which  | 
 conducts business operations in a River Edge  | 
 Redevelopment Zone or zones created under the River  | 
 Edge Redevelopment Zone Act, and conducts
 | 
 substantially all of its operations in a River Edge  | 
 Redevelopment Zone or zones. This subparagraph (J) is  | 
 exempt from the provisions of Section 250; | 
   (K) An amount equal to those dividends included in  | 
 such total that
were paid by a corporation that  | 
 conducts business operations in a federally
designated  | 
 Foreign Trade Zone or Sub-Zone and that is designated  | 
 a High Impact
Business located in Illinois; provided  | 
 that dividends eligible for the
deduction provided in  | 
 subparagraph (J) of paragraph (2) of this subsection
 | 
 shall not be eligible for the deduction provided under  | 
 this subparagraph
(K); | 
   (L) For taxable years ending after December 31,  | 
 1983, an amount equal to
all social security benefits  | 
 and railroad retirement benefits included in
such  | 
 total pursuant to Sections 72(r) and 86 of the  | 
 Internal Revenue Code; | 
   (M) With the exception of any amounts subtracted  | 
 | 
 under subparagraph
(N), an amount equal to the sum of  | 
 all amounts disallowed as
deductions by (i) Sections  | 
 171(a)(2) and 265(a)(2) of the Internal Revenue Code,  | 
 and all amounts of expenses allocable
to interest and  | 
 disallowed as deductions by Section 265(a)(1) of the  | 
 Internal
Revenue Code;
and (ii) for taxable years
 | 
 ending on or after August 13, 1999, Sections  | 
 171(a)(2), 265,
280C, and 832(b)(5)(B)(i) of the  | 
 Internal Revenue Code, plus, for taxable years ending  | 
 on or after December 31, 2011, Section 45G(e)(3) of  | 
 the Internal Revenue Code and, for taxable years  | 
 ending on or after December 31, 2008, any amount  | 
 included in gross income under Section 87 of the  | 
 Internal Revenue Code; the provisions of this
 | 
 subparagraph are exempt from the provisions of Section  | 
 250; | 
   (N) An amount equal to all amounts included in  | 
 such total which are
exempt from taxation by this  | 
 State either by reason of its statutes or
Constitution
 | 
 or by reason of the Constitution, treaties or statutes  | 
 of the United States;
provided that, in the case of any  | 
 statute of this State that exempts income
derived from  | 
 bonds or other obligations from the tax imposed under  | 
 this Act,
the amount exempted shall be the interest  | 
 net of bond premium amortization; | 
   (O) An amount equal to any contribution made to a  | 
 | 
 job training
project established pursuant to the Tax  | 
 Increment Allocation Redevelopment Act; | 
   (P) An amount equal to the amount of the deduction  | 
 used to compute the
federal income tax credit for  | 
 restoration of substantial amounts held under
claim of  | 
 right for the taxable year pursuant to Section 1341 of  | 
 the
Internal Revenue Code or of any itemized deduction  | 
 taken from adjusted gross income in the computation of  | 
 taxable income for restoration of substantial amounts  | 
 held under claim of right for the taxable year; | 
   (Q) An amount equal to any amounts included in  | 
 such total, received by
the taxpayer as an  | 
 acceleration in the payment of life, endowment or  | 
 annuity
benefits in advance of the time they would  | 
 otherwise be payable as an indemnity
for a terminal  | 
 illness; | 
   (R) An amount equal to the amount of any federal or  | 
 State bonus paid
to veterans of the Persian Gulf War; | 
   (S) An amount, to the extent included in adjusted  | 
 gross income, equal
to the amount of a contribution  | 
 made in the taxable year on behalf of the
taxpayer to a  | 
 medical care savings account established under the  | 
 Medical Care
Savings Account Act or the Medical Care  | 
 Savings Account Act of 2000 to the
extent the  | 
 contribution is accepted by the account
administrator  | 
 as provided in that Act; | 
 | 
   (T) An amount, to the extent included in adjusted  | 
 gross income, equal to
the amount of interest earned  | 
 in the taxable year on a medical care savings
account  | 
 established under the Medical Care Savings Account Act  | 
 or the Medical
Care Savings Account Act of 2000 on  | 
 behalf of the
taxpayer, other than interest added  | 
 pursuant to item (D-5) of this paragraph
(2); | 
   (U) For one taxable year beginning on or after  | 
 January 1,
1994, an
amount equal to the total amount of  | 
 tax imposed and paid under subsections (a)
and (b) of  | 
 Section 201 of this Act on grant amounts received by  | 
 the taxpayer
under the Nursing Home Grant Assistance  | 
 Act during the taxpayer's taxable years
1992 and 1993; | 
   (V) Beginning with tax years ending on or after  | 
 December 31, 1995 and
ending with tax years ending on  | 
 or before December 31, 2004, an amount equal to
the  | 
 amount paid by a taxpayer who is a
self-employed  | 
 taxpayer, a partner of a partnership, or a
shareholder  | 
 in a Subchapter S corporation for health insurance or  | 
 long-term
care insurance for that taxpayer or that  | 
 taxpayer's spouse or dependents, to
the extent that  | 
 the amount paid for that health insurance or long-term  | 
 care
insurance may be deducted under Section 213 of  | 
 the Internal Revenue Code, has not been deducted on  | 
 the federal income tax return of the taxpayer,
and  | 
 does not exceed the taxable income attributable to  | 
 | 
 that taxpayer's income,
self-employment income, or  | 
 Subchapter S corporation income; except that no
 | 
 deduction shall be allowed under this item (V) if the  | 
 taxpayer is eligible to
participate in any health  | 
 insurance or long-term care insurance plan of an
 | 
 employer of the taxpayer or the taxpayer's
spouse. The  | 
 amount of the health insurance and long-term care  | 
 insurance
subtracted under this item (V) shall be  | 
 determined by multiplying total
health insurance and  | 
 long-term care insurance premiums paid by the taxpayer
 | 
 times a number that represents the fractional  | 
 percentage of eligible medical
expenses under Section  | 
 213 of the Internal Revenue Code of 1986 not actually
 | 
 deducted on the taxpayer's federal income tax return; | 
   (W) For taxable years beginning on or after  | 
 January 1, 1998,
all amounts included in the  | 
 taxpayer's federal gross income
in the taxable year  | 
 from amounts converted from a regular IRA to a Roth  | 
 IRA.
This paragraph is exempt from the provisions of  | 
 Section
250; | 
   (X) For taxable year 1999 and thereafter, an  | 
 amount equal to the
amount of any (i) distributions,  | 
 to the extent includible in gross income for
federal  | 
 income tax purposes, made to the taxpayer because of  | 
 his or her status
as a victim of persecution for racial  | 
 or religious reasons by Nazi Germany or
any other Axis  | 
 | 
 regime or as an heir of the victim and (ii) items
of  | 
 income, to the extent
includible in gross income for  | 
 federal income tax purposes, attributable to,
derived  | 
 from or in any way related to assets stolen from,  | 
 hidden from, or
otherwise lost to a victim of
 | 
 persecution for racial or religious reasons by Nazi  | 
 Germany or any other Axis
regime immediately prior to,  | 
 during, and immediately after World War II,
including,  | 
 but
not limited to, interest on the proceeds  | 
 receivable as insurance
under policies issued to a  | 
 victim of persecution for racial or religious
reasons
 | 
 by Nazi Germany or any other Axis regime by European  | 
 insurance companies
immediately prior to and during  | 
 World War II;
provided, however, this subtraction from  | 
 federal adjusted gross income does not
apply to assets  | 
 acquired with such assets or with the proceeds from  | 
 the sale of
such assets; provided, further, this  | 
 paragraph shall only apply to a taxpayer
who was the  | 
 first recipient of such assets after their recovery  | 
 and who is a
victim of persecution for racial or  | 
 religious reasons
by Nazi Germany or any other Axis  | 
 regime or as an heir of the victim. The
amount of and  | 
 the eligibility for any public assistance, benefit, or
 | 
 similar entitlement is not affected by the inclusion  | 
 of items (i) and (ii) of
this paragraph in gross income  | 
 for federal income tax purposes.
This paragraph is  | 
 | 
 exempt from the provisions of Section 250; | 
   (Y) For taxable years beginning on or after  | 
 January 1, 2002
and ending
on or before December 31,  | 
 2004, moneys contributed in the taxable year to a  | 
 College Savings Pool account under
Section 16.5 of the  | 
 State Treasurer Act, except that amounts excluded from
 | 
 gross income under Section 529(c)(3)(C)(i) of the  | 
 Internal Revenue Code
shall not be considered moneys  | 
 contributed under this subparagraph (Y). For taxable  | 
 years beginning on or after January 1, 2005, a maximum  | 
 of $10,000
contributed
in the
taxable year to (i) a  | 
 College Savings Pool account under Section 16.5 of the
 | 
 State
Treasurer Act or (ii) the Illinois Prepaid  | 
 Tuition Trust Fund,
except that
amounts excluded from  | 
 gross income under Section 529(c)(3)(C)(i) of the
 | 
 Internal
Revenue Code shall not be considered moneys  | 
 contributed under this subparagraph
(Y). For purposes  | 
 of this subparagraph, contributions made by an  | 
 employer on behalf of an employee, or matching  | 
 contributions made by an employee, shall be treated as  | 
 made by the employee. This
subparagraph (Y) is exempt  | 
 from the provisions of Section 250; | 
   (Z) For taxable years 2001 and thereafter, for the  | 
 taxable year in
which the bonus depreciation deduction
 | 
 is taken on the taxpayer's federal income tax return  | 
 under
subsection (k) of Section 168 of the Internal  | 
 | 
 Revenue Code and for each
applicable taxable year  | 
 thereafter, an amount equal to "x", where: | 
    (1) "y" equals the amount of the depreciation  | 
 deduction taken for the
taxable year
on the  | 
 taxpayer's federal income tax return on property  | 
 for which the bonus
depreciation deduction
was  | 
 taken in any year under subsection (k) of Section  | 
 168 of the Internal
Revenue Code, but not  | 
 including the bonus depreciation deduction; | 
    (2) for taxable years ending on or before  | 
 December 31, 2005, "x" equals "y" multiplied by 30  | 
 and then divided by 70 (or "y"
multiplied by  | 
 0.429); and | 
    (3) for taxable years ending after December  | 
 31, 2005: | 
     (i) for property on which a bonus  | 
 depreciation deduction of 30% of the adjusted  | 
 basis was taken, "x" equals "y" multiplied by  | 
 30 and then divided by 70 (or "y"
multiplied  | 
 by 0.429); | 
     (ii) for property on which a bonus  | 
 depreciation deduction of 50% of the adjusted  | 
 basis was taken, "x" equals "y" multiplied by  | 
 1.0; | 
     (iii) for property on which a bonus  | 
 depreciation deduction of 100% of the adjusted  | 
 | 
 basis was taken in a taxable year ending on or  | 
 after December 31, 2021, "x" equals the  | 
 depreciation deduction that would be allowed  | 
 on that property if the taxpayer had made the  | 
 election under Section 168(k)(7) of the  | 
 Internal Revenue Code to not claim bonus  | 
 depreciation deprecation on that property; and | 
     (iv) for property on which a bonus  | 
 depreciation deduction of a percentage other  | 
 than 30%, 50% or 100% of the adjusted basis  | 
 was taken in a taxable year ending on or after  | 
 December 31, 2021, "x" equals "y" multiplied  | 
 by 100 times the percentage bonus depreciation  | 
 on the property (that is, 100(bonus%)) and  | 
 then divided by 100 times 1 minus the  | 
 percentage bonus depreciation on the property  | 
 (that is, 100(1–bonus%)).  | 
   The aggregate amount deducted under this  | 
 subparagraph in all taxable
years for any one piece of  | 
 property may not exceed the amount of the bonus
 | 
 depreciation deduction
taken on that property on the  | 
 taxpayer's federal income tax return under
subsection  | 
 (k) of Section 168 of the Internal Revenue Code. This  | 
 subparagraph (Z) is exempt from the provisions of  | 
 Section 250; | 
   (AA) If the taxpayer sells, transfers, abandons,  | 
 | 
 or otherwise disposes of
property for which the  | 
 taxpayer was required in any taxable year to make an
 | 
 addition modification under subparagraph (D-15), then  | 
 an amount equal to that
addition modification.
 | 
   If the taxpayer continues to own property through  | 
 the last day of the last tax year for which a  | 
 subtraction is allowed with respect to that property  | 
 under subparagraph (Z) and for which the taxpayer was  | 
 required in any taxable year to make an addition  | 
 modification under subparagraph (D-15), then an amount  | 
 equal to that addition modification.
 | 
   The taxpayer is allowed to take the deduction  | 
 under this subparagraph
only once with respect to any  | 
 one piece of property. | 
   This subparagraph (AA) is exempt from the  | 
 provisions of Section 250; | 
   (BB) Any amount included in adjusted gross income,  | 
 other
than
salary,
received by a driver in a  | 
 ridesharing arrangement using a motor vehicle; | 
   (CC) The amount of (i) any interest income (net of  | 
 the deductions allocable thereto) taken into account  | 
 for the taxable year with respect to a transaction  | 
 with a taxpayer that is required to make an addition  | 
 modification with respect to such transaction under  | 
 Section 203(a)(2)(D-17), 203(b)(2)(E-12),  | 
 203(c)(2)(G-12), or 203(d)(2)(D-7), but not to exceed  | 
 | 
 the amount of that addition modification, and
(ii) any  | 
 income from intangible property (net of the deductions  | 
 allocable thereto) taken into account for the taxable  | 
 year with respect to a transaction with a taxpayer  | 
 that is required to make an addition modification with  | 
 respect to such transaction under Section  | 
 203(a)(2)(D-18), 203(b)(2)(E-13), 203(c)(2)(G-13), or  | 
 203(d)(2)(D-8), but not to exceed the amount of that  | 
 addition modification. This subparagraph (CC) is  | 
 exempt from the provisions of Section 250; | 
   (DD) An amount equal to the interest income taken  | 
 into account for the taxable year (net of the  | 
 deductions allocable thereto) with respect to  | 
 transactions with (i) a foreign person who would be a  | 
 member of the taxpayer's unitary business group but  | 
 for the fact that the foreign person's business  | 
 activity outside the United States is 80% or more of  | 
 that person's total business activity and (ii) for  | 
 taxable years ending on or after December 31, 2008, to  | 
 a person who would be a member of the same unitary  | 
 business group but for the fact that the person is  | 
 prohibited under Section 1501(a)(27) from being  | 
 included in the unitary business group because he or  | 
 she is ordinarily required to apportion business  | 
 income under different subsections of Section 304, but  | 
 not to exceed the addition modification required to be  | 
 | 
 made for the same taxable year under Section  | 
 203(a)(2)(D-17) for interest paid, accrued, or  | 
 incurred, directly or indirectly, to the same person.  | 
 This subparagraph (DD) is exempt from the provisions  | 
 of Section 250;  | 
   (EE) An amount equal to the income from intangible  | 
 property taken into account for the taxable year (net  | 
 of the deductions allocable thereto) with respect to  | 
 transactions with (i) a foreign person who would be a  | 
 member of the taxpayer's unitary business group but  | 
 for the fact that the foreign person's business  | 
 activity outside the United States is 80% or more of  | 
 that person's total business activity and (ii) for  | 
 taxable years ending on or after December 31, 2008, to  | 
 a person who would be a member of the same unitary  | 
 business group but for the fact that the person is  | 
 prohibited under Section 1501(a)(27) from being  | 
 included in the unitary business group because he or  | 
 she is ordinarily required to apportion business  | 
 income under different subsections of Section 304, but  | 
 not to exceed the addition modification required to be  | 
 made for the same taxable year under Section  | 
 203(a)(2)(D-18) for intangible expenses and costs  | 
 paid, accrued, or incurred, directly or indirectly, to  | 
 the same foreign person. This subparagraph (EE) is  | 
 exempt from the provisions of Section 250; | 
 | 
   (FF) An amount equal to any amount awarded to the  | 
 taxpayer during the taxable year by the Court of  | 
 Claims under subsection (c) of Section 8 of the Court  | 
 of Claims Act for time unjustly served in a State  | 
 prison. This subparagraph (FF) is exempt from the  | 
 provisions of Section 250;  | 
   (GG) For taxable years ending on or after December  | 
 31, 2011, in the case of a taxpayer who was required to  | 
 add back any insurance premiums under Section  | 
 203(a)(2)(D-19), such taxpayer may elect to subtract  | 
 that part of a reimbursement received from the  | 
 insurance company equal to the amount of the expense  | 
 or loss (including expenses incurred by the insurance  | 
 company) that would have been taken into account as a  | 
 deduction for federal income tax purposes if the  | 
 expense or loss had been uninsured. If a taxpayer  | 
 makes the election provided for by this subparagraph  | 
 (GG), the insurer to which the premiums were paid must  | 
 add back to income the amount subtracted by the  | 
 taxpayer pursuant to this subparagraph (GG). This  | 
 subparagraph (GG) is exempt from the provisions of  | 
 Section 250; and  | 
   (HH) For taxable years beginning on or after  | 
 January 1, 2018 and prior to January 1, 2023, a maximum  | 
 of $10,000 contributed in the taxable year to a  | 
 qualified ABLE account under Section 16.6 of the State  | 
 | 
 Treasurer Act, except that amounts excluded from gross  | 
 income under Section 529(c)(3)(C)(i) or Section  | 
 529A(c)(1)(C) of the Internal Revenue Code shall not  | 
 be considered moneys contributed under this  | 
 subparagraph (HH). For purposes of this subparagraph  | 
 (HH), contributions made by an employer on behalf of  | 
 an employee, or matching contributions made by an  | 
 employee, shall be treated as made by the employee. 
 | 
 (b) Corporations. | 
  (1) In general. In the case of a corporation, base  | 
 income means an
amount equal to the taxpayer's taxable  | 
 income for the taxable year as
modified by paragraph (2). | 
  (2) Modifications. The taxable income referred to in  | 
 paragraph (1)
shall be modified by adding thereto the sum  | 
 of the following amounts: | 
   (A) An amount equal to all amounts paid or accrued  | 
 to the taxpayer
as interest and all distributions  | 
 received from regulated investment
companies during  | 
 the taxable year to the extent excluded from gross
 | 
 income in the computation of taxable income; | 
   (B) An amount equal to the amount of tax imposed by  | 
 this Act to the
extent deducted from gross income in  | 
 the computation of taxable income
for the taxable  | 
 year; | 
   (C) In the case of a regulated investment company,  | 
 | 
 an amount equal to
the excess of (i) the net long-term  | 
 capital gain for the taxable year, over
(ii) the  | 
 amount of the capital gain dividends designated as  | 
 such in accordance
with Section 852(b)(3)(C) of the  | 
 Internal Revenue Code and any amount
designated under  | 
 Section 852(b)(3)(D) of the Internal Revenue Code,
 | 
 attributable to the taxable year (this amendatory Act  | 
 of 1995
(Public Act 89-89) is declarative of existing  | 
 law and is not a new
enactment); | 
   (D) The amount of any net operating loss deduction  | 
 taken in arriving
at taxable income, other than a net  | 
 operating loss carried forward from a
taxable year  | 
 ending prior to December 31, 1986; | 
   (E) For taxable years in which a net operating  | 
 loss carryback or
carryforward from a taxable year  | 
 ending prior to December 31, 1986 is an
element of  | 
 taxable income under paragraph (1) of subsection (e)  | 
 or
subparagraph (E) of paragraph (2) of subsection  | 
 (e), the amount by which
addition modifications other  | 
 than those provided by this subparagraph (E)
exceeded  | 
 subtraction modifications in such earlier taxable  | 
 year, with the
following limitations applied in the  | 
 order that they are listed: | 
    (i) the addition modification relating to the  | 
 net operating loss
carried back or forward to the  | 
 taxable year from any taxable year ending
prior to  | 
 | 
 December 31, 1986 shall be reduced by the amount  | 
 of addition
modification under this subparagraph  | 
 (E) which related to that net operating
loss and  | 
 which was taken into account in calculating the  | 
 base income of an
earlier taxable year, and | 
    (ii) the addition modification relating to the  | 
 net operating loss
carried back or forward to the  | 
 taxable year from any taxable year ending
prior to  | 
 December 31, 1986 shall not exceed the amount of  | 
 such carryback or
carryforward; | 
   For taxable years in which there is a net  | 
 operating loss carryback or
carryforward from more  | 
 than one other taxable year ending prior to December
 | 
 31, 1986, the addition modification provided in this  | 
 subparagraph (E) shall
be the sum of the amounts  | 
 computed independently under the preceding
provisions  | 
 of this subparagraph (E) for each such taxable year; | 
   (E-5) For taxable years ending after December 31,  | 
 1997, an
amount equal to any eligible remediation  | 
 costs that the corporation
deducted in computing  | 
 adjusted gross income and for which the
corporation  | 
 claims a credit under subsection (l) of Section 201; | 
   (E-10) For taxable years 2001 and thereafter, an  | 
 amount equal to the
bonus depreciation deduction taken  | 
 on the taxpayer's federal income tax return for the  | 
 taxable
year under subsection (k) of Section 168 of  | 
 | 
 the Internal Revenue Code; | 
   (E-11) If the taxpayer sells, transfers, abandons,  | 
 or otherwise disposes of property for which the  | 
 taxpayer was required in any taxable year to
make an  | 
 addition modification under subparagraph (E-10), then  | 
 an amount equal
to the aggregate amount of the  | 
 deductions taken in all taxable
years under  | 
 subparagraph (T) with respect to that property. | 
   If the taxpayer continues to own property through  | 
 the last day of the last tax year for which a  | 
 subtraction is allowed with respect to that property  | 
 under subparagraph (T) and for which the taxpayer was  | 
 allowed in any taxable year to make a subtraction  | 
 modification under subparagraph (T), then an amount  | 
 equal to that subtraction modification.
 | 
   The taxpayer is required to make the addition  | 
 modification under this
subparagraph
only once with  | 
 respect to any one piece of property; | 
   (E-12) An amount equal to the amount otherwise  | 
 allowed as a deduction in computing base income for  | 
 interest paid, accrued, or incurred, directly or  | 
 indirectly, (i) for taxable years ending on or after  | 
 December 31, 2004, to a foreign person who would be a  | 
 member of the same unitary business group but for the  | 
 fact the foreign person's business activity outside  | 
 the United States is 80% or more of the foreign  | 
 | 
 person's total business activity and (ii) for taxable  | 
 years ending on or after December 31, 2008, to a person  | 
 who would be a member of the same unitary business  | 
 group but for the fact that the person is prohibited  | 
 under Section 1501(a)(27) from being included in the  | 
 unitary business group because he or she is ordinarily  | 
 required to apportion business income under different  | 
 subsections of Section 304. The addition modification  | 
 required by this subparagraph shall be reduced to the  | 
 extent that dividends were included in base income of  | 
 the unitary group for the same taxable year and  | 
 received by the taxpayer or by a member of the  | 
 taxpayer's unitary business group (including amounts  | 
 included in gross income pursuant to Sections 951  | 
 through 964 of the Internal Revenue Code and amounts  | 
 included in gross income under Section 78 of the  | 
 Internal Revenue Code) with respect to the stock of  | 
 the same person to whom the interest was paid,  | 
 accrued, or incurred.
 | 
   This paragraph shall not apply to the following:
 | 
    (i) an item of interest paid, accrued, or  | 
 incurred, directly or indirectly, to a person who  | 
 is subject in a foreign country or state, other  | 
 than a state which requires mandatory unitary  | 
 reporting, to a tax on or measured by net income  | 
 with respect to such interest; or | 
 | 
    (ii) an item of interest paid, accrued, or  | 
 incurred, directly or indirectly, to a person if  | 
 the taxpayer can establish, based on a  | 
 preponderance of the evidence, both of the  | 
 following: | 
     (a) the person, during the same taxable  | 
 year, paid, accrued, or incurred, the interest  | 
 to a person that is not a related member, and | 
     (b) the transaction giving rise to the  | 
 interest expense between the taxpayer and the  | 
 person did not have as a principal purpose the  | 
 avoidance of Illinois income tax, and is paid  | 
 pursuant to a contract or agreement that  | 
 reflects an arm's-length interest rate and  | 
 terms; or
 | 
    (iii) the taxpayer can establish, based on  | 
 clear and convincing evidence, that the interest  | 
 paid, accrued, or incurred relates to a contract  | 
 or agreement entered into at arm's-length rates  | 
 and terms and the principal purpose for the  | 
 payment is not federal or Illinois tax avoidance;  | 
 or
 | 
    (iv) an item of interest paid, accrued, or  | 
 incurred, directly or indirectly, to a person if  | 
 the taxpayer establishes by clear and convincing  | 
 evidence that the adjustments are unreasonable; or  | 
 | 
 if the taxpayer and the Director agree in writing  | 
 to the application or use of an alternative method  | 
 of apportionment under Section 304(f).
 | 
    Nothing in this subsection shall preclude the  | 
 Director from making any other adjustment  | 
 otherwise allowed under Section 404 of this Act  | 
 for any tax year beginning after the effective  | 
 date of this amendment provided such adjustment is  | 
 made pursuant to regulation adopted by the  | 
 Department and such regulations provide methods  | 
 and standards by which the Department will utilize  | 
 its authority under Section 404 of this Act;
 | 
   (E-13) An amount equal to the amount of intangible  | 
 expenses and costs otherwise allowed as a deduction in  | 
 computing base income, and that were paid, accrued, or  | 
 incurred, directly or indirectly, (i) for taxable  | 
 years ending on or after December 31, 2004, to a  | 
 foreign person who would be a member of the same  | 
 unitary business group but for the fact that the  | 
 foreign person's business activity outside the United  | 
 States is 80% or more of that person's total business  | 
 activity and (ii) for taxable years ending on or after  | 
 December 31, 2008, to a person who would be a member of  | 
 the same unitary business group but for the fact that  | 
 the person is prohibited under Section 1501(a)(27)  | 
 from being included in the unitary business group  | 
 | 
 because he or she is ordinarily required to apportion  | 
 business income under different subsections of Section  | 
 304. The addition modification required by this  | 
 subparagraph shall be reduced to the extent that  | 
 dividends were included in base income of the unitary  | 
 group for the same taxable year and received by the  | 
 taxpayer or by a member of the taxpayer's unitary  | 
 business group (including amounts included in gross  | 
 income pursuant to Sections 951 through 964 of the  | 
 Internal Revenue Code and amounts included in gross  | 
 income under Section 78 of the Internal Revenue Code)  | 
 with respect to the stock of the same person to whom  | 
 the intangible expenses and costs were directly or  | 
 indirectly paid, incurred, or accrued. The preceding  | 
 sentence shall not apply to the extent that the same  | 
 dividends caused a reduction to the addition  | 
 modification required under Section 203(b)(2)(E-12) of  | 
 this Act.
As used in this subparagraph, the term  | 
 "intangible expenses and costs" includes (1) expenses,  | 
 losses, and costs for, or related to, the direct or  | 
 indirect acquisition, use, maintenance or management,  | 
 ownership, sale, exchange, or any other disposition of  | 
 intangible property; (2) losses incurred, directly or  | 
 indirectly, from factoring transactions or discounting  | 
 transactions; (3) royalty, patent, technical, and  | 
 copyright fees; (4) licensing fees; and (5) other  | 
 | 
 similar expenses and costs.
For purposes of this  | 
 subparagraph, "intangible property" includes patents,  | 
 patent applications, trade names, trademarks, service  | 
 marks, copyrights, mask works, trade secrets, and  | 
 similar types of intangible assets. | 
   This paragraph shall not apply to the following: | 
    (i) any item of intangible expenses or costs  | 
 paid, accrued, or incurred, directly or  | 
 indirectly, from a transaction with a person who  | 
 is subject in a foreign country or state, other  | 
 than a state which requires mandatory unitary  | 
 reporting, to a tax on or measured by net income  | 
 with respect to such item; or | 
    (ii) any item of intangible expense or cost  | 
 paid, accrued, or incurred, directly or  | 
 indirectly, if the taxpayer can establish, based  | 
 on a preponderance of the evidence, both of the  | 
 following: | 
     (a) the person during the same taxable  | 
 year paid, accrued, or incurred, the  | 
 intangible expense or cost to a person that is  | 
 not a related member, and | 
     (b) the transaction giving rise to the  | 
 intangible expense or cost between the  | 
 taxpayer and the person did not have as a  | 
 principal purpose the avoidance of Illinois  | 
 | 
 income tax, and is paid pursuant to a contract  | 
 or agreement that reflects arm's-length terms;  | 
 or | 
    (iii) any item of intangible expense or cost  | 
 paid, accrued, or incurred, directly or  | 
 indirectly, from a transaction with a person if  | 
 the taxpayer establishes by clear and convincing  | 
 evidence, that the adjustments are unreasonable;  | 
 or if the taxpayer and the Director agree in  | 
 writing to the application or use of an  | 
 alternative method of apportionment under Section  | 
 304(f);
 | 
    Nothing in this subsection shall preclude the  | 
 Director from making any other adjustment  | 
 otherwise allowed under Section 404 of this Act  | 
 for any tax year beginning after the effective  | 
 date of this amendment provided such adjustment is  | 
 made pursuant to regulation adopted by the  | 
 Department and such regulations provide methods  | 
 and standards by which the Department will utilize  | 
 its authority under Section 404 of this Act;
 | 
   (E-14) For taxable years ending on or after  | 
 December 31, 2008, an amount equal to the amount of  | 
 insurance premium expenses and costs otherwise allowed  | 
 as a deduction in computing base income, and that were  | 
 paid, accrued, or incurred, directly or indirectly, to  | 
 | 
 a person who would be a member of the same unitary  | 
 business group but for the fact that the person is  | 
 prohibited under Section 1501(a)(27) from being  | 
 included in the unitary business group because he or  | 
 she is ordinarily required to apportion business  | 
 income under different subsections of Section 304. The  | 
 addition modification required by this subparagraph  | 
 shall be reduced to the extent that dividends were  | 
 included in base income of the unitary group for the  | 
 same taxable year and received by the taxpayer or by a  | 
 member of the taxpayer's unitary business group  | 
 (including amounts included in gross income under  | 
 Sections 951 through 964 of the Internal Revenue Code  | 
 and amounts included in gross income under Section 78  | 
 of the Internal Revenue Code) with respect to the  | 
 stock of the same person to whom the premiums and costs  | 
 were directly or indirectly paid, incurred, or  | 
 accrued. The preceding sentence does not apply to the  | 
 extent that the same dividends caused a reduction to  | 
 the addition modification required under Section  | 
 203(b)(2)(E-12) or Section 203(b)(2)(E-13) of this  | 
 Act;
 | 
   (E-15) For taxable years beginning after December  | 
 31, 2008, any deduction for dividends paid by a  | 
 captive real estate investment trust that is allowed  | 
 to a real estate investment trust under Section  | 
 | 
 857(b)(2)(B) of the Internal Revenue Code for  | 
 dividends paid; | 
   (E-16) An amount equal to the credit allowable to  | 
 the taxpayer under Section 218(a) of this Act,  | 
 determined without regard to Section 218(c) of this  | 
 Act; | 
   (E-17) For taxable years ending on or after  | 
 December 31, 2017, an amount equal to the deduction  | 
 allowed under Section 199 of the Internal Revenue Code  | 
 for the taxable year;  | 
   (E-18) for taxable years beginning after December  | 
 31, 2018, an amount equal to the deduction allowed  | 
 under Section 250(a)(1)(A) of the Internal Revenue  | 
 Code for the taxable year;  | 
   (E-19) for taxable years ending on or after June  | 
 30, 2021, an amount equal to the deduction allowed  | 
 under Section 250(a)(1)(B)(i) of the Internal Revenue  | 
 Code for the taxable year;  | 
   (E-20) for taxable years ending on or after June  | 
 30, 2021, an amount equal to the deduction allowed  | 
 under Sections 243(e) and 245A(a) of the Internal  | 
 Revenue Code for the taxable year.  | 
 and by deducting from the total so obtained the sum of the  | 
 following
amounts: | 
   (F) An amount equal to the amount of any tax  | 
 imposed by this Act
which was refunded to the taxpayer  | 
 | 
 and included in such total for the
taxable year; | 
   (G) An amount equal to any amount included in such  | 
 total under
Section 78 of the Internal Revenue Code; | 
   (H) In the case of a regulated investment company,  | 
 an amount equal
to the amount of exempt interest  | 
 dividends as defined in subsection (b)(5) of Section  | 
 852 of the Internal Revenue Code, paid to shareholders
 | 
 for the taxable year; | 
   (I) With the exception of any amounts subtracted  | 
 under subparagraph
(J),
an amount equal to the sum of  | 
 all amounts disallowed as
deductions by (i) Sections  | 
 171(a)(2) and 265(a)(2) and amounts disallowed as
 | 
 interest expense by Section 291(a)(3) of the Internal  | 
 Revenue Code, and all amounts of expenses allocable to  | 
 interest and
disallowed as deductions by Section  | 
 265(a)(1) of the Internal Revenue Code;
and (ii) for  | 
 taxable years
ending on or after August 13, 1999,  | 
 Sections
171(a)(2), 265,
280C, 291(a)(3), and  | 
 832(b)(5)(B)(i) of the Internal Revenue Code, plus,  | 
 for tax years ending on or after December 31, 2011,  | 
 amounts disallowed as deductions by Section 45G(e)(3)  | 
 of the Internal Revenue Code and, for taxable years  | 
 ending on or after December 31, 2008, any amount  | 
 included in gross income under Section 87 of the  | 
 Internal Revenue Code and the policyholders' share of  | 
 tax-exempt interest of a life insurance company under  | 
 | 
 Section 807(a)(2)(B) of the Internal Revenue Code (in  | 
 the case of a life insurance company with gross income  | 
 from a decrease in reserves for the tax year) or  | 
 Section 807(b)(1)(B) of the Internal Revenue Code (in  | 
 the case of a life insurance company allowed a  | 
 deduction for an increase in reserves for the tax  | 
 year); the
provisions of this
subparagraph are exempt  | 
 from the provisions of Section 250; | 
   (J) An amount equal to all amounts included in  | 
 such total which are
exempt from taxation by this  | 
 State either by reason of its statutes or
Constitution
 | 
 or by reason of the Constitution, treaties or statutes  | 
 of the United States;
provided that, in the case of any  | 
 statute of this State that exempts income
derived from  | 
 bonds or other obligations from the tax imposed under  | 
 this Act,
the amount exempted shall be the interest  | 
 net of bond premium amortization; | 
   (K) An amount equal to those dividends included in  | 
 such total
which were paid by a corporation which  | 
 conducts
business operations in a River Edge  | 
 Redevelopment Zone or zones created under the River  | 
 Edge Redevelopment Zone Act and conducts substantially  | 
 all of its
operations in a River Edge Redevelopment  | 
 Zone or zones. This subparagraph (K) is exempt from  | 
 the provisions of Section 250; | 
   (L) An amount equal to those dividends included in  | 
 | 
 such total that
were paid by a corporation that  | 
 conducts business operations in a federally
designated  | 
 Foreign Trade Zone or Sub-Zone and that is designated  | 
 a High Impact
Business located in Illinois; provided  | 
 that dividends eligible for the
deduction provided in  | 
 subparagraph (K) of paragraph 2 of this subsection
 | 
 shall not be eligible for the deduction provided under  | 
 this subparagraph
(L); | 
   (M) For any taxpayer that is a financial  | 
 organization within the meaning
of Section 304(c) of  | 
 this Act, an amount included in such total as interest
 | 
 income from a loan or loans made by such taxpayer to a  | 
 borrower, to the extent
that such a loan is secured by  | 
 property which is eligible for the River Edge  | 
 Redevelopment Zone Investment Credit. To determine the  | 
 portion of a loan or loans that is
secured by property  | 
 eligible for a Section 201(f) investment
credit to the  | 
 borrower, the entire principal amount of the loan or  | 
 loans
between the taxpayer and the borrower should be  | 
 divided into the basis of the
Section 201(f)  | 
 investment credit property which secures the
loan or  | 
 loans, using for this purpose the original basis of  | 
 such property on
the date that it was placed in service  | 
 in the River Edge Redevelopment Zone. The subtraction  | 
 modification available to the taxpayer in any
year  | 
 under this subsection shall be that portion of the  | 
 | 
 total interest paid
by the borrower with respect to  | 
 such loan attributable to the eligible
property as  | 
 calculated under the previous sentence. This  | 
 subparagraph (M) is exempt from the provisions of  | 
 Section 250; | 
   (M-1) For any taxpayer that is a financial  | 
 organization within the
meaning of Section 304(c) of  | 
 this Act, an amount included in such total as
interest  | 
 income from a loan or loans made by such taxpayer to a  | 
 borrower,
to the extent that such a loan is secured by  | 
 property which is eligible for
the High Impact  | 
 Business Investment Credit. To determine the portion  | 
 of a
loan or loans that is secured by property eligible  | 
 for a Section 201(h) investment credit to the  | 
 borrower, the entire principal amount of
the loan or  | 
 loans between the taxpayer and the borrower should be  | 
 divided into
the basis of the Section 201(h)  | 
 investment credit property which
secures the loan or  | 
 loans, using for this purpose the original basis of  | 
 such
property on the date that it was placed in service  | 
 in a federally designated
Foreign Trade Zone or  | 
 Sub-Zone located in Illinois. No taxpayer that is
 | 
 eligible for the deduction provided in subparagraph  | 
 (M) of paragraph (2) of
this subsection shall be  | 
 eligible for the deduction provided under this
 | 
 subparagraph (M-1). The subtraction modification  | 
 | 
 available to taxpayers in
any year under this  | 
 subsection shall be that portion of the total interest
 | 
 paid by the borrower with respect to such loan  | 
 attributable to the eligible
property as calculated  | 
 under the previous sentence; | 
   (N) Two times any contribution made during the  | 
 taxable year to a
designated zone organization to the  | 
 extent that the contribution (i)
qualifies as a  | 
 charitable contribution under subsection (c) of  | 
 Section 170
of the Internal Revenue Code and (ii)  | 
 must, by its terms, be used for a
project approved by  | 
 the Department of Commerce and Economic Opportunity  | 
 under Section 11 of the Illinois Enterprise Zone Act  | 
 or under Section 10-10 of the River Edge Redevelopment  | 
 Zone Act. This subparagraph (N) is exempt from the  | 
 provisions of Section 250; | 
   (O) An amount equal to: (i) 85% for taxable years  | 
 ending on or before
December 31, 1992, or, a  | 
 percentage equal to the percentage allowable under
 | 
 Section 243(a)(1) of the Internal Revenue Code of 1986  | 
 for taxable years ending
after December 31, 1992, of  | 
 the amount by which dividends included in taxable
 | 
 income and received from a corporation that is not  | 
 created or organized under
the laws of the United  | 
 States or any state or political subdivision thereof,
 | 
 including, for taxable years ending on or after  | 
 | 
 December 31, 1988, dividends
received or deemed  | 
 received or paid or deemed paid under Sections 951  | 
 through
965 of the Internal Revenue Code, exceed the  | 
 amount of the modification
provided under subparagraph  | 
 (G) of paragraph (2) of this subsection (b) which
is  | 
 related to such dividends, and including, for taxable  | 
 years ending on or after December 31, 2008, dividends  | 
 received from a captive real estate investment trust;  | 
 plus (ii) 100% of the amount by which dividends,
 | 
 included in taxable income and received, including,  | 
 for taxable years ending on
or after December 31,  | 
 1988, dividends received or deemed received or paid or
 | 
 deemed paid under Sections 951 through 964 of the  | 
 Internal Revenue Code and including, for taxable years  | 
 ending on or after December 31, 2008, dividends  | 
 received from a captive real estate investment trust,  | 
 from
any such corporation specified in clause (i) that  | 
 would but for the provisions
of Section 1504(b)(3) of  | 
 the Internal Revenue Code be treated as a member of
the  | 
 affiliated group which includes the dividend  | 
 recipient, exceed the amount
of the modification  | 
 provided under subparagraph (G) of paragraph (2) of  | 
 this
subsection (b) which is related to such  | 
 dividends. For taxable years ending on or after June  | 
 30, 2021, (i) for purposes of this subparagraph, the  | 
 term "dividend" does not include any amount treated as  | 
 | 
 a dividend under Section 1248 of the Internal Revenue  | 
 Code, and (ii) this subparagraph shall not apply to  | 
 dividends for which a deduction is allowed under  | 
 Section 245(a) of the Internal Revenue Code. This  | 
 subparagraph (O) is exempt from the provisions of  | 
 Section 250 of this Act; | 
   (P) An amount equal to any contribution made to a  | 
 job training project
established pursuant to the Tax  | 
 Increment Allocation Redevelopment Act; | 
   (Q) An amount equal to the amount of the deduction  | 
 used to compute the
federal income tax credit for  | 
 restoration of substantial amounts held under
claim of  | 
 right for the taxable year pursuant to Section 1341 of  | 
 the
Internal Revenue Code; | 
   (R) On and after July 20, 1999, in the case of an  | 
 attorney-in-fact with respect to whom an
interinsurer  | 
 or a reciprocal insurer has made the election under  | 
 Section 835 of
the Internal Revenue Code, 26 U.S.C.  | 
 835, an amount equal to the excess, if
any, of the  | 
 amounts paid or incurred by that interinsurer or  | 
 reciprocal insurer
in the taxable year to the  | 
 attorney-in-fact over the deduction allowed to that
 | 
 interinsurer or reciprocal insurer with respect to the  | 
 attorney-in-fact under
Section 835(b) of the Internal  | 
 Revenue Code for the taxable year; the provisions of  | 
 this subparagraph are exempt from the provisions of  | 
 | 
 Section 250; | 
   (S) For taxable years ending on or after December  | 
 31, 1997, in the
case of a Subchapter
S corporation, an  | 
 amount equal to all amounts of income allocable to a
 | 
 shareholder subject to the Personal Property Tax  | 
 Replacement Income Tax imposed
by subsections (c) and  | 
 (d) of Section 201 of this Act, including amounts
 | 
 allocable to organizations exempt from federal income  | 
 tax by reason of Section
501(a) of the Internal  | 
 Revenue Code. This subparagraph (S) is exempt from
the  | 
 provisions of Section 250; | 
   (T) For taxable years 2001 and thereafter, for the  | 
 taxable year in
which the bonus depreciation deduction
 | 
 is taken on the taxpayer's federal income tax return  | 
 under
subsection (k) of Section 168 of the Internal  | 
 Revenue Code and for each
applicable taxable year  | 
 thereafter, an amount equal to "x", where: | 
    (1) "y" equals the amount of the depreciation  | 
 deduction taken for the
taxable year
on the  | 
 taxpayer's federal income tax return on property  | 
 for which the bonus
depreciation deduction
was  | 
 taken in any year under subsection (k) of Section  | 
 168 of the Internal
Revenue Code, but not  | 
 including the bonus depreciation deduction; | 
    (2) for taxable years ending on or before  | 
 December 31, 2005, "x" equals "y" multiplied by 30  | 
 | 
 and then divided by 70 (or "y"
multiplied by  | 
 0.429); and | 
    (3) for taxable years ending after December  | 
 31, 2005: | 
     (i) for property on which a bonus  | 
 depreciation deduction of 30% of the adjusted  | 
 basis was taken, "x" equals "y" multiplied by  | 
 30 and then divided by 70 (or "y"
multiplied  | 
 by 0.429); | 
     (ii) for property on which a bonus  | 
 depreciation deduction of 50% of the adjusted  | 
 basis was taken, "x" equals "y" multiplied by  | 
 1.0; | 
     (iii) for property on which a bonus  | 
 depreciation deduction of 100% of the adjusted  | 
 basis was taken in a taxable year ending on or  | 
 after December 31, 2021, "x" equals the  | 
 depreciation deduction that would be allowed  | 
 on that property if the taxpayer had made the  | 
 election under Section 168(k)(7) of the  | 
 Internal Revenue Code to not claim bonus  | 
 depreciation deprecation on that property; and | 
     (iv) for property on which a bonus  | 
 depreciation deduction of a percentage other  | 
 than 30%, 50% or 100% of the adjusted basis  | 
 was taken in a taxable year ending on or after  | 
 | 
 December 31, 2021, "x" equals "y" multiplied  | 
 by 100 times the percentage bonus depreciation  | 
 on the property (that is, 100(bonus%)) and  | 
 then divided by 100 times 1 minus the  | 
 percentage bonus depreciation on the property  | 
 (that is, 100(1–bonus%)).  | 
   The aggregate amount deducted under this  | 
 subparagraph in all taxable
years for any one piece of  | 
 property may not exceed the amount of the bonus
 | 
 depreciation deduction
taken on that property on the  | 
 taxpayer's federal income tax return under
subsection  | 
 (k) of Section 168 of the Internal Revenue Code. This  | 
 subparagraph (T) is exempt from the provisions of  | 
 Section 250; | 
   (U) If the taxpayer sells, transfers, abandons, or  | 
 otherwise disposes of
property for which the taxpayer  | 
 was required in any taxable year to make an
addition  | 
 modification under subparagraph (E-10), then an amount  | 
 equal to that
addition modification. | 
   If the taxpayer continues to own property through  | 
 the last day of the last tax year for which a  | 
 subtraction is allowed with respect to that property  | 
 under subparagraph (T) and for which the taxpayer was  | 
 required in any taxable year to make an addition  | 
 modification under subparagraph (E-10), then an amount  | 
 equal to that addition modification.
 | 
 | 
   The taxpayer is allowed to take the deduction  | 
 under this subparagraph
only once with respect to any  | 
 one piece of property. | 
   This subparagraph (U) is exempt from the  | 
 provisions of Section 250; | 
   (V) The amount of: (i) any interest income (net of  | 
 the deductions allocable thereto) taken into account  | 
 for the taxable year with respect to a transaction  | 
 with a taxpayer that is required to make an addition  | 
 modification with respect to such transaction under  | 
 Section 203(a)(2)(D-17), 203(b)(2)(E-12),  | 
 203(c)(2)(G-12), or 203(d)(2)(D-7), but not to exceed  | 
 the amount of such addition modification,
(ii) any  | 
 income from intangible property (net of the deductions  | 
 allocable thereto) taken into account for the taxable  | 
 year with respect to a transaction with a taxpayer  | 
 that is required to make an addition modification with  | 
 respect to such transaction under Section  | 
 203(a)(2)(D-18), 203(b)(2)(E-13), 203(c)(2)(G-13), or  | 
 203(d)(2)(D-8), but not to exceed the amount of such  | 
 addition modification, and (iii) any insurance premium  | 
 income (net of deductions allocable thereto) taken  | 
 into account for the taxable year with respect to a  | 
 transaction with a taxpayer that is required to make  | 
 an addition modification with respect to such  | 
 transaction under Section 203(a)(2)(D-19), Section  | 
 | 
 203(b)(2)(E-14), Section 203(c)(2)(G-14), or Section  | 
 203(d)(2)(D-9), but not to exceed the amount of that  | 
 addition modification. This subparagraph (V) is exempt  | 
 from the provisions of Section 250;
 | 
   (W) An amount equal to the interest income taken  | 
 into account for the taxable year (net of the  | 
 deductions allocable thereto) with respect to  | 
 transactions with (i) a foreign person who would be a  | 
 member of the taxpayer's unitary business group but  | 
 for the fact that the foreign person's business  | 
 activity outside the United States is 80% or more of  | 
 that person's total business activity and (ii) for  | 
 taxable years ending on or after December 31, 2008, to  | 
 a person who would be a member of the same unitary  | 
 business group but for the fact that the person is  | 
 prohibited under Section 1501(a)(27) from being  | 
 included in the unitary business group because he or  | 
 she is ordinarily required to apportion business  | 
 income under different subsections of Section 304, but  | 
 not to exceed the addition modification required to be  | 
 made for the same taxable year under Section  | 
 203(b)(2)(E-12) for interest paid, accrued, or  | 
 incurred, directly or indirectly, to the same person.  | 
 This subparagraph (W) is exempt from the provisions of  | 
 Section 250;
 | 
   (X) An amount equal to the income from intangible  | 
 | 
 property taken into account for the taxable year (net  | 
 of the deductions allocable thereto) with respect to  | 
 transactions with (i) a foreign person who would be a  | 
 member of the taxpayer's unitary business group but  | 
 for the fact that the foreign person's business  | 
 activity outside the United States is 80% or more of  | 
 that person's total business activity and (ii) for  | 
 taxable years ending on or after December 31, 2008, to  | 
 a person who would be a member of the same unitary  | 
 business group but for the fact that the person is  | 
 prohibited under Section 1501(a)(27) from being  | 
 included in the unitary business group because he or  | 
 she is ordinarily required to apportion business  | 
 income under different subsections of Section 304, but  | 
 not to exceed the addition modification required to be  | 
 made for the same taxable year under Section  | 
 203(b)(2)(E-13) for intangible expenses and costs  | 
 paid, accrued, or incurred, directly or indirectly, to  | 
 the same foreign person. This subparagraph (X) is  | 
 exempt from the provisions of Section 250;
 | 
   (Y) For taxable years ending on or after December  | 
 31, 2011, in the case of a taxpayer who was required to  | 
 add back any insurance premiums under Section  | 
 203(b)(2)(E-14), such taxpayer may elect to subtract  | 
 that part of a reimbursement received from the  | 
 insurance company equal to the amount of the expense  | 
 | 
 or loss (including expenses incurred by the insurance  | 
 company) that would have been taken into account as a  | 
 deduction for federal income tax purposes if the  | 
 expense or loss had been uninsured. If a taxpayer  | 
 makes the election provided for by this subparagraph  | 
 (Y), the insurer to which the premiums were paid must  | 
 add back to income the amount subtracted by the  | 
 taxpayer pursuant to this subparagraph (Y). This  | 
 subparagraph (Y) is exempt from the provisions of  | 
 Section 250; and  | 
   (Z) The difference between the nondeductible  | 
 controlled foreign corporation dividends under Section  | 
 965(e)(3) of the Internal Revenue Code over the  | 
 taxable income of the taxpayer, computed without  | 
 regard to Section 965(e)(2)(A) of the Internal Revenue  | 
 Code, and without regard to any net operating loss  | 
 deduction. This subparagraph (Z) is exempt from the  | 
 provisions of Section 250.  | 
  (3) Special rule. For purposes of paragraph (2)(A),  | 
 "gross income"
in the case of a life insurance company,  | 
 for tax years ending on and after
December 31, 1994,
and  | 
 prior to December 31, 2011, shall mean the gross  | 
 investment income for the taxable year and, for tax years  | 
 ending on or after December 31, 2011, shall mean all  | 
 amounts included in life insurance gross income under  | 
 Section 803(a)(3) of the Internal Revenue Code.
 | 
 | 
 (c) Trusts and estates. | 
  (1) In general. In the case of a trust or estate, base  | 
 income means
an amount equal to the taxpayer's taxable  | 
 income for the taxable year as
modified by paragraph (2). | 
  (2) Modifications. Subject to the provisions of  | 
 paragraph (3), the
taxable income referred to in paragraph  | 
 (1) shall be modified by adding
thereto the sum of the  | 
 following amounts: | 
   (A) An amount equal to all amounts paid or accrued  | 
 to the taxpayer
as interest or dividends during the  | 
 taxable year to the extent excluded
from gross income  | 
 in the computation of taxable income; | 
   (B) In the case of (i) an estate, $600; (ii) a  | 
 trust which, under
its governing instrument, is  | 
 required to distribute all of its income
currently,  | 
 $300; and (iii) any other trust, $100, but in each such  | 
 case,
only to the extent such amount was deducted in  | 
 the computation of
taxable income; | 
   (C) An amount equal to the amount of tax imposed by  | 
 this Act to the
extent deducted from gross income in  | 
 the computation of taxable income
for the taxable  | 
 year; | 
   (D) The amount of any net operating loss deduction  | 
 taken in arriving at
taxable income, other than a net  | 
 operating loss carried forward from a
taxable year  | 
 | 
 ending prior to December 31, 1986; | 
   (E) For taxable years in which a net operating  | 
 loss carryback or
carryforward from a taxable year  | 
 ending prior to December 31, 1986 is an
element of  | 
 taxable income under paragraph (1) of subsection (e)  | 
 or subparagraph
(E) of paragraph (2) of subsection  | 
 (e), the amount by which addition
modifications other  | 
 than those provided by this subparagraph (E) exceeded
 | 
 subtraction modifications in such taxable year, with  | 
 the following limitations
applied in the order that  | 
 they are listed: | 
    (i) the addition modification relating to the  | 
 net operating loss
carried back or forward to the  | 
 taxable year from any taxable year ending
prior to  | 
 December 31, 1986 shall be reduced by the amount  | 
 of addition
modification under this subparagraph  | 
 (E) which related to that net
operating loss and  | 
 which was taken into account in calculating the  | 
 base
income of an earlier taxable year, and | 
    (ii) the addition modification relating to the  | 
 net operating loss
carried back or forward to the  | 
 taxable year from any taxable year ending
prior to  | 
 December 31, 1986 shall not exceed the amount of  | 
 such carryback or
carryforward; | 
   For taxable years in which there is a net  | 
 operating loss carryback or
carryforward from more  | 
 | 
 than one other taxable year ending prior to December
 | 
 31, 1986, the addition modification provided in this  | 
 subparagraph (E) shall
be the sum of the amounts  | 
 computed independently under the preceding
provisions  | 
 of this subparagraph (E) for each such taxable year; | 
   (F) For taxable years ending on or after January  | 
 1, 1989, an amount
equal to the tax deducted pursuant  | 
 to Section 164 of the Internal Revenue
Code if the  | 
 trust or estate is claiming the same tax for purposes  | 
 of the
Illinois foreign tax credit under Section 601  | 
 of this Act; | 
   (G) An amount equal to the amount of the capital  | 
 gain deduction
allowable under the Internal Revenue  | 
 Code, to the extent deducted from
gross income in the  | 
 computation of taxable income; | 
   (G-5) For taxable years ending after December 31,  | 
 1997, an
amount equal to any eligible remediation  | 
 costs that the trust or estate
deducted in computing  | 
 adjusted gross income and for which the trust
or  | 
 estate claims a credit under subsection (l) of Section  | 
 201; | 
   (G-10) For taxable years 2001 and thereafter, an  | 
 amount equal to the
bonus depreciation deduction taken  | 
 on the taxpayer's federal income tax return for the  | 
 taxable
year under subsection (k) of Section 168 of  | 
 the Internal Revenue Code; and | 
 | 
   (G-11) If the taxpayer sells, transfers, abandons,  | 
 or otherwise disposes of property for which the  | 
 taxpayer was required in any taxable year to
make an  | 
 addition modification under subparagraph (G-10), then  | 
 an amount equal
to the aggregate amount of the  | 
 deductions taken in all taxable
years under  | 
 subparagraph (R) with respect to that property. | 
   If the taxpayer continues to own property through  | 
 the last day of the last tax year for which a  | 
 subtraction is allowed with respect to that property  | 
 under subparagraph (R) and for which the taxpayer was  | 
 allowed in any taxable year to make a subtraction  | 
 modification under subparagraph (R), then an amount  | 
 equal to that subtraction modification.
 | 
   The taxpayer is required to make the addition  | 
 modification under this
subparagraph
only once with  | 
 respect to any one piece of property; | 
   (G-12) An amount equal to the amount otherwise  | 
 allowed as a deduction in computing base income for  | 
 interest paid, accrued, or incurred, directly or  | 
 indirectly, (i) for taxable years ending on or after  | 
 December 31, 2004, to a foreign person who would be a  | 
 member of the same unitary business group but for the  | 
 fact that the foreign person's business activity  | 
 outside the United States is 80% or more of the foreign  | 
 person's total business activity and (ii) for taxable  | 
 | 
 years ending on or after December 31, 2008, to a person  | 
 who would be a member of the same unitary business  | 
 group but for the fact that the person is prohibited  | 
 under Section 1501(a)(27) from being included in the  | 
 unitary business group because he or she is ordinarily  | 
 required to apportion business income under different  | 
 subsections of Section 304. The addition modification  | 
 required by this subparagraph shall be reduced to the  | 
 extent that dividends were included in base income of  | 
 the unitary group for the same taxable year and  | 
 received by the taxpayer or by a member of the  | 
 taxpayer's unitary business group (including amounts  | 
 included in gross income pursuant to Sections 951  | 
 through 964 of the Internal Revenue Code and amounts  | 
 included in gross income under Section 78 of the  | 
 Internal Revenue Code) with respect to the stock of  | 
 the same person to whom the interest was paid,  | 
 accrued, or incurred.
 | 
   This paragraph shall not apply to the following:
 | 
    (i) an item of interest paid, accrued, or  | 
 incurred, directly or indirectly, to a person who  | 
 is subject in a foreign country or state, other  | 
 than a state which requires mandatory unitary  | 
 reporting, to a tax on or measured by net income  | 
 with respect to such interest; or | 
    (ii) an item of interest paid, accrued, or  | 
 | 
 incurred, directly or indirectly, to a person if  | 
 the taxpayer can establish, based on a  | 
 preponderance of the evidence, both of the  | 
 following: | 
     (a) the person, during the same taxable  | 
 year, paid, accrued, or incurred, the interest  | 
 to a person that is not a related member, and | 
     (b) the transaction giving rise to the  | 
 interest expense between the taxpayer and the  | 
 person did not have as a principal purpose the  | 
 avoidance of Illinois income tax, and is paid  | 
 pursuant to a contract or agreement that  | 
 reflects an arm's-length interest rate and  | 
 terms; or
 | 
    (iii) the taxpayer can establish, based on  | 
 clear and convincing evidence, that the interest  | 
 paid, accrued, or incurred relates to a contract  | 
 or agreement entered into at arm's-length rates  | 
 and terms and the principal purpose for the  | 
 payment is not federal or Illinois tax avoidance;  | 
 or
 | 
    (iv) an item of interest paid, accrued, or  | 
 incurred, directly or indirectly, to a person if  | 
 the taxpayer establishes by clear and convincing  | 
 evidence that the adjustments are unreasonable; or  | 
 if the taxpayer and the Director agree in writing  | 
 | 
 to the application or use of an alternative method  | 
 of apportionment under Section 304(f).
 | 
    Nothing in this subsection shall preclude the  | 
 Director from making any other adjustment  | 
 otherwise allowed under Section 404 of this Act  | 
 for any tax year beginning after the effective  | 
 date of this amendment provided such adjustment is  | 
 made pursuant to regulation adopted by the  | 
 Department and such regulations provide methods  | 
 and standards by which the Department will utilize  | 
 its authority under Section 404 of this Act;
 | 
   (G-13) An amount equal to the amount of intangible  | 
 expenses and costs otherwise allowed as a deduction in  | 
 computing base income, and that were paid, accrued, or  | 
 incurred, directly or indirectly, (i) for taxable  | 
 years ending on or after December 31, 2004, to a  | 
 foreign person who would be a member of the same  | 
 unitary business group but for the fact that the  | 
 foreign person's business activity outside the United  | 
 States is 80% or more of that person's total business  | 
 activity and (ii) for taxable years ending on or after  | 
 December 31, 2008, to a person who would be a member of  | 
 the same unitary business group but for the fact that  | 
 the person is prohibited under Section 1501(a)(27)  | 
 from being included in the unitary business group  | 
 because he or she is ordinarily required to apportion  | 
 | 
 business income under different subsections of Section  | 
 304. The addition modification required by this  | 
 subparagraph shall be reduced to the extent that  | 
 dividends were included in base income of the unitary  | 
 group for the same taxable year and received by the  | 
 taxpayer or by a member of the taxpayer's unitary  | 
 business group (including amounts included in gross  | 
 income pursuant to Sections 951 through 964 of the  | 
 Internal Revenue Code and amounts included in gross  | 
 income under Section 78 of the Internal Revenue Code)  | 
 with respect to the stock of the same person to whom  | 
 the intangible expenses and costs were directly or  | 
 indirectly paid, incurred, or accrued. The preceding  | 
 sentence shall not apply to the extent that the same  | 
 dividends caused a reduction to the addition  | 
 modification required under Section 203(c)(2)(G-12) of  | 
 this Act. As used in this subparagraph, the term  | 
 "intangible expenses and costs" includes: (1)  | 
 expenses, losses, and costs for or related to the  | 
 direct or indirect acquisition, use, maintenance or  | 
 management, ownership, sale, exchange, or any other  | 
 disposition of intangible property; (2) losses  | 
 incurred, directly or indirectly, from factoring  | 
 transactions or discounting transactions; (3) royalty,  | 
 patent, technical, and copyright fees; (4) licensing  | 
 fees; and (5) other similar expenses and costs. For  | 
 | 
 purposes of this subparagraph, "intangible property"  | 
 includes patents, patent applications, trade names,  | 
 trademarks, service marks, copyrights, mask works,  | 
 trade secrets, and similar types of intangible assets. | 
   This paragraph shall not apply to the following: | 
    (i) any item of intangible expenses or costs  | 
 paid, accrued, or incurred, directly or  | 
 indirectly, from a transaction with a person who  | 
 is subject in a foreign country or state, other  | 
 than a state which requires mandatory unitary  | 
 reporting, to a tax on or measured by net income  | 
 with respect to such item; or | 
    (ii) any item of intangible expense or cost  | 
 paid, accrued, or incurred, directly or  | 
 indirectly, if the taxpayer can establish, based  | 
 on a preponderance of the evidence, both of the  | 
 following: | 
     (a) the person during the same taxable  | 
 year paid, accrued, or incurred, the  | 
 intangible expense or cost to a person that is  | 
 not a related member, and | 
     (b) the transaction giving rise to the  | 
 intangible expense or cost between the  | 
 taxpayer and the person did not have as a  | 
 principal purpose the avoidance of Illinois  | 
 income tax, and is paid pursuant to a contract  | 
 | 
 or agreement that reflects arm's-length terms;  | 
 or | 
    (iii) any item of intangible expense or cost  | 
 paid, accrued, or incurred, directly or  | 
 indirectly, from a transaction with a person if  | 
 the taxpayer establishes by clear and convincing  | 
 evidence, that the adjustments are unreasonable;  | 
 or if the taxpayer and the Director agree in  | 
 writing to the application or use of an  | 
 alternative method of apportionment under Section  | 
 304(f);
 | 
    Nothing in this subsection shall preclude the  | 
 Director from making any other adjustment  | 
 otherwise allowed under Section 404 of this Act  | 
 for any tax year beginning after the effective  | 
 date of this amendment provided such adjustment is  | 
 made pursuant to regulation adopted by the  | 
 Department and such regulations provide methods  | 
 and standards by which the Department will utilize  | 
 its authority under Section 404 of this Act;
 | 
   (G-14) For taxable years ending on or after  | 
 December 31, 2008, an amount equal to the amount of  | 
 insurance premium expenses and costs otherwise allowed  | 
 as a deduction in computing base income, and that were  | 
 paid, accrued, or incurred, directly or indirectly, to  | 
 a person who would be a member of the same unitary  | 
 | 
 business group but for the fact that the person is  | 
 prohibited under Section 1501(a)(27) from being  | 
 included in the unitary business group because he or  | 
 she is ordinarily required to apportion business  | 
 income under different subsections of Section 304. The  | 
 addition modification required by this subparagraph  | 
 shall be reduced to the extent that dividends were  | 
 included in base income of the unitary group for the  | 
 same taxable year and received by the taxpayer or by a  | 
 member of the taxpayer's unitary business group  | 
 (including amounts included in gross income under  | 
 Sections 951 through 964 of the Internal Revenue Code  | 
 and amounts included in gross income under Section 78  | 
 of the Internal Revenue Code) with respect to the  | 
 stock of the same person to whom the premiums and costs  | 
 were directly or indirectly paid, incurred, or  | 
 accrued. The preceding sentence does not apply to the  | 
 extent that the same dividends caused a reduction to  | 
 the addition modification required under Section  | 
 203(c)(2)(G-12) or Section 203(c)(2)(G-13) of this  | 
 Act; | 
   (G-15) An amount equal to the credit allowable to  | 
 the taxpayer under Section 218(a) of this Act,  | 
 determined without regard to Section 218(c) of this  | 
 Act; | 
   (G-16) For taxable years ending on or after  | 
 | 
 December 31, 2017, an amount equal to the deduction  | 
 allowed under Section 199 of the Internal Revenue Code  | 
 for the taxable year;  | 
 and by deducting from the total so obtained the sum of the  | 
 following
amounts: | 
   (H) An amount equal to all amounts included in  | 
 such total pursuant
to the provisions of Sections  | 
 402(a), 402(c), 403(a), 403(b), 406(a), 407(a)
and 408  | 
 of the Internal Revenue Code or included in such total  | 
 as
distributions under the provisions of any  | 
 retirement or disability plan for
employees of any  | 
 governmental agency or unit, or retirement payments to
 | 
 retired partners, which payments are excluded in  | 
 computing net earnings
from self employment by Section  | 
 1402 of the Internal Revenue Code and
regulations  | 
 adopted pursuant thereto; | 
   (I) The valuation limitation amount; | 
   (J) An amount equal to the amount of any tax  | 
 imposed by this Act
which was refunded to the taxpayer  | 
 and included in such total for the
taxable year; | 
   (K) An amount equal to all amounts included in  | 
 taxable income as
modified by subparagraphs (A), (B),  | 
 (C), (D), (E), (F) and (G) which
are exempt from  | 
 taxation by this State either by reason of its  | 
 statutes or
Constitution
or by reason of the  | 
 Constitution, treaties or statutes of the United  | 
 | 
 States;
provided that, in the case of any statute of  | 
 this State that exempts income
derived from bonds or  | 
 other obligations from the tax imposed under this Act,
 | 
 the amount exempted shall be the interest net of bond  | 
 premium amortization; | 
   (L) With the exception of any amounts subtracted  | 
 under subparagraph
(K),
an amount equal to the sum of  | 
 all amounts disallowed as
deductions by (i) Sections  | 
 171(a)(2) and 265(a)(2) of the Internal Revenue
Code,  | 
 and all amounts of expenses allocable
to interest and  | 
 disallowed as deductions by Section 265(a)(1) of the  | 
 Internal
Revenue Code;
and (ii) for taxable years
 | 
 ending on or after August 13, 1999, Sections
 | 
 171(a)(2), 265,
280C, and 832(b)(5)(B)(i) of the  | 
 Internal Revenue Code, plus, (iii) for taxable years  | 
 ending on or after December 31, 2011, Section  | 
 45G(e)(3) of the Internal Revenue Code and, for  | 
 taxable years ending on or after December 31, 2008,  | 
 any amount included in gross income under Section 87  | 
 of the Internal Revenue Code; the provisions of this
 | 
 subparagraph are exempt from the provisions of Section  | 
 250; | 
   (M) An amount equal to those dividends included in  | 
 such total
which were paid by a corporation which  | 
 conducts business operations in a River Edge  | 
 Redevelopment Zone or zones created under the River  | 
 | 
 Edge Redevelopment Zone Act and
conducts substantially  | 
 all of its operations in a River Edge Redevelopment  | 
 Zone or zones. This subparagraph (M) is exempt from  | 
 the provisions of Section 250; | 
   (N) An amount equal to any contribution made to a  | 
 job training
project established pursuant to the Tax  | 
 Increment Allocation
Redevelopment Act; | 
   (O) An amount equal to those dividends included in  | 
 such total
that were paid by a corporation that  | 
 conducts business operations in a
federally designated  | 
 Foreign Trade Zone or Sub-Zone and that is designated
 | 
 a High Impact Business located in Illinois; provided  | 
 that dividends eligible
for the deduction provided in  | 
 subparagraph (M) of paragraph (2) of this
subsection  | 
 shall not be eligible for the deduction provided under  | 
 this
subparagraph (O); | 
   (P) An amount equal to the amount of the deduction  | 
 used to compute the
federal income tax credit for  | 
 restoration of substantial amounts held under
claim of  | 
 right for the taxable year pursuant to Section 1341 of  | 
 the
Internal Revenue Code; | 
   (Q) For taxable year 1999 and thereafter, an  | 
 amount equal to the
amount of any
(i) distributions,  | 
 to the extent includible in gross income for
federal  | 
 income tax purposes, made to the taxpayer because of
 | 
 his or her status as a victim of
persecution for racial  | 
 | 
 or religious reasons by Nazi Germany or any other Axis
 | 
 regime or as an heir of the victim and (ii) items
of  | 
 income, to the extent
includible in gross income for  | 
 federal income tax purposes, attributable to,
derived  | 
 from or in any way related to assets stolen from,  | 
 hidden from, or
otherwise lost to a victim of
 | 
 persecution for racial or religious reasons by Nazi
 | 
 Germany or any other Axis regime
immediately prior to,  | 
 during, and immediately after World War II, including,
 | 
 but
not limited to, interest on the proceeds  | 
 receivable as insurance
under policies issued to a  | 
 victim of persecution for racial or religious
reasons  | 
 by Nazi Germany or any other Axis regime by European  | 
 insurance
companies
immediately prior to and during  | 
 World War II;
provided, however, this subtraction from  | 
 federal adjusted gross income does not
apply to assets  | 
 acquired with such assets or with the proceeds from  | 
 the sale of
such assets; provided, further, this  | 
 paragraph shall only apply to a taxpayer
who was the  | 
 first recipient of such assets after their recovery  | 
 and who is a
victim of
persecution for racial or  | 
 religious reasons
by Nazi Germany or any other Axis  | 
 regime or as an heir of the victim. The
amount of and  | 
 the eligibility for any public assistance, benefit, or
 | 
 similar entitlement is not affected by the inclusion  | 
 of items (i) and (ii) of
this paragraph in gross income  | 
 | 
 for federal income tax purposes.
This paragraph is  | 
 exempt from the provisions of Section 250; | 
   (R) For taxable years 2001 and thereafter, for the  | 
 taxable year in
which the bonus depreciation deduction
 | 
 is taken on the taxpayer's federal income tax return  | 
 under
subsection (k) of Section 168 of the Internal  | 
 Revenue Code and for each
applicable taxable year  | 
 thereafter, an amount equal to "x", where: | 
    (1) "y" equals the amount of the depreciation  | 
 deduction taken for the
taxable year
on the  | 
 taxpayer's federal income tax return on property  | 
 for which the bonus
depreciation deduction
was  | 
 taken in any year under subsection (k) of Section  | 
 168 of the Internal
Revenue Code, but not  | 
 including the bonus depreciation deduction; | 
    (2) for taxable years ending on or before  | 
 December 31, 2005, "x" equals "y" multiplied by 30  | 
 and then divided by 70 (or "y"
multiplied by  | 
 0.429); and | 
    (3) for taxable years ending after December  | 
 31, 2005: | 
     (i) for property on which a bonus  | 
 depreciation deduction of 30% of the adjusted  | 
 basis was taken, "x" equals "y" multiplied by  | 
 30 and then divided by 70 (or "y"
multiplied  | 
 by 0.429); | 
 | 
     (ii) for property on which a bonus  | 
 depreciation deduction of 50% of the adjusted  | 
 basis was taken, "x" equals "y" multiplied by  | 
 1.0; | 
     (iii) for property on which a bonus  | 
 depreciation deduction of 100% of the adjusted  | 
 basis was taken in a taxable year ending on or  | 
 after December 31, 2021, "x" equals the  | 
 depreciation deduction that would be allowed  | 
 on that property if the taxpayer had made the  | 
 election under Section 168(k)(7) of the  | 
 Internal Revenue Code to not claim bonus  | 
 depreciation deprecation on that property; and | 
     (iv) for property on which a bonus  | 
 depreciation deduction of a percentage other  | 
 than 30%, 50% or 100% of the adjusted basis  | 
 was taken in a taxable year ending on or after  | 
 December 31, 2021, "x" equals "y" multiplied  | 
 by 100 times the percentage bonus depreciation  | 
 on the property (that is, 100(bonus%)) and  | 
 then divided by 100 times 1 minus the  | 
 percentage bonus depreciation on the property  | 
 (that is, 100(1–bonus%)).  | 
   The aggregate amount deducted under this  | 
 subparagraph in all taxable
years for any one piece of  | 
 property may not exceed the amount of the bonus
 | 
 | 
 depreciation deduction
taken on that property on the  | 
 taxpayer's federal income tax return under
subsection  | 
 (k) of Section 168 of the Internal Revenue Code. This  | 
 subparagraph (R) is exempt from the provisions of  | 
 Section 250; | 
   (S) If the taxpayer sells, transfers, abandons, or  | 
 otherwise disposes of
property for which the taxpayer  | 
 was required in any taxable year to make an
addition  | 
 modification under subparagraph (G-10), then an amount  | 
 equal to that
addition modification. | 
   If the taxpayer continues to own property through  | 
 the last day of the last tax year for which a  | 
 subtraction is allowed with respect to that property  | 
 under subparagraph (R) and for which the taxpayer was  | 
 required in any taxable year to make an addition  | 
 modification under subparagraph (G-10), then an amount  | 
 equal to that addition modification.
 | 
   The taxpayer is allowed to take the deduction  | 
 under this subparagraph
only once with respect to any  | 
 one piece of property. | 
   This subparagraph (S) is exempt from the  | 
 provisions of Section 250; | 
   (T) The amount of (i) any interest income (net of  | 
 the deductions allocable thereto) taken into account  | 
 for the taxable year with respect to a transaction  | 
 with a taxpayer that is required to make an addition  | 
 | 
 modification with respect to such transaction under  | 
 Section 203(a)(2)(D-17), 203(b)(2)(E-12),  | 
 203(c)(2)(G-12), or 203(d)(2)(D-7), but not to exceed  | 
 the amount of such addition modification and
(ii) any  | 
 income from intangible property (net of the deductions  | 
 allocable thereto) taken into account for the taxable  | 
 year with respect to a transaction with a taxpayer  | 
 that is required to make an addition modification with  | 
 respect to such transaction under Section  | 
 203(a)(2)(D-18), 203(b)(2)(E-13), 203(c)(2)(G-13), or  | 
 203(d)(2)(D-8), but not to exceed the amount of such  | 
 addition modification. This subparagraph (T) is exempt  | 
 from the provisions of Section 250;
 | 
   (U) An amount equal to the interest income taken  | 
 into account for the taxable year (net of the  | 
 deductions allocable thereto) with respect to  | 
 transactions with (i) a foreign person who would be a  | 
 member of the taxpayer's unitary business group but  | 
 for the fact the foreign person's business activity  | 
 outside the United States is 80% or more of that  | 
 person's total business activity and (ii) for taxable  | 
 years ending on or after December 31, 2008, to a person  | 
 who would be a member of the same unitary business  | 
 group but for the fact that the person is prohibited  | 
 under Section 1501(a)(27) from being included in the  | 
 unitary business group because he or she is ordinarily  | 
 | 
 required to apportion business income under different  | 
 subsections of Section 304, but not to exceed the  | 
 addition modification required to be made for the same  | 
 taxable year under Section 203(c)(2)(G-12) for  | 
 interest paid, accrued, or incurred, directly or  | 
 indirectly, to the same person. This subparagraph (U)  | 
 is exempt from the provisions of Section 250;  | 
   (V) An amount equal to the income from intangible  | 
 property taken into account for the taxable year (net  | 
 of the deductions allocable thereto) with respect to  | 
 transactions with (i) a foreign person who would be a  | 
 member of the taxpayer's unitary business group but  | 
 for the fact that the foreign person's business  | 
 activity outside the United States is 80% or more of  | 
 that person's total business activity and (ii) for  | 
 taxable years ending on or after December 31, 2008, to  | 
 a person who would be a member of the same unitary  | 
 business group but for the fact that the person is  | 
 prohibited under Section 1501(a)(27) from being  | 
 included in the unitary business group because he or  | 
 she is ordinarily required to apportion business  | 
 income under different subsections of Section 304, but  | 
 not to exceed the addition modification required to be  | 
 made for the same taxable year under Section  | 
 203(c)(2)(G-13) for intangible expenses and costs  | 
 paid, accrued, or incurred, directly or indirectly, to  | 
 | 
 the same foreign person. This subparagraph (V) is  | 
 exempt from the provisions of Section 250;
 | 
   (W) in the case of an estate, an amount equal to  | 
 all amounts included in such total pursuant to the  | 
 provisions of Section 111 of the Internal Revenue Code  | 
 as a recovery of items previously deducted by the  | 
 decedent from adjusted gross income in the computation  | 
 of taxable income. This subparagraph (W) is exempt  | 
 from Section 250;  | 
   (X) an amount equal to the refund included in such  | 
 total of any tax deducted for federal income tax  | 
 purposes, to the extent that deduction was added back  | 
 under subparagraph (F). This subparagraph (X) is  | 
 exempt from the provisions of Section 250; | 
   (Y) For taxable years ending on or after December  | 
 31, 2011, in the case of a taxpayer who was required to  | 
 add back any insurance premiums under Section  | 
 203(c)(2)(G-14), such taxpayer may elect to subtract  | 
 that part of a reimbursement received from the  | 
 insurance company equal to the amount of the expense  | 
 or loss (including expenses incurred by the insurance  | 
 company) that would have been taken into account as a  | 
 deduction for federal income tax purposes if the  | 
 expense or loss had been uninsured. If a taxpayer  | 
 makes the election provided for by this subparagraph  | 
 (Y), the insurer to which the premiums were paid must  | 
 | 
 add back to income the amount subtracted by the  | 
 taxpayer pursuant to this subparagraph (Y). This  | 
 subparagraph (Y) is exempt from the provisions of  | 
 Section 250; and | 
   (Z) For taxable years beginning after December 31,  | 
 2018 and before January 1, 2026, the amount of excess  | 
 business loss of the taxpayer disallowed as a  | 
 deduction by Section 461(l)(1)(B) of the Internal  | 
 Revenue Code.  | 
  (3) Limitation. The amount of any modification  | 
 otherwise required
under this subsection shall, under  | 
 regulations prescribed by the
Department, be adjusted by  | 
 any amounts included therein which were
properly paid,  | 
 credited, or required to be distributed, or permanently  | 
 set
aside for charitable purposes pursuant to Internal  | 
 Revenue Code Section
642(c) during the taxable year.
 | 
 (d) Partnerships. | 
  (1) In general. In the case of a partnership, base  | 
 income means an
amount equal to the taxpayer's taxable  | 
 income for the taxable year as
modified by paragraph (2). | 
  (2) Modifications. The taxable income referred to in  | 
 paragraph (1)
shall be modified by adding thereto the sum  | 
 of the following amounts: | 
   (A) An amount equal to all amounts paid or accrued  | 
 to the taxpayer as
interest or dividends during the  | 
 | 
 taxable year to the extent excluded from
gross income  | 
 in the computation of taxable income; | 
   (B) An amount equal to the amount of tax imposed by  | 
 this Act to the
extent deducted from gross income for  | 
 the taxable year; | 
   (C) The amount of deductions allowed to the  | 
 partnership pursuant to
Section 707 (c) of the  | 
 Internal Revenue Code in calculating its taxable  | 
 income; | 
   (D) An amount equal to the amount of the capital  | 
 gain deduction
allowable under the Internal Revenue  | 
 Code, to the extent deducted from
gross income in the  | 
 computation of taxable income; | 
   (D-5) For taxable years 2001 and thereafter, an  | 
 amount equal to the
bonus depreciation deduction taken  | 
 on the taxpayer's federal income tax return for the  | 
 taxable
year under subsection (k) of Section 168 of  | 
 the Internal Revenue Code; | 
   (D-6) If the taxpayer sells, transfers, abandons,  | 
 or otherwise disposes of
property for which the  | 
 taxpayer was required in any taxable year to make an
 | 
 addition modification under subparagraph (D-5), then  | 
 an amount equal to the
aggregate amount of the  | 
 deductions taken in all taxable years
under  | 
 subparagraph (O) with respect to that property. | 
   If the taxpayer continues to own property through  | 
 | 
 the last day of the last tax year for which a  | 
 subtraction is allowed with respect to that property  | 
 under subparagraph (O) and for which the taxpayer was  | 
 allowed in any taxable year to make a subtraction  | 
 modification under subparagraph (O), then an amount  | 
 equal to that subtraction modification.
 | 
   The taxpayer is required to make the addition  | 
 modification under this
subparagraph
only once with  | 
 respect to any one piece of property; | 
   (D-7) An amount equal to the amount otherwise  | 
 allowed as a deduction in computing base income for  | 
 interest paid, accrued, or incurred, directly or  | 
 indirectly, (i) for taxable years ending on or after  | 
 December 31, 2004, to a foreign person who would be a  | 
 member of the same unitary business group but for the  | 
 fact the foreign person's business activity outside  | 
 the United States is 80% or more of the foreign  | 
 person's total business activity and (ii) for taxable  | 
 years ending on or after December 31, 2008, to a person  | 
 who would be a member of the same unitary business  | 
 group but for the fact that the person is prohibited  | 
 under Section 1501(a)(27) from being included in the  | 
 unitary business group because he or she is ordinarily  | 
 required to apportion business income under different  | 
 subsections of Section 304. The addition modification  | 
 required by this subparagraph shall be reduced to the  | 
 | 
 extent that dividends were included in base income of  | 
 the unitary group for the same taxable year and  | 
 received by the taxpayer or by a member of the  | 
 taxpayer's unitary business group (including amounts  | 
 included in gross income pursuant to Sections 951  | 
 through 964 of the Internal Revenue Code and amounts  | 
 included in gross income under Section 78 of the  | 
 Internal Revenue Code) with respect to the stock of  | 
 the same person to whom the interest was paid,  | 
 accrued, or incurred.
 | 
   This paragraph shall not apply to the following:
 | 
    (i) an item of interest paid, accrued, or  | 
 incurred, directly or indirectly, to a person who  | 
 is subject in a foreign country or state, other  | 
 than a state which requires mandatory unitary  | 
 reporting, to a tax on or measured by net income  | 
 with respect to such interest; or | 
    (ii) an item of interest paid, accrued, or  | 
 incurred, directly or indirectly, to a person if  | 
 the taxpayer can establish, based on a  | 
 preponderance of the evidence, both of the  | 
 following: | 
     (a) the person, during the same taxable  | 
 year, paid, accrued, or incurred, the interest  | 
 to a person that is not a related member, and | 
     (b) the transaction giving rise to the  | 
 | 
 interest expense between the taxpayer and the  | 
 person did not have as a principal purpose the  | 
 avoidance of Illinois income tax, and is paid  | 
 pursuant to a contract or agreement that  | 
 reflects an arm's-length interest rate and  | 
 terms; or
 | 
    (iii) the taxpayer can establish, based on  | 
 clear and convincing evidence, that the interest  | 
 paid, accrued, or incurred relates to a contract  | 
 or agreement entered into at arm's-length rates  | 
 and terms and the principal purpose for the  | 
 payment is not federal or Illinois tax avoidance;  | 
 or
 | 
    (iv) an item of interest paid, accrued, or  | 
 incurred, directly or indirectly, to a person if  | 
 the taxpayer establishes by clear and convincing  | 
 evidence that the adjustments are unreasonable; or  | 
 if the taxpayer and the Director agree in writing  | 
 to the application or use of an alternative method  | 
 of apportionment under Section 304(f).
 | 
    Nothing in this subsection shall preclude the  | 
 Director from making any other adjustment  | 
 otherwise allowed under Section 404 of this Act  | 
 for any tax year beginning after the effective  | 
 date of this amendment provided such adjustment is  | 
 made pursuant to regulation adopted by the  | 
 | 
 Department and such regulations provide methods  | 
 and standards by which the Department will utilize  | 
 its authority under Section 404 of this Act; and
 | 
   (D-8) An amount equal to the amount of intangible  | 
 expenses and costs otherwise allowed as a deduction in  | 
 computing base income, and that were paid, accrued, or  | 
 incurred, directly or indirectly, (i) for taxable  | 
 years ending on or after December 31, 2004, to a  | 
 foreign person who would be a member of the same  | 
 unitary business group but for the fact that the  | 
 foreign person's business activity outside the United  | 
 States is 80% or more of that person's total business  | 
 activity and (ii) for taxable years ending on or after  | 
 December 31, 2008, to a person who would be a member of  | 
 the same unitary business group but for the fact that  | 
 the person is prohibited under Section 1501(a)(27)  | 
 from being included in the unitary business group  | 
 because he or she is ordinarily required to apportion  | 
 business income under different subsections of Section  | 
 304. The addition modification required by this  | 
 subparagraph shall be reduced to the extent that  | 
 dividends were included in base income of the unitary  | 
 group for the same taxable year and received by the  | 
 taxpayer or by a member of the taxpayer's unitary  | 
 business group (including amounts included in gross  | 
 income pursuant to Sections 951 through 964 of the  | 
 | 
 Internal Revenue Code and amounts included in gross  | 
 income under Section 78 of the Internal Revenue Code)  | 
 with respect to the stock of the same person to whom  | 
 the intangible expenses and costs were directly or  | 
 indirectly paid, incurred or accrued. The preceding  | 
 sentence shall not apply to the extent that the same  | 
 dividends caused a reduction to the addition  | 
 modification required under Section 203(d)(2)(D-7) of  | 
 this Act. As used in this subparagraph, the term  | 
 "intangible expenses and costs" includes (1) expenses,  | 
 losses, and costs for, or related to, the direct or  | 
 indirect acquisition, use, maintenance or management,  | 
 ownership, sale, exchange, or any other disposition of  | 
 intangible property; (2) losses incurred, directly or  | 
 indirectly, from factoring transactions or discounting  | 
 transactions; (3) royalty, patent, technical, and  | 
 copyright fees; (4) licensing fees; and (5) other  | 
 similar expenses and costs. For purposes of this  | 
 subparagraph, "intangible property" includes patents,  | 
 patent applications, trade names, trademarks, service  | 
 marks, copyrights, mask works, trade secrets, and  | 
 similar types of intangible assets; | 
   This paragraph shall not apply to the following: | 
    (i) any item of intangible expenses or costs  | 
 paid, accrued, or incurred, directly or  | 
 indirectly, from a transaction with a person who  | 
 | 
 is subject in a foreign country or state, other  | 
 than a state which requires mandatory unitary  | 
 reporting, to a tax on or measured by net income  | 
 with respect to such item; or | 
    (ii) any item of intangible expense or cost  | 
 paid, accrued, or incurred, directly or  | 
 indirectly, if the taxpayer can establish, based  | 
 on a preponderance of the evidence, both of the  | 
 following: | 
     (a) the person during the same taxable  | 
 year paid, accrued, or incurred, the  | 
 intangible expense or cost to a person that is  | 
 not a related member, and | 
     (b) the transaction giving rise to the  | 
 intangible expense or cost between the  | 
 taxpayer and the person did not have as a  | 
 principal purpose the avoidance of Illinois  | 
 income tax, and is paid pursuant to a contract  | 
 or agreement that reflects arm's-length terms;  | 
 or | 
    (iii) any item of intangible expense or cost  | 
 paid, accrued, or incurred, directly or  | 
 indirectly, from a transaction with a person if  | 
 the taxpayer establishes by clear and convincing  | 
 evidence, that the adjustments are unreasonable;  | 
 or if the taxpayer and the Director agree in  | 
 | 
 writing to the application or use of an  | 
 alternative method of apportionment under Section  | 
 304(f);
 | 
    Nothing in this subsection shall preclude the  | 
 Director from making any other adjustment  | 
 otherwise allowed under Section 404 of this Act  | 
 for any tax year beginning after the effective  | 
 date of this amendment provided such adjustment is  | 
 made pursuant to regulation adopted by the  | 
 Department and such regulations provide methods  | 
 and standards by which the Department will utilize  | 
 its authority under Section 404 of this Act;
 | 
   (D-9) For taxable years ending on or after  | 
 December 31, 2008, an amount equal to the amount of  | 
 insurance premium expenses and costs otherwise allowed  | 
 as a deduction in computing base income, and that were  | 
 paid, accrued, or incurred, directly or indirectly, to  | 
 a person who would be a member of the same unitary  | 
 business group but for the fact that the person is  | 
 prohibited under Section 1501(a)(27) from being  | 
 included in the unitary business group because he or  | 
 she is ordinarily required to apportion business  | 
 income under different subsections of Section 304. The  | 
 addition modification required by this subparagraph  | 
 shall be reduced to the extent that dividends were  | 
 included in base income of the unitary group for the  | 
 | 
 same taxable year and received by the taxpayer or by a  | 
 member of the taxpayer's unitary business group  | 
 (including amounts included in gross income under  | 
 Sections 951 through 964 of the Internal Revenue Code  | 
 and amounts included in gross income under Section 78  | 
 of the Internal Revenue Code) with respect to the  | 
 stock of the same person to whom the premiums and costs  | 
 were directly or indirectly paid, incurred, or  | 
 accrued. The preceding sentence does not apply to the  | 
 extent that the same dividends caused a reduction to  | 
 the addition modification required under Section  | 
 203(d)(2)(D-7) or Section 203(d)(2)(D-8) of this Act; | 
   (D-10) An amount equal to the credit allowable to  | 
 the taxpayer under Section 218(a) of this Act,  | 
 determined without regard to Section 218(c) of this  | 
 Act; | 
   (D-11) For taxable years ending on or after  | 
 December 31, 2017, an amount equal to the deduction  | 
 allowed under Section 199 of the Internal Revenue Code  | 
 for the taxable year;  | 
 and by deducting from the total so obtained the following  | 
 amounts: | 
   (E) The valuation limitation amount; | 
   (F) An amount equal to the amount of any tax  | 
 imposed by this Act which
was refunded to the taxpayer  | 
 and included in such total for the taxable year; | 
 | 
   (G) An amount equal to all amounts included in  | 
 taxable income as
modified by subparagraphs (A), (B),  | 
 (C) and (D) which are exempt from
taxation by this  | 
 State either by reason of its statutes or Constitution  | 
 or
by reason of
the Constitution, treaties or statutes  | 
 of the United States;
provided that, in the case of any  | 
 statute of this State that exempts income
derived from  | 
 bonds or other obligations from the tax imposed under  | 
 this Act,
the amount exempted shall be the interest  | 
 net of bond premium amortization; | 
   (H) Any income of the partnership which  | 
 constitutes personal service
income as defined in  | 
 Section 1348(b)(1) of the Internal Revenue Code (as
in  | 
 effect December 31, 1981) or a reasonable allowance  | 
 for compensation
paid or accrued for services rendered  | 
 by partners to the partnership,
whichever is greater;  | 
 this subparagraph (H) is exempt from the provisions of  | 
 Section 250; | 
   (I) An amount equal to all amounts of income  | 
 distributable to an entity
subject to the Personal  | 
 Property Tax Replacement Income Tax imposed by
 | 
 subsections (c) and (d) of Section 201 of this Act  | 
 including amounts
distributable to organizations  | 
 exempt from federal income tax by reason of
Section  | 
 501(a) of the Internal Revenue Code; this subparagraph  | 
 (I) is exempt from the provisions of Section 250; | 
 | 
   (J) With the exception of any amounts subtracted  | 
 under subparagraph
(G),
an amount equal to the sum of  | 
 all amounts disallowed as deductions
by (i) Sections  | 
 171(a)(2) and 265(a)(2) of the Internal Revenue Code,  | 
 and all amounts of expenses allocable to
interest and  | 
 disallowed as deductions by Section 265(a)(1) of the  | 
 Internal
Revenue Code;
and (ii) for taxable years
 | 
 ending on or after August 13, 1999, Sections
 | 
 171(a)(2), 265,
280C, and 832(b)(5)(B)(i) of the  | 
 Internal Revenue Code, plus, (iii) for taxable years  | 
 ending on or after December 31, 2011, Section  | 
 45G(e)(3) of the Internal Revenue Code and, for  | 
 taxable years ending on or after December 31, 2008,  | 
 any amount included in gross income under Section 87  | 
 of the Internal Revenue Code; the provisions of this
 | 
 subparagraph are exempt from the provisions of Section  | 
 250; | 
   (K) An amount equal to those dividends included in  | 
 such total which were
paid by a corporation which  | 
 conducts business operations in a River Edge  | 
 Redevelopment Zone or zones created under the River  | 
 Edge Redevelopment Zone Act and
conducts substantially  | 
 all of its operations
from a River Edge Redevelopment  | 
 Zone or zones. This subparagraph (K) is exempt from  | 
 the provisions of Section 250; | 
   (L) An amount equal to any contribution made to a  | 
 | 
 job training project
established pursuant to the Real  | 
 Property Tax Increment Allocation
Redevelopment Act; | 
   (M) An amount equal to those dividends included in  | 
 such total
that were paid by a corporation that  | 
 conducts business operations in a
federally designated  | 
 Foreign Trade Zone or Sub-Zone and that is designated  | 
 a
High Impact Business located in Illinois; provided  | 
 that dividends eligible
for the deduction provided in  | 
 subparagraph (K) of paragraph (2) of this
subsection  | 
 shall not be eligible for the deduction provided under  | 
 this
subparagraph (M); | 
   (N) An amount equal to the amount of the deduction  | 
 used to compute the
federal income tax credit for  | 
 restoration of substantial amounts held under
claim of  | 
 right for the taxable year pursuant to Section 1341 of  | 
 the
Internal Revenue Code; | 
   (O) For taxable years 2001 and thereafter, for the  | 
 taxable year in
which the bonus depreciation deduction
 | 
 is taken on the taxpayer's federal income tax return  | 
 under
subsection (k) of Section 168 of the Internal  | 
 Revenue Code and for each
applicable taxable year  | 
 thereafter, an amount equal to "x", where: | 
    (1) "y" equals the amount of the depreciation  | 
 deduction taken for the
taxable year
on the  | 
 taxpayer's federal income tax return on property  | 
 for which the bonus
depreciation deduction
was  | 
 | 
 taken in any year under subsection (k) of Section  | 
 168 of the Internal
Revenue Code, but not  | 
 including the bonus depreciation deduction; | 
    (2) for taxable years ending on or before  | 
 December 31, 2005, "x" equals "y" multiplied by 30  | 
 and then divided by 70 (or "y"
multiplied by  | 
 0.429); and | 
    (3) for taxable years ending after December  | 
 31, 2005: | 
     (i) for property on which a bonus  | 
 depreciation deduction of 30% of the adjusted  | 
 basis was taken, "x" equals "y" multiplied by  | 
 30 and then divided by 70 (or "y"
multiplied  | 
 by 0.429); | 
     (ii) for property on which a bonus  | 
 depreciation deduction of 50% of the adjusted  | 
 basis was taken, "x" equals "y" multiplied by  | 
 1.0; | 
     (iii) for property on which a bonus  | 
 depreciation deduction of 100% of the adjusted  | 
 basis was taken in a taxable year ending on or  | 
 after December 31, 2021, "x" equals the  | 
 depreciation deduction that would be allowed  | 
 on that property if the taxpayer had made the  | 
 election under Section 168(k)(7) of the  | 
 Internal Revenue Code to not claim bonus  | 
 | 
 depreciation deprecation on that property; and | 
     (iv) for property on which a bonus  | 
 depreciation deduction of a percentage other  | 
 than 30%, 50% or 100% of the adjusted basis  | 
 was taken in a taxable year ending on or after  | 
 December 31, 2021, "x" equals "y" multiplied  | 
 by 100 times the percentage bonus depreciation  | 
 on the property (that is, 100(bonus%)) and  | 
 then divided by 100 times 1 minus the  | 
 percentage bonus depreciation on the property  | 
 (that is, 100(1–bonus%)).  | 
   The aggregate amount deducted under this  | 
 subparagraph in all taxable
years for any one piece of  | 
 property may not exceed the amount of the bonus
 | 
 depreciation deduction
taken on that property on the  | 
 taxpayer's federal income tax return under
subsection  | 
 (k) of Section 168 of the Internal Revenue Code. This  | 
 subparagraph (O) is exempt from the provisions of  | 
 Section 250; | 
   (P) If the taxpayer sells, transfers, abandons, or  | 
 otherwise disposes of
property for which the taxpayer  | 
 was required in any taxable year to make an
addition  | 
 modification under subparagraph (D-5), then an amount  | 
 equal to that
addition modification. | 
   If the taxpayer continues to own property through  | 
 the last day of the last tax year for which a  | 
 | 
 subtraction is allowed with respect to that property  | 
 under subparagraph (O) and for which the taxpayer was  | 
 required in any taxable year to make an addition  | 
 modification under subparagraph (D-5), then an amount  | 
 equal to that addition modification.
 | 
   The taxpayer is allowed to take the deduction  | 
 under this subparagraph
only once with respect to any  | 
 one piece of property. | 
   This subparagraph (P) is exempt from the  | 
 provisions of Section 250; | 
   (Q) The amount of (i) any interest income (net of  | 
 the deductions allocable thereto) taken into account  | 
 for the taxable year with respect to a transaction  | 
 with a taxpayer that is required to make an addition  | 
 modification with respect to such transaction under  | 
 Section 203(a)(2)(D-17), 203(b)(2)(E-12),  | 
 203(c)(2)(G-12), or 203(d)(2)(D-7), but not to exceed  | 
 the amount of such addition modification and
(ii) any  | 
 income from intangible property (net of the deductions  | 
 allocable thereto) taken into account for the taxable  | 
 year with respect to a transaction with a taxpayer  | 
 that is required to make an addition modification with  | 
 respect to such transaction under Section  | 
 203(a)(2)(D-18), 203(b)(2)(E-13), 203(c)(2)(G-13), or  | 
 203(d)(2)(D-8), but not to exceed the amount of such  | 
 addition modification. This subparagraph (Q) is exempt  | 
 | 
 from Section 250;
 | 
   (R) An amount equal to the interest income taken  | 
 into account for the taxable year (net of the  | 
 deductions allocable thereto) with respect to  | 
 transactions with (i) a foreign person who would be a  | 
 member of the taxpayer's unitary business group but  | 
 for the fact that the foreign person's business  | 
 activity outside the United States is 80% or more of  | 
 that person's total business activity and (ii) for  | 
 taxable years ending on or after December 31, 2008, to  | 
 a person who would be a member of the same unitary  | 
 business group but for the fact that the person is  | 
 prohibited under Section 1501(a)(27) from being  | 
 included in the unitary business group because he or  | 
 she is ordinarily required to apportion business  | 
 income under different subsections of Section 304, but  | 
 not to exceed the addition modification required to be  | 
 made for the same taxable year under Section  | 
 203(d)(2)(D-7) for interest paid, accrued, or  | 
 incurred, directly or indirectly, to the same person.  | 
 This subparagraph (R) is exempt from Section 250;  | 
   (S) An amount equal to the income from intangible  | 
 property taken into account for the taxable year (net  | 
 of the deductions allocable thereto) with respect to  | 
 transactions with (i) a foreign person who would be a  | 
 member of the taxpayer's unitary business group but  | 
 | 
 for the fact that the foreign person's business  | 
 activity outside the United States is 80% or more of  | 
 that person's total business activity and (ii) for  | 
 taxable years ending on or after December 31, 2008, to  | 
 a person who would be a member of the same unitary  | 
 business group but for the fact that the person is  | 
 prohibited under Section 1501(a)(27) from being  | 
 included in the unitary business group because he or  | 
 she is ordinarily required to apportion business  | 
 income under different subsections of Section 304, but  | 
 not to exceed the addition modification required to be  | 
 made for the same taxable year under Section  | 
 203(d)(2)(D-8) for intangible expenses and costs paid,  | 
 accrued, or incurred, directly or indirectly, to the  | 
 same person. This subparagraph (S) is exempt from  | 
 Section 250; and
 | 
   (T) For taxable years ending on or after December  | 
 31, 2011, in the case of a taxpayer who was required to  | 
 add back any insurance premiums under Section  | 
 203(d)(2)(D-9), such taxpayer may elect to subtract  | 
 that part of a reimbursement received from the  | 
 insurance company equal to the amount of the expense  | 
 or loss (including expenses incurred by the insurance  | 
 company) that would have been taken into account as a  | 
 deduction for federal income tax purposes if the  | 
 expense or loss had been uninsured. If a taxpayer  | 
 | 
 makes the election provided for by this subparagraph  | 
 (T), the insurer to which the premiums were paid must  | 
 add back to income the amount subtracted by the  | 
 taxpayer pursuant to this subparagraph (T). This  | 
 subparagraph (T) is exempt from the provisions of  | 
 Section 250. 
 | 
 (e) Gross income; adjusted gross income; taxable income. | 
  (1) In general. Subject to the provisions of paragraph  | 
 (2) and
subsection (b)(3), for purposes of this Section  | 
 and Section 803(e), a
taxpayer's gross income, adjusted  | 
 gross income, or taxable income for
the taxable year shall  | 
 mean the amount of gross income, adjusted gross
income or  | 
 taxable income properly reportable for federal income tax
 | 
 purposes for the taxable year under the provisions of the  | 
 Internal
Revenue Code. Taxable income may be less than  | 
 zero. However, for taxable
years ending on or after  | 
 December 31, 1986, net operating loss
carryforwards from  | 
 taxable years ending prior to December 31, 1986, may not
 | 
 exceed the sum of federal taxable income for the taxable  | 
 year before net
operating loss deduction, plus the excess  | 
 of addition modifications over
subtraction modifications  | 
 for the taxable year. For taxable years ending
prior to  | 
 December 31, 1986, taxable income may never be an amount  | 
 in excess
of the net operating loss for the taxable year as  | 
 defined in subsections
(c) and (d) of Section 172 of the  | 
 | 
 Internal Revenue Code, provided that when
taxable income  | 
 of a corporation (other than a Subchapter S corporation),
 | 
 trust, or estate is less than zero and addition  | 
 modifications, other than
those provided by subparagraph  | 
 (E) of paragraph (2) of subsection (b) for
corporations or  | 
 subparagraph (E) of paragraph (2) of subsection (c) for
 | 
 trusts and estates, exceed subtraction modifications, an  | 
 addition
modification must be made under those  | 
 subparagraphs for any other taxable
year to which the  | 
 taxable income less than zero (net operating loss) is
 | 
 applied under Section 172 of the Internal Revenue Code or  | 
 under
subparagraph (E) of paragraph (2) of this subsection  | 
 (e) applied in
conjunction with Section 172 of the  | 
 Internal Revenue Code. | 
  (2) Special rule. For purposes of paragraph (1) of  | 
 this subsection,
the taxable income properly reportable  | 
 for federal income tax purposes
shall mean: | 
   (A) Certain life insurance companies. In the case  | 
 of a life
insurance company subject to the tax imposed  | 
 by Section 801 of the
Internal Revenue Code, life  | 
 insurance company taxable income, plus the
amount of  | 
 distribution from pre-1984 policyholder surplus  | 
 accounts as
calculated under Section 815a of the  | 
 Internal Revenue Code; | 
   (B) Certain other insurance companies. In the case  | 
 of mutual
insurance companies subject to the tax  | 
 | 
 imposed by Section 831 of the
Internal Revenue Code,  | 
 insurance company taxable income; | 
   (C) Regulated investment companies. In the case of  | 
 a regulated
investment company subject to the tax  | 
 imposed by Section 852 of the
Internal Revenue Code,  | 
 investment company taxable income; | 
   (D) Real estate investment trusts. In the case of  | 
 a real estate
investment trust subject to the tax  | 
 imposed by Section 857 of the
Internal Revenue Code,  | 
 real estate investment trust taxable income; | 
   (E) Consolidated corporations. In the case of a  | 
 corporation which
is a member of an affiliated group  | 
 of corporations filing a consolidated
income tax  | 
 return for the taxable year for federal income tax  | 
 purposes,
taxable income determined as if such  | 
 corporation had filed a separate
return for federal  | 
 income tax purposes for the taxable year and each
 | 
 preceding taxable year for which it was a member of an  | 
 affiliated group.
For purposes of this subparagraph,  | 
 the taxpayer's separate taxable
income shall be  | 
 determined as if the election provided by Section
 | 
 243(b)(2) of the Internal Revenue Code had been in  | 
 effect for all such years; | 
   (F) Cooperatives. In the case of a cooperative  | 
 corporation or
association, the taxable income of such  | 
 organization determined in
accordance with the  | 
 | 
 provisions of Section 1381 through 1388 of the
 | 
 Internal Revenue Code, but without regard to the  | 
 prohibition against offsetting losses from patronage  | 
 activities against income from nonpatronage  | 
 activities; except that a cooperative corporation or  | 
 association may make an election to follow its federal  | 
 income tax treatment of patronage losses and  | 
 nonpatronage losses. In the event such election is  | 
 made, such losses shall be computed and carried over  | 
 in a manner consistent with subsection (a) of Section  | 
 207 of this Act and apportioned by the apportionment  | 
 factor reported by the cooperative on its Illinois  | 
 income tax return filed for the taxable year in which  | 
 the losses are incurred. The election shall be  | 
 effective for all taxable years with original returns  | 
 due on or after the date of the election. In addition,  | 
 the cooperative may file an amended return or returns,  | 
 as allowed under this Act, to provide that the  | 
 election shall be effective for losses incurred or  | 
 carried forward for taxable years occurring prior to  | 
 the date of the election. Once made, the election may  | 
 only be revoked upon approval of the Director. The  | 
 Department shall adopt rules setting forth  | 
 requirements for documenting the elections and any  | 
 resulting Illinois net loss and the standards to be  | 
 used by the Director in evaluating requests to revoke  | 
 | 
 elections. Public Act 96-932 is declaratory of  | 
 existing law;  | 
   (G) Subchapter S corporations. In the case of: (i)  | 
 a Subchapter S
corporation for which there is in  | 
 effect an election for the taxable year
under Section  | 
 1362 of the Internal Revenue Code, the taxable income  | 
 of such
corporation determined in accordance with  | 
 Section 1363(b) of the Internal
Revenue Code, except  | 
 that taxable income shall take into
account those  | 
 items which are required by Section 1363(b)(1) of the
 | 
 Internal Revenue Code to be separately stated; and  | 
 (ii) a Subchapter
S corporation for which there is in  | 
 effect a federal election to opt out of
the provisions  | 
 of the Subchapter S Revision Act of 1982 and have  | 
 applied
instead the prior federal Subchapter S rules  | 
 as in effect on July 1, 1982,
the taxable income of  | 
 such corporation determined in accordance with the
 | 
 federal Subchapter S rules as in effect on July 1,  | 
 1982; and | 
   (H) Partnerships. In the case of a partnership,  | 
 taxable income
determined in accordance with Section  | 
 703 of the Internal Revenue Code,
except that taxable  | 
 income shall take into account those items which are
 | 
 required by Section 703(a)(1) to be separately stated  | 
 but which would be
taken into account by an individual  | 
 in calculating his taxable income. | 
 | 
  (3) Recapture of business expenses on disposition of  | 
 asset or business. Notwithstanding any other law to the  | 
 contrary, if in prior years income from an asset or  | 
 business has been classified as business income and in a  | 
 later year is demonstrated to be non-business income, then  | 
 all expenses, without limitation, deducted in such later  | 
 year and in the 2 immediately preceding taxable years  | 
 related to that asset or business that generated the  | 
 non-business income shall be added back and recaptured as  | 
 business income in the year of the disposition of the  | 
 asset or business. Such amount shall be apportioned to  | 
 Illinois using the greater of the apportionment fraction  | 
 computed for the business under Section 304 of this Act  | 
 for the taxable year or the average of the apportionment  | 
 fractions computed for the business under Section 304 of  | 
 this Act for the taxable year and for the 2 immediately  | 
 preceding taxable years.
 | 
 (f) Valuation limitation amount. | 
  (1) In general. The valuation limitation amount  | 
 referred to in
subsections (a)(2)(G), (c)(2)(I) and  | 
 (d)(2)(E) is an amount equal to: | 
   (A) The sum of the pre-August 1, 1969 appreciation  | 
 amounts (to the
extent consisting of gain reportable  | 
 under the provisions of Section
1245 or 1250 of the  | 
 Internal Revenue Code) for all property in respect
of  | 
 | 
 which such gain was reported for the taxable year;  | 
 plus | 
   (B) The lesser of (i) the sum of the pre-August 1,  | 
 1969 appreciation
amounts (to the extent consisting of  | 
 capital gain) for all property in
respect of which  | 
 such gain was reported for federal income tax purposes
 | 
 for the taxable year, or (ii) the net capital gain for  | 
 the taxable year,
reduced in either case by any amount  | 
 of such gain included in the amount
determined under  | 
 subsection (a)(2)(F) or (c)(2)(H). | 
  (2) Pre-August 1, 1969 appreciation amount. | 
   (A) If the fair market value of property referred  | 
 to in paragraph
(1) was readily ascertainable on  | 
 August 1, 1969, the pre-August 1, 1969
appreciation  | 
 amount for such property is the lesser of (i) the  | 
 excess of
such fair market value over the taxpayer's  | 
 basis (for determining gain)
for such property on that  | 
 date (determined under the Internal Revenue
Code as in  | 
 effect on that date), or (ii) the total gain realized  | 
 and
reportable for federal income tax purposes in  | 
 respect of the sale,
exchange or other disposition of  | 
 such property. | 
   (B) If the fair market value of property referred  | 
 to in paragraph
(1) was not readily ascertainable on  | 
 August 1, 1969, the pre-August 1,
1969 appreciation  | 
 amount for such property is that amount which bears
 | 
 | 
 the same ratio to the total gain reported in respect of  | 
 the property for
federal income tax purposes for the  | 
 taxable year, as the number of full
calendar months in  | 
 that part of the taxpayer's holding period for the
 | 
 property ending July 31, 1969 bears to the number of  | 
 full calendar
months in the taxpayer's entire holding  | 
 period for the
property. | 
   (C) The Department shall prescribe such  | 
 regulations as may be
necessary to carry out the  | 
 purposes of this paragraph.
 | 
 (g) Double deductions. Unless specifically provided  | 
otherwise, nothing
in this Section shall permit the same item  | 
to be deducted more than once.
 | 
 (h) Legislative intention. Except as expressly provided by  | 
this
Section there shall be no modifications or limitations on  | 
the amounts
of income, gain, loss or deduction taken into  | 
account in determining
gross income, adjusted gross income or  | 
taxable income for federal income
tax purposes for the taxable  | 
year, or in the amount of such items
entering into the  | 
computation of base income and net income under this
Act for  | 
such taxable year, whether in respect of property values as of
 | 
August 1, 1969 or otherwise. | 
(Source: P.A. 101-9, eff. 6-5-19; 101-81, eff. 7-12-19;  | 
102-16, eff. 6-17-21; 102-558, eff. 8-20-21; 102-658, eff.  | 
 | 
8-27-21; revised 10-14-21.)
 | 
 (35 ILCS 5/901)
 | 
 Sec. 901. Collection authority.  | 
 (a) In general. The Department shall collect the taxes  | 
imposed by this Act. The Department
shall collect certified  | 
past due child support amounts under Section 2505-650
of the  | 
Department of Revenue Law of the
Civil Administrative Code of  | 
Illinois. Except as
provided in subsections (b), (c), (e),  | 
(f), (g), and (h) of this Section, money collected
pursuant to  | 
subsections (a) and (b) of Section 201 of this Act shall be
 | 
paid into the General Revenue Fund in the State treasury;  | 
money
collected pursuant to subsections (c) and (d) of Section  | 
201 of this Act
shall be paid into the Personal Property Tax  | 
Replacement Fund, a special
fund in the State Treasury; and  | 
money collected under Section 2505-650 of the
Department of  | 
Revenue Law of the
Civil Administrative Code of Illinois shall  | 
be paid
into the
Child Support Enforcement Trust Fund, a  | 
special fund outside the State
Treasury, or
to the State
 | 
Disbursement Unit established under Section 10-26 of the  | 
Illinois Public Aid
Code, as directed by the Department of  | 
Healthcare and Family Services. | 
 (b) Local Government Distributive Fund. Beginning August  | 
1, 2017, the Treasurer shall transfer each month from the  | 
General Revenue Fund to the Local Government Distributive Fund  | 
an amount equal to the sum of: (i) 6.06% (10% of the ratio of  | 
 | 
the 3% individual income tax rate prior to 2011 to the 4.95%  | 
individual income tax rate after July 1, 2017) of the net  | 
revenue realized from the tax imposed by subsections (a) and  | 
(b) of Section 201 of this Act upon individuals, trusts, and  | 
estates during the preceding month; (ii) 6.85% (10% of the  | 
ratio of the 4.8% corporate income tax rate prior to 2011 to  | 
the 7% corporate income tax rate after July 1, 2017) of the net  | 
revenue realized from the tax imposed by subsections (a) and  | 
(b) of Section 201 of this Act upon corporations during the  | 
preceding month; and (iii) beginning February 1, 2022, 6.06%  | 
of the net revenue realized from the tax imposed by subsection  | 
(p) of Section 201 of this Act upon electing pass-through  | 
entities. Net revenue realized for a month shall be defined as  | 
the
revenue from the tax imposed by subsections (a) and (b) of  | 
Section 201 of this
Act which is deposited in the General  | 
Revenue Fund, the Education Assistance
Fund, the Income Tax  | 
Surcharge Local Government Distributive Fund, the Fund for the  | 
Advancement of Education, and the Commitment to Human Services  | 
Fund during the
month minus the amount paid out of the General  | 
Revenue Fund in State warrants
during that same month as  | 
refunds to taxpayers for overpayment of liability
under the  | 
tax imposed by subsections (a) and (b) of Section 201 of this  | 
Act. | 
 Notwithstanding any provision of law to the contrary,  | 
beginning on July 6, 2017 (the effective date of Public Act  | 
100-23), those amounts required under this subsection (b) to  | 
 | 
be transferred by the Treasurer into the Local Government  | 
Distributive Fund from the General Revenue Fund shall be  | 
directly deposited into the Local Government Distributive Fund  | 
as the revenue is realized from the tax imposed by subsections  | 
(a) and (b) of Section 201 of this Act. | 
 (c) Deposits Into Income Tax Refund Fund. | 
  (1) Beginning on January 1, 1989 and thereafter, the  | 
 Department shall
deposit a percentage of the amounts  | 
 collected pursuant to subsections (a)
and (b)(1), (2), and  | 
 (3) of Section 201 of this Act into a fund in the State
 | 
 treasury known as the Income Tax Refund Fund. Beginning  | 
 with State fiscal year 1990 and for each fiscal year
 | 
 thereafter, the percentage deposited into the Income Tax  | 
 Refund Fund during a
fiscal year shall be the Annual  | 
 Percentage. For fiscal year 2011, the Annual Percentage  | 
 shall be 8.75%. For fiscal year 2012, the Annual  | 
 Percentage shall be 8.75%. For fiscal year 2013, the  | 
 Annual Percentage shall be 9.75%. For fiscal year 2014,  | 
 the Annual Percentage shall be 9.5%. For fiscal year 2015,  | 
 the Annual Percentage shall be 10%. For fiscal year 2018,  | 
 the Annual Percentage shall be 9.8%. For fiscal year 2019,  | 
 the Annual Percentage shall be 9.7%. For fiscal year 2020,  | 
 the Annual Percentage shall be 9.5%. For fiscal year 2021,  | 
 the Annual Percentage shall be 9%. For fiscal year 2022,  | 
 the Annual Percentage shall be 9.25%. For all other
fiscal  | 
 years, the
Annual Percentage shall be calculated as a  | 
 | 
 fraction, the numerator of which
shall be the amount of  | 
 refunds approved for payment by the Department during
the  | 
 preceding fiscal year as a result of overpayment of tax  | 
 liability under
subsections (a) and (b)(1), (2), and (3)  | 
 of Section 201 of this Act plus the
amount of such refunds  | 
 remaining approved but unpaid at the end of the
preceding  | 
 fiscal year, minus the amounts transferred into the Income  | 
 Tax
Refund Fund from the Tobacco Settlement Recovery Fund,  | 
 and
the denominator of which shall be the amounts which  | 
 will be collected pursuant
to subsections (a) and (b)(1),  | 
 (2), and (3) of Section 201 of this Act during
the  | 
 preceding fiscal year; except that in State fiscal year  | 
 2002, the Annual
Percentage shall in no event exceed 7.6%.  | 
 The Director of Revenue shall
certify the Annual  | 
 Percentage to the Comptroller on the last business day of
 | 
 the fiscal year immediately preceding the fiscal year for  | 
 which it is to be
effective. | 
  (2) Beginning on January 1, 1989 and thereafter, the  | 
 Department shall
deposit a percentage of the amounts  | 
 collected pursuant to subsections (a)
and (b)(6), (7), and  | 
 (8), (c) and (d) of Section 201
of this Act into a fund in  | 
 the State treasury known as the Income Tax
Refund Fund.  | 
 Beginning
with State fiscal year 1990 and for each fiscal  | 
 year thereafter, the
percentage deposited into the Income  | 
 Tax Refund Fund during a fiscal year
shall be the Annual  | 
 Percentage. For fiscal year 2011, the Annual Percentage  | 
 | 
 shall be 17.5%. For fiscal year 2012, the Annual  | 
 Percentage shall be 17.5%. For fiscal year 2013, the  | 
 Annual Percentage shall be 14%. For fiscal year 2014, the  | 
 Annual Percentage shall be 13.4%. For fiscal year 2015,  | 
 the Annual Percentage shall be 14%. For fiscal year 2018,  | 
 the Annual Percentage shall be 17.5%. For fiscal year  | 
 2019, the Annual Percentage shall be 15.5%. For fiscal  | 
 year 2020, the Annual Percentage shall be 14.25%. For  | 
 fiscal year 2021, the Annual Percentage shall be 14%. For  | 
 fiscal year 2022, the Annual Percentage shall be 15%. For  | 
 all other fiscal years, the Annual
Percentage shall be  | 
 calculated
as a fraction, the numerator of which shall be  | 
 the amount of refunds
approved for payment by the  | 
 Department during the preceding fiscal year as
a result of  | 
 overpayment of tax liability under subsections (a) and  | 
 (b)(6),
(7), and (8), (c) and (d) of Section 201 of this  | 
 Act plus the
amount of such refunds remaining approved but  | 
 unpaid at the end of the
preceding fiscal year, and the  | 
 denominator of
which shall be the amounts which will be  | 
 collected pursuant to subsections (a)
and (b)(6), (7), and  | 
 (8), (c) and (d) of Section 201 of this Act during the
 | 
 preceding fiscal year; except that in State fiscal year  | 
 2002, the Annual
Percentage shall in no event exceed 23%.  | 
 The Director of Revenue shall
certify the Annual  | 
 Percentage to the Comptroller on the last business day of
 | 
 the fiscal year immediately preceding the fiscal year for  | 
 | 
 which it is to be
effective. | 
  (3) The Comptroller shall order transferred and the  | 
 Treasurer shall
transfer from the Tobacco Settlement  | 
 Recovery Fund to the Income Tax Refund
Fund (i)  | 
 $35,000,000 in January, 2001, (ii) $35,000,000 in January,  | 
 2002, and
(iii) $35,000,000 in January, 2003. | 
 (d) Expenditures from Income Tax Refund Fund. | 
  (1) Beginning January 1, 1989, money in the Income Tax  | 
 Refund Fund
shall be expended exclusively for the purpose  | 
 of paying refunds resulting
from overpayment of tax  | 
 liability under Section 201 of this Act
and for
making  | 
 transfers pursuant to this subsection (d). | 
  (2) The Director shall order payment of refunds  | 
 resulting from
overpayment of tax liability under Section  | 
 201 of this Act from the
Income Tax Refund Fund only to the  | 
 extent that amounts collected pursuant
to Section 201 of  | 
 this Act and transfers pursuant to this subsection (d)
and  | 
 item (3) of subsection (c) have been deposited and  | 
 retained in the
Fund. | 
  (3) As soon as possible after the end of each fiscal  | 
 year, the Director
shall
order transferred and the State  | 
 Treasurer and State Comptroller shall
transfer from the  | 
 Income Tax Refund Fund to the Personal Property Tax
 | 
 Replacement Fund an amount, certified by the Director to  | 
 the Comptroller,
equal to the excess of the amount  | 
 collected pursuant to subsections (c) and
(d) of Section  | 
 | 
 201 of this Act deposited into the Income Tax Refund Fund
 | 
 during the fiscal year over the amount of refunds  | 
 resulting from
overpayment of tax liability under  | 
 subsections (c) and (d) of Section 201
of this Act paid  | 
 from the Income Tax Refund Fund during the fiscal year. | 
  (4) As soon as possible after the end of each fiscal  | 
 year, the Director shall
order transferred and the State  | 
 Treasurer and State Comptroller shall
transfer from the  | 
 Personal Property Tax Replacement Fund to the Income Tax
 | 
 Refund Fund an amount, certified by the Director to the  | 
 Comptroller, equal
to the excess of the amount of refunds  | 
 resulting from overpayment of tax
liability under  | 
 subsections (c) and (d) of Section 201 of this Act paid
 | 
 from the Income Tax Refund Fund during the fiscal year  | 
 over the amount
collected pursuant to subsections (c) and  | 
 (d) of Section 201 of this Act
deposited into the Income  | 
 Tax Refund Fund during the fiscal year. | 
  (4.5) As soon as possible after the end of fiscal year  | 
 1999 and of each
fiscal year
thereafter, the Director  | 
 shall order transferred and the State Treasurer and
State  | 
 Comptroller shall transfer from the Income Tax Refund Fund  | 
 to the General
Revenue Fund any surplus remaining in the  | 
 Income Tax Refund Fund as of the end
of such fiscal year;  | 
 excluding for fiscal years 2000, 2001, and 2002
amounts  | 
 attributable to transfers under item (3) of subsection (c)  | 
 less refunds
resulting from the earned income tax credit. | 
 | 
  (5) This Act shall constitute an irrevocable and  | 
 continuing
appropriation from the Income Tax Refund Fund  | 
 for the purpose of paying
refunds upon the order of the  | 
 Director in accordance with the provisions of
this  | 
 Section. | 
 (e) Deposits into the Education Assistance Fund and the  | 
Income Tax
Surcharge Local Government Distributive Fund. On  | 
July 1, 1991, and thereafter, of the amounts collected  | 
pursuant to
subsections (a) and (b) of Section 201 of this Act,  | 
minus deposits into the
Income Tax Refund Fund, the Department  | 
shall deposit 7.3% into the
Education Assistance Fund in the  | 
State Treasury. Beginning July 1, 1991,
and continuing through  | 
January 31, 1993, of the amounts collected pursuant to
 | 
subsections (a) and (b) of Section 201 of the Illinois Income  | 
Tax Act, minus
deposits into the Income Tax Refund Fund, the  | 
Department shall deposit 3.0%
into the Income Tax Surcharge  | 
Local Government Distributive Fund in the State
Treasury.  | 
Beginning February 1, 1993 and continuing through June 30,  | 
1993, of
the amounts collected pursuant to subsections (a) and  | 
(b) of Section 201 of the
Illinois Income Tax Act, minus  | 
deposits into the Income Tax Refund Fund, the
Department shall  | 
deposit 4.4% into the Income Tax Surcharge Local Government
 | 
Distributive Fund in the State Treasury. Beginning July 1,  | 
1993, and
continuing through June 30, 1994, of the amounts  | 
collected under subsections
(a) and (b) of Section 201 of this  | 
Act, minus deposits into the Income Tax
Refund Fund, the  | 
 | 
Department shall deposit 1.475% into the Income Tax Surcharge
 | 
Local Government Distributive Fund in the State Treasury. | 
 (f) Deposits into the Fund for the Advancement of  | 
Education. Beginning February 1, 2015, the Department shall  | 
deposit the following portions of the revenue realized from  | 
the tax imposed upon individuals, trusts, and estates by  | 
subsections (a) and (b) of Section 201 of this Act, minus  | 
deposits into the Income Tax Refund Fund, into the Fund for the  | 
Advancement of Education:  | 
  (1) beginning February 1, 2015, and prior to February  | 
 1, 2025, 1/30; and  | 
  (2) beginning February 1, 2025, 1/26.  | 
 If the rate of tax imposed by subsection (a) and (b) of  | 
Section 201 is reduced pursuant to Section 201.5 of this Act,  | 
the Department shall not make the deposits required by this  | 
subsection (f) on or after the effective date of the  | 
reduction.  | 
 (g) Deposits into the Commitment to Human Services Fund.  | 
Beginning February 1, 2015, the Department shall deposit the  | 
following portions of the revenue realized from the tax  | 
imposed upon individuals, trusts, and estates by subsections  | 
(a) and (b) of Section 201 of this Act, minus deposits into the  | 
Income Tax Refund Fund, into the Commitment to Human Services  | 
Fund:  | 
  (1) beginning February 1, 2015, and prior to February  | 
 1, 2025, 1/30; and  | 
 | 
  (2) beginning February 1, 2025, 1/26.  | 
 If the rate of tax imposed by subsection (a) and (b) of  | 
Section 201 is reduced pursuant to Section 201.5 of this Act,  | 
the Department shall not make the deposits required by this  | 
subsection (g) on or after the effective date of the  | 
reduction.  | 
 (h) Deposits into the Tax Compliance and Administration  | 
Fund. Beginning on the first day of the first calendar month to  | 
occur on or after August 26, 2014 (the effective date of Public  | 
Act 98-1098), each month the Department shall pay into the Tax  | 
Compliance and Administration Fund, to be used, subject to  | 
appropriation, to fund additional auditors and compliance  | 
personnel at the Department, an amount equal to 1/12 of 5% of  | 
the cash receipts collected during the preceding fiscal year  | 
by the Audit Bureau of the Department from the tax imposed by  | 
subsections (a), (b), (c), and (d) of Section 201 of this Act,  | 
net of deposits into the Income Tax Refund Fund made from those  | 
cash receipts.  | 
(Source: P.A. 101-8, see Section 99 for effective date;  | 
101-10, eff. 6-5-19; 101-81, eff. 7-12-19; 101-636, eff.  | 
6-10-20; 102-16, eff. 6-17-21; 102-558, eff. 8-20-21; 102-658,  | 
eff. 8-27-21; revised 10-19-21.)
 | 
 (35 ILCS 5/917) (from Ch. 120, par. 9-917)
 | 
 Sec. 917. Confidentiality and information sharing.
 | 
 (a) Confidentiality.
Except as provided in this Section,  | 
 | 
all information received by the Department
from returns filed  | 
under this Act, or from any investigation conducted under
the  | 
provisions of this Act, shall be confidential, except for  | 
official purposes
within the Department or pursuant to  | 
official procedures for collection
of any State tax or  | 
pursuant to an investigation or audit by the Illinois
State  | 
Scholarship Commission of a delinquent student loan or  | 
monetary award
or enforcement of any civil or criminal penalty  | 
or sanction
imposed by this Act or by another statute imposing  | 
a State tax, and any
person who divulges any such information  | 
in any manner, except for such
purposes and pursuant to order  | 
of the Director or in accordance with a proper
judicial order,  | 
shall be guilty of a Class A misdemeanor. However, the
 | 
provisions of this paragraph are not applicable to information  | 
furnished
to (i) the Department of Healthcare and Family  | 
Services (formerly
Department of Public Aid), State's  | 
Attorneys, and the Attorney General for child support  | 
enforcement purposes and (ii) a licensed attorney representing  | 
the taxpayer where an appeal or a protest
has been filed on  | 
behalf of the taxpayer. If it is necessary to file information  | 
obtained pursuant to this Act in a child support enforcement  | 
proceeding, the information shall be filed under seal. The  | 
furnishing upon request of the Auditor General, or his or her  | 
authorized agents, for official use of returns filed and  | 
information related thereto under this Act is deemed to be an  | 
official purpose within the Department within the meaning of  | 
 | 
this Section. 
 | 
 (b) Public information. Nothing contained in this Act  | 
shall prevent
the Director from publishing or making available  | 
to the public the names
and addresses of persons filing  | 
returns under this Act, or from publishing
or making available  | 
reasonable statistics concerning the operation of the
tax  | 
wherein the contents of returns are grouped into aggregates in  | 
such a
way that the information contained in any individual  | 
return shall not be
disclosed.
 | 
 (c) Governmental agencies. The Director may make available  | 
to the
Secretary of the Treasury of the United States or his  | 
delegate, or the
proper officer or his delegate of any other  | 
state imposing a tax upon or
measured by income, for  | 
exclusively official purposes, information received
by the  | 
Department in the administration of this Act, but such  | 
permission
shall be granted only if the United States or such  | 
other state, as the case
may be, grants the Department  | 
substantially similar privileges. The Director
may exchange  | 
information with the Department of Healthcare and Family  | 
Services and the
Department of Human Services (acting as  | 
successor to the Department of Public
Aid under the Department  | 
of Human Services Act) for
the purpose of verifying sources  | 
and amounts of income and for other purposes
directly  | 
connected with the administration of this Act, the Illinois  | 
Public Aid Code, and any other health benefit program  | 
administered by the State. The Director may exchange  | 
 | 
information with the Director of
the Department of Employment  | 
Security for the purpose of verifying sources
and amounts of  | 
income and for other purposes directly connected with the
 | 
administration of this Act and Acts administered by the  | 
Department of
Employment
Security.
The Director may make  | 
available to the Illinois Workers' Compensation Commission
 | 
information regarding employers for the purpose of verifying  | 
the insurance
coverage required under the Workers'  | 
Compensation Act and Workers'
Occupational Diseases Act. The  | 
Director may exchange information with the Illinois Department  | 
on Aging for the purpose of verifying sources and amounts of  | 
income for purposes directly related to confirming eligibility  | 
for participation in the programs of benefits authorized by  | 
the Senior Citizens and Persons with Disabilities Property Tax  | 
Relief and Pharmaceutical Assistance Act. The Director may  | 
exchange information with the State Treasurer's Office and the  | 
Department of Employment Security for the purpose of  | 
implementing, administering, and enforcing the Illinois Secure  | 
Choice Savings Program Act. The Director may exchange  | 
information with the State Treasurer's Office for the purpose  | 
of administering the Revised Uniform Unclaimed Property Act or  | 
successor Acts. The Director may exchange information with the  | 
State Treasurer's Office for the purpose of administering the  | 
Illinois Higher Education Savings Program established under  | 
Section 16.8 of the State Treasurer Act.
 | 
 The Director may make available to any State agency,  | 
 | 
including the
Illinois Supreme Court, which licenses persons  | 
to engage in any occupation,
information that a person  | 
licensed by such agency has failed to file
returns under this  | 
Act or pay the tax, penalty and interest shown therein,
or has  | 
failed to pay any final assessment of tax, penalty or interest  | 
due
under this Act.
The Director may make available to any  | 
State agency, including the Illinois
Supreme
Court,  | 
information regarding whether a bidder, contractor, or an  | 
affiliate of a
bidder or
contractor has failed to file returns  | 
under this Act or pay the tax, penalty,
and interest
shown  | 
therein, or has failed to pay any final assessment of tax,  | 
penalty, or
interest due
under this Act, for the limited  | 
purpose of enforcing bidder and contractor
certifications.
For  | 
purposes of this Section, the term "affiliate" means any  | 
entity that (1)
directly,
indirectly, or constructively  | 
controls another entity, (2) is directly,
indirectly, or
 | 
constructively controlled by another entity, or (3) is subject  | 
to the control
of
a common
entity. For purposes of this  | 
subsection (a), an entity controls another entity
if
it owns,
 | 
directly or individually, more than 10% of the voting  | 
securities of that
entity.
As used in
this subsection (a), the  | 
term "voting security" means a security that (1)
confers upon  | 
the
holder the right to vote for the election of members of the  | 
board of directors
or similar
governing body of the business  | 
or (2) is convertible into, or entitles the
holder to receive
 | 
upon its exercise, a security that confers such a right to  | 
 | 
vote. A general
partnership
interest is a voting security.
 | 
 The Director may make available to any State agency,  | 
including the
Illinois
Supreme Court, units of local  | 
government, and school districts, information
regarding
 | 
whether a bidder or contractor is an affiliate of a person who  | 
is not
collecting
and
remitting Illinois Use taxes, for the  | 
limited purpose of enforcing bidder and
contractor
 | 
certifications.
 | 
 The Director may also make available to the Secretary of  | 
State
information that a corporation which has been issued a  | 
certificate of
incorporation by the Secretary of State has  | 
failed to file returns under
this Act or pay the tax, penalty  | 
and interest shown therein, or has failed
to pay any final  | 
assessment of tax, penalty or interest due under this Act.
An  | 
assessment is final when all proceedings in court for
review  | 
of such assessment have terminated or the time for the taking
 | 
thereof has expired without such proceedings being instituted.  | 
For
taxable years ending on or after December 31, 1987, the  | 
Director may make
available to the Director or principal  | 
officer of any Department of the
State of Illinois,  | 
information that a person employed by such Department
has  | 
failed to file returns under this Act or pay the tax, penalty  | 
and
interest shown therein. For purposes of this paragraph,  | 
the word
"Department" shall have the same meaning as provided  | 
in Section 3 of the
State Employees Group Insurance Act of  | 
1971.
 | 
 | 
 (d) The Director shall make available for public
 | 
inspection in the Department's principal office and for  | 
publication, at cost,
administrative decisions issued on or  | 
after January
1, 1995. These decisions are to be made  | 
available in a manner so that the
following
taxpayer  | 
information is not disclosed:
 | 
  (1) The names, addresses, and identification numbers  | 
 of the taxpayer,
related entities, and employees.
 | 
  (2) At the sole discretion of the Director, trade  | 
 secrets
or other confidential information identified as  | 
 such by the taxpayer, no later
than 30 days after receipt  | 
 of an administrative decision, by such means as the
 | 
 Department shall provide by rule.
 | 
 The Director shall determine the
appropriate extent of the
 | 
deletions allowed in paragraph (2). In the event the taxpayer  | 
does not submit
deletions,
the Director shall make only the  | 
deletions specified in paragraph (1).
 | 
 The Director shall make available for public inspection  | 
and publication an
administrative decision within 180 days  | 
after the issuance of the
administrative
decision. The term  | 
"administrative decision" has the same meaning as defined in
 | 
Section 3-101 of Article III of the Code of Civil Procedure.  | 
Costs collected
under this Section shall be paid into the Tax  | 
Compliance and Administration
Fund.
 | 
 (e) Nothing contained in this Act shall prevent the  | 
Director from
divulging
information to any person pursuant to  | 
 | 
a request or authorization made by the
taxpayer, by an  | 
authorized representative of the taxpayer, or, in the case of
 | 
information related to a joint return, by the spouse filing  | 
the joint return
with the taxpayer.
 | 
(Source: P.A. 102-61, eff. 7-9-21; 102-129, eff. 7-23-21;  | 
revised 8-10-21.)
 | 
 Section 250. The Economic Development for a Growing  | 
Economy Tax Credit Act is amended by changing Section 5-45 as  | 
follows:
 | 
 (35 ILCS 10/5-45)
 | 
 Sec. 5-45. Amount and duration of the credit. 
 | 
 (a) The Department shall
determine the amount and
duration  | 
of the credit awarded under this Act. The duration of the
 | 
credit may not exceed 10 taxable years.
The credit may be  | 
stated as
a percentage of the Incremental Income Tax  | 
attributable
to the applicant's project and may include a  | 
fixed dollar limitation.
 | 
 (b) Notwithstanding subsection (a),
and except as the  | 
credit may be applied in a carryover year pursuant to Section
 | 
211(4) of the Illinois Income Tax Act, the credit may be  | 
applied against the
State income tax liability in more than 10  | 
taxable years but not in more than
15 taxable years for an  | 
eligible business
that (i) qualifies under this Act
and the  | 
Corporate Headquarters Relocation Act and has in fact  | 
 | 
undertaken a
qualifying project within the time frame  | 
specified by the Department of
Commerce and Economic  | 
Opportunity under that Act, and (ii) applies against its
State  | 
income tax liability, during the entire 15-year
period, no  | 
more than 60% of the maximum
credit per year that would  | 
otherwise be available under this Act.
 | 
 (c) Nothing in this Section shall prevent the Department,  | 
in consultation with the Department of Revenue, from adopting  | 
rules to extend the sunset of any earned, existing, and unused  | 
tax credit or credits a taxpayer may be in possession of, as  | 
provided for in Section 605-1070 605-1055 of the Department of  | 
Commerce and Economic Opportunity Law of the Civil  | 
Administrative Code of Illinois, notwithstanding the  | 
carry-forward provisions pursuant to paragraph (4) of Section  | 
211 of the Illinois Income Tax Act.  | 
(Source: P.A. 102-16, eff. 6-17-21; revised 12-6-21.)
 | 
 Section 255. The Retailers' Occupation Tax Act is amended  | 
by changing Sections 1, 2-5, and 3 as follows:
 | 
 (35 ILCS 120/1) (from Ch. 120, par. 440)
 | 
 Sec. 1. Definitions. "Sale at retail" means any transfer  | 
of the
ownership of or title to
tangible personal property to a  | 
purchaser, for the purpose of use or
consumption, and not for  | 
the purpose of resale in any form as tangible
personal  | 
property to the extent not first subjected to a use for which  | 
 | 
it
was purchased, for a valuable consideration: Provided that  | 
the property
purchased is deemed to be purchased for the  | 
purpose of resale, despite
first being used, to the extent to  | 
which it is resold as an ingredient of
an intentionally  | 
produced product or byproduct of manufacturing. For this
 | 
purpose, slag produced as an incident to manufacturing pig  | 
iron or steel
and sold is considered to be an intentionally  | 
produced byproduct of
manufacturing. Transactions whereby the  | 
possession of the property is
transferred but the seller  | 
retains the title as security for payment of the
selling price  | 
shall be deemed to be sales.
 | 
 "Sale at retail" shall be construed to include any  | 
transfer of the
ownership of or title to tangible personal  | 
property to a purchaser, for use
or consumption by any other  | 
person to whom such purchaser may transfer the
tangible  | 
personal property without a valuable consideration, and to  | 
include
any transfer, whether made for or without a valuable  | 
consideration, for
resale in any form as tangible personal  | 
property unless made in compliance
with Section 2c of this  | 
Act.
 | 
 Sales of tangible personal property, which property, to  | 
the extent not
first subjected to a use for which it was  | 
purchased, as an ingredient or
constituent, goes into and  | 
forms a part of tangible personal property
subsequently the  | 
subject of a "Sale at retail", are not sales at retail as
 | 
defined in this Act: Provided that the property purchased is  | 
 | 
deemed to be
purchased for the purpose of resale, despite  | 
first being used, to the
extent to which it is resold as an  | 
ingredient of an intentionally produced
product or byproduct  | 
of manufacturing.
 | 
 "Sale at retail" shall be construed to include any  | 
Illinois florist's
sales transaction in which the purchase  | 
order is received in Illinois by a
florist and the sale is for  | 
use or consumption, but the Illinois florist
has a florist in  | 
another state deliver the property to the purchaser or the
 | 
purchaser's donee in such other state.
 | 
 Nonreusable tangible personal property that is used by  | 
persons engaged in
the business of operating a restaurant,  | 
cafeteria, or drive-in is a sale for
resale when it is  | 
transferred to customers in the ordinary course of business
as  | 
part of the sale of food or beverages and is used to deliver,  | 
package, or
consume food or beverages, regardless of where  | 
consumption of the food or
beverages occurs. Examples of those  | 
items include, but are not limited to
nonreusable, paper and  | 
plastic cups, plates, baskets, boxes, sleeves, buckets
or  | 
other containers, utensils, straws, placemats, napkins, doggie  | 
bags, and
wrapping or packaging
materials that are transferred  | 
to customers as part of the sale of food or
beverages in the  | 
ordinary course of business.
 | 
 The purchase, employment and transfer of such tangible  | 
personal property
as newsprint and ink for the primary purpose  | 
of conveying news (with or
without other information) is not a  | 
 | 
purchase, use or sale of tangible
personal property.
 | 
 A person whose activities are organized and conducted  | 
primarily as a
not-for-profit service enterprise, and who  | 
engages in selling tangible
personal property at retail  | 
(whether to the public or merely to members and
their guests)  | 
is engaged in the business of selling tangible personal
 | 
property at retail with respect to such transactions,  | 
excepting only a
person organized and operated exclusively for  | 
charitable, religious or
educational purposes either (1), to  | 
the extent of sales by such person to
its members, students,  | 
patients or inmates of tangible personal property to
be used  | 
primarily for the purposes of such person, or (2), to the  | 
extent of
sales by such person of tangible personal property  | 
which is not sold or
offered for sale by persons organized for  | 
profit. The selling of school
books and school supplies by  | 
schools at retail to students is not
"primarily for the  | 
purposes of" the school which does such selling. The
 | 
provisions of this paragraph shall not apply to nor subject to  | 
taxation
occasional dinners, socials or similar activities of  | 
a person organized and
operated exclusively for charitable,  | 
religious or educational purposes,
whether or not such  | 
activities are open to the public.
 | 
 A person who is the recipient of a grant or contract under  | 
Title VII of
the Older Americans Act of 1965 (P.L. 92-258) and  | 
serves meals to
participants in the federal Nutrition Program  | 
for the Elderly in return for
contributions established in  | 
 | 
amount by the individual participant pursuant
to a schedule of  | 
suggested fees as provided for in the federal Act is not
 | 
engaged in the business of selling tangible personal property  | 
at retail
with respect to such transactions.
 | 
 "Purchaser" means anyone who, through a sale at retail,  | 
acquires the
ownership of or title to tangible personal  | 
property for a valuable
consideration.
 | 
 "Reseller of motor fuel" means any person engaged in the  | 
business of selling
or delivering or transferring title of  | 
motor fuel to another person
other than for use or  | 
consumption.
No person shall act as a reseller of motor fuel  | 
within this State without
first being registered as a reseller  | 
pursuant to Section 2c or a retailer
pursuant to Section 2a.
 | 
 "Selling price" or the "amount of sale" means the  | 
consideration for a
sale valued in money whether received in  | 
money or otherwise, including
cash, credits, property, other  | 
than as hereinafter provided, and services,
but, prior to  | 
January 1, 2020 and beginning again on January 1, 2022, not  | 
including the value of or credit given for traded-in tangible
 | 
personal property where the item that is traded-in is of like  | 
kind and
character as that which is being sold; beginning  | 
January 1, 2020 and until January 1, 2022, "selling price"  | 
includes the portion of the value of or credit given for  | 
traded-in motor vehicles of the First Division as defined in  | 
Section 1-146 of the Illinois Vehicle Code of like kind and  | 
character as that which is being sold that exceeds $10,000.  | 
 | 
"Selling price" shall be determined without any
deduction on  | 
account of the cost of the property sold, the cost of
materials  | 
used, labor or service cost or any other expense whatsoever,  | 
but
does not include charges that are added to prices by  | 
sellers on account of
the seller's tax liability under this  | 
Act, or on account of the seller's
duty to collect, from the  | 
purchaser, the tax that is imposed by the Use Tax
Act, or,  | 
except as otherwise provided with respect to any cigarette tax  | 
imposed by a home rule unit, on account of the seller's tax  | 
liability under any local occupation tax administered by the  | 
Department, or, except as otherwise provided with respect to  | 
any cigarette tax imposed by a home rule unit on account of the  | 
seller's duty to collect, from the purchasers, the tax that is  | 
imposed under any local use tax administered by the  | 
Department.
Effective December 1, 1985, "selling price" shall  | 
include charges that
are added to prices by sellers on account  | 
of the seller's
tax liability under the Cigarette Tax Act, on  | 
account of the sellers'
duty to collect, from the purchaser,  | 
the tax imposed under the Cigarette
Use Tax Act, and on account  | 
of the seller's duty to collect, from the
purchaser, any  | 
cigarette tax imposed by a home rule unit.
 | 
 Notwithstanding any law to the contrary, for any motor  | 
vehicle, as defined in Section 1-146 of the Vehicle Code, that  | 
is sold on or after January 1, 2015 for the purpose of leasing  | 
the vehicle for a defined period that is longer than one year  | 
and (1) is a motor vehicle of the second division that: (A) is  | 
 | 
a self-contained motor vehicle designed or permanently  | 
converted to provide living quarters for recreational,  | 
camping, or travel use, with direct walk through access to the  | 
living quarters from the driver's seat; (B) is of the van  | 
configuration designed for the transportation of not less than  | 
7 nor more than 16 passengers; or (C) has a gross vehicle  | 
weight rating of 8,000 pounds or less or (2) is a motor vehicle  | 
of the first division, "selling price" or "amount of sale"  | 
means the consideration received by the lessor pursuant to the  | 
lease contract, including amounts due at lease signing and all  | 
monthly or other regular payments charged over the term of the  | 
lease. Also included in the selling price is any amount  | 
received by the lessor from the lessee for the leased vehicle  | 
that is not calculated at the time the lease is executed,  | 
including, but not limited to, excess mileage charges and  | 
charges for excess wear and tear. For sales that occur in  | 
Illinois, with respect to any amount received by the lessor  | 
from the lessee for the leased vehicle that is not calculated  | 
at the time the lease is executed, the lessor who purchased the  | 
motor vehicle does not incur the tax imposed by the Use Tax Act  | 
on those amounts, and the retailer who makes the retail sale of  | 
the motor vehicle to the lessor is not required to collect the  | 
tax imposed by the Use Tax Act or to pay the tax imposed by  | 
this Act on those amounts. However, the lessor who purchased  | 
the motor vehicle assumes the liability for reporting and  | 
paying the tax on those amounts directly to the Department in  | 
 | 
the same form (Illinois Retailers' Occupation Tax, and local  | 
retailers' occupation taxes, if applicable) in which the  | 
retailer would have reported and paid such tax if the retailer  | 
had accounted for the tax to the Department. For amounts  | 
received by the lessor from the lessee that are not calculated  | 
at the time the lease is executed, the lessor must file the  | 
return and pay the tax to the Department by the due date  | 
otherwise required by this Act for returns other than  | 
transaction returns. If the retailer is entitled under this  | 
Act to a discount for collecting and remitting the tax imposed  | 
under this Act to the Department with respect to the sale of  | 
the motor vehicle to the lessor, then the right to the discount  | 
provided in this Act shall be transferred to the lessor with  | 
respect to the tax paid by the lessor for any amount received  | 
by the lessor from the lessee for the leased vehicle that is  | 
not calculated at the time the lease is executed; provided  | 
that the discount is only allowed if the return is timely filed  | 
and for amounts timely paid. The "selling price" of a motor  | 
vehicle that is sold on or after January 1, 2015 for the  | 
purpose of leasing for a defined period of longer than one year  | 
shall not be reduced by the value of or credit given for  | 
traded-in tangible personal property owned by the lessor, nor  | 
shall it be reduced by the value of or credit given for  | 
traded-in tangible personal property owned by the lessee,  | 
regardless of whether the trade-in value thereof is assigned  | 
by the lessee to the lessor. In the case of a motor vehicle  | 
 | 
that is sold for the purpose of leasing for a defined period of  | 
longer than one year, the sale occurs at the time of the  | 
delivery of the vehicle, regardless of the due date of any  | 
lease payments. A lessor who incurs a Retailers' Occupation  | 
Tax liability on the sale of a motor vehicle coming off lease  | 
may not take a credit against that liability for the Use Tax  | 
the lessor paid upon the purchase of the motor vehicle (or for  | 
any tax the lessor paid with respect to any amount received by  | 
the lessor from the lessee for the leased vehicle that was not  | 
calculated at the time the lease was executed) if the selling  | 
price of the motor vehicle at the time of purchase was  | 
calculated using the definition of "selling price" as defined  | 
in this paragraph.
Notwithstanding any other provision of this  | 
Act to the contrary, lessors shall file all returns and make  | 
all payments required under this paragraph to the Department  | 
by electronic means in the manner and form as required by the  | 
Department. This paragraph does not apply to leases of motor  | 
vehicles for which, at the time the lease is entered into, the  | 
term of the lease is not a defined period, including leases  | 
with a defined initial period with the option to continue the  | 
lease on a month-to-month or other basis beyond the initial  | 
defined period.  | 
 The phrase "like kind and character" shall be liberally  | 
construed
(including but not limited to any form of motor  | 
vehicle for any form of
motor vehicle, or any kind of farm or  | 
agricultural implement for any other
kind of farm or  | 
 | 
agricultural implement), while not including a kind of item
 | 
which, if sold at retail by that retailer, would be exempt from  | 
retailers'
occupation tax and use tax as an isolated or  | 
occasional sale.
 | 
 "Gross receipts" from the sales of tangible personal  | 
property at retail
means the total selling price or the amount  | 
of such sales, as hereinbefore
defined. In the case of charge  | 
and time sales, the amount thereof shall be
included only as  | 
and when payments are received by the seller.
Receipts or  | 
other consideration derived by a seller from
the sale,  | 
transfer or assignment of accounts receivable to a wholly  | 
owned
subsidiary will not be deemed payments prior to the time  | 
the purchaser
makes payment on such accounts.
 | 
 "Department" means the Department of Revenue.
 | 
 "Person" means any natural individual, firm, partnership,  | 
association,
joint stock company, joint adventure, public or  | 
private corporation, limited
liability company, or a receiver,  | 
executor, trustee, guardian or other
representative appointed  | 
by order of any court.
 | 
 The isolated or occasional sale of tangible personal  | 
property at retail
by a person who does not hold himself out as  | 
being engaged (or who does not
habitually engage) in selling  | 
such tangible personal property at retail, or
a sale through a  | 
bulk vending machine, does not constitute engaging in a
 | 
business of selling such tangible personal property at retail  | 
within the
meaning of this Act; provided that any person who is  | 
 | 
engaged in a business
which is not subject to the tax imposed  | 
by this Act because of involving
the sale of or a contract to  | 
sell real estate or a construction contract to
improve real  | 
estate or a construction contract to engineer, install, and
 | 
maintain an integrated system of products, but who, in the  | 
course of
conducting such business,
transfers tangible  | 
personal property to users or consumers in the finished
form  | 
in which it was purchased, and which does not become real  | 
estate or was
not engineered and installed, under any  | 
provision of a construction contract or
real estate sale or  | 
real estate sales agreement entered into with some other
 | 
person arising out of or because of such nontaxable business,  | 
is engaged in the
business of selling tangible personal  | 
property at retail to the extent of the
value of the tangible  | 
personal property so transferred. If, in such a
transaction, a  | 
separate charge is made for the tangible personal property so
 | 
transferred, the value of such property, for the purpose of  | 
this Act, shall be
the amount so separately charged, but not  | 
less than the cost of such property
to the transferor; if no  | 
separate charge is made, the value of such property,
for the  | 
purposes of this Act, is the cost to the transferor of such  | 
tangible
personal property. Construction contracts for the  | 
improvement of real estate
consisting of engineering,  | 
installation, and maintenance of voice, data, video,
security,  | 
and all telecommunication systems do not constitute engaging  | 
in a
business of selling tangible personal property at retail  | 
 | 
within the meaning of
this Act if they are sold at one  | 
specified contract price.
 | 
 A person who holds himself or herself out as being engaged  | 
(or who habitually
engages) in selling tangible personal  | 
property at retail is a person
engaged in the business of  | 
selling tangible personal property at retail
hereunder with  | 
respect to such sales (and not primarily in a service
 | 
occupation) notwithstanding the fact that such person designs  | 
and produces
such tangible personal property on special order  | 
for the purchaser and in
such a way as to render the property  | 
of value only to such purchaser, if
such tangible personal  | 
property so produced on special order serves
substantially the  | 
same function as stock or standard items of tangible
personal  | 
property that are sold at retail.
 | 
 Persons who engage in the business of transferring  | 
tangible personal
property upon the redemption of trading  | 
stamps are engaged in the business
of selling such property at  | 
retail and shall be liable for and shall pay
the tax imposed by  | 
this Act on the basis of the retail value of the
property  | 
transferred upon redemption of such stamps.
 | 
 "Bulk vending machine" means a vending machine,
containing  | 
unsorted confections, nuts, toys, or other items designed
 | 
primarily to be used or played with by children
which, when a  | 
coin or coins of a denomination not larger than $0.50 are
 | 
inserted, are dispensed in equal portions, at random and
 | 
without selection by the customer.
 | 
 | 
 "Remote retailer" means a retailer that does not maintain  | 
within this State, directly or by a subsidiary, an office,  | 
distribution house, sales house, warehouse or other place of  | 
business, or any agent or other representative operating  | 
within this State under the authority of the retailer or its  | 
subsidiary, irrespective of whether such place of business or  | 
agent is located here permanently or temporarily or whether  | 
such retailer or subsidiary is licensed to do business in this  | 
State.  | 
 "Marketplace" means a physical or electronic place, forum,  | 
platform, application, or other method by which a marketplace  | 
seller sells or offers to sell items.  | 
 "Marketplace facilitator" means a person who, pursuant to  | 
an agreement with an unrelated third-party marketplace seller,  | 
directly or indirectly through one or more affiliates  | 
facilitates a retail sale by an unrelated third party  | 
marketplace seller by:  | 
  (1) listing or advertising for sale by the marketplace  | 
 seller in a marketplace, tangible personal property that  | 
 is subject to tax under this Act; and  | 
  (2) either directly or indirectly, through agreements  | 
 or arrangements with third parties, collecting payment  | 
 from the customer and transmitting that payment to the  | 
 marketplace seller regardless of whether the marketplace  | 
 facilitator receives compensation or other consideration  | 
 in exchange for its services.  | 
 | 
 A person who provides advertising services, including  | 
listing products for sale, is not considered a marketplace  | 
facilitator, so long as the advertising service platform or  | 
forum does not engage, directly or indirectly through one or  | 
more affiliated persons, in the activities described in  | 
paragraph (2) of this definition of "marketplace facilitator".  | 
 "Marketplace facilitator" does not include any person  | 
licensed under the Auction License Act. This exemption does  | 
not apply to any person who is an Internet auction listing  | 
service, as defined by the Auction License Act.  | 
 "Marketplace seller" means a person that makes sales  | 
through a marketplace operated by an unrelated third party  | 
marketplace facilitator.  | 
(Source: P.A. 101-31, eff. 6-28-19; 101-604, eff. 1-1-20;  | 
102-353, eff. 1-1-22; 102-634, eff. 8-27-21; revised 11-1-21.)
 | 
 (35 ILCS 120/2-5)
 | 
 Sec. 2-5. Exemptions. Gross receipts from proceeds from  | 
the sale of
the following tangible personal property are  | 
exempt from the tax imposed
by this Act:
 | 
  (1) Farm chemicals.
 | 
  (2) Farm machinery and equipment, both new and used,  | 
 including that
manufactured on special order, certified by  | 
 the purchaser to be used
primarily for production  | 
 agriculture or State or federal agricultural
programs,  | 
 including individual replacement parts for the machinery  | 
 | 
 and
equipment, including machinery and equipment purchased  | 
 for lease,
and including implements of husbandry defined  | 
 in Section 1-130 of
the Illinois Vehicle Code, farm  | 
 machinery and agricultural chemical and
fertilizer  | 
 spreaders, and nurse wagons required to be registered
 | 
 under Section 3-809 of the Illinois Vehicle Code,
but
 | 
 excluding other motor vehicles required to be registered  | 
 under the Illinois
Vehicle Code.
Horticultural polyhouses  | 
 or hoop houses used for propagating, growing, or
 | 
 overwintering plants shall be considered farm machinery  | 
 and equipment under
this item (2).
Agricultural chemical  | 
 tender tanks and dry boxes shall include units sold
 | 
 separately from a motor vehicle required to be licensed  | 
 and units sold mounted
on a motor vehicle required to be  | 
 licensed, if the selling price of the tender
is separately  | 
 stated.
 | 
  Farm machinery and equipment shall include precision  | 
 farming equipment
that is
installed or purchased to be  | 
 installed on farm machinery and equipment
including, but  | 
 not limited to, tractors, harvesters, sprayers, planters,
 | 
 seeders, or spreaders.
Precision farming equipment  | 
 includes, but is not limited to,
soil testing sensors,  | 
 computers, monitors, software, global positioning
and  | 
 mapping systems, and other such equipment.
 | 
  Farm machinery and equipment also includes computers,  | 
 sensors, software, and
related equipment used primarily in  | 
 | 
 the
computer-assisted operation of production agriculture  | 
 facilities, equipment,
and activities such as, but
not  | 
 limited to,
the collection, monitoring, and correlation of
 | 
 animal and crop data for the purpose of
formulating animal  | 
 diets and agricultural chemicals. This item (2) is exempt
 | 
 from the provisions of
Section 2-70.
 | 
  (3) Until July 1, 2003, distillation machinery and  | 
 equipment, sold as a
unit or kit,
assembled or installed  | 
 by the retailer, certified by the user to be used
only for  | 
 the production of ethyl alcohol that will be used for  | 
 consumption
as motor fuel or as a component of motor fuel  | 
 for the personal use of the
user, and not subject to sale  | 
 or resale.
 | 
  (4) Until July 1, 2003 and beginning again September  | 
 1, 2004 through August 30, 2014, graphic arts machinery  | 
 and equipment, including
repair and
replacement parts,  | 
 both new and used, and including that manufactured on
 | 
 special order or purchased for lease, certified by the  | 
 purchaser to be used
primarily for graphic arts  | 
 production.
Equipment includes chemicals or
chemicals  | 
 acting as catalysts but only if
the chemicals or chemicals  | 
 acting as catalysts effect a direct and immediate
change  | 
 upon a
graphic arts product. Beginning on July 1, 2017,  | 
 graphic arts machinery and equipment is included in the  | 
 manufacturing and assembling machinery and equipment  | 
 exemption under paragraph (14).
 | 
 | 
  (5) A motor vehicle that is used for automobile  | 
 renting, as defined in the Automobile Renting Occupation  | 
 and Use Tax Act. This paragraph is exempt from
the  | 
 provisions of Section 2-70.
 | 
  (6) Personal property sold by a teacher-sponsored  | 
 student organization
affiliated with an elementary or  | 
 secondary school located in Illinois.
 | 
  (7) Until July 1, 2003, proceeds of that portion of  | 
 the selling price of
a passenger car the
sale of which is  | 
 subject to the Replacement Vehicle Tax.
 | 
  (8) Personal property sold to an Illinois county fair  | 
 association for
use in conducting, operating, or promoting  | 
 the county fair.
 | 
  (9) Personal property sold to a not-for-profit arts
or  | 
 cultural organization that establishes, by proof required  | 
 by the Department
by
rule, that it has received an  | 
 exemption under Section 501(c)(3) of the
Internal Revenue  | 
 Code and that is organized and operated primarily for the
 | 
 presentation
or support of arts or cultural programming,  | 
 activities, or services. These
organizations include, but  | 
 are not limited to, music and dramatic arts
organizations  | 
 such as symphony orchestras and theatrical groups, arts  | 
 and
cultural service organizations, local arts councils,  | 
 visual arts organizations,
and media arts organizations.
 | 
 On and after July 1, 2001 (the effective date of Public Act  | 
 92-35), however, an entity otherwise eligible for this  | 
 | 
 exemption shall not
make tax-free purchases unless it has  | 
 an active identification number issued by
the Department.
 | 
  (10) Personal property sold by a corporation, society,  | 
 association,
foundation, institution, or organization,  | 
 other than a limited liability
company, that is organized  | 
 and operated as a not-for-profit service enterprise
for  | 
 the benefit of persons 65 years of age or older if the  | 
 personal property
was not purchased by the enterprise for  | 
 the purpose of resale by the
enterprise.
 | 
  (11) Personal property sold to a governmental body, to  | 
 a corporation,
society, association, foundation, or  | 
 institution organized and operated
exclusively for  | 
 charitable, religious, or educational purposes, or to a
 | 
 not-for-profit corporation, society, association,  | 
 foundation, institution,
or organization that has no  | 
 compensated officers or employees and that is
organized  | 
 and operated primarily for the recreation of persons 55  | 
 years of
age or older. A limited liability company may  | 
 qualify for the exemption under
this paragraph only if the  | 
 limited liability company is organized and operated
 | 
 exclusively for educational purposes. On and after July 1,  | 
 1987, however, no
entity otherwise eligible for this  | 
 exemption shall make tax-free purchases
unless it has an  | 
 active identification number issued by the Department.
 | 
  (12) (Blank).
 | 
  (12-5) On and after July 1, 2003 and through June 30,  | 
 | 
 2004, motor vehicles of the second division
with a gross  | 
 vehicle weight in excess of 8,000 pounds
that
are
subject  | 
 to the commercial distribution fee imposed under Section  | 
 3-815.1 of
the Illinois
Vehicle Code. Beginning on July 1,  | 
 2004 and through June 30, 2005, the use in this State of  | 
 motor vehicles of the second division: (i) with a gross  | 
 vehicle weight rating in excess of 8,000 pounds; (ii) that  | 
 are subject to the commercial distribution fee imposed  | 
 under Section 3-815.1 of the Illinois Vehicle Code; and  | 
 (iii) that are primarily used for commercial purposes.  | 
 Through June 30, 2005, this
exemption applies to repair  | 
 and replacement parts added
after the
initial purchase of  | 
 such a motor vehicle if that motor vehicle is used in a
 | 
 manner that
would qualify for the rolling stock exemption  | 
 otherwise provided for in this
Act. For purposes of this  | 
 paragraph, "used for commercial purposes" means the  | 
 transportation of persons or property in furtherance of  | 
 any commercial or industrial enterprise whether for-hire  | 
 or not.
 | 
  (13) Proceeds from sales to owners, lessors, or
 | 
 shippers of
tangible personal property that is utilized by  | 
 interstate carriers for
hire for use as rolling stock  | 
 moving in interstate commerce
and equipment operated by a  | 
 telecommunications provider, licensed as a
common carrier  | 
 by the Federal Communications Commission, which is
 | 
 permanently installed in or affixed to aircraft moving in  | 
 | 
 interstate commerce.
 | 
  (14) Machinery and equipment that will be used by the  | 
 purchaser, or a
lessee of the purchaser, primarily in the  | 
 process of manufacturing or
assembling tangible personal  | 
 property for wholesale or retail sale or
lease, whether  | 
 the sale or lease is made directly by the manufacturer or  | 
 by
some other person, whether the materials used in the  | 
 process are owned by
the manufacturer or some other  | 
 person, or whether the sale or lease is made
apart from or  | 
 as an incident to the seller's engaging in the service
 | 
 occupation of producing machines, tools, dies, jigs,  | 
 patterns, gauges, or
other similar items of no commercial  | 
 value on special order for a particular
purchaser. The  | 
 exemption provided by this paragraph (14) does not include  | 
 machinery and equipment used in (i) the generation of  | 
 electricity for wholesale or retail sale; (ii) the  | 
 generation or treatment of natural or artificial gas for  | 
 wholesale or retail sale that is delivered to customers  | 
 through pipes, pipelines, or mains; or (iii) the treatment  | 
 of water for wholesale or retail sale that is delivered to  | 
 customers through pipes, pipelines, or mains. The  | 
 provisions of Public Act 98-583 are declaratory of  | 
 existing law as to the meaning and scope of this  | 
 exemption. Beginning on July 1, 2017, the exemption  | 
 provided by this paragraph (14) includes, but is not  | 
 limited to, graphic arts machinery and equipment, as  | 
 | 
 defined in paragraph (4) of this Section.
 | 
  (15) Proceeds of mandatory service charges separately  | 
 stated on
customers' bills for purchase and consumption of  | 
 food and beverages, to the
extent that the proceeds of the  | 
 service charge are in fact turned over as
tips or as a  | 
 substitute for tips to the employees who participate  | 
 directly
in preparing, serving, hosting or cleaning up the  | 
 food or beverage function
with respect to which the  | 
 service charge is imposed. 
 | 
  (16) Tangible personal property sold to a purchaser if  | 
 the purchaser is exempt from use tax by operation of  | 
 federal law. This paragraph is exempt from the provisions  | 
 of Section 2-70. 
 | 
  (17) Tangible personal property sold to a common  | 
 carrier by rail or
motor that
receives the physical  | 
 possession of the property in Illinois and that
transports  | 
 the property, or shares with another common carrier in the
 | 
 transportation of the property, out of Illinois on a  | 
 standard uniform bill
of lading showing the seller of the  | 
 property as the shipper or consignor of
the property to a  | 
 destination outside Illinois, for use outside Illinois.
 | 
  (18) Legal tender, currency, medallions, or gold or  | 
 silver coinage
issued by the State of Illinois, the  | 
 government of the United States of
America, or the  | 
 government of any foreign country, and bullion.
 | 
  (19) Until July 1, 2003, oil field exploration,  | 
 | 
 drilling, and production
equipment, including
(i) rigs and  | 
 parts of rigs, rotary rigs, cable tool
rigs, and workover  | 
 rigs, (ii) pipe and tubular goods, including casing and
 | 
 drill strings, (iii) pumps and pump-jack units, (iv)  | 
 storage tanks and flow
lines, (v) any individual  | 
 replacement part for oil field exploration,
drilling, and  | 
 production equipment, and (vi) machinery and equipment  | 
 purchased
for lease; but
excluding motor vehicles required  | 
 to be registered under the Illinois
Vehicle Code.
 | 
  (20) Photoprocessing machinery and equipment,  | 
 including repair and
replacement parts, both new and used,  | 
 including that manufactured on
special order, certified by  | 
 the purchaser to be used primarily for
photoprocessing,  | 
 and including photoprocessing machinery and equipment
 | 
 purchased for lease.
 | 
  (21) Until July 1, 2023, coal and aggregate  | 
 exploration, mining, off-highway hauling,
processing,
 | 
 maintenance, and reclamation equipment, including
 | 
 replacement parts and equipment, and including
equipment  | 
 purchased for lease, but excluding motor vehicles required  | 
 to be
registered under the Illinois Vehicle Code. The  | 
 changes made to this Section by Public Act 97-767 apply on  | 
 and after July 1, 2003, but no claim for credit or refund  | 
 is allowed on or after August 16, 2013 (the effective date  | 
 of Public Act 98-456)
for such taxes paid during the  | 
 period beginning July 1, 2003 and ending on August 16,  | 
 | 
 2013 (the effective date of Public Act 98-456).
 | 
  (22) Until June 30, 2013, fuel and petroleum products  | 
 sold to or used by an air carrier,
certified by the carrier  | 
 to be used for consumption, shipment, or storage
in the  | 
 conduct of its business as an air common carrier, for a  | 
 flight
destined for or returning from a location or  | 
 locations
outside the United States without regard to  | 
 previous or subsequent domestic
stopovers.
 | 
  Beginning July 1, 2013, fuel and petroleum products  | 
 sold to or used by an air carrier, certified by the carrier  | 
 to be used for consumption, shipment, or storage in the  | 
 conduct of its business as an air common carrier, for a  | 
 flight that (i) is engaged in foreign trade or is engaged  | 
 in trade between the United States and any of its  | 
 possessions and (ii) transports at least one individual or  | 
 package for hire from the city of origination to the city  | 
 of final destination on the same aircraft, without regard  | 
 to a change in the flight number of that aircraft.  | 
  (23) A transaction in which the purchase order is  | 
 received by a florist
who is located outside Illinois, but  | 
 who has a florist located in Illinois
deliver the property  | 
 to the purchaser or the purchaser's donee in Illinois.
 | 
  (24) Fuel consumed or used in the operation of ships,  | 
 barges, or vessels
that are used primarily in or for the  | 
 transportation of property or the
conveyance of persons  | 
 for hire on rivers bordering on this State if the
fuel is  | 
 | 
 delivered by the seller to the purchaser's barge, ship, or  | 
 vessel
while it is afloat upon that bordering river.
 | 
  (25) Except as provided in item (25-5) of this  | 
 Section, a
motor vehicle sold in this State to a  | 
 nonresident even though the
motor vehicle is delivered to  | 
 the nonresident in this State, if the motor
vehicle is not  | 
 to be titled in this State, and if a drive-away permit
is  | 
 issued to the motor vehicle as provided in Section 3-603  | 
 of the Illinois
Vehicle Code or if the nonresident  | 
 purchaser has vehicle registration
plates to transfer to  | 
 the motor vehicle upon returning to his or her home
state.  | 
 The issuance of the drive-away permit or having
the
 | 
 out-of-state registration plates to be transferred is  | 
 prima facie evidence
that the motor vehicle will not be  | 
 titled in this State.
 | 
  (25-5) The exemption under item (25) does not apply if  | 
 the state in which the motor vehicle will be titled does  | 
 not allow a reciprocal exemption for a motor vehicle sold  | 
 and delivered in that state to an Illinois resident but  | 
 titled in Illinois. The tax collected under this Act on  | 
 the sale of a motor vehicle in this State to a resident of  | 
 another state that does not allow a reciprocal exemption  | 
 shall be imposed at a rate equal to the state's rate of tax  | 
 on taxable property in the state in which the purchaser is  | 
 a resident, except that the tax shall not exceed the tax  | 
 that would otherwise be imposed under this Act. At the  | 
 | 
 time of the sale, the purchaser shall execute a statement,  | 
 signed under penalty of perjury, of his or her intent to  | 
 title the vehicle in the state in which the purchaser is a  | 
 resident within 30 days after the sale and of the fact of  | 
 the payment to the State of Illinois of tax in an amount  | 
 equivalent to the state's rate of tax on taxable property  | 
 in his or her state of residence and shall submit the  | 
 statement to the appropriate tax collection agency in his  | 
 or her state of residence. In addition, the retailer must  | 
 retain a signed copy of the statement in his or her  | 
 records. Nothing in this item shall be construed to  | 
 require the removal of the vehicle from this state  | 
 following the filing of an intent to title the vehicle in  | 
 the purchaser's state of residence if the purchaser titles  | 
 the vehicle in his or her state of residence within 30 days  | 
 after the date of sale. The tax collected under this Act in  | 
 accordance with this item (25-5) shall be proportionately  | 
 distributed as if the tax were collected at the 6.25%  | 
 general rate imposed under this Act.
 | 
  (25-7) Beginning on July 1, 2007, no tax is imposed  | 
 under this Act on the sale of an aircraft, as defined in  | 
 Section 3 of the Illinois Aeronautics Act, if all of the  | 
 following conditions are met: | 
   (1) the aircraft leaves this State within 15 days  | 
 after the later of either the issuance of the final  | 
 billing for the sale of the aircraft, or the  | 
 | 
 authorized approval for return to service, completion  | 
 of the maintenance record entry, and completion of the  | 
 test flight and ground test for inspection, as  | 
 required by 14 C.F.R. 91.407; | 
   (2) the aircraft is not based or registered in  | 
 this State after the sale of the aircraft; and | 
   (3) the seller retains in his or her books and  | 
 records and provides to the Department a signed and  | 
 dated certification from the purchaser, on a form  | 
 prescribed by the Department, certifying that the  | 
 requirements of this item (25-7) are met. The  | 
 certificate must also include the name and address of  | 
 the purchaser, the address of the location where the  | 
 aircraft is to be titled or registered, the address of  | 
 the primary physical location of the aircraft, and  | 
 other information that the Department may reasonably  | 
 require. | 
  For purposes of this item (25-7): | 
  "Based in this State" means hangared, stored, or  | 
 otherwise used, excluding post-sale customizations as  | 
 defined in this Section, for 10 or more days in each  | 
 12-month period immediately following the date of the sale  | 
 of the aircraft. | 
  "Registered in this State" means an aircraft  | 
 registered with the Department of Transportation,  | 
 Aeronautics Division, or titled or registered with the  | 
 | 
 Federal Aviation Administration to an address located in  | 
 this State. | 
  This paragraph (25-7) is exempt from the provisions
of
 | 
 Section 2-70.
 | 
  (26) Semen used for artificial insemination of  | 
 livestock for direct
agricultural production.
 | 
  (27) Horses, or interests in horses, registered with  | 
 and meeting the
requirements of any of the
Arabian Horse  | 
 Club Registry of America, Appaloosa Horse Club, American  | 
 Quarter
Horse Association, United States
Trotting  | 
 Association, or Jockey Club, as appropriate, used for
 | 
 purposes of breeding or racing for prizes. This item (27)  | 
 is exempt from the provisions of Section 2-70, and the  | 
 exemption provided for under this item (27) applies for  | 
 all periods beginning May 30, 1995, but no claim for  | 
 credit or refund is allowed on or after January 1, 2008  | 
 (the effective date of Public Act 95-88)
for such taxes  | 
 paid during the period beginning May 30, 2000 and ending  | 
 on January 1, 2008 (the effective date of Public Act  | 
 95-88).
 | 
  (28) Computers and communications equipment utilized  | 
 for any
hospital
purpose
and equipment used in the  | 
 diagnosis,
analysis, or treatment of hospital patients  | 
 sold to a lessor who leases the
equipment, under a lease of  | 
 one year or longer executed or in effect at the
time of the  | 
 purchase, to a
hospital
that has been issued an active tax  | 
 | 
 exemption identification number by the
Department under  | 
 Section 1g of this Act.
 | 
  (29) Personal property sold to a lessor who leases the
 | 
 property, under a
lease of one year or longer executed or  | 
 in effect at the time of the purchase,
to a governmental  | 
 body
that has been issued an active tax exemption  | 
 identification number by the
Department under Section 1g  | 
 of this Act.
 | 
  (30) Beginning with taxable years ending on or after  | 
 December
31, 1995
and
ending with taxable years ending on  | 
 or before December 31, 2004,
personal property that is
 | 
 donated for disaster relief to be used in a State or  | 
 federally declared
disaster area in Illinois or bordering  | 
 Illinois by a manufacturer or retailer
that is registered  | 
 in this State to a corporation, society, association,
 | 
 foundation, or institution that has been issued a sales  | 
 tax exemption
identification number by the Department that  | 
 assists victims of the disaster
who reside within the  | 
 declared disaster area.
 | 
  (31) Beginning with taxable years ending on or after  | 
 December
31, 1995 and
ending with taxable years ending on  | 
 or before December 31, 2004, personal
property that is  | 
 used in the performance of infrastructure repairs in this
 | 
 State, including but not limited to municipal roads and  | 
 streets, access roads,
bridges, sidewalks, waste disposal  | 
 systems, water and sewer line extensions,
water  | 
 | 
 distribution and purification facilities, storm water  | 
 drainage and
retention facilities, and sewage treatment  | 
 facilities, resulting from a State
or federally declared  | 
 disaster in Illinois or bordering Illinois when such
 | 
 repairs are initiated on facilities located in the  | 
 declared disaster area
within 6 months after the disaster.
 | 
  (32) Beginning July 1, 1999, game or game birds sold  | 
 at a "game breeding
and
hunting preserve area" as that  | 
 term is used
in the
Wildlife Code. This paragraph is  | 
 exempt from the provisions
of
Section 2-70.
 | 
  (33) A motor vehicle, as that term is defined in  | 
 Section 1-146
of the
Illinois Vehicle Code, that is  | 
 donated to a corporation, limited liability
company,  | 
 society, association, foundation, or institution that is  | 
 determined by
the Department to be organized and operated  | 
 exclusively for educational
purposes. For purposes of this  | 
 exemption, "a corporation, limited liability
company,  | 
 society, association, foundation, or institution organized  | 
 and
operated
exclusively for educational purposes" means  | 
 all tax-supported public schools,
private schools that  | 
 offer systematic instruction in useful branches of
 | 
 learning by methods common to public schools and that  | 
 compare favorably in
their scope and intensity with the  | 
 course of study presented in tax-supported
schools, and  | 
 vocational or technical schools or institutes organized  | 
 and
operated exclusively to provide a course of study of  | 
 | 
 not less than 6 weeks
duration and designed to prepare  | 
 individuals to follow a trade or to pursue a
manual,  | 
 technical, mechanical, industrial, business, or commercial
 | 
 occupation.
 | 
  (34) Beginning January 1, 2000, personal property,  | 
 including food, purchased
through fundraising events for  | 
 the benefit of a public or private elementary or
secondary  | 
 school, a group of those schools, or one or more school  | 
 districts if
the events are sponsored by an entity  | 
 recognized by the school district that
consists primarily  | 
 of volunteers and includes parents and teachers of the
 | 
 school children. This paragraph does not apply to  | 
 fundraising events (i) for
the benefit of private home  | 
 instruction or (ii) for which the fundraising
entity  | 
 purchases the personal property sold at the events from  | 
 another
individual or entity that sold the property for  | 
 the purpose of resale by the
fundraising entity and that  | 
 profits from the sale to the fundraising entity.
This  | 
 paragraph is exempt from the provisions of Section 2-70.
 | 
  (35) Beginning January 1, 2000 and through December  | 
 31, 2001, new or used
automatic vending machines that  | 
 prepare and serve hot food and beverages,
including  | 
 coffee, soup, and other items, and replacement parts for  | 
 these
machines. Beginning January 1, 2002 and through June  | 
 30, 2003, machines
and parts for machines used in
 | 
 commercial, coin-operated amusement and vending business  | 
 | 
 if a use or occupation
tax is paid on the gross receipts  | 
 derived from the use of the commercial,
coin-operated  | 
 amusement and vending machines. This paragraph is exempt  | 
 from
the provisions of Section 2-70.
 | 
  (35-5) Beginning August 23, 2001 and through June 30,  | 
 2016, food for human consumption that is to be consumed  | 
 off
the premises where it is sold (other than alcoholic  | 
 beverages, soft drinks,
and food that has been prepared  | 
 for immediate consumption) and prescription
and  | 
 nonprescription medicines, drugs, medical appliances, and  | 
 insulin, urine
testing materials, syringes, and needles  | 
 used by diabetics, for human use, when
purchased for use  | 
 by a person receiving medical assistance under Article V  | 
 of
the Illinois Public Aid Code who resides in a licensed  | 
 long-term care facility,
as defined in the Nursing Home  | 
 Care Act, or a licensed facility as defined in the ID/DD  | 
 Community Care Act, the MC/DD Act, or the Specialized  | 
 Mental Health Rehabilitation Act of 2013.
 | 
  (36) Beginning August 2, 2001, computers and  | 
 communications equipment
utilized for any hospital purpose  | 
 and equipment used in the diagnosis,
analysis, or  | 
 treatment of hospital patients sold to a lessor who leases  | 
 the
equipment, under a lease of one year or longer  | 
 executed or in effect at the
time of the purchase, to a  | 
 hospital that has been issued an active tax
exemption  | 
 identification number by the Department under Section 1g  | 
 | 
 of this Act.
This paragraph is exempt from the provisions  | 
 of Section 2-70.
 | 
  (37) Beginning August 2, 2001, personal property sold  | 
 to a lessor who
leases the property, under a lease of one  | 
 year or longer executed or in effect
at the time of the  | 
 purchase, to a governmental body that has been issued an
 | 
 active tax exemption identification number by the  | 
 Department under Section 1g
of this Act. This paragraph is  | 
 exempt from the provisions of Section 2-70.
 | 
  (38) Beginning on January 1, 2002 and through June 30,  | 
 2016, tangible personal property purchased
from an  | 
 Illinois retailer by a taxpayer engaged in centralized  | 
 purchasing
activities in Illinois who will, upon receipt  | 
 of the property in Illinois,
temporarily store the  | 
 property in Illinois (i) for the purpose of subsequently
 | 
 transporting it outside this State for use or consumption  | 
 thereafter solely
outside this State or (ii) for the  | 
 purpose of being processed, fabricated, or
manufactured  | 
 into, attached to, or incorporated into other tangible  | 
 personal
property to be transported outside this State and  | 
 thereafter used or consumed
solely outside this State. The  | 
 Director of Revenue shall, pursuant to rules
adopted in  | 
 accordance with the Illinois Administrative Procedure Act,  | 
 issue a
permit to any taxpayer in good standing with the  | 
 Department who is eligible for
the exemption under this  | 
 paragraph (38). The permit issued under
this paragraph  | 
 | 
 (38) shall authorize the holder, to the extent and
in the  | 
 manner specified in the rules adopted under this Act, to  | 
 purchase
tangible personal property from a retailer exempt  | 
 from the taxes imposed by
this Act. Taxpayers shall  | 
 maintain all necessary books and records to
substantiate  | 
 the use and consumption of all such tangible personal  | 
 property
outside of the State of Illinois.
 | 
  (39) Beginning January 1, 2008, tangible personal  | 
 property used in the construction or maintenance of a  | 
 community water supply, as defined under Section 3.145 of  | 
 the Environmental Protection Act, that is operated by a  | 
 not-for-profit corporation that holds a valid water supply  | 
 permit issued under Title IV of the Environmental  | 
 Protection Act. This paragraph is exempt from the  | 
 provisions of Section 2-70.
 | 
  (40) Beginning January 1, 2010 and continuing through  | 
 December 31, 2024, materials, parts, equipment,  | 
 components, and furnishings incorporated into or upon an  | 
 aircraft as part of the modification, refurbishment,  | 
 completion, replacement, repair, or maintenance of the  | 
 aircraft. This exemption includes consumable supplies used  | 
 in the modification, refurbishment, completion,  | 
 replacement, repair, and maintenance of aircraft, but  | 
 excludes any materials, parts, equipment, components, and  | 
 consumable supplies used in the modification, replacement,  | 
 repair, and maintenance of aircraft engines or power  | 
 | 
 plants, whether such engines or power plants are installed  | 
 or uninstalled upon any such aircraft. "Consumable  | 
 supplies" include, but are not limited to, adhesive, tape,  | 
 sandpaper, general purpose lubricants, cleaning solution,  | 
 latex gloves, and protective films. This exemption applies  | 
 only to the sale of qualifying tangible personal property  | 
 to persons who modify, refurbish, complete, replace, or  | 
 maintain an aircraft and who (i) hold an Air Agency  | 
 Certificate and are empowered to operate an approved  | 
 repair station by the Federal Aviation Administration,  | 
 (ii) have a Class IV Rating, and (iii) conduct operations  | 
 in accordance with Part 145 of the Federal Aviation  | 
 Regulations. The exemption does not include aircraft  | 
 operated by a commercial air carrier providing scheduled  | 
 passenger air service pursuant to authority issued under  | 
 Part 121 or Part 129 of the Federal Aviation Regulations.  | 
 The changes made to this paragraph (40) by Public Act  | 
 98-534 are declarative of existing law. It is the intent  | 
 of the General Assembly that the exemption under this  | 
 paragraph (40) applies continuously from January 1, 2010  | 
 through December 31, 2024; however, no claim for credit or  | 
 refund is allowed for taxes paid as a result of the  | 
 disallowance of this exemption on or after January 1, 2015  | 
 and prior to the effective date of this amendatory Act of  | 
 the 101st General Assembly. | 
  (41) Tangible personal property sold to a  | 
 | 
 public-facilities corporation, as described in Section  | 
 11-65-10 of the Illinois Municipal Code, for purposes of  | 
 constructing or furnishing a municipal convention hall,  | 
 but only if the legal title to the municipal convention  | 
 hall is transferred to the municipality without any  | 
 further consideration by or on behalf of the municipality  | 
 at the time of the completion of the municipal convention  | 
 hall or upon the retirement or redemption of any bonds or  | 
 other debt instruments issued by the public-facilities  | 
 corporation in connection with the development of the  | 
 municipal convention hall. This exemption includes  | 
 existing public-facilities corporations as provided in  | 
 Section 11-65-25 of the Illinois Municipal Code. This  | 
 paragraph is exempt from the provisions of Section 2-70.  | 
  (42) Beginning January 1, 2017 and through December  | 
 31, 2026, menstrual pads, tampons, and menstrual cups.  | 
  (43) Merchandise that is subject to the Rental  | 
 Purchase Agreement Occupation and Use Tax. The purchaser  | 
 must certify that the item is purchased to be rented  | 
 subject to a rental purchase agreement, as defined in the  | 
 Rental Purchase Agreement Act, and provide proof of  | 
 registration under the Rental Purchase Agreement  | 
 Occupation and Use Tax Act. This paragraph is exempt from  | 
 the provisions of Section 2-70. | 
  (44) Qualified tangible personal property used in the  | 
 construction or operation of a data center that has been  | 
 | 
 granted a certificate of exemption by the Department of  | 
 Commerce and Economic Opportunity, whether that tangible  | 
 personal property is purchased by the owner, operator, or  | 
 tenant of the data center or by a contractor or  | 
 subcontractor of the owner, operator, or tenant. Data  | 
 centers that would have qualified for a certificate of  | 
 exemption prior to January 1, 2020 had this amendatory Act  | 
 of the 101st General Assembly been in effect, may apply  | 
 for and obtain an exemption for subsequent purchases of  | 
 computer equipment or enabling software purchased or  | 
 leased to upgrade, supplement, or replace computer  | 
 equipment or enabling software purchased or leased in the  | 
 original investment that would have qualified.  | 
  The Department of Commerce and Economic Opportunity  | 
 shall grant a certificate of exemption under this item  | 
 (44) to qualified data centers as defined by Section  | 
 605-1025 of the Department of Commerce and Economic  | 
 Opportunity Law of the
Civil Administrative Code of  | 
 Illinois.  | 
  For the purposes of this item (44):  | 
   "Data center" means a building or a series of  | 
 buildings rehabilitated or constructed to house  | 
 working servers in one physical location or multiple  | 
 sites within the State of Illinois.  | 
   "Qualified tangible personal property" means:  | 
 electrical systems and equipment; climate control and  | 
 | 
 chilling equipment and systems; mechanical systems and  | 
 equipment; monitoring and secure systems; emergency  | 
 generators; hardware; computers; servers; data storage  | 
 devices; network connectivity equipment; racks;  | 
 cabinets; telecommunications cabling infrastructure;  | 
 raised floor systems; peripheral components or  | 
 systems; software; mechanical, electrical, or plumbing  | 
 systems; battery systems; cooling systems and towers;  | 
 temperature control systems; other cabling; and other  | 
 data center infrastructure equipment and systems  | 
 necessary to operate qualified tangible personal  | 
 property, including fixtures; and component parts of  | 
 any of the foregoing, including installation,  | 
 maintenance, repair, refurbishment, and replacement of  | 
 qualified tangible personal property to generate,  | 
 transform, transmit, distribute, or manage electricity  | 
 necessary to operate qualified tangible personal  | 
 property; and all other tangible personal property  | 
 that is essential to the operations of a computer data  | 
 center. The term "qualified tangible personal  | 
 property" also includes building materials physically  | 
 incorporated into in to the qualifying data center. To  | 
 document the exemption allowed under this Section, the  | 
 retailer must obtain from the purchaser a copy of the  | 
 certificate of eligibility issued by the Department of  | 
 Commerce and Economic Opportunity.  | 
 | 
  This item (44) is exempt from the provisions of  | 
 Section 2-70.  | 
  (45) Beginning January 1, 2020 and through December  | 
 31, 2020, sales of tangible personal property made by a  | 
 marketplace seller over a marketplace for which tax is due  | 
 under this Act but for which use tax has been collected and  | 
 remitted to the Department by a marketplace facilitator  | 
 under Section 2d of the Use Tax Act are exempt from tax  | 
 under this Act. A marketplace seller claiming this  | 
 exemption shall maintain books and records demonstrating  | 
 that the use tax on such sales has been collected and  | 
 remitted by a marketplace facilitator. Marketplace sellers  | 
 that have properly remitted tax under this Act on such  | 
 sales may file a claim for credit as provided in Section 6  | 
 of this Act. No claim is allowed, however, for such taxes  | 
 for which a credit or refund has been issued to the  | 
 marketplace facilitator under the Use Tax Act, or for  | 
 which the marketplace facilitator has filed a claim for  | 
 credit or refund under the Use Tax Act.  | 
(Source: P.A. 101-31, eff. 6-28-19; 101-81, eff. 7-12-19;  | 
101-629, eff. 2-5-20; 102-16, eff. 6-17-21; 102-634, eff.  | 
8-27-21; revised 11-9-21.)
 | 
 (35 ILCS 120/3) (from Ch. 120, par. 442)
 | 
 Sec. 3. Except as provided in this Section, on or before  | 
the twentieth
day of each calendar month, every person engaged  | 
 | 
in the business of
selling tangible personal property at  | 
retail in this State during the
preceding calendar month shall  | 
file a return with the Department, stating: | 
  1. The name of the seller; | 
  2. His residence address and the address of his  | 
 principal place of
business and the address of the  | 
 principal place of business (if that is
a different  | 
 address) from which he engages in the business of selling
 | 
 tangible personal property at retail in this State; | 
  3. Total amount of receipts received by him during the  | 
 preceding
calendar month or quarter, as the case may be,  | 
 from sales of tangible
personal property, and from  | 
 services furnished, by him during such
preceding calendar  | 
 month or quarter; | 
  4. Total amount received by him during the preceding  | 
 calendar month or
quarter on charge and time sales of  | 
 tangible personal property, and from
services furnished,  | 
 by him prior to the month or quarter for which the return
 | 
 is filed; | 
  5. Deductions allowed by law; | 
  6. Gross receipts which were received by him during  | 
 the preceding
calendar month or quarter and upon the basis  | 
 of which the tax is imposed; | 
  7. The amount of credit provided in Section 2d of this  | 
 Act; | 
  8. The amount of tax due; | 
 | 
  9. The signature of the taxpayer; and | 
  10. Such other reasonable information as the  | 
 Department may require. | 
 On and after January 1, 2018, except for returns for motor  | 
vehicles, watercraft, aircraft, and trailers that are required  | 
to be registered with an agency of this State, with respect to  | 
retailers whose annual gross receipts average $20,000 or more,  | 
all returns required to be filed pursuant to this Act shall be  | 
filed electronically. Retailers who demonstrate that they do  | 
not have access to the Internet or demonstrate hardship in  | 
filing electronically may petition the Department to waive the  | 
electronic filing requirement.  | 
 If a taxpayer fails to sign a return within 30 days after  | 
the proper notice
and demand for signature by the Department,  | 
the return shall be considered
valid and any amount shown to be  | 
due on the return shall be deemed assessed. | 
 Each return shall be accompanied by the statement of  | 
prepaid tax issued
pursuant to Section 2e for which credit is  | 
claimed. | 
 Prior to October 1, 2003, and on and after September 1,  | 
2004 a retailer may accept a Manufacturer's Purchase
Credit
 | 
certification from a purchaser in satisfaction of Use Tax
as  | 
provided in Section 3-85 of the Use Tax Act if the purchaser  | 
provides the
appropriate documentation as required by Section  | 
3-85
of the Use Tax Act. A Manufacturer's Purchase Credit
 | 
certification, accepted by a retailer prior to October 1, 2003  | 
 | 
and on and after September 1, 2004 as provided
in
Section 3-85  | 
of the Use Tax Act, may be used by that retailer to
satisfy  | 
Retailers' Occupation Tax liability in the amount claimed in
 | 
the certification, not to exceed 6.25% of the receipts
subject  | 
to tax from a qualifying purchase. A Manufacturer's Purchase  | 
Credit
reported on any original or amended return
filed under
 | 
this Act after October 20, 2003 for reporting periods prior to  | 
September 1, 2004 shall be disallowed. Manufacturer's Purchase  | 
Purchaser Credit reported on annual returns due on or after  | 
January 1, 2005 will be disallowed for periods prior to  | 
September 1, 2004. No Manufacturer's
Purchase Credit may be  | 
used after September 30, 2003 through August 31, 2004 to
 | 
satisfy any
tax liability imposed under this Act, including  | 
any audit liability. | 
 The Department may require returns to be filed on a  | 
quarterly basis.
If so required, a return for each calendar  | 
quarter shall be filed on or
before the twentieth day of the  | 
calendar month following the end of such
calendar quarter. The  | 
taxpayer shall also file a return with the
Department for each  | 
of the first two months of each calendar quarter, on or
before  | 
the twentieth day of the following calendar month, stating: | 
  1. The name of the seller; | 
  2. The address of the principal place of business from  | 
 which he engages
in the business of selling tangible  | 
 personal property at retail in this State; | 
  3. The total amount of taxable receipts received by  | 
 | 
 him during the
preceding calendar month from sales of  | 
 tangible personal property by him
during such preceding  | 
 calendar month, including receipts from charge and
time  | 
 sales, but less all deductions allowed by law; | 
  4. The amount of credit provided in Section 2d of this  | 
 Act; | 
  5. The amount of tax due; and | 
  6. Such other reasonable information as the Department  | 
 may
require. | 
 Every person engaged in the business of selling aviation  | 
fuel at retail in this State during the preceding calendar  | 
month shall, instead of reporting and paying tax as otherwise  | 
required by this Section, report and pay such tax on a separate  | 
aviation fuel tax return. The requirements related to the  | 
return shall be as otherwise provided in this Section.  | 
Notwithstanding any other provisions of this Act to the  | 
contrary, retailers selling aviation fuel shall file all  | 
aviation fuel tax returns and shall make all aviation fuel tax  | 
payments by electronic means in the manner and form required  | 
by the Department. For purposes of this Section, "aviation  | 
fuel" means jet fuel and aviation gasoline.  | 
 Beginning on October 1, 2003, any person who is not a  | 
licensed
distributor, importing distributor, or manufacturer,  | 
as defined in the Liquor
Control Act of 1934, but is engaged in  | 
the business of
selling, at retail, alcoholic liquor
shall  | 
file a statement with the Department of Revenue, in a format
 | 
 | 
and at a time prescribed by the Department, showing the total  | 
amount paid for
alcoholic liquor purchased during the  | 
preceding month and such other
information as is reasonably  | 
required by the Department.
The Department may adopt rules to  | 
require
that this statement be filed in an electronic or  | 
telephonic format. Such rules
may provide for exceptions from  | 
the filing requirements of this paragraph. For
the
purposes of  | 
this
paragraph, the term "alcoholic liquor" shall have the  | 
meaning prescribed in the
Liquor Control Act of 1934. | 
 Beginning on October 1, 2003, every distributor, importing  | 
distributor, and
manufacturer of alcoholic liquor as defined  | 
in the Liquor Control Act of 1934,
shall file a
statement with  | 
the Department of Revenue, no later than the 10th day of the
 | 
month for the
preceding month during which transactions  | 
occurred, by electronic means,
showing the
total amount of  | 
gross receipts from the sale of alcoholic liquor sold or
 | 
distributed during
the preceding month to purchasers;  | 
identifying the purchaser to whom it was
sold or
distributed;  | 
the purchaser's tax registration number; and such other
 | 
information
reasonably required by the Department. A  | 
distributor, importing distributor, or manufacturer of  | 
alcoholic liquor must personally deliver, mail, or provide by  | 
electronic means to each retailer listed on the monthly  | 
statement a report containing a cumulative total of that  | 
distributor's, importing distributor's, or manufacturer's  | 
total sales of alcoholic liquor to that retailer no later than  | 
 | 
the 10th day of the month for the preceding month during which  | 
the transaction occurred. The distributor, importing  | 
distributor, or manufacturer shall notify the retailer as to  | 
the method by which the distributor, importing distributor, or  | 
manufacturer will provide the sales information. If the  | 
retailer is unable to receive the sales information by  | 
electronic means, the distributor, importing distributor, or  | 
manufacturer shall furnish the sales information by personal  | 
delivery or by mail. For purposes of this paragraph, the term  | 
"electronic means" includes, but is not limited to, the use of  | 
a secure Internet website, e-mail, or facsimile. | 
 If a total amount of less than $1 is payable, refundable or  | 
creditable,
such amount shall be disregarded if it is less  | 
than 50 cents and shall be
increased to $1 if it is 50 cents or  | 
more. | 
 Notwithstanding any other provision of this Act to the  | 
contrary, retailers subject to tax on cannabis shall file all  | 
cannabis tax returns and shall make all cannabis tax payments  | 
by electronic means in the manner and form required by the  | 
Department. | 
 Beginning October 1, 1993,
a taxpayer who has an average  | 
monthly tax liability of $150,000 or more shall
make all  | 
payments required by rules of the
Department by electronic  | 
funds transfer. Beginning October 1, 1994, a taxpayer
who has  | 
an average monthly tax liability of $100,000 or more shall  | 
make all
payments required by rules of the Department by  | 
 | 
electronic funds transfer.
Beginning October 1, 1995, a  | 
taxpayer who has an average monthly tax liability
of $50,000  | 
or more shall make all
payments required by rules of the  | 
Department by electronic funds transfer.
Beginning October 1,  | 
2000, a taxpayer who has an annual tax liability of
$200,000 or  | 
more shall make all payments required by rules of the  | 
Department by
electronic funds transfer. The term "annual tax  | 
liability" shall be the sum of
the taxpayer's liabilities  | 
under this Act, and under all other State and local
occupation  | 
and use tax laws administered by the Department, for the  | 
immediately
preceding calendar year.
The term "average monthly  | 
tax liability" shall be the sum of the
taxpayer's liabilities  | 
under this
Act, and under all other State and local occupation  | 
and use tax
laws administered by the Department, for the  | 
immediately preceding calendar
year divided by 12.
Beginning  | 
on October 1, 2002, a taxpayer who has a tax liability in the
 | 
amount set forth in subsection (b) of Section 2505-210 of the  | 
Department of
Revenue Law shall make all payments required by  | 
rules of the Department by
electronic funds transfer. | 
 Before August 1 of each year beginning in 1993, the  | 
Department shall
notify all taxpayers required to make  | 
payments by electronic funds
transfer. All taxpayers
required  | 
to make payments by electronic funds transfer shall make those
 | 
payments for
a minimum of one year beginning on October 1. | 
 Any taxpayer not required to make payments by electronic  | 
funds transfer may
make payments by electronic funds transfer  | 
 | 
with
the permission of the Department. | 
 All taxpayers required to make payment by electronic funds  | 
transfer and
any taxpayers authorized to voluntarily make  | 
payments by electronic funds
transfer shall make those  | 
payments in the manner authorized by the Department. | 
 The Department shall adopt such rules as are necessary to  | 
effectuate a
program of electronic funds transfer and the  | 
requirements of this Section. | 
 Any amount which is required to be shown or reported on any  | 
return or
other document under this Act shall, if such amount  | 
is not a whole-dollar
amount, be increased to the nearest  | 
whole-dollar amount in any case where
the fractional part of a  | 
dollar is 50 cents or more, and decreased to the
nearest  | 
whole-dollar amount where the fractional part of a dollar is  | 
less
than 50 cents. | 
 If the retailer is otherwise required to file a monthly  | 
return and if the
retailer's average monthly tax liability to  | 
the Department does not exceed
$200, the Department may  | 
authorize his returns to be filed on a quarter
annual basis,  | 
with the return for January, February and March of a given
year  | 
being due by April 20 of such year; with the return for April,  | 
May and
June of a given year being due by July 20 of such year;  | 
with the return for
July, August and September of a given year  | 
being due by October 20 of such
year, and with the return for  | 
October, November and December of a given
year being due by  | 
January 20 of the following year. | 
 | 
 If the retailer is otherwise required to file a monthly or  | 
quarterly
return and if the retailer's average monthly tax  | 
liability with the
Department does not exceed $50, the  | 
Department may authorize his returns to
be filed on an annual  | 
basis, with the return for a given year being due by
January 20  | 
of the following year. | 
 Such quarter annual and annual returns, as to form and  | 
substance,
shall be subject to the same requirements as  | 
monthly returns. | 
 Notwithstanding any other provision in this Act concerning  | 
the time
within which a retailer may file his return, in the  | 
case of any retailer
who ceases to engage in a kind of business  | 
which makes him responsible
for filing returns under this Act,  | 
such retailer shall file a final
return under this Act with the  | 
Department not more than one month after
discontinuing such  | 
business. | 
 Where the same person has more than one business  | 
registered with the
Department under separate registrations  | 
under this Act, such person may
not file each return that is  | 
due as a single return covering all such
registered  | 
businesses, but shall file separate returns for each such
 | 
registered business. | 
 In addition, with respect to motor vehicles, watercraft,
 | 
aircraft, and trailers that are required to be registered with  | 
an agency of
this State, except as otherwise provided in this  | 
Section, every
retailer selling this kind of tangible personal  | 
 | 
property shall file,
with the Department, upon a form to be  | 
prescribed and supplied by the
Department, a separate return  | 
for each such item of tangible personal
property which the  | 
retailer sells, except that if, in the same
transaction, (i) a  | 
retailer of aircraft, watercraft, motor vehicles or
trailers  | 
transfers more than one aircraft, watercraft, motor
vehicle or  | 
trailer to another aircraft, watercraft, motor vehicle
 | 
retailer or trailer retailer for the purpose of resale
or (ii)  | 
a retailer of aircraft, watercraft, motor vehicles, or  | 
trailers
transfers more than one aircraft, watercraft, motor  | 
vehicle, or trailer to a
purchaser for use as a qualifying  | 
rolling stock as provided in Section 2-5 of
this Act, then
that  | 
seller may report the transfer of all aircraft,
watercraft,  | 
motor vehicles or trailers involved in that transaction to the
 | 
Department on the same uniform invoice-transaction reporting  | 
return form. For
purposes of this Section, "watercraft" means  | 
a Class 2, Class 3, or Class 4
watercraft as defined in Section  | 
3-2 of the Boat Registration and Safety Act, a
personal  | 
watercraft, or any boat equipped with an inboard motor. | 
 In addition, with respect to motor vehicles, watercraft,  | 
aircraft, and trailers that are required to be registered with  | 
an agency of this State, every person who is engaged in the  | 
business of leasing or renting such items and who, in  | 
connection with such business, sells any such item to a  | 
retailer for the purpose of resale is, notwithstanding any  | 
other provision of this Section to the contrary, authorized to  | 
 | 
meet the return-filing requirement of this Act by reporting  | 
the transfer of all the aircraft, watercraft, motor vehicles,  | 
or trailers transferred for resale during a month to the  | 
Department on the same uniform invoice-transaction reporting  | 
return form on or before the 20th of the month following the  | 
month in which the transfer takes place. Notwithstanding any  | 
other provision of this Act to the contrary, all returns filed  | 
under this paragraph must be filed by electronic means in the  | 
manner and form as required by the Department.  | 
 Any retailer who sells only motor vehicles, watercraft,
 | 
aircraft, or trailers that are required to be registered with  | 
an agency of
this State, so that all
retailers' occupation tax  | 
liability is required to be reported, and is
reported, on such  | 
transaction reporting returns and who is not otherwise
 | 
required to file monthly or quarterly returns, need not file  | 
monthly or
quarterly returns. However, those retailers shall  | 
be required to
file returns on an annual basis. | 
 The transaction reporting return, in the case of motor  | 
vehicles
or trailers that are required to be registered with  | 
an agency of this
State, shall
be the same document as the  | 
Uniform Invoice referred to in Section 5-402
of the Illinois  | 
Vehicle Code and must show the name and address of the
seller;  | 
the name and address of the purchaser; the amount of the  | 
selling
price including the amount allowed by the retailer for  | 
traded-in
property, if any; the amount allowed by the retailer  | 
for the traded-in
tangible personal property, if any, to the  | 
 | 
extent to which Section 1 of
this Act allows an exemption for  | 
the value of traded-in property; the
balance payable after  | 
deducting such trade-in allowance from the total
selling  | 
price; the amount of tax due from the retailer with respect to
 | 
such transaction; the amount of tax collected from the  | 
purchaser by the
retailer on such transaction (or satisfactory  | 
evidence that such tax is
not due in that particular instance,  | 
if that is claimed to be the fact);
the place and date of the  | 
sale; a sufficient identification of the
property sold; such  | 
other information as is required in Section 5-402 of
the  | 
Illinois Vehicle Code, and such other information as the  | 
Department
may reasonably require. | 
 The transaction reporting return in the case of watercraft
 | 
or aircraft must show
the name and address of the seller; the  | 
name and address of the
purchaser; the amount of the selling  | 
price including the amount allowed
by the retailer for  | 
traded-in property, if any; the amount allowed by
the retailer  | 
for the traded-in tangible personal property, if any, to
the  | 
extent to which Section 1 of this Act allows an exemption for  | 
the
value of traded-in property; the balance payable after  | 
deducting such
trade-in allowance from the total selling  | 
price; the amount of tax due
from the retailer with respect to  | 
such transaction; the amount of tax
collected from the  | 
purchaser by the retailer on such transaction (or
satisfactory  | 
evidence that such tax is not due in that particular
instance,  | 
if that is claimed to be the fact); the place and date of the
 | 
 | 
sale, a sufficient identification of the property sold, and  | 
such other
information as the Department may reasonably  | 
require. | 
 Such transaction reporting return shall be filed not later  | 
than 20
days after the day of delivery of the item that is  | 
being sold, but may
be filed by the retailer at any time sooner  | 
than that if he chooses to
do so. The transaction reporting  | 
return and tax remittance or proof of
exemption from the  | 
Illinois use tax may be transmitted to the Department
by way of  | 
the State agency with which, or State officer with whom the
 | 
tangible personal property must be titled or registered (if  | 
titling or
registration is required) if the Department and  | 
such agency or State
officer determine that this procedure  | 
will expedite the processing of
applications for title or  | 
registration. | 
 With each such transaction reporting return, the retailer  | 
shall remit
the proper amount of tax due (or shall submit  | 
satisfactory evidence that
the sale is not taxable if that is  | 
the case), to the Department or its
agents, whereupon the  | 
Department shall issue, in the purchaser's name, a
use tax  | 
receipt (or a certificate of exemption if the Department is
 | 
satisfied that the particular sale is tax exempt) which such  | 
purchaser
may submit to the agency with which, or State  | 
officer with whom, he must
title or register the tangible  | 
personal property that is involved (if
titling or registration  | 
is required) in support of such purchaser's
application for an  | 
 | 
Illinois certificate or other evidence of title or
 | 
registration to such tangible personal property. | 
 No retailer's failure or refusal to remit tax under this  | 
Act
precludes a user, who has paid the proper tax to the  | 
retailer, from
obtaining his certificate of title or other  | 
evidence of title or
registration (if titling or registration  | 
is required) upon satisfying
the Department that such user has  | 
paid the proper tax (if tax is due) to
the retailer. The  | 
Department shall adopt appropriate rules to carry out
the  | 
mandate of this paragraph. | 
 If the user who would otherwise pay tax to the retailer  | 
wants the
transaction reporting return filed and the payment  | 
of the tax or proof
of exemption made to the Department before  | 
the retailer is willing to
take these actions and such user has  | 
not paid the tax to the retailer,
such user may certify to the  | 
fact of such delay by the retailer and may
(upon the Department  | 
being satisfied of the truth of such certification)
transmit  | 
the information required by the transaction reporting return
 | 
and the remittance for tax or proof of exemption directly to  | 
the
Department and obtain his tax receipt or exemption  | 
determination, in
which event the transaction reporting return  | 
and tax remittance (if a
tax payment was required) shall be  | 
credited by the Department to the
proper retailer's account  | 
with the Department, but without the 2.1% or 1.75%
discount  | 
provided for in this Section being allowed. When the user pays
 | 
the tax directly to the Department, he shall pay the tax in the  | 
 | 
same
amount and in the same form in which it would be remitted  | 
if the tax had
been remitted to the Department by the retailer. | 
 Refunds made by the seller during the preceding return  | 
period to
purchasers, on account of tangible personal property  | 
returned to the
seller, shall be allowed as a deduction under  | 
subdivision 5 of his monthly
or quarterly return, as the case  | 
may be, in case the
seller had theretofore included the  | 
receipts from the sale of such
tangible personal property in a  | 
return filed by him and had paid the tax
imposed by this Act  | 
with respect to such receipts. | 
 Where the seller is a corporation, the return filed on  | 
behalf of such
corporation shall be signed by the president,  | 
vice-president, secretary
or treasurer or by the properly  | 
accredited agent of such corporation. | 
 Where the seller is a limited liability company, the  | 
return filed on behalf
of the limited liability company shall  | 
be signed by a manager, member, or
properly accredited agent  | 
of the limited liability company. | 
 Except as provided in this Section, the retailer filing  | 
the return
under this Section shall, at the time of filing such  | 
return, pay to the
Department the amount of tax imposed by this  | 
Act less a discount of 2.1%
prior to January 1, 1990 and 1.75%  | 
on and after January 1, 1990, or $5 per
calendar year,  | 
whichever is greater, which is allowed to
reimburse the  | 
retailer for the expenses incurred in keeping records,
 | 
preparing and filing returns, remitting the tax and supplying  | 
 | 
data to
the Department on request. On and after January 1,  | 
2021, a certified service provider, as defined in the Leveling  | 
the Playing Field for Illinois Retail Act, filing the return  | 
under this Section on behalf of a remote retailer shall, at the  | 
time of such return, pay to the Department the amount of tax  | 
imposed by this Act less a discount of 1.75%. A remote retailer  | 
using a certified service provider to file a return on its  | 
behalf, as provided in the Leveling the Playing Field for  | 
Illinois Retail Act, is not eligible for the discount. The  | 
discount under this Section is not allowed for the 1.25%  | 
portion of taxes paid on aviation fuel that is subject to the  | 
revenue use requirements of 49 U.S.C. 47107(b) and 49 U.S.C.  | 
47133. Any prepayment made pursuant to Section 2d
of this Act  | 
shall be included in the amount on which such
2.1% or 1.75%  | 
discount is computed. In the case of retailers who report
and  | 
pay the tax on a transaction by transaction basis, as provided  | 
in this
Section, such discount shall be taken with each such  | 
tax remittance
instead of when such retailer files his  | 
periodic return. The discount allowed under this Section is  | 
allowed only for returns that are filed in the manner required  | 
by this Act. The Department may disallow the discount for  | 
retailers whose certificate of registration is revoked at the  | 
time the return is filed, but only if the Department's  | 
decision to revoke the certificate of registration has become  | 
final.  | 
 Before October 1, 2000, if the taxpayer's average monthly  | 
 | 
tax liability
to the Department
under this Act, the Use Tax  | 
Act, the Service Occupation Tax
Act, and the Service Use Tax  | 
Act, excluding any liability for prepaid sales
tax to be  | 
remitted in accordance with Section 2d of this Act, was
 | 
$10,000
or more during the preceding 4 complete calendar  | 
quarters, he shall file a
return with the Department each  | 
month by the 20th day of the month next
following the month  | 
during which such tax liability is incurred and shall
make  | 
payments to the Department on or before the 7th, 15th, 22nd and  | 
last
day of the month during which such liability is incurred.
 | 
On and after October 1, 2000, if the taxpayer's average  | 
monthly tax liability
to the Department under this Act, the  | 
Use Tax Act, the Service Occupation Tax
Act, and the Service  | 
Use Tax Act, excluding any liability for prepaid sales tax
to  | 
be remitted in accordance with Section 2d of this Act, was  | 
$20,000 or more
during the preceding 4 complete calendar  | 
quarters, he shall file a return with
the Department each  | 
month by the 20th day of the month next following the month
 | 
during which such tax liability is incurred and shall make  | 
payment to the
Department on or before the 7th, 15th, 22nd and  | 
last day of the month during
which such liability is incurred.
 | 
If the month
during which such tax liability is incurred began  | 
prior to January 1, 1985,
each payment shall be in an amount  | 
equal to 1/4 of the taxpayer's actual
liability for the month  | 
or an amount set by the Department not to exceed
1/4 of the  | 
average monthly liability of the taxpayer to the Department  | 
 | 
for
the preceding 4 complete calendar quarters (excluding the  | 
month of highest
liability and the month of lowest liability  | 
in such 4 quarter period). If
the month during which such tax  | 
liability is incurred begins on or after
January 1, 1985 and  | 
prior to January 1, 1987, each payment shall be in an
amount  | 
equal to 22.5% of the taxpayer's actual liability for the  | 
month or
27.5% of the taxpayer's liability for the same  | 
calendar
month of the preceding year. If the month during  | 
which such tax
liability is incurred begins on or after  | 
January 1, 1987 and prior to
January 1, 1988, each payment  | 
shall be in an amount equal to 22.5% of the
taxpayer's actual  | 
liability for the month or 26.25% of the taxpayer's
liability  | 
for the same calendar month of the preceding year. If the month
 | 
during which such tax liability is incurred begins on or after  | 
January 1,
1988, and prior to January 1, 1989, or begins on or  | 
after January 1, 1996, each
payment shall be in an amount
equal  | 
to 22.5% of the taxpayer's actual liability for the month or  | 
25% of
the taxpayer's liability for the same calendar month of  | 
the preceding year. If
the month during which such tax  | 
liability is incurred begins on or after
January 1, 1989, and  | 
prior to January 1, 1996, each payment shall be in an
amount  | 
equal to 22.5% of the
taxpayer's actual liability for the  | 
month or 25% of the taxpayer's
liability for the same calendar  | 
month of the preceding year or 100% of the
taxpayer's actual  | 
liability for the quarter monthly reporting period. The
amount  | 
of such quarter monthly payments shall be credited against
the  | 
 | 
final tax liability of the taxpayer's return for that month.  | 
Before
October 1, 2000, once
applicable, the requirement of  | 
the making of quarter monthly payments to
the Department by  | 
taxpayers having an average monthly tax liability of
$10,000  | 
or more as determined in the manner provided above
shall  | 
continue
until such taxpayer's average monthly liability to  | 
the Department during
the preceding 4 complete calendar  | 
quarters (excluding the month of highest
liability and the  | 
month of lowest liability) is less than
$9,000, or until
such  | 
taxpayer's average monthly liability to the Department as  | 
computed for
each calendar quarter of the 4 preceding complete  | 
calendar quarter period
is less than $10,000. However, if a  | 
taxpayer can show the
Department that
a substantial change in  | 
the taxpayer's business has occurred which causes
the taxpayer  | 
to anticipate that his average monthly tax liability for the
 | 
reasonably foreseeable future will fall below the $10,000  | 
threshold
stated above, then
such taxpayer
may petition the  | 
Department for a change in such taxpayer's reporting
status.  | 
On and after October 1, 2000, once applicable, the requirement  | 
of
the making of quarter monthly payments to the Department by  | 
taxpayers having an
average monthly tax liability of $20,000  | 
or more as determined in the manner
provided above shall  | 
continue until such taxpayer's average monthly liability
to  | 
the Department during the preceding 4 complete calendar  | 
quarters (excluding
the month of highest liability and the  | 
month of lowest liability) is less than
$19,000 or until such  | 
 | 
taxpayer's average monthly liability to the Department as
 | 
computed for each calendar quarter of the 4 preceding complete  | 
calendar quarter
period is less than $20,000. However, if a  | 
taxpayer can show the Department
that a substantial change in  | 
the taxpayer's business has occurred which causes
the taxpayer  | 
to anticipate that his average monthly tax liability for the
 | 
reasonably foreseeable future will fall below the $20,000  | 
threshold stated
above, then such taxpayer may petition the  | 
Department for a change in such
taxpayer's reporting status.  | 
The Department shall change such taxpayer's
reporting status
 | 
unless it finds that such change is seasonal in nature and not  | 
likely to be
long term. If any such quarter monthly payment is  | 
not paid at the time or
in the amount required by this Section,  | 
then the taxpayer shall be liable for
penalties and interest  | 
on the difference
between the minimum amount due as a payment  | 
and the amount of such quarter
monthly payment actually and  | 
timely paid, except insofar as the
taxpayer has previously  | 
made payments for that month to the Department in
excess of the  | 
minimum payments previously due as provided in this Section.
 | 
The Department shall make reasonable rules and regulations to  | 
govern the
quarter monthly payment amount and quarter monthly  | 
payment dates for
taxpayers who file on other than a calendar  | 
monthly basis. | 
 The provisions of this paragraph apply before October 1,  | 
2001.
Without regard to whether a taxpayer is required to make  | 
quarter monthly
payments as specified above, any taxpayer who  | 
 | 
is required by Section 2d
of this Act to collect and remit  | 
prepaid taxes and has collected prepaid
taxes which average in  | 
excess of $25,000 per month during the preceding
2 complete  | 
calendar quarters, shall file a return with the Department as
 | 
required by Section 2f and shall make payments to the  | 
Department on or before
the 7th, 15th, 22nd and last day of the  | 
month during which such liability
is incurred. If the month  | 
during which such tax liability is incurred
began prior to  | 
September 1, 1985 (the effective date of Public Act 84-221),  | 
each
payment shall be in an amount not less than 22.5% of the  | 
taxpayer's actual
liability under Section 2d. If the month  | 
during which such tax liability
is incurred begins on or after  | 
January 1, 1986, each payment shall be in an
amount equal to  | 
22.5% of the taxpayer's actual liability for the month or
 | 
27.5% of the taxpayer's liability for the same calendar month  | 
of the
preceding calendar year. If the month during which such  | 
tax liability is
incurred begins on or after January 1, 1987,  | 
each payment shall be in an
amount equal to 22.5% of the  | 
taxpayer's actual liability for the month or
26.25% of the  | 
taxpayer's liability for the same calendar month of the
 | 
preceding year. The amount of such quarter monthly payments  | 
shall be
credited against the final tax liability of the  | 
taxpayer's return for that
month filed under this Section or  | 
Section 2f, as the case may be. Once
applicable, the  | 
requirement of the making of quarter monthly payments to
the  | 
Department pursuant to this paragraph shall continue until  | 
 | 
such
taxpayer's average monthly prepaid tax collections during  | 
the preceding 2
complete calendar quarters is $25,000 or less.  | 
If any such quarter monthly
payment is not paid at the time or  | 
in the amount required, the taxpayer
shall be liable for  | 
penalties and interest on such difference, except
insofar as  | 
the taxpayer has previously made payments for that month in
 | 
excess of the minimum payments previously due. | 
 The provisions of this paragraph apply on and after  | 
October 1, 2001.
Without regard to whether a taxpayer is  | 
required to make quarter monthly
payments as specified above,  | 
any taxpayer who is required by Section 2d of this
Act to  | 
collect and remit prepaid taxes and has collected prepaid  | 
taxes that
average in excess of $20,000 per month during the  | 
preceding 4 complete calendar
quarters shall file a return  | 
with the Department as required by Section 2f
and shall make  | 
payments to the Department on or before the 7th, 15th, 22nd and
 | 
last day of the month during which the liability is incurred.  | 
Each payment
shall be in an amount equal to 22.5% of the  | 
taxpayer's actual liability for the
month or 25% of the  | 
taxpayer's liability for the same calendar month of the
 | 
preceding year. The amount of the quarter monthly payments  | 
shall be credited
against the final tax liability of the  | 
taxpayer's return for that month filed
under this Section or  | 
Section 2f, as the case may be. Once applicable, the
 | 
requirement of the making of quarter monthly payments to the  | 
Department
pursuant to this paragraph shall continue until the  | 
 | 
taxpayer's average monthly
prepaid tax collections during the  | 
preceding 4 complete calendar quarters
(excluding the month of  | 
highest liability and the month of lowest liability) is
less  | 
than $19,000 or until such taxpayer's average monthly  | 
liability to the
Department as computed for each calendar  | 
quarter of the 4 preceding complete
calendar quarters is less  | 
than $20,000. If any such quarter monthly payment is
not paid  | 
at the time or in the amount required, the taxpayer shall be  | 
liable
for penalties and interest on such difference, except  | 
insofar as the taxpayer
has previously made payments for that  | 
month in excess of the minimum payments
previously due. | 
 If any payment provided for in this Section exceeds
the  | 
taxpayer's liabilities under this Act, the Use Tax Act, the  | 
Service
Occupation Tax Act and the Service Use Tax Act, as  | 
shown on an original
monthly return, the Department shall, if  | 
requested by the taxpayer, issue to
the taxpayer a credit  | 
memorandum no later than 30 days after the date of
payment. The  | 
credit evidenced by such credit memorandum may
be assigned by  | 
the taxpayer to a similar taxpayer under this Act, the
Use Tax  | 
Act, the Service Occupation Tax Act or the Service Use Tax Act,  | 
in
accordance with reasonable rules and regulations to be  | 
prescribed by the
Department. If no such request is made, the  | 
taxpayer may credit such excess
payment against tax liability  | 
subsequently to be remitted to the Department
under this Act,  | 
the Use Tax Act, the Service Occupation Tax Act or the
Service  | 
Use Tax Act, in accordance with reasonable rules and  | 
 | 
regulations
prescribed by the Department. If the Department  | 
subsequently determined
that all or any part of the credit  | 
taken was not actually due to the
taxpayer, the taxpayer's  | 
2.1% and 1.75% vendor's discount shall be reduced
by 2.1% or  | 
1.75% of the difference between the credit taken and that
 | 
actually due, and that taxpayer shall be liable for penalties  | 
and interest
on such difference. | 
 If a retailer of motor fuel is entitled to a credit under  | 
Section 2d of
this Act which exceeds the taxpayer's liability  | 
to the Department under
this Act for the month for which the  | 
taxpayer is filing a return, the
Department shall issue the  | 
taxpayer a credit memorandum for the excess. | 
 Beginning January 1, 1990, each month the Department shall  | 
pay into
the Local Government Tax Fund, a special fund in the  | 
State treasury which
is hereby created, the net revenue  | 
realized for the preceding month from
the 1% tax imposed under  | 
this Act. | 
 Beginning January 1, 1990, each month the Department shall  | 
pay into
the County and Mass Transit District Fund, a special  | 
fund in the State
treasury which is hereby created, 4% of the  | 
net revenue realized
for the preceding month from the 6.25%  | 
general rate other than aviation fuel sold on or after  | 
December 1, 2019. This exception for aviation fuel only  | 
applies for so long as the revenue use requirements of 49  | 
U.S.C. 47107(b) and 49 U.S.C. 47133 are binding on the State. | 
 Beginning August 1, 2000, each
month the Department shall  | 
 | 
pay into the
County and Mass Transit District Fund 20% of the  | 
net revenue realized for the
preceding month from the 1.25%  | 
rate on the selling price of motor fuel and
gasohol. Beginning  | 
September 1, 2010, each month the Department shall pay into  | 
the County and Mass Transit District Fund 20% of the net  | 
revenue realized for the preceding month from the 1.25% rate  | 
on the selling price of sales tax holiday items. | 
 Beginning January 1, 1990, each month the Department shall  | 
pay into
the Local Government Tax Fund 16% of the net revenue  | 
realized for the
preceding month from the 6.25% general rate  | 
on the selling price of
tangible personal property other than  | 
aviation fuel sold on or after December 1, 2019. This  | 
exception for aviation fuel only applies for so long as the  | 
revenue use requirements of 49 U.S.C. 47107(b) and 49 U.S.C.  | 
47133 are binding on the State. | 
 For aviation fuel sold on or after December 1, 2019, each  | 
month the Department shall pay into the State Aviation Program  | 
Fund 20% of the net revenue realized for the preceding month  | 
from the 6.25% general rate on the selling price of aviation  | 
fuel, less an amount estimated by the Department to be  | 
required for refunds of the 20% portion of the tax on aviation  | 
fuel under this Act, which amount shall be deposited into the  | 
Aviation Fuel Sales Tax Refund Fund. The Department shall only  | 
pay moneys into the State Aviation Program Fund and the  | 
Aviation Fuel Sales Tax Refund Fund under this Act for so long  | 
as the revenue use requirements of 49 U.S.C. 47107(b) and 49  | 
 | 
U.S.C. 47133 are binding on the State.  | 
 Beginning August 1, 2000, each
month the Department shall  | 
pay into the
Local Government Tax Fund 80% of the net revenue  | 
realized for the preceding
month from the 1.25% rate on the  | 
selling price of motor fuel and gasohol. Beginning September  | 
1, 2010, each month the Department shall pay into the Local  | 
Government Tax Fund 80% of the net revenue realized for the  | 
preceding month from the 1.25% rate on the selling price of  | 
sales tax holiday items. | 
 Beginning October 1, 2009, each month the Department shall  | 
pay into the Capital Projects Fund an amount that is equal to  | 
an amount estimated by the Department to represent 80% of the  | 
net revenue realized for the preceding month from the sale of  | 
candy, grooming and hygiene products, and soft drinks that had  | 
been taxed at a rate of 1% prior to September 1, 2009 but that  | 
are now taxed at 6.25%.  | 
 Beginning July 1, 2011, each
month the Department shall  | 
pay into the Clean Air Act Permit Fund 80% of the net revenue  | 
realized for the
preceding month from the 6.25% general rate  | 
on the selling price of sorbents used in Illinois in the  | 
process of sorbent injection as used to comply with the  | 
Environmental Protection Act or the federal Clean Air Act, but  | 
the total payment into the Clean Air Act Permit Fund under this  | 
Act and the Use Tax Act shall not exceed $2,000,000 in any  | 
fiscal year.  | 
 Beginning July 1, 2013, each month the Department shall  | 
 | 
pay into the Underground Storage Tank Fund from the proceeds  | 
collected under this Act, the Use Tax Act, the Service Use Tax  | 
Act, and the Service Occupation Tax Act an amount equal to the  | 
average monthly deficit in the Underground Storage Tank Fund  | 
during the prior year, as certified annually by the Illinois  | 
Environmental Protection Agency, but the total payment into  | 
the Underground Storage Tank Fund under this Act, the Use Tax  | 
Act, the Service Use Tax Act, and the Service Occupation Tax  | 
Act shall not exceed $18,000,000 in any State fiscal year. As  | 
used in this paragraph, the "average monthly deficit" shall be  | 
equal to the difference between the average monthly claims for  | 
payment by the fund and the average monthly revenues deposited  | 
into the fund, excluding payments made pursuant to this  | 
paragraph.  | 
 Beginning July 1, 2015, of the remainder of the moneys  | 
received by the Department under the Use Tax Act, the Service  | 
Use Tax Act, the Service Occupation Tax Act, and this Act, each  | 
month the Department shall deposit $500,000 into the State  | 
Crime Laboratory Fund.  | 
 Of the remainder of the moneys received by the Department  | 
pursuant
to this Act, (a) 1.75% thereof shall be paid into the  | 
Build Illinois
Fund and (b) prior to July 1, 1989, 2.2% and on  | 
and after July 1, 1989,
3.8% thereof shall be paid into the  | 
Build Illinois Fund; provided, however,
that if in any fiscal  | 
year the sum of (1) the aggregate of 2.2% or 3.8%, as
the case  | 
may be, of the moneys received by the Department and required  | 
 | 
to
be paid into the Build Illinois Fund pursuant to this Act,  | 
Section 9 of the
Use Tax Act, Section 9 of the Service Use Tax  | 
Act, and Section 9 of the
Service Occupation Tax Act, such Acts  | 
being hereinafter called the "Tax
Acts" and such aggregate of  | 
2.2% or 3.8%, as the case may be, of moneys
being hereinafter  | 
called the "Tax Act Amount", and (2) the amount
transferred to  | 
the Build Illinois Fund from the State and Local Sales Tax
 | 
Reform Fund shall be less than the Annual Specified Amount (as  | 
hereinafter
defined), an amount equal to the difference shall  | 
be immediately paid into
the Build Illinois Fund from other  | 
moneys received by the Department
pursuant to the Tax Acts;  | 
the "Annual Specified Amount" means the amounts
specified  | 
below for fiscal years 1986 through 1993: | 
|
 Fiscal Year | Annual Specified Amount |  |
 1986 | $54,800,000 |  |
 1987 | $76,650,000 |  |
 1988 | $80,480,000 |  |
 1989 | $88,510,000 |  |
 1990 | $115,330,000 |  |
 1991 | $145,470,000 |  |
 1992 | $182,730,000 |  |
 1993 | $206,520,000; |  
  | 
and means the Certified Annual Debt Service Requirement (as  | 
defined in
Section 13 of the Build Illinois Bond Act) or the  | 
Tax Act Amount, whichever
is greater, for fiscal year 1994 and  | 
each fiscal year thereafter; and
further provided, that if on  | 
 | 
the last business day of any month the sum of
(1) the Tax Act  | 
Amount required to be deposited into the Build Illinois
Bond  | 
Account in the Build Illinois Fund during such month and (2)  | 
the
amount transferred to the Build Illinois Fund from the  | 
State and Local
Sales Tax Reform Fund shall have been less than  | 
1/12 of the Annual
Specified Amount, an amount equal to the  | 
difference shall be immediately
paid into the Build Illinois  | 
Fund from other moneys received by the
Department pursuant to  | 
the Tax Acts; and, further provided, that in no
event shall the  | 
payments required under the preceding proviso result in
 | 
aggregate payments into the Build Illinois Fund pursuant to  | 
this clause (b)
for any fiscal year in excess of the greater of  | 
(i) the Tax Act Amount or
(ii) the Annual Specified Amount for  | 
such fiscal year. The amounts payable
into the Build Illinois  | 
Fund under clause (b) of the first sentence in this
paragraph  | 
shall be payable only until such time as the aggregate amount  | 
on
deposit under each trust indenture securing Bonds issued  | 
and outstanding
pursuant to the Build Illinois Bond Act is  | 
sufficient, taking into account
any future investment income,  | 
to fully provide, in accordance with such
indenture, for the  | 
defeasance of or the payment of the principal of,
premium, if  | 
any, and interest on the Bonds secured by such indenture and on
 | 
any Bonds expected to be issued thereafter and all fees and  | 
costs payable
with respect thereto, all as certified by the  | 
Director of the Bureau of the
Budget (now Governor's Office of  | 
Management and Budget). If on the last
business day of any  | 
 | 
month in which Bonds are
outstanding pursuant to the Build  | 
Illinois Bond Act, the aggregate of
moneys deposited in the  | 
Build Illinois Bond Account in the Build Illinois
Fund in such  | 
month shall be less than the amount required to be transferred
 | 
in such month from the Build Illinois Bond Account to the Build  | 
Illinois
Bond Retirement and Interest Fund pursuant to Section  | 
13 of the Build
Illinois Bond Act, an amount equal to such  | 
deficiency shall be immediately
paid from other moneys  | 
received by the Department pursuant to the Tax Acts
to the  | 
Build Illinois Fund; provided, however, that any amounts paid  | 
to the
Build Illinois Fund in any fiscal year pursuant to this  | 
sentence shall be
deemed to constitute payments pursuant to  | 
clause (b) of the first sentence
of this paragraph and shall  | 
reduce the amount otherwise payable for such
fiscal year  | 
pursuant to that clause (b). The moneys received by the
 | 
Department pursuant to this Act and required to be deposited  | 
into the Build
Illinois Fund are subject to the pledge, claim  | 
and charge set forth in
Section 12 of the Build Illinois Bond  | 
Act. | 
 Subject to payment of amounts into the Build Illinois Fund  | 
as provided in
the preceding paragraph or in any amendment  | 
thereto hereafter enacted, the
following specified monthly  | 
installment of the amount requested in the
certificate of the  | 
Chairman of the Metropolitan Pier and Exposition
Authority  | 
provided under Section 8.25f of the State Finance Act, but not  | 
in
excess of sums designated as "Total Deposit", shall be  | 
 | 
deposited in the
aggregate from collections under Section 9 of  | 
the Use Tax Act, Section 9 of
the Service Use Tax Act, Section  | 
9 of the Service Occupation Tax Act, and
Section 3 of the  | 
Retailers' Occupation Tax Act into the McCormick Place
 | 
Expansion Project Fund in the specified fiscal years. | 
|
 Fiscal Year |  | Total Deposit |  |
 1993 |  |          $0 |  |
 1994 |  |  53,000,000 |  |
 1995 |  |  58,000,000 |  |
 1996 |  |  61,000,000 |  |
 1997 |  |  64,000,000 |  |
 1998 |  |  68,000,000 |  |
 1999 |  |  71,000,000 |  |
 2000 |  |  75,000,000 |  |
 2001 |  |  80,000,000 |  |
 2002 |  |  93,000,000 |  |
 2003 |  |  99,000,000 |  |
 2004 |  | 103,000,000 |  |
 2005 |  | 108,000,000 |  |
 2006 |  | 113,000,000 |  |
 2007 |  | 119,000,000 |  |
 2008 |  | 126,000,000 |  |
 2009 |  | 132,000,000 |  |
 2010 |  | 139,000,000 |  |
 2011 |  | 146,000,000 |  |
 2012 |  | 153,000,000 |  |
 
  | 
 | 
2013 |  | 161,000,000 |  |
 2014 |  | 170,000,000 |  |
 2015 |  | 179,000,000 |  |
 2016 |  | 189,000,000 |  |
 2017 |  | 199,000,000 |  |
 2018 |  | 210,000,000 |  |
 2019 |  | 221,000,000 |  |
 2020 |  | 233,000,000 |  |
 2021 |  | 300,000,000 |  |
 2022 |  | 300,000,000 |  |
 2023 |  | 300,000,000 |  |
 2024  |  | 300,000,000 |  |
 2025  |  | 300,000,000 |  |
 2026  |  | 300,000,000 |  |
 2027  |  | 375,000,000 |  |
 2028  |  | 375,000,000 |  |
 2029  |  | 375,000,000 |  |
 2030  |  | 375,000,000 |  |
 2031  |  | 375,000,000 |  |
 2032  |  | 375,000,000 |  |
 2033 |  | 375,000,000 |  |
 2034 |  | 375,000,000 |  |
 2035 |  | 375,000,000 |  |
 2036 |  | 450,000,000 |  |
 and  |  |  |  
|
 each fiscal year |  |  |  
|
 
  | 
 | 
thereafter that bonds |  |  |  
|
 are outstanding under |  |  |  
|
 Section 13.2 of the |  |  |  
|
 Metropolitan Pier and |  |  |  
|
 Exposition Authority Act, |  |  |  
|
 but not after fiscal year 2060. |  |  |  
  | 
 Beginning July 20, 1993 and in each month of each fiscal  | 
year thereafter,
one-eighth of the amount requested in the  | 
certificate of the Chairman of
the Metropolitan Pier and  | 
Exposition Authority for that fiscal year, less
the amount  | 
deposited into the McCormick Place Expansion Project Fund by  | 
the
State Treasurer in the respective month under subsection  | 
(g) of Section 13
of the Metropolitan Pier and Exposition  | 
Authority Act, plus cumulative
deficiencies in the deposits  | 
required under this Section for previous
months and years,  | 
shall be deposited into the McCormick Place Expansion
Project  | 
Fund, until the full amount requested for the fiscal year, but  | 
not
in excess of the amount specified above as "Total  | 
Deposit", has been deposited. | 
 Subject to payment of amounts into the Capital Projects  | 
Fund, the Clean Air Act Permit Fund, the Build Illinois Fund,  | 
and the McCormick Place Expansion Project Fund pursuant to the  | 
preceding paragraphs or in any amendments thereto hereafter  | 
enacted, for aviation fuel sold on or after December 1, 2019,  | 
the Department shall each month deposit into the Aviation Fuel  | 
Sales Tax Refund Fund an amount estimated by the Department to  | 
 | 
be required for refunds of the 80% portion of the tax on  | 
aviation fuel under this Act. The Department shall only  | 
deposit moneys into the Aviation Fuel Sales Tax Refund Fund  | 
under this paragraph for so long as the revenue use  | 
requirements of 49 U.S.C. 47107(b) and 49 U.S.C. 47133 are  | 
binding on the State.  | 
 Subject to payment of amounts into the Build Illinois Fund  | 
and the
McCormick Place Expansion Project Fund pursuant to the  | 
preceding paragraphs
or in any amendments
thereto hereafter  | 
enacted, beginning July 1, 1993 and ending on September 30,  | 
2013, the Department shall each
month pay into the Illinois  | 
Tax Increment Fund 0.27% of 80% of the net revenue
realized for  | 
the preceding month from the 6.25% general rate on the selling
 | 
price of tangible personal property. | 
 Subject to payment of amounts into the Build Illinois Fund  | 
and the
McCormick Place Expansion Project Fund pursuant to the  | 
preceding paragraphs or in any
amendments thereto hereafter  | 
enacted, beginning with the receipt of the first
report of  | 
taxes paid by an eligible business and continuing for a  | 
25-year
period, the Department shall each month pay into the  | 
Energy Infrastructure
Fund 80% of the net revenue realized  | 
from the 6.25% general rate on the
selling price of  | 
Illinois-mined coal that was sold to an eligible business.
For  | 
purposes of this paragraph, the term "eligible business" means  | 
a new
electric generating facility certified pursuant to  | 
Section 605-332 of the
Department of Commerce and Economic  | 
 | 
Opportunity
Law of the Civil Administrative Code of Illinois. | 
 Subject to payment of amounts into the Build Illinois  | 
Fund, the McCormick Place Expansion Project Fund, the Illinois  | 
Tax Increment Fund, and the Energy Infrastructure Fund  | 
pursuant to the preceding paragraphs or in any amendments to  | 
this Section hereafter enacted, beginning on the first day of  | 
the first calendar month to occur on or after August 26, 2014  | 
(the effective date of Public Act 98-1098), each month, from  | 
the collections made under Section 9 of the Use Tax Act,  | 
Section 9 of the Service Use Tax Act, Section 9 of the Service  | 
Occupation Tax Act, and Section 3 of the Retailers' Occupation  | 
Tax Act, the Department shall pay into the Tax Compliance and  | 
Administration Fund, to be used, subject to appropriation, to  | 
fund additional auditors and compliance personnel at the  | 
Department of Revenue, an amount equal to 1/12 of 5% of 80% of  | 
the cash receipts collected during the preceding fiscal year  | 
by the Audit Bureau of the Department under the Use Tax Act,  | 
the Service Use Tax Act, the Service Occupation Tax Act, the  | 
Retailers' Occupation Tax Act, and associated local occupation  | 
and use taxes administered by the Department.  | 
 Subject to payments of amounts into the Build Illinois  | 
Fund, the McCormick Place Expansion Project Fund, the Illinois  | 
Tax Increment Fund, the Energy Infrastructure Fund, and the  | 
Tax Compliance and Administration Fund as provided in this  | 
Section, beginning on July 1, 2018 the Department shall pay  | 
each month into the Downstate Public Transportation Fund the  | 
 | 
moneys required to be so paid under Section 2-3 of the  | 
Downstate Public Transportation Act. | 
 Subject to successful execution and delivery of a  | 
public-private agreement between the public agency and private  | 
entity and completion of the civic build, beginning on July 1,  | 
2023, of the remainder of the moneys received by the  | 
Department under the Use Tax Act, the Service Use Tax Act, the  | 
Service Occupation Tax Act, and this Act, the Department shall  | 
deposit the following specified deposits in the aggregate from  | 
collections under the Use Tax Act, the Service Use Tax Act, the  | 
Service Occupation Tax Act, and the Retailers' Occupation Tax  | 
Act, as required under Section 8.25g of the State Finance Act  | 
for distribution consistent with the Public-Private  | 
Partnership for Civic and Transit Infrastructure Project Act.  | 
The moneys received by the Department pursuant to this Act and  | 
required to be deposited into the Civic and Transit  | 
Infrastructure Fund are subject to the pledge, claim and  | 
charge set forth in Section 25-55 of the Public-Private  | 
Partnership for Civic and Transit Infrastructure Project Act.  | 
As used in this paragraph, "civic build", "private entity",  | 
"public-private agreement", and "public agency" have the  | 
meanings provided in Section 25-10 of the Public-Private  | 
Partnership for Civic and Transit Infrastructure Project Act.  | 
  Fiscal Year.............................Total Deposit | 
  2024.....................................$200,000,000 | 
  2025....................................$206,000,000  | 
 | 
  2026....................................$212,200,000  | 
  2027....................................$218,500,000  | 
  2028....................................$225,100,000  | 
  2029....................................$288,700,000  | 
  2030....................................$298,900,000  | 
  2031....................................$309,300,000  | 
  2032....................................$320,100,000  | 
  2033....................................$331,200,000  | 
  2034....................................$341,200,000  | 
  2035....................................$351,400,000  | 
  2036....................................$361,900,000  | 
  2037....................................$372,800,000  | 
  2038....................................$384,000,000  | 
  2039....................................$395,500,000  | 
  2040....................................$407,400,000  | 
  2041....................................$419,600,000  | 
  2042....................................$432,200,000  | 
  2043....................................$445,100,000  | 
 Beginning July 1, 2021 and until July 1, 2022, subject to  | 
the payment of amounts into the County and Mass Transit  | 
District Fund, the Local Government Tax Fund, the Build  | 
Illinois Fund, the McCormick Place Expansion Project Fund, the  | 
Illinois Tax Increment Fund, the Energy Infrastructure Fund,  | 
and the Tax Compliance and Administration Fund as provided in  | 
this Section, the Department shall pay each month into the  | 
Road Fund the amount estimated to represent 16% of the net  | 
 | 
revenue realized from the taxes imposed on motor fuel and  | 
gasohol. Beginning July 1, 2022 and until July 1, 2023,  | 
subject to the payment of amounts into the County and Mass  | 
Transit District Fund, the Local Government Tax Fund, the  | 
Build Illinois Fund, the McCormick Place Expansion Project  | 
Fund, the Illinois Tax Increment Fund, the Energy  | 
Infrastructure Fund, and the Tax Compliance and Administration  | 
Fund as provided in this Section, the Department shall pay  | 
each month into the Road Fund the amount estimated to  | 
represent 32% of the net revenue realized from the taxes  | 
imposed on motor fuel and gasohol. Beginning July 1, 2023 and  | 
until July 1, 2024, subject to the payment of amounts into the  | 
County and Mass Transit District Fund, the Local Government  | 
Tax Fund, the Build Illinois Fund, the McCormick Place  | 
Expansion Project Fund, the Illinois Tax Increment Fund, the  | 
Energy Infrastructure Fund, and the Tax Compliance and  | 
Administration Fund as provided in this Section, the  | 
Department shall pay each month into the Road Fund the amount  | 
estimated to represent 48% of the net revenue realized from  | 
the taxes imposed on motor fuel and gasohol. Beginning July 1,  | 
2024 and until July 1, 2025, subject to the payment of amounts  | 
into the County and Mass Transit District Fund, the Local  | 
Government Tax Fund, the Build Illinois Fund, the McCormick  | 
Place Expansion Project Fund, the Illinois Tax Increment Fund,  | 
the Energy Infrastructure Fund, and the Tax Compliance and  | 
Administration Fund as provided in this Section, the  | 
 | 
Department shall pay each month into the Road Fund the amount  | 
estimated to represent 64% of the net revenue realized from  | 
the taxes imposed on motor fuel and gasohol. Beginning on July  | 
1, 2025, subject to the payment of amounts into the County and  | 
Mass Transit District Fund, the Local Government Tax Fund, the  | 
Build Illinois Fund, the McCormick Place Expansion Project  | 
Fund, the Illinois Tax Increment Fund, the Energy  | 
Infrastructure Fund, and the Tax Compliance and Administration  | 
Fund as provided in this Section, the Department shall pay  | 
each month into the Road Fund the amount estimated to  | 
represent 80% of the net revenue realized from the taxes  | 
imposed on motor fuel and gasohol. As used in this paragraph  | 
"motor fuel" has the meaning given to that term in Section 1.1  | 
of the Motor Fuel Tax Act, and "gasohol" has the meaning given  | 
to that term in Section 3-40 of the Use Tax Act. | 
 Of the remainder of the moneys received by the Department  | 
pursuant to
this Act, 75% thereof shall be paid into the State  | 
Treasury and 25% shall
be reserved in a special account and  | 
used only for the transfer to the
Common School Fund as part of  | 
the monthly transfer from the General Revenue
Fund in  | 
accordance with Section 8a of the State Finance Act. | 
 The Department may, upon separate written notice to a  | 
taxpayer,
require the taxpayer to prepare and file with the  | 
Department on a form
prescribed by the Department within not  | 
less than 60 days after receipt
of the notice an annual  | 
information return for the tax year specified in
the notice.  | 
 | 
Such annual return to the Department shall include a
statement  | 
of gross receipts as shown by the retailer's last Federal  | 
income
tax return. If the total receipts of the business as  | 
reported in the
Federal income tax return do not agree with the  | 
gross receipts reported to
the Department of Revenue for the  | 
same period, the retailer shall attach
to his annual return a  | 
schedule showing a reconciliation of the 2
amounts and the  | 
reasons for the difference. The retailer's annual
return to  | 
the Department shall also disclose the cost of goods sold by
 | 
the retailer during the year covered by such return, opening  | 
and closing
inventories of such goods for such year, costs of  | 
goods used from stock
or taken from stock and given away by the  | 
retailer during such year,
payroll information of the  | 
retailer's business during such year and any
additional  | 
reasonable information which the Department deems would be
 | 
helpful in determining the accuracy of the monthly, quarterly  | 
or annual
returns filed by such retailer as provided for in  | 
this Section. | 
 If the annual information return required by this Section  | 
is not
filed when and as required, the taxpayer shall be liable  | 
as follows: | 
  (i) Until January 1, 1994, the taxpayer shall be  | 
 liable
for a penalty equal to 1/6 of 1% of the tax due from  | 
 such taxpayer under
this Act during the period to be  | 
 covered by the annual return for each
month or fraction of  | 
 a month until such return is filed as required, the
 | 
 | 
 penalty to be assessed and collected in the same manner as  | 
 any other
penalty provided for in this Act. | 
  (ii) On and after January 1, 1994, the taxpayer shall  | 
 be
liable for a penalty as described in Section 3-4 of the  | 
 Uniform Penalty and
Interest Act. | 
 The chief executive officer, proprietor, owner or highest  | 
ranking
manager shall sign the annual return to certify the  | 
accuracy of the
information contained therein. Any person who  | 
willfully signs the
annual return containing false or  | 
inaccurate information shall be guilty
of perjury and punished  | 
accordingly. The annual return form prescribed
by the  | 
Department shall include a warning that the person signing the
 | 
return may be liable for perjury. | 
 The provisions of this Section concerning the filing of an  | 
annual
information return do not apply to a retailer who is not  | 
required to
file an income tax return with the United States  | 
Government. | 
 As soon as possible after the first day of each month, upon  | 
certification
of the Department of Revenue, the Comptroller  | 
shall order transferred and
the Treasurer shall transfer from  | 
the General Revenue Fund to the Motor
Fuel Tax Fund an amount  | 
equal to 1.7% of 80% of the net revenue realized
under this Act  | 
for the second preceding
month.
Beginning April 1, 2000, this  | 
transfer is no longer required
and shall not be made. | 
 Net revenue realized for a month shall be the revenue  | 
collected by the
State pursuant to this Act, less the amount  | 
 | 
paid out during that month as
refunds to taxpayers for  | 
overpayment of liability. | 
 For greater simplicity of administration, manufacturers,  | 
importers
and wholesalers whose products are sold at retail in  | 
Illinois by
numerous retailers, and who wish to do so, may  | 
assume the responsibility
for accounting and paying to the  | 
Department all tax accruing under this
Act with respect to  | 
such sales, if the retailers who are affected do not
make  | 
written objection to the Department to this arrangement. | 
 Any person who promotes, organizes, provides retail  | 
selling space for
concessionaires or other types of sellers at  | 
the Illinois State Fair, DuQuoin
State Fair, county fairs,  | 
local fairs, art shows, flea markets and similar
exhibitions  | 
or events, including any transient merchant as defined by  | 
Section 2
of the Transient Merchant Act of 1987, is required to  | 
file a report with the
Department providing the name of the  | 
merchant's business, the name of the
person or persons engaged  | 
in merchant's business, the permanent address and
Illinois  | 
Retailers Occupation Tax Registration Number of the merchant,  | 
the
dates and location of the event and other reasonable  | 
information that the
Department may require. The report must  | 
be filed not later than the 20th day
of the month next  | 
following the month during which the event with retail sales
 | 
was held. Any person who fails to file a report required by  | 
this Section
commits a business offense and is subject to a  | 
fine not to exceed $250. | 
 | 
 Any person engaged in the business of selling tangible  | 
personal
property at retail as a concessionaire or other type  | 
of seller at the
Illinois State Fair, county fairs, art shows,  | 
flea markets and similar
exhibitions or events, or any  | 
transient merchants, as defined by Section 2
of the Transient  | 
Merchant Act of 1987, may be required to make a daily report
of  | 
the amount of such sales to the Department and to make a daily  | 
payment of
the full amount of tax due. The Department shall  | 
impose this
requirement when it finds that there is a  | 
significant risk of loss of
revenue to the State at such an  | 
exhibition or event. Such a finding
shall be based on evidence  | 
that a substantial number of concessionaires
or other sellers  | 
who are not residents of Illinois will be engaging in
the  | 
business of selling tangible personal property at retail at  | 
the
exhibition or event, or other evidence of a significant  | 
risk of loss of revenue
to the State. The Department shall  | 
notify concessionaires and other sellers
affected by the  | 
imposition of this requirement. In the absence of
notification  | 
by the Department, the concessionaires and other sellers
shall  | 
file their returns as otherwise required in this Section. | 
(Source: P.A. 101-10, Article 15, Section 15-25, eff. 6-5-19;  | 
101-10, Article 25, Section 25-120, eff. 6-5-19; 101-27, eff.  | 
6-25-19; 101-32, eff. 6-28-19; 101-604, eff. 12-13-19;  | 
101-636, eff. 6-10-20; 102-634, eff. 8-27-21; revised  | 
12-7-21.)
 | 
 | 
 Section 260. The Property Tax Code is amended by changing  | 
Sections 18-185, 21-260, and 22-10 as follows:
 | 
 (35 ILCS 200/18-185)
 | 
 Sec. 18-185. Short title; definitions.  This Division 5  | 
may be cited as the
Property Tax Extension Limitation Law. As  | 
used in this Division 5:
 | 
 "Consumer Price Index" means the Consumer Price Index for  | 
All Urban
Consumers for all items published by the United  | 
States Department of Labor.
 | 
 "Extension limitation" means (a) the lesser of 5% or the  | 
percentage increase
in the Consumer Price Index during the  | 
12-month calendar year preceding the
levy year or (b) the rate  | 
of increase approved by voters under Section 18-205.
 | 
 "Affected county" means a county of 3,000,000 or more  | 
inhabitants or a
county contiguous to a county of 3,000,000 or  | 
more inhabitants.
 | 
 "Taxing district" has the same meaning provided in Section  | 
1-150, except as
otherwise provided in this Section. For the  | 
1991 through 1994 levy years only,
"taxing district" includes  | 
only each non-home rule taxing district having the
majority of  | 
its
1990 equalized assessed value within any county or  | 
counties contiguous to a
county with 3,000,000 or more  | 
inhabitants. Beginning with the 1995 levy
year, "taxing  | 
district" includes only each non-home rule taxing district
 | 
subject to this Law before the 1995 levy year and each non-home  | 
 | 
rule
taxing district not subject to this Law before the 1995  | 
levy year having the
majority of its 1994 equalized assessed  | 
value in an affected county or
counties. Beginning with the  | 
levy year in
which this Law becomes applicable to a taxing  | 
district as
provided in Section 18-213, "taxing district" also  | 
includes those taxing
districts made subject to this Law as  | 
provided in Section 18-213.
 | 
 "Aggregate extension" for taxing districts to which this  | 
Law applied before
the 1995 levy year means the annual  | 
corporate extension for the taxing
district and those special  | 
purpose extensions that are made annually for
the taxing  | 
district, excluding special purpose extensions: (a) made for  | 
the
taxing district to pay interest or principal on general  | 
obligation bonds
that were approved by referendum; (b) made  | 
for any taxing district to pay
interest or principal on  | 
general obligation bonds issued before October 1,
1991; (c)  | 
made for any taxing district to pay interest or principal on  | 
bonds
issued to refund or continue to refund those bonds  | 
issued before October 1,
1991; (d)
made for any taxing  | 
district to pay interest or principal on bonds
issued to  | 
refund or continue to refund bonds issued after October 1,  | 
1991 that
were approved by referendum; (e)
made for any taxing  | 
district to pay interest
or principal on revenue bonds issued  | 
before October 1, 1991 for payment of
which a property tax levy  | 
or the full faith and credit of the unit of local
government is  | 
pledged; however, a tax for the payment of interest or  | 
 | 
principal
on those bonds shall be made only after the  | 
governing body of the unit of local
government finds that all  | 
other sources for payment are insufficient to make
those  | 
payments; (f) made for payments under a building commission  | 
lease when
the lease payments are for the retirement of bonds  | 
issued by the commission
before October 1, 1991, to pay for the  | 
building project; (g) made for payments
due under installment  | 
contracts entered into before October 1, 1991;
(h) made for  | 
payments of principal and interest on bonds issued under the
 | 
Metropolitan Water Reclamation District Act to finance  | 
construction projects
initiated before October 1, 1991; (i)  | 
made for payments of principal and
interest on limited bonds,  | 
as defined in Section 3 of the Local Government Debt
Reform  | 
Act, in an amount not to exceed the debt service extension base  | 
less
the amount in items (b), (c), (e), and (h) of this  | 
definition for
non-referendum obligations, except obligations  | 
initially issued pursuant to
referendum; (j) made for payments  | 
of principal and interest on bonds
issued under Section 15 of  | 
the Local Government Debt Reform Act; (k)
made
by a school  | 
district that participates in the Special Education District  | 
of
Lake County, created by special education joint agreement  | 
under Section
10-22.31 of the School Code, for payment of the  | 
school district's share of the
amounts required to be  | 
contributed by the Special Education District of Lake
County  | 
to the Illinois Municipal Retirement Fund under Article 7 of  | 
the
Illinois Pension Code; the amount of any extension under  | 
 | 
this item (k) shall be
certified by the school district to the  | 
county clerk; (l) made to fund
expenses of providing joint  | 
recreational programs for persons with disabilities under
 | 
Section 5-8 of
the
Park District Code or Section 11-95-14 of  | 
the Illinois Municipal Code; (m) made for temporary relocation  | 
loan repayment purposes pursuant to Sections 2-3.77 and  | 
17-2.2d of the School Code; (n) made for payment of principal  | 
and interest on any bonds issued under the authority of  | 
Section 17-2.2d of the School Code; (o) made for contributions  | 
to a firefighter's pension fund created under Article 4 of the  | 
Illinois Pension Code, to the extent of the amount certified  | 
under item (5) of Section 4-134 of the Illinois Pension Code;  | 
and (p) made for road purposes in the first year after a  | 
township assumes the rights, powers, duties, assets, property,  | 
liabilities, obligations, and
responsibilities of a road  | 
district abolished under the provisions of Section 6-133 of  | 
the Illinois Highway Code.
 | 
 "Aggregate extension" for the taxing districts to which  | 
this Law did not
apply before the 1995 levy year (except taxing  | 
districts subject to this Law
in
accordance with Section  | 
18-213) means the annual corporate extension for the
taxing  | 
district and those special purpose extensions that are made  | 
annually for
the taxing district, excluding special purpose  | 
extensions: (a) made for the
taxing district to pay interest  | 
or principal on general obligation bonds that
were approved by  | 
referendum; (b) made for any taxing district to pay interest
 | 
 | 
or principal on general obligation bonds issued before March  | 
1, 1995; (c) made
for any taxing district to pay interest or  | 
principal on bonds issued to refund
or continue to refund  | 
those bonds issued before March 1, 1995; (d) made for any
 | 
taxing district to pay interest or principal on bonds issued  | 
to refund or
continue to refund bonds issued after March 1,  | 
1995 that were approved by
referendum; (e) made for any taxing  | 
district to pay interest or principal on
revenue bonds issued  | 
before March 1, 1995 for payment of which a property tax
levy  | 
or the full faith and credit of the unit of local government is  | 
pledged;
however, a tax for the payment of interest or  | 
principal on those bonds shall be
made only after the  | 
governing body of the unit of local government finds that
all  | 
other sources for payment are insufficient to make those  | 
payments; (f) made
for payments under a building commission  | 
lease when the lease payments are for
the retirement of bonds  | 
issued by the commission before March 1, 1995 to
pay for the  | 
building project; (g) made for payments due under installment
 | 
contracts entered into before March 1, 1995; (h) made for  | 
payments of
principal and interest on bonds issued under the  | 
Metropolitan Water Reclamation
District Act to finance  | 
construction projects initiated before October 1,
1991; (h-4)  | 
made for stormwater management purposes by the Metropolitan  | 
Water Reclamation District of Greater Chicago under Section 12  | 
of the Metropolitan Water Reclamation District Act; (i) made  | 
for payments of principal and interest on limited bonds,
as  | 
 | 
defined in Section 3 of the Local Government Debt Reform Act,  | 
in an amount
not to exceed the debt service extension base less  | 
the amount in items (b),
(c), and (e) of this definition for  | 
non-referendum obligations, except
obligations initially  | 
issued pursuant to referendum and bonds described in
 | 
subsection (h) of this definition; (j) made for payments of
 | 
principal and interest on bonds issued under Section 15 of the  | 
Local Government
Debt Reform Act; (k) made for payments of  | 
principal and interest on bonds
authorized by Public Act  | 
88-503 and issued under Section 20a of the Chicago
Park  | 
District Act for aquarium or
museum projects and bonds issued  | 
under Section 20a of the Chicago Park District Act for the  | 
purpose of making contributions to the pension fund  | 
established under Article 12 of the Illinois Pension Code; (l)  | 
made for payments of principal and interest on
bonds
 | 
authorized by Public Act 87-1191 or 93-601 and (i) issued  | 
pursuant to Section 21.2 of the Cook County Forest
Preserve  | 
District Act, (ii) issued under Section 42 of the Cook County
 | 
Forest Preserve District Act for zoological park projects, or  | 
(iii) issued
under Section 44.1 of the Cook County Forest  | 
Preserve District Act for
botanical gardens projects; (m) made
 | 
pursuant
to Section 34-53.5 of the School Code, whether levied  | 
annually or not;
(n) made to fund expenses of providing joint  | 
recreational programs for persons with disabilities under  | 
Section 5-8 of the Park
District Code or Section 11-95-14 of  | 
the Illinois Municipal Code;
(o) made by the
Chicago Park
 | 
 | 
District for recreational programs for persons with  | 
disabilities under subsection (c) of
Section
7.06 of the  | 
Chicago Park District Act; (p) made for contributions to a  | 
firefighter's pension fund created under Article 4 of the  | 
Illinois Pension Code, to the extent of the amount certified  | 
under item (5) of Section 4-134 of the Illinois Pension Code;  | 
(q) made by Ford Heights School District 169 under Section  | 
17-9.02 of the School Code; and (r) made for the purpose of  | 
making employer contributions to the Public School Teachers'  | 
Pension and Retirement Fund of Chicago under Section 34-53 of  | 
the School Code.
 | 
 "Aggregate extension" for all taxing districts to which  | 
this Law applies in
accordance with Section 18-213, except for  | 
those taxing districts subject to
paragraph (2) of subsection  | 
(e) of Section 18-213, means the annual corporate
extension  | 
for the
taxing district and those special purpose extensions  | 
that are made annually for
the taxing district, excluding  | 
special purpose extensions: (a) made for the
taxing district  | 
to pay interest or principal on general obligation bonds that
 | 
were approved by referendum; (b) made for any taxing district  | 
to pay interest
or principal on general obligation bonds  | 
issued before the date on which the
referendum making this
Law  | 
applicable to the taxing district is held; (c) made
for any  | 
taxing district to pay interest or principal on bonds issued  | 
to refund
or continue to refund those bonds issued before the  | 
date on which the
referendum making this Law
applicable to the  | 
 | 
taxing district is held;
(d) made for any
taxing district to  | 
pay interest or principal on bonds issued to refund or
 | 
continue to refund bonds issued after the date on which the  | 
referendum making
this Law
applicable to the taxing district  | 
is held if the bonds were approved by
referendum after the date  | 
on which the referendum making this Law
applicable to the  | 
taxing district is held; (e) made for any
taxing district to  | 
pay interest or principal on
revenue bonds issued before the  | 
date on which the referendum making this Law
applicable to the
 | 
taxing district is held for payment of which a property tax
 | 
levy or the full faith and credit of the unit of local  | 
government is pledged;
however, a tax for the payment of  | 
interest or principal on those bonds shall be
made only after  | 
the governing body of the unit of local government finds that
 | 
all other sources for payment are insufficient to make those  | 
payments; (f) made
for payments under a building commission  | 
lease when the lease payments are for
the retirement of bonds  | 
issued by the commission before the date on which the
 | 
referendum making this
Law applicable to the taxing district  | 
is held to
pay for the building project; (g) made for payments  | 
due under installment
contracts entered into before the date  | 
on which the referendum making this Law
applicable to
the  | 
taxing district is held;
(h) made for payments
of principal  | 
and interest on limited bonds,
as defined in Section 3 of the  | 
Local Government Debt Reform Act, in an amount
not to exceed  | 
the debt service extension base less the amount in items (b),
 | 
 | 
(c), and (e) of this definition for non-referendum  | 
obligations, except
obligations initially issued pursuant to  | 
referendum; (i) made for payments
of
principal and interest on  | 
bonds issued under Section 15 of the Local Government
Debt  | 
Reform Act;
(j)
made for a qualified airport authority to pay  | 
interest or principal on
general obligation bonds issued for  | 
the purpose of paying obligations due
under, or financing  | 
airport facilities required to be acquired, constructed,
 | 
installed or equipped pursuant to, contracts entered into  | 
before March
1, 1996 (but not including any amendments to such  | 
a contract taking effect on
or after that date); (k) made to  | 
fund expenses of providing joint
recreational programs for  | 
persons with disabilities under Section 5-8 of
the
Park  | 
District Code or Section 11-95-14 of the Illinois Municipal  | 
Code; (l) made for contributions to a firefighter's pension  | 
fund created under Article 4 of the Illinois Pension Code, to  | 
the extent of the amount certified under item (5) of Section  | 
4-134 of the Illinois Pension Code; and (m) made for the taxing  | 
district to pay interest or principal on general obligation  | 
bonds issued pursuant to Section 19-3.10 of the School Code.
 | 
 "Aggregate extension" for all taxing districts to which  | 
this Law applies in
accordance with paragraph (2) of  | 
subsection (e) of Section 18-213 means the
annual corporate  | 
extension for the
taxing district and those special purpose  | 
extensions that are made annually for
the taxing district,  | 
excluding special purpose extensions: (a) made for the
taxing  | 
 | 
district to pay interest or principal on general obligation  | 
bonds that
were approved by referendum; (b) made for any  | 
taxing district to pay interest
or principal on general  | 
obligation bonds issued before March 7, 1997 (the effective  | 
date of Public Act 89-718);
(c) made
for any taxing district to  | 
pay interest or principal on bonds issued to refund
or  | 
continue to refund those bonds issued before March 7, 1997  | 
(the effective date
of Public Act 89-718);
(d) made for any
 | 
taxing district to pay interest or principal on bonds issued  | 
to refund or
continue to refund bonds issued after March 7,  | 
1997 (the effective date of Public Act 89-718) if the bonds  | 
were approved by referendum after March 7, 1997 (the effective  | 
date of Public Act 89-718);
(e) made for any
taxing district to  | 
pay interest or principal on
revenue bonds issued before March  | 
7, 1997 (the effective date of Public Act 89-718)
for payment  | 
of which a property tax
levy or the full faith and credit of  | 
the unit of local government is pledged;
however, a tax for the  | 
payment of interest or principal on those bonds shall be
made  | 
only after the governing body of the unit of local government  | 
finds that
all other sources for payment are insufficient to  | 
make those payments; (f) made
for payments under a building  | 
commission lease when the lease payments are for
the  | 
retirement of bonds issued by the commission before March 7,  | 
1997 (the effective date
of Public Act 89-718)
to
pay for the  | 
building project; (g) made for payments due under installment
 | 
contracts entered into before March 7, 1997 (the effective  | 
 | 
date of Public Act 89-718);
(h) made for payments
of principal  | 
and interest on limited bonds,
as defined in Section 3 of the  | 
Local Government Debt Reform Act, in an amount
not to exceed  | 
the debt service extension base less the amount in items (b),
 | 
(c), and (e) of this definition for non-referendum  | 
obligations, except
obligations initially issued pursuant to  | 
referendum; (i) made for payments
of
principal and interest on  | 
bonds issued under Section 15 of the Local Government
Debt  | 
Reform Act;
(j)
made for a qualified airport authority to pay  | 
interest or principal on
general obligation bonds issued for  | 
the purpose of paying obligations due
under, or financing  | 
airport facilities required to be acquired, constructed,
 | 
installed or equipped pursuant to, contracts entered into  | 
before March
1, 1996 (but not including any amendments to such  | 
a contract taking effect on
or after that date); (k) made to  | 
fund expenses of providing joint
recreational programs for  | 
persons with disabilities under Section 5-8 of
the
Park  | 
District Code or Section 11-95-14 of the Illinois Municipal  | 
Code; and (l) made for contributions to a firefighter's  | 
pension fund created under Article 4 of the Illinois Pension  | 
Code, to the extent of the amount certified under item (5) of  | 
Section 4-134 of the Illinois Pension Code.
 | 
 "Debt service extension base" means an amount equal to  | 
that portion of the
extension for a taxing district for the  | 
1994 levy year, or for those taxing
districts subject to this  | 
Law in accordance with Section 18-213, except for
those  | 
 | 
subject to paragraph (2) of subsection (e) of Section 18-213,  | 
for the
levy
year in which the referendum making this Law  | 
applicable to the taxing district
is held, or for those taxing  | 
districts subject to this Law in accordance with
paragraph (2)  | 
of subsection (e) of Section 18-213 for the 1996 levy year,
 | 
constituting an
extension for payment of principal and  | 
interest on bonds issued by the taxing
district without  | 
referendum, but not including excluded non-referendum bonds.  | 
For park districts (i) that were first
subject to this Law in  | 
1991 or 1995 and (ii) whose extension for the 1994 levy
year  | 
for the payment of principal and interest on bonds issued by  | 
the park
district without referendum (but not including  | 
excluded non-referendum bonds)
was less than 51% of the amount  | 
for the 1991 levy year constituting an
extension for payment  | 
of principal and interest on bonds issued by the park
district  | 
without referendum (but not including excluded non-referendum  | 
bonds),
"debt service extension base" means an amount equal to  | 
that portion of the
extension for the 1991 levy year  | 
constituting an extension for payment of
principal and  | 
interest on bonds issued by the park district without  | 
referendum
(but not including excluded non-referendum bonds).  | 
A debt service extension base established or increased at any  | 
time pursuant to any provision of this Law, except Section  | 
18-212, shall be increased each year commencing with the later  | 
of (i) the 2009 levy year or (ii) the first levy year in which  | 
this Law becomes applicable to the taxing district, by the  | 
 | 
lesser of 5% or the percentage increase in the Consumer Price  | 
Index during the 12-month calendar year preceding the levy  | 
year. The debt service extension
base may be established or  | 
increased as provided under Section 18-212.
"Excluded  | 
non-referendum bonds" means (i) bonds authorized by Public
Act  | 
88-503 and issued under Section 20a of the Chicago Park  | 
District Act for
aquarium and museum projects; (ii) bonds  | 
issued under Section 15 of the
Local Government Debt Reform  | 
Act; or (iii) refunding obligations issued
to refund or to  | 
continue to refund obligations initially issued pursuant to
 | 
referendum.
 | 
 "Special purpose extensions" include, but are not limited  | 
to, extensions
for levies made on an annual basis for  | 
unemployment and workers'
compensation, self-insurance,  | 
contributions to pension plans, and extensions
made pursuant  | 
to Section 6-601 of the Illinois Highway Code for a road
 | 
district's permanent road fund whether levied annually or not.  | 
The
extension for a special service area is not included in the
 | 
aggregate extension.
 | 
 "Aggregate extension base" means the taxing district's  | 
last preceding
aggregate extension as adjusted under Sections  | 
18-135, 18-215,
18-230, 18-206, and 18-233.
An adjustment  | 
under Section 18-135 shall be made for the 2007 levy year and  | 
all subsequent levy years whenever one or more counties within  | 
which a taxing district is located (i) used estimated  | 
valuations or rates when extending taxes in the taxing  | 
 | 
district for the last preceding levy year that resulted in the  | 
over or under extension of taxes, or (ii) increased or  | 
decreased the tax extension for the last preceding levy year  | 
as required by Section 18-135(c). Whenever an adjustment is  | 
required under Section 18-135, the aggregate extension base of  | 
the taxing district shall be equal to the amount that the  | 
aggregate extension of the taxing district would have been for  | 
the last preceding levy year if either or both (i) actual,  | 
rather than estimated, valuations or rates had been used to  | 
calculate the extension of taxes for the last levy year, or  | 
(ii) the tax extension for the last preceding levy year had not  | 
been adjusted as required by subsection (c) of Section 18-135.
 | 
 Notwithstanding any other provision of law, for levy year  | 
2012, the aggregate extension base for West Northfield School  | 
District No. 31 in Cook County shall be $12,654,592.  | 
 Notwithstanding any other provision of law, for levy year  | 
2022, the aggregate extension base of a home equity assurance  | 
program that levied at least $1,000,000 in property taxes in  | 
levy year 2019 or 2020 under the Home Equity Assurance Act  | 
shall be the amount that the program's aggregate extension  | 
base for levy year 2021 would have been if the program had  | 
levied a property tax for levy year 2021.  | 
 "Levy year" has the same meaning as "year" under Section
 | 
1-155.
 | 
 "New property" means (i) the assessed value, after final  | 
board of review or
board of appeals action, of new  | 
 | 
improvements or additions to existing
improvements on any  | 
parcel of real property that increase the assessed value of
 | 
that real property during the levy year multiplied by the  | 
equalization factor
issued by the Department under Section  | 
17-30, (ii) the assessed value, after
final board of review or  | 
board of appeals action, of real property not exempt
from real  | 
estate taxation, which real property was exempt from real  | 
estate
taxation for any portion of the immediately preceding  | 
levy year, multiplied by
the equalization factor issued by the  | 
Department under Section 17-30, including the assessed value,  | 
upon final stabilization of occupancy after new construction  | 
is complete, of any real property located within the  | 
boundaries of an otherwise or previously exempt military  | 
reservation that is intended for residential use and owned by  | 
or leased to a private corporation or other entity,
(iii) in  | 
counties that classify in accordance with Section 4 of Article
 | 
IX of the
Illinois Constitution, an incentive property's  | 
additional assessed value
resulting from a
scheduled increase  | 
in the level of assessment as applied to the first year
final  | 
board of
review market value, and (iv) any increase in  | 
assessed value due to oil or gas production from an oil or gas  | 
well required to be permitted under the Hydraulic Fracturing  | 
Regulatory Act that was not produced in or accounted for  | 
during the previous levy year.
In addition, the county clerk  | 
in a county containing a population of
3,000,000 or more shall  | 
include in the 1997
recovered tax increment value for any  | 
 | 
school district, any recovered tax
increment value that was  | 
applicable to the 1995 tax year calculations.
 | 
 "Qualified airport authority" means an airport authority  | 
organized under
the Airport Authorities Act and located in a  | 
county bordering on the State of
Wisconsin and having a  | 
population in excess of 200,000 and not greater than
500,000.
 | 
 "Recovered tax increment value" means, except as otherwise  | 
provided in this
paragraph, the amount of the current year's  | 
equalized assessed value, in the
first year after a  | 
municipality terminates
the designation of an area as a  | 
redevelopment project area previously
established under the  | 
Tax Increment Allocation Redevelopment Act in the Illinois
 | 
Municipal Code, previously established under the Industrial  | 
Jobs Recovery Law
in the Illinois Municipal Code, previously  | 
established under the Economic Development Project Area Tax  | 
Increment Act of 1995, or previously established under the  | 
Economic
Development Area Tax Increment Allocation Act, of  | 
each taxable lot, block,
tract, or parcel of real property in  | 
the redevelopment project area over and
above the initial  | 
equalized assessed value of each property in the
redevelopment  | 
project area.
For the taxes which are extended for the 1997  | 
levy year, the recovered tax
increment value for a non-home  | 
rule taxing district that first became subject
to this Law for  | 
the 1995 levy year because a majority of its 1994 equalized
 | 
assessed value was in an affected county or counties shall be  | 
increased if a
municipality terminated the designation of an  | 
 | 
area in 1993 as a redevelopment
project area previously  | 
established under the Tax Increment Allocation Redevelopment
 | 
Act in the Illinois Municipal Code, previously established  | 
under
the Industrial Jobs Recovery Law in the Illinois  | 
Municipal Code, or previously
established under the Economic  | 
Development Area Tax Increment Allocation Act,
by an amount  | 
equal to the 1994 equalized assessed value of each taxable  | 
lot,
block, tract, or parcel of real property in the  | 
redevelopment project area over
and above the initial  | 
equalized assessed value of each property in the
redevelopment  | 
project area.
In the first year after a municipality
removes a  | 
taxable lot, block, tract, or parcel of real property from a
 | 
redevelopment project area established under the Tax Increment  | 
Allocation Redevelopment
Act in the Illinois
Municipal Code,  | 
the Industrial Jobs Recovery Law
in the Illinois Municipal  | 
Code, or the Economic
Development Area Tax Increment  | 
Allocation Act, "recovered tax increment value"
means the  | 
amount of the current year's equalized assessed value of each  | 
taxable
lot, block, tract, or parcel of real property removed  | 
from the redevelopment
project area over and above the initial  | 
equalized assessed value of that real
property before removal  | 
from the redevelopment project area.
 | 
 Except as otherwise provided in this Section, "limiting  | 
rate" means a
fraction the numerator of which is the last
 | 
preceding aggregate extension base times an amount equal to  | 
one plus the
extension limitation defined in this Section and  | 
 | 
the denominator of which
is the current year's equalized  | 
assessed value of all real property in the
territory under the  | 
jurisdiction of the taxing district during the prior
levy  | 
year. For those taxing districts that reduced their aggregate
 | 
extension for the last preceding levy year, except for school  | 
districts that reduced their extension for educational  | 
purposes pursuant to Section 18-206, the highest aggregate  | 
extension
in any of the last 3 preceding levy years shall be  | 
used for the purpose of
computing the limiting rate. The  | 
denominator shall not include new
property or the recovered  | 
tax increment
value.
If a new rate, a rate decrease, or a  | 
limiting rate increase has been approved at an election held  | 
after March 21, 2006, then (i) the otherwise applicable  | 
limiting rate shall be increased by the amount of the new rate  | 
or shall be reduced by the amount of the rate decrease, as the  | 
case may be, or (ii) in the case of a limiting rate increase,  | 
the limiting rate shall be equal to the rate set forth
in the  | 
proposition approved by the voters for each of the years  | 
specified in the proposition, after
which the limiting rate of  | 
the taxing district shall be calculated as otherwise provided.  | 
In the case of a taxing district that obtained referendum  | 
approval for an increased limiting rate on March 20, 2012, the  | 
limiting rate for tax year 2012 shall be the rate that  | 
generates the approximate total amount of taxes extendable for  | 
that tax year, as set forth in the proposition approved by the  | 
voters; this rate shall be the final rate applied by the county  | 
 | 
clerk for the aggregate of all capped funds of the district for  | 
tax year 2012.
 | 
(Source: P.A. 102-263, eff. 8-6-21; 102-311, eff. 8-6-21;  | 
102-519, eff. 8-20-21; 102-558, eff. 8-20-21; revised  | 
10-5-21.)
 | 
 (35 ILCS 200/21-260)
 | 
 Sec. 21-260. Collector's scavenger sale. Upon the county  | 
collector's
application under Section 21-145, to be known as  | 
the Scavenger Sale
Application, the Court shall enter judgment  | 
for the general taxes, special
taxes, special assessments,  | 
interest, penalties and costs as are included in
the  | 
advertisement and appear to be due thereon after allowing an  | 
opportunity to
object and a hearing upon the objections as  | 
provided in Section 21-175, and
order those properties sold by  | 
the County Collector at public sale, or by electronic  | 
automated sale if the collector chooses to conduct an  | 
electronic automated sale pursuant to Section 21-261, to the
 | 
highest bidder for cash, notwithstanding the bid may be less  | 
than the full
amount of taxes, special taxes, special  | 
assessments, interest, penalties and
costs for which judgment  | 
has been entered.
 | 
 (a) Conducting the sale; bidding sale - Bidding. All  | 
properties shall be offered for
sale in consecutive order as  | 
they appear in the delinquent list. The minimum
bid for any  | 
property shall be $250 or one-half of the tax if the total
 | 
 | 
liability is less than $500. For in-person scavenger sales,  | 
the successful bidder shall pay the
amount of the minimum bid  | 
to the County Collector by the end of the business day on which  | 
the bid was placed. That amount shall be paid in cash, by  | 
certified or
cashier's check, by money order, or, if the
 | 
successful bidder is a governmental unit, by a check issued by  | 
that
governmental unit. For electronic automated scavenger  | 
sales, the successful bidder shall pay the minimum bid amount  | 
by the close of the business day on which the bid was placed.  | 
That amount shall be paid online via ACH debit or by the  | 
electronic payment method required by the county collector.  | 
For in-person scavenger sales, if the bid exceeds the minimum  | 
bid, the
successful bidder shall pay the balance of the bid to  | 
the county collector in
cash, by certified or cashier's check,  | 
by money order, or, if the
successful bidder is a governmental  | 
unit, by a check issued by that
governmental unit
by the close  | 
of the
next business day. For electronic automated scavenger  | 
sales, the successful bidder shall pay, by the close of the  | 
next business day, the balance of the bid online via ACH debit  | 
or by the electronic payment method required by the county  | 
collector. If the minimum bid is not paid at the time of sale  | 
or if
the balance is not paid by the close of the next business  | 
day, then the sale is
void and the minimum bid, if paid, is  | 
forfeited to the county general fund. In
that event, the  | 
property shall be reoffered for sale within 30 days of the last
 | 
offering of property in regular order. The collector shall  | 
 | 
make available to
the public a list of all properties to be  | 
included in any reoffering due to the
voiding of the original  | 
sale. The collector is not required to serve or
publish any  | 
other notice of the reoffering of those properties. In the  | 
event
that any of the properties are not sold upon reoffering,  | 
or are sold for less
than the amount of the original voided  | 
sale, the original bidder who failed to
pay the bid amount  | 
shall remain liable for the unpaid balance of the bid in an
 | 
action under Section 21-240. Liability shall not be reduced  | 
where the bidder
upon reoffering also fails to pay the bid  | 
amount, and in that event both
bidders shall remain liable for  | 
the unpaid balance of their respective bids. A
sale of  | 
properties under this Section shall not be final until  | 
confirmed by the
court.
 | 
 (b) Confirmation of sales. The county collector shall file  | 
his or her
report of sale in the court within 30 days of the  | 
date of sale of each
property. No notice of the county  | 
collector's application to confirm the sales
shall be required  | 
except as prescribed by rule of the court. Upon
confirmation,  | 
except in cases where the sale becomes void under Section  | 
22-85,
or in cases where the order of confirmation is vacated  | 
by the court, a sale
under this Section shall extinguish the in  | 
rem lien of the general taxes,
special taxes and special  | 
assessments for which judgment has been entered and a
 | 
redemption shall not revive the lien. Confirmation of the sale  | 
shall in no
event affect the owner's personal liability to pay  | 
 | 
the taxes, interest and
penalties as provided in this Code or  | 
prevent institution of a proceeding under
Section 21-440 to  | 
collect any amount that may remain
due after the sale.
 | 
 (c) Issuance of tax sale certificates. Upon confirmation  | 
of the sale, the
County Clerk and the County Collector shall  | 
issue to the purchaser a
certificate of purchase in the form  | 
prescribed by Section 21-250 as near as may
be. A certificate  | 
of purchase shall not be issued to any person who is
ineligible  | 
to bid at the sale or to receive a certificate of purchase  | 
under
Section 21-265.
 | 
 (d) Scavenger Tax Judgment, Sale and Redemption Record;  | 
sale Record - Sale of
parcels not sold. The county collector  | 
shall prepare a Scavenger Tax Judgment,
Sale and Redemption  | 
Record. The county clerk shall write or stamp on the
scavenger  | 
tax judgment, sale, forfeiture and redemption record opposite  | 
the
description of any property offered for sale and not sold,  | 
or not confirmed for
any reason, the words "offered but not  | 
sold". The properties which are offered
for sale under this  | 
Section and not sold or not confirmed shall be offered for
sale  | 
annually thereafter in the manner provided in this Section  | 
until sold,
except in the case of mineral rights, which after  | 
10 consecutive years of
being offered for sale under this  | 
Section and not sold or confirmed shall
no longer be required  | 
to be offered for sale. At
any time between annual sales the  | 
County Collector may advertise for sale any
properties subject  | 
to sale under judgments for sale previously entered under
this  | 
 | 
Section and not executed for any reason. The advertisement and  | 
sale shall
be regulated by the provisions of this Code as far  | 
as applicable.
 | 
 (e) Proceeding to tax deed. The owner of the certificate  | 
of purchase shall
give notice as required by Sections 22-5  | 
through 22-30, and may extend the
period of redemption as  | 
provided by Section 21-385. At any time within 6 months
prior  | 
to expiration of the period of redemption from a sale under  | 
this Code,
the owner of a certificate of purchase may file a  | 
petition and may obtain a tax
deed under Sections 22-30  | 
through 22-55. Within 30 days from filing of the petition, the  | 
owner of a certificate must file with the county clerk the  | 
names and addresses of the owners of the property and those  | 
persons entitled to service of notice at their last known  | 
addresses. The clerk shall mail notice within 30 days from the  | 
date of the filing of addresses with the clerk. All  | 
proceedings for the issuance of
a tax deed and all tax deeds  | 
for properties sold under this Section shall be
subject to  | 
Sections 22-30 through 22-55. Deeds issued under this Section  | 
are
subject to Section 22-70. This Section shall be liberally  | 
construed so that the deeds provided for in this Section  | 
convey merchantable title.
 | 
 (f) Redemptions from scavenger sales. Redemptions may be  | 
made from sales
under this Section in the same manner and upon  | 
the same terms and conditions as
redemptions from sales made  | 
under the County Collector's annual application for
judgment  | 
 | 
and order of sale, except that in lieu of penalty the person  | 
redeeming
shall pay interest as follows if the sale occurs  | 
before September 9, 1993:
 | 
  (1) If redeemed within the first 2 months from the  | 
 date of the sale, 3%
per month or portion thereof upon the  | 
 amount for which the property was sold;
 | 
  (2) If redeemed between 2 and 6 months from the date of  | 
 the sale, 12% of
the amount for which the property was  | 
 sold;
 | 
  (3) If redeemed between 6 and 12 months from the date  | 
 of the sale, 24%
of the amount for which the property was  | 
 sold;
 | 
  (4) If redeemed between 12 and 18 months from the date  | 
 of the sale, 36% of
the amount for which the property was  | 
 sold;
 | 
  (5) If redeemed between 18 and 24 months from the date  | 
 of the sale, 48%
of the amount for which the property was  | 
 sold;
 | 
  (6) If redeemed after 24 months from the date of sale,  | 
 the 48% herein
provided together with interest at 6% per  | 
 year thereafter.
 | 
 If the sale occurs on or after September 9,
1993, the  | 
person redeeming shall pay interest on that part of the amount  | 
for
which the property was sold equal to or less than the full  | 
amount of delinquent
taxes, special assessments, penalties,  | 
interest, and costs, included in the
judgment and order of  | 
 | 
sale as follows:
 | 
  (1) If redeemed within the first 2 months from the  | 
 date of the sale,
3% per month upon the amount of taxes,  | 
 special assessments, penalties,
interest, and costs due  | 
 for each of the first 2 months, or fraction thereof.
 | 
  (2) If redeemed at any time between 2 and 6 months from  | 
 the date of
the sale, 12% of the amount of taxes, special  | 
 assessments, penalties, interest,
and costs due.
 | 
  (3) If redeemed at any time between 6 and 12 months  | 
 from the date of the
sale, 24% of the amount of taxes,  | 
 special assessments, penalties, interest, and
costs due.
 | 
  (4) If redeemed at any time between 12 and 18 months  | 
 from the date
of the sale, 36% of the amount of taxes,  | 
 special assessments, penalties,
interest, and costs due.
 | 
  (5) If redeemed at any time between 18 and 24 months  | 
 from the date
of the sale, 48% of the amount of taxes,  | 
 special assessments, penalties,
interest, and costs due.
 | 
  (6) If redeemed after 24 months from the date of sale,  | 
 the 48%
provided for the 24 months together with interest  | 
 at 6% per annum thereafter on
the amount of taxes, special  | 
 assessments, penalties, interest, and costs due.
 | 
 The person redeeming shall not be required to pay any  | 
interest on any part
of the amount for which the property was  | 
sold that exceeds the full amount of
delinquent taxes, special  | 
assessments, penalties, interest, and costs included
in the  | 
judgment and order of sale.
 | 
 | 
 Notwithstanding any other provision of this Section,  | 
except for
owner-occupied single family residential units  | 
which are condominium units,
cooperative units or dwellings,  | 
the amount required to be paid for redemption
shall also  | 
include an amount equal to all delinquent taxes on the  | 
property
which taxes were delinquent at the time of sale. The  | 
delinquent taxes shall be
apportioned by the county collector  | 
among the taxing districts in which the
property is situated  | 
in accordance with law. In the event that all moneys
received  | 
from any sale held under this Section exceed an amount equal to  | 
all
delinquent taxes on the property sold, which taxes were  | 
delinquent at the time
of sale, together with all publication  | 
and other costs associated with the
sale, then, upon  | 
redemption, the County Collector and the County Clerk shall
 | 
apply the excess amount to the cost of redemption.
 | 
 (g) Bidding by county or other taxing districts. Any  | 
taxing district may
bid at a scavenger sale. The county board  | 
of the county in which properties
offered for sale under this  | 
Section are located may bid as trustee for all
taxing  | 
districts having an interest in the taxes for the nonpayment  | 
of which
the parcels are offered. The County shall apply on the  | 
bid the unpaid taxes due
upon the property and no cash need be  | 
paid. The County or other taxing district
acquiring a tax sale  | 
certificate shall take all steps necessary to acquire
title to  | 
the property and may manage and operate the property so  | 
acquired.
 | 
 | 
 When a county, or other taxing district within the county,  | 
is a petitioner
for a tax deed, no filing fee shall be required  | 
on the petition. The county as
a tax creditor and as trustee  | 
for other tax creditors, or other taxing district
within the  | 
county shall not be required to allege and prove that all taxes  | 
and
special assessments which become due and payable after the  | 
sale to the county
have been paid. The county shall not be  | 
required to pay the subsequently
accruing taxes or special  | 
assessments at any time. Upon the written request of
the  | 
county board or its designee, the county collector shall not  | 
offer the
property for sale at any tax sale subsequent to the  | 
sale of the property to the
county under this Section. The lien  | 
of taxes and special assessments which
become due and payable  | 
after a sale to a county shall merge in the fee title of
the  | 
county, or other taxing district, on the issuance of a deed.  | 
The County may
sell the properties so acquired, or the  | 
certificate of purchase thereto, and
the proceeds of the sale  | 
shall be distributed to the taxing districts in
proportion to  | 
their respective interests therein. The presiding officer of  | 
the
county board, with the advice and consent of the County  | 
Board, may appoint some
officer or person to attend scavenger  | 
sales and bid on its behalf.
 | 
 (h) Miscellaneous provisions. In the event that the tract  | 
of land or lot
sold at any such sale is not redeemed within the  | 
time permitted by law and a
tax deed is issued, all moneys that  | 
may be received from the sale of
properties in excess of the  | 
 | 
delinquent taxes, together with all publication
and other  | 
costs associated with the sale,
shall, upon petition of any  | 
interested party to the court that issued the tax
deed, be  | 
distributed by the County Collector pursuant to order of the  | 
court
among the persons having legal or equitable interests in  | 
the property according
to the fair value of their interests in  | 
the tract or lot. Section 21-415 does
not apply to properties  | 
sold under this Section.
Appeals may be taken from the orders  | 
and judgments entered under this Section
as in other civil  | 
cases. The remedy herein provided is in addition to other
 | 
remedies for the collection of delinquent taxes. | 
 (i) The changes to this Section made by Public Act 95-477  | 
this amendatory Act of
the 95th General Assembly apply only to  | 
matters in which a
petition for tax deed is filed on or after  | 
June 1, 2008 (the effective date
of Public Act 95-477) this  | 
amendatory Act of the 95th General Assembly.
 | 
(Source: P.A. 102-519, eff. 8-20-21; 102-528, eff. 1-1-22;  | 
revised 10-18-21.)
 | 
 (35 ILCS 200/22-10)
 | 
 Sec. 22-10. Notice of expiration of period of redemption.  | 
A purchaser or assignee shall not be entitled to a tax deed to  | 
the
property sold unless, not less than 3 months nor more than  | 
6 months prior to
the expiration of the period of redemption,  | 
he or she gives notice of the
sale and the date of expiration  | 
of the period of redemption to the
owners, occupants, and  | 
 | 
parties interested in the property, including any
mortgagee of  | 
record, as provided below. The clerk must mail notice in  | 
accordance with the provisions of subsection (e) of Section  | 
21-260. 
 | 
 The Notice to be given to the parties shall be in at least  | 
10 point
type in the following form completely filled in:
 | 
TAX DEED NO. .................... FILED ....................
 | 
TAKE NOTICE
 | 
 County of ...............................................
 | 
 Date Premises Sold ......................................
 | 
 Certificate No. ........................................
 | 
 Sold for General Taxes of (year) ........................
 | 
 Sold for Special Assessment of (Municipality)
 | 
 and special assessment number ...........................
 | 
 Warrant No. ................ Inst. No. .................
 | 
THIS PROPERTY HAS BEEN SOLD FOR
 | 
DELINQUENT TAXES
 | 
Property located at .........................................
 | 
Legal Description or Property Index No. .....................
 | 
.............................................................
 | 
.............................................................
 | 
 This notice is to advise you that the above property has
 | 
been sold for delinquent taxes and that the period of
 | 
redemption from the sale will expire on .....................
 | 
.............................................................
 | 
 The amount to redeem is subject to increase at 6 month  | 
 | 
intervals from
the date of sale and may be further increased if  | 
the purchaser at the tax
sale or his or her assignee pays any  | 
subsequently accruing taxes or special
assessments to redeem  | 
the property from subsequent forfeitures or tax sales.
Check  | 
with the county clerk as to the exact amount you owe before  | 
redeeming.
 | 
 This notice is also to advise you that a petition has been  | 
filed for
a tax deed which will transfer title and the right to  | 
possession of this
property if redemption is not made on or  | 
before ......................................................
 | 
 This matter is set for hearing in the Circuit Court of this  | 
county in
...., Illinois on .....
 | 
 You may be present at this hearing but your right to redeem  | 
will
already have expired at that time.
 | 
YOU ARE URGED TO REDEEM IMMEDIATELY
 | 
TO PREVENT LOSS OF PROPERTY
 | 
 Redemption can be made at any time on or before .... by  | 
applying to
the County Clerk of ...., County, Illinois at the  | 
Office of the County Clerk in
...., Illinois.
 | 
 For further information contact the County Clerk
 | 
ADDRESS:....................
 | 
TELEPHONE:..................
 | 
..........................
 
 | 
Purchaser or Assignee.
 
 | 
Dated (insert date).
 
 | 
 | 
 In counties with 3,000,000 or more inhabitants, the notice  | 
shall also state
the address, room number and time at which the  | 
matter is set for hearing.
 | 
 The changes to this Section made by Public Act 97-557 this  | 
amendatory Act of the 97th General Assembly apply only to  | 
matters in which a petition for tax deed is filed on or after  | 
July 1, 2012 (the effective date of Public Act 97-557) this  | 
amendatory Act of the 97th General Assembly. 
 | 
(Source: P.A. 102-528, eff. 1-1-22; revised 12-7-21.)
 | 
 Section 265. The Illinois Pension Code is amended by  | 
changing Sections 1-160, 7-109, 7-141, 14-103.42, 14-110,  | 
16-158, and 16-203 as follows:
 | 
 (40 ILCS 5/1-160)
 | 
 Sec. 1-160. Provisions applicable to new hires.  | 
 (a) The provisions of this Section apply to a person who,  | 
on or after January 1, 2011, first becomes a member or a  | 
participant under any reciprocal retirement system or pension  | 
fund established under this Code, other than a retirement  | 
system or pension fund established under Article 2, 3, 4, 5, 6,  | 
7, 15, or 18 of this Code, notwithstanding any other provision  | 
of this Code to the contrary, but do not apply to any  | 
self-managed plan established under this Code or to any  | 
participant of the retirement plan established under Section  | 
 | 
22-101; except that this Section applies to a person who  | 
elected to establish alternative credits by electing in  | 
writing after January 1, 2011, but before August 8, 2011,  | 
under Section 7-145.1 of this Code. Notwithstanding anything  | 
to the contrary in this Section, for purposes of this Section,  | 
a person who is a Tier 1 regular employee as defined in Section  | 
7-109.4 of this Code or who participated in a retirement  | 
system under Article 15 prior to January 1, 2011 shall be  | 
deemed a person who first became a member or participant prior  | 
to January 1, 2011 under any retirement system or pension fund  | 
subject to this Section. The changes made to this Section by  | 
Public Act 98-596 are a clarification of existing law and are  | 
intended to be retroactive to January 1, 2011 (the effective  | 
date of Public Act 96-889), notwithstanding the provisions of  | 
Section 1-103.1 of this Code. | 
 This Section does not apply to a person who first becomes a  | 
noncovered employee under Article 14 on or after the  | 
implementation date of the plan created under Section 1-161  | 
for that Article, unless that person elects under subsection  | 
(b) of Section 1-161 to instead receive the benefits provided  | 
under this Section and the applicable provisions of that  | 
Article. | 
 This Section does not apply to a person who first becomes a  | 
member or participant under Article 16 on or after the  | 
implementation date of the plan created under Section 1-161  | 
for that Article, unless that person elects under subsection  | 
 | 
(b) of Section 1-161 to instead receive the benefits provided  | 
under this Section and the applicable provisions of that  | 
Article. | 
 This Section does not apply to a person who elects under  | 
subsection (c-5) of Section 1-161 to receive the benefits  | 
under Section 1-161.  | 
 This Section does not apply to a person who first becomes a  | 
member or participant of an affected pension fund on or after 6  | 
months after the resolution or ordinance date, as defined in  | 
Section 1-162, unless that person elects under subsection (c)  | 
of Section 1-162 to receive the benefits provided under this  | 
Section and the applicable provisions of the Article under  | 
which he or she is a member or participant.  | 
 (b) "Final average salary" means, except as otherwise  | 
provided in this subsection, the average monthly (or annual)  | 
salary obtained by dividing the total salary or earnings  | 
calculated under the Article applicable to the member or  | 
participant during the 96 consecutive months (or 8 consecutive  | 
years) of service within the last 120 months (or 10 years) of  | 
service in which the total salary or earnings calculated under  | 
the applicable Article was the highest by the number of months  | 
(or years) of service in that period. For the purposes of a  | 
person who first becomes a member or participant of any  | 
retirement system or pension fund to which this Section  | 
applies on or after January 1, 2011, in this Code, "final  | 
average salary" shall be substituted for the following: | 
 | 
  (1) (Blank). | 
  (2) In Articles 8, 9, 10, 11, and 12, "highest average  | 
 annual salary for any 4 consecutive years within the last  | 
 10 years of service immediately preceding the date of  | 
 withdrawal".  | 
  (3) In Article 13, "average final salary".  | 
  (4) In Article 14, "final average compensation".  | 
  (5) In Article 17, "average salary".  | 
  (6) In Section 22-207, "wages or salary received by  | 
 him at the date of retirement or discharge".  | 
 A member of the Teachers' Retirement System of the State  | 
of Illinois who retires on or after June 1, 2021 and for whom  | 
the 2020-2021 school year is used in the calculation of the  | 
member's final average salary shall use the higher of the  | 
following for the purpose of determining the member's final  | 
average salary: | 
  (A) the amount otherwise calculated under the first  | 
 paragraph of this subsection; or | 
  (B) an amount calculated by the Teachers' Retirement  | 
 System of the State of Illinois using the average of the  | 
 monthly (or annual) salary obtained by dividing the total  | 
 salary or earnings calculated under Article 16 applicable  | 
 to the member or participant during the 96 months (or 8  | 
 years) of service within the last 120 months (or 10 years)  | 
 of service in which the total salary or earnings  | 
 calculated under the Article was the highest by the number  | 
 | 
 of months (or years) of service in that period. | 
 (b-5) Beginning on January 1, 2011, for all purposes under  | 
this Code (including without limitation the calculation of  | 
benefits and employee contributions), the annual earnings,  | 
salary, or wages (based on the plan year) of a member or  | 
participant to whom this Section applies shall not exceed  | 
$106,800; however, that amount shall annually thereafter be  | 
increased by the lesser of (i) 3% of that amount, including all  | 
previous adjustments, or (ii) one-half the annual unadjusted  | 
percentage increase (but not less than zero) in the consumer  | 
price index-u
for the 12 months ending with the September  | 
preceding each November 1, including all previous adjustments. | 
 For the purposes of this Section, "consumer price index-u"  | 
means
the index published by the Bureau of Labor Statistics of  | 
the United States
Department of Labor that measures the  | 
average change in prices of goods and
services purchased by  | 
all urban consumers, United States city average, all
items,  | 
1982-84 = 100. The new amount resulting from each annual  | 
adjustment
shall be determined by the Public Pension Division  | 
of the Department of Insurance and made available to the  | 
boards of the retirement systems and pension funds by November  | 
1 of each year.  | 
 (c) A member or participant is entitled to a retirement
 | 
annuity upon written application if he or she has attained age  | 
67 (age 65, with respect to service under Article 12 that is  | 
subject to this Section, for a member or participant under  | 
 | 
Article 12 who first becomes a member or participant under  | 
Article 12 on or after January 1, 2022 or who makes the  | 
election under item (i) of subsection (d-15) of this Section)  | 
and has at least 10 years of service credit and is otherwise  | 
eligible under the requirements of the applicable Article.  | 
 A member or participant who has attained age 62 (age 60,  | 
with respect to service under Article 12 that is subject to  | 
this Section, for a member or participant under Article 12 who  | 
first becomes a member or participant under Article 12 on or  | 
after January 1, 2022 or who makes the election under item (i)  | 
of subsection (d-15) of this Section) and has at least 10 years  | 
of service credit and is otherwise eligible under the  | 
requirements of the applicable Article may elect to receive  | 
the lower retirement annuity provided
in subsection (d) of  | 
this Section.  | 
 (c-5) A person who first becomes a member or a participant  | 
subject to this Section on or after July 6, 2017 (the effective  | 
date of Public Act 100-23), notwithstanding any other  | 
provision of this Code to the contrary, is entitled to a  | 
retirement annuity under Article 8 or Article 11 upon written  | 
application if he or she has attained age 65 and has at least  | 
10 years of service credit and is otherwise eligible under the  | 
requirements of Article 8 or Article 11 of this Code,  | 
whichever is applicable.  | 
 (d) The retirement annuity of a member or participant who  | 
is retiring after attaining age 62 (age 60, with respect to  | 
 | 
service under Article 12 that is subject to this Section, for a  | 
member or participant under Article 12 who first becomes a  | 
member or participant under Article 12 on or after January 1,  | 
2022 or who makes the election under item (i) of subsection  | 
(d-15) of this Section) with at least 10 years of service  | 
credit shall be reduced by one-half
of 1% for each full month  | 
that the member's age is under age 67 (age 65, with respect to  | 
service under Article 12 that is subject to this Section, for a  | 
member or participant under Article 12 who first becomes a  | 
member or participant under Article 12 on or after January 1,  | 
2022 or who makes the election under item (i) of subsection  | 
(d-15) of this Section). | 
 (d-5) The retirement annuity payable under Article 8 or  | 
Article 11 to an eligible person subject to subsection (c-5)  | 
of this Section who is retiring at age 60 with at least 10  | 
years of service credit shall be reduced by one-half of 1% for  | 
each full month that the member's age is under age 65.  | 
 (d-10) Each person who first became a member or  | 
participant under Article 8 or Article 11 of this Code on or  | 
after January 1, 2011 and prior to July 6, 2017 (the effective  | 
date of Public Act 100-23) this amendatory Act of the 100th  | 
General Assembly shall make an irrevocable election either: | 
  (i) to be eligible for the reduced retirement age  | 
 provided in subsections (c-5)
and (d-5) of this Section,  | 
 the eligibility for which is conditioned upon the member  | 
 or participant agreeing to the increases in employee  | 
 | 
 contributions for age and service annuities provided in  | 
 subsection (a-5) of Section 8-174 of this Code (for  | 
 service under Article 8) or subsection (a-5) of Section  | 
 11-170 of this Code (for service under Article 11); or  | 
  (ii) to not agree to item (i) of this subsection  | 
 (d-10), in which case the member or participant shall  | 
 continue to be subject to the retirement age provisions in  | 
 subsections (c) and (d) of this Section and the employee  | 
 contributions for age and service annuity as provided in  | 
 subsection (a) of Section 8-174 of this Code (for service  | 
 under Article 8) or subsection (a) of Section 11-170 of  | 
 this Code (for service under Article 11).  | 
 The election provided for in this subsection shall be made  | 
between October 1, 2017 and November 15, 2017. A person  | 
subject to this subsection who makes the required election  | 
shall remain bound by that election. A person subject to this  | 
subsection who fails for any reason to make the required  | 
election within the time specified in this subsection shall be  | 
deemed to have made the election under item (ii).  | 
 (d-15) Each person who first becomes a member or  | 
participant under Article 12 on or after January 1, 2011 and  | 
prior to January 1, 2022 shall make an irrevocable election  | 
either:  | 
  (i) to be eligible for the reduced retirement age  | 
 specified in subsections (c) and (d) of this Section, the  | 
 eligibility for which is conditioned upon the member or  | 
 | 
 participant agreeing to the increase in employee  | 
 contributions for service annuities specified in  | 
 subsection (b) of Section 12-150; or | 
  (ii) to not agree to item (i) of this subsection  | 
 (d-15), in which case the member or participant shall not  | 
 be eligible for the reduced retirement age specified in  | 
 subsections (c) and (d) of this Section and shall not be  | 
 subject to the increase in employee contributions for  | 
 service annuities specified in subsection (b) of Section  | 
 12-150.  | 
 The election provided for in this subsection shall be made  | 
between January 1, 2022 and April 1, 2022. A person subject to  | 
this subsection who makes the required election shall remain  | 
bound by that election. A person subject to this subsection  | 
who fails for any reason to make the required election within  | 
the time specified in this subsection shall be deemed to have  | 
made the election under item (ii).  | 
 (e) Any retirement annuity or supplemental annuity shall  | 
be subject to annual increases on the January 1 occurring  | 
either on or after the attainment of age 67 (age 65, with  | 
respect to service under Article 12 that is subject to this  | 
Section, for a member or participant under Article 12 who  | 
first becomes a member or participant under Article 12 on or  | 
after January 1, 2022 or who makes the election under item (i)  | 
of subsection (d-15); and beginning on July 6, 2017 (the  | 
effective date of Public Act 100-23) this amendatory Act of  | 
 | 
the 100th General Assembly, age 65 with respect to service  | 
under Article 8 or Article 11 for eligible persons who: (i) are  | 
subject to subsection (c-5) of this Section; or (ii) made the  | 
election under item (i) of subsection (d-10) of this Section)  | 
or the first anniversary of the annuity start date, whichever  | 
is later. Each annual increase shall be calculated at 3% or  | 
one-half the annual unadjusted percentage increase (but not  | 
less than zero) in the consumer price index-u for the 12 months  | 
ending with the September preceding each November 1, whichever  | 
is less, of the originally granted retirement annuity. If the  | 
annual unadjusted percentage change in the consumer price  | 
index-u for the 12 months ending with the September preceding  | 
each November 1 is zero or there is a decrease, then the  | 
annuity shall not be increased.  | 
 For the purposes of Section 1-103.1 of this Code, the  | 
changes made to this Section by Public Act 102-263 this  | 
amendatory Act of the 102nd General Assembly are applicable  | 
without regard to whether the employee was in active service  | 
on or after August 6, 2021 (the effective date of Public Act  | 
102-263) this amendatory Act of the 102nd General Assembly.  | 
 For the purposes of Section 1-103.1 of this Code, the  | 
changes made to this Section by Public Act 100-23 this  | 
amendatory Act of the 100th General Assembly are applicable  | 
without regard to whether the employee was in active service  | 
on or after July 6, 2017 (the effective date of Public Act  | 
100-23) this amendatory Act of the 100th General Assembly.  | 
 | 
 (f) The initial survivor's or widow's annuity of an  | 
otherwise eligible survivor or widow of a retired member or  | 
participant who first became a member or participant on or  | 
after January 1, 2011 shall be in the amount of 66 2/3% of the  | 
retired member's or participant's retirement annuity at the  | 
date of death. In the case of the death of a member or  | 
participant who has not retired and who first became a member  | 
or participant on or after January 1, 2011, eligibility for a  | 
survivor's or widow's annuity shall be determined by the  | 
applicable Article of this Code. The initial benefit shall be  | 
66 2/3% of the earned annuity without a reduction due to age. A  | 
child's annuity of an otherwise eligible child shall be in the  | 
amount prescribed under each Article if applicable. Any  | 
survivor's or widow's annuity shall be increased (1) on each  | 
January 1 occurring on or after the commencement of the  | 
annuity if
the deceased member died while receiving a  | 
retirement annuity or (2) in
other cases, on each January 1  | 
occurring after the first anniversary
of the commencement of  | 
the annuity. Each annual increase shall be calculated at 3% or  | 
one-half the annual unadjusted percentage increase (but not  | 
less than zero) in the consumer price index-u for the 12 months  | 
ending with the September preceding each November 1, whichever  | 
is less, of the originally granted survivor's annuity. If the  | 
annual unadjusted percentage change in the consumer price  | 
index-u for the 12 months ending with the September preceding  | 
each November 1 is zero or there is a decrease, then the  | 
 | 
annuity shall not be increased.  | 
 (g) The benefits in Section 14-110 apply only if the  | 
person is a State policeman, a fire fighter in the fire  | 
protection service of a department, a conservation police  | 
officer, an investigator for the Secretary of State, an arson  | 
investigator, a Commerce Commission police officer,  | 
investigator for the Department of Revenue or the
Illinois  | 
Gaming Board, a security employee of the Department of  | 
Corrections or the Department of Juvenile Justice, or a  | 
security employee of the Department of Innovation and  | 
Technology, as those terms are defined in subsection (b) and  | 
subsection (c) of Section 14-110. A person who meets the  | 
requirements of this Section is entitled to an annuity  | 
calculated under the provisions of Section 14-110, in lieu of  | 
the regular or minimum retirement annuity, only if the person  | 
has withdrawn from service with not less than 20
years of  | 
eligible creditable service and has attained age 60,  | 
regardless of whether
the attainment of age 60 occurs while  | 
the person is
still in service.  | 
 (h) If a person who first becomes a member or a participant  | 
of a retirement system or pension fund subject to this Section  | 
on or after January 1, 2011 is receiving a retirement annuity  | 
or retirement pension under that system or fund and becomes a  | 
member or participant under any other system or fund created  | 
by this Code and is employed on a full-time basis, except for  | 
those members or participants exempted from the provisions of  | 
 | 
this Section under subsection (a) of this Section, then the  | 
person's retirement annuity or retirement pension under that  | 
system or fund shall be suspended during that employment. Upon  | 
termination of that employment, the person's retirement  | 
annuity or retirement pension payments shall resume and be  | 
recalculated if recalculation is provided for under the  | 
applicable Article of this Code. | 
 If a person who first becomes a member of a retirement  | 
system or pension fund subject to this Section on or after  | 
January 1, 2012 and is receiving a retirement annuity or  | 
retirement pension under that system or fund and accepts on a  | 
contractual basis a position to provide services to a  | 
governmental entity from which he or she has retired, then  | 
that person's annuity or retirement pension earned as an  | 
active employee of the employer shall be suspended during that  | 
contractual service. A person receiving an annuity or  | 
retirement pension under this Code shall notify the pension  | 
fund or retirement system from which he or she is receiving an  | 
annuity or retirement pension, as well as his or her  | 
contractual employer, of his or her retirement status before  | 
accepting contractual employment. A person who fails to submit  | 
such notification shall be guilty of a Class A misdemeanor and  | 
required to pay a fine of $1,000. Upon termination of that  | 
contractual employment, the person's retirement annuity or  | 
retirement pension payments shall resume and, if appropriate,  | 
be recalculated under the applicable provisions of this Code.  | 
 | 
 (i) (Blank).  | 
 (j) In the case of a conflict between the provisions of  | 
this Section and any other provision of this Code, the  | 
provisions of this Section shall control.
 | 
(Source: P.A. 101-610, eff. 1-1-20; 102-16, eff. 6-17-21;  | 
102-210, eff. 1-1-22; 102-263, eff. 8-6-21; revised 9-28-21.)
 | 
 (40 ILCS 5/7-109) (from Ch. 108 1/2, par. 7-109)
 | 
 Sec. 7-109. Employee. 
 | 
 (1) "Employee" means any person who:
 | 
  (a) 1. Receives earnings as payment for the  | 
 performance of personal
services or official duties out of  | 
 the general fund of a municipality,
or out of any special  | 
 fund or funds controlled by a municipality, or by
an  | 
 instrumentality thereof, or a participating  | 
 instrumentality, including,
in counties, the fees or  | 
 earnings of any county fee office; and
 | 
  2. Under the usual common law rules applicable in  | 
 determining the
employer-employee relationship, has the  | 
 status of an employee with a
municipality, or any  | 
 instrumentality thereof, or a participating
 | 
 instrumentality, including alderpersons, county  | 
 supervisors and other
persons (excepting those employed as  | 
 independent contractors) who are
paid compensation, fees,  | 
 allowances or other emolument for official
duties, and, in  | 
 counties, the several county fee offices.
 | 
 | 
  (b) Serves as a township treasurer appointed under the  | 
 School
Code, as heretofore or hereafter amended, and
who  | 
 receives for such services regular compensation as  | 
 distinguished
from per diem compensation, and any regular  | 
 employee in the office of
any township treasurer whether  | 
 or not his earnings are paid from the
income of the  | 
 permanent township fund or from funds subject to
 | 
 distribution to the several school districts and parts of  | 
 school
districts as provided in the School Code, or from  | 
 both such sources; or is the chief executive officer,  | 
 chief educational officer, chief fiscal officer, or other  | 
 employee of a Financial Oversight Panel established  | 
 pursuant to Article 1H of the School Code, other than a  | 
 superintendent or certified school business official,  | 
 except that such person shall not be treated as an  | 
 employee under this Section if that person has negotiated  | 
 with the Financial Oversight Panel, in conjunction with  | 
 the school district, a contractual agreement for exclusion  | 
 from this Section.
 | 
  (c) Holds an elective office in a municipality,  | 
 instrumentality
thereof or participating instrumentality.
 | 
 (2) "Employee" does not include persons who:
 | 
  (a) Are eligible for inclusion under any of the  | 
 following laws:
 | 
   1. "An Act in relation to an Illinois State  | 
 Teachers' Pension and
Retirement Fund", approved May  | 
 | 
 27, 1915, as amended;
 | 
   2. Articles 15 and 16 of this Code.
 | 
  However, such persons shall be included as employees  | 
 to the extent of
earnings that are not eligible for  | 
 inclusion under the foregoing laws
for services not of an  | 
 instructional nature of any kind.
 | 
  However, any member of the armed forces who is  | 
 employed as a teacher
of subjects in the Reserve Officers  | 
 Training Corps of any school and who
is not certified  | 
 under the law governing the certification of teachers
 | 
 shall be included as an employee.
 | 
  (b) Are designated by the governing body of a  | 
 municipality in which a
pension fund is required by law to  | 
 be established for policemen or
firemen, respectively, as  | 
 performing police or fire protection duties,
except that  | 
 when such persons are the heads of the police or fire
 | 
 department and are not eligible to be included within any  | 
 such pension
fund, they shall be included within this  | 
 Article; provided, that such
persons shall not be excluded  | 
 to the extent of concurrent service and
earnings not  | 
 designated as being for police or fire protection duties.
 | 
 However, (i) any head of a police department who was a  | 
 participant under this
Article immediately before October  | 
 1, 1977 and did not elect, under Section
3-109 of this Act,  | 
 to participate in a police pension fund shall be an
 | 
 "employee", and (ii) any chief of police who became a  | 
 | 
 participating employee under this Article before January  | 
 1, 2019 and who elects to participate in this
Fund under  | 
 Section 3-109.1 of this Code, regardless of whether such  | 
 person
continues to be employed as chief of police or is  | 
 employed in some other
rank or capacity within the police  | 
 department, shall be an employee under
this Article for so  | 
 long as such person is employed to perform police
duties  | 
 by a participating municipality and has not lawfully  | 
 rescinded that
election. | 
  (b-5) Were not participating employees under this  | 
 Article before August 26, 2018 (the effective date of  | 
 Public Act 100-1097) this amendatory Act of the 100th  | 
 General Assembly and participated as a chief of police in  | 
 a fund under Article 3 and return to work in any capacity  | 
 with the police department, with any oversight of the  | 
 police department, or in an advisory capacity for the  | 
 police department with the same municipality with which  | 
 that pension was earned, regardless of whether they are  | 
 considered an employee of the police department or are  | 
 eligible for inclusion in the municipality's Article 3  | 
 fund.  | 
  (c) Are contributors to or eligible to contribute to a  | 
 Taft-Hartley pension plan to which the participating  | 
 municipality is required to contribute as the person's  | 
 employer based on earnings from the municipality. Nothing  | 
 in this paragraph shall affect service credit or  | 
 | 
 creditable service for any period of service prior to July  | 
 16, 2014 (the effective date of Public Act 98-712) this  | 
 amendatory Act of the 98th General Assembly, and this  | 
 paragraph shall not apply to individuals who are  | 
 participating in the Fund prior to July 16, 2014 (the  | 
 effective date of Public Act 98-712) this amendatory Act  | 
 of the 98th General Assembly. 
 | 
  (d) Become an employee of any of the following  | 
 participating instrumentalities on or after January 1,  | 
 2017 (the effective date of Public Act 99-830) this  | 
 amendatory Act of the 99th General Assembly: the Illinois  | 
 Municipal League; the Illinois Association of Park  | 
 Districts; the Illinois Supervisors, County Commissioners  | 
 and Superintendents of Highways Association; an  | 
 association, or not-for-profit corporation, membership in  | 
 which is authorized under Section 85-15 of the Township  | 
 Code; the United Counties Council; or the Will County  | 
 Governmental League.  | 
  (e) Are members of the Board of Trustees of the  | 
 Firefighters' Pension Investment Fund, as created under  | 
 Article 22C of this Code, in their capacity as members of  | 
 the Board of Trustees of the Firefighters' Pension  | 
 Investment Fund.  | 
  (f) Are members of the Board of Trustees of the Police  | 
 Officers' Pension Investment Fund, as created under  | 
 Article 22B of this Code, in their capacity as members of  | 
 | 
 the Board of Trustees of the Police Officers' Pension  | 
 Investment Fund.  | 
 (3) All persons, including, without limitation, public  | 
defenders and
probation officers, who receive earnings from  | 
general or special funds
of a county for performance of  | 
personal services or official duties
within the territorial  | 
limits of the county, are employees of the county
(unless  | 
excluded by subsection (2) of this Section) notwithstanding  | 
that
they may be appointed by and are subject to the direction  | 
of a person or
persons other than a county board or a county  | 
officer. It is hereby
established that an employer-employee  | 
relationship under the usual
common law rules exists between  | 
such employees and the county paying
their salaries by reason  | 
of the fact that the county boards fix their
rates of  | 
compensation, appropriate funds for payment of their earnings
 | 
and otherwise exercise control over them. This finding and  | 
this
amendatory Act shall apply to all such employees from the  | 
date of
appointment whether such date is prior to or after the  | 
effective date of
this amendatory Act and is intended to  | 
clarify existing law pertaining
to their status as  | 
participating employees in the Fund.
 | 
(Source: P.A. 102-15, eff. 6-17-21; 102-637, eff. 8-27-21;  | 
revised 10-5-21.)
 | 
 (40 ILCS 5/7-141) (from Ch. 108 1/2, par. 7-141)
 | 
 Sec. 7-141. Retirement annuities; conditions. Retirement  | 
 | 
annuities shall be payable as hereinafter set forth:
 | 
 (a) A participating employee who, regardless of cause, is  | 
separated
from the service of all participating municipalities  | 
and
instrumentalities thereof and participating  | 
instrumentalities shall be
entitled to a retirement annuity  | 
provided:
 | 
  1. He is at least age 55 if he is a Tier 1 regular  | 
 employee, he is age 62 if he is a Tier 2 regular employee,  | 
 or, in the case of a person who is eligible
to have his  | 
 annuity calculated under Section 7-142.1, he is at least  | 
 age 50;
 | 
  2. He is not entitled to receive earnings for  | 
 employment in a position requiring him, or entitling him  | 
 to elect, to be a participating employee;
 | 
  3. The amount of his annuity, before the application  | 
 of paragraph (b) of
Section 7-142 is at least $10 per  | 
 month;
 | 
  4. If he first became a participating employee after  | 
 December 31,
1961 and is a Tier 1 regular employee, he has  | 
 at least 8 years of service, or, if he is a Tier 2 regular  | 
 member, he has at least 10 years of service. This service  | 
 requirement shall not
apply to any participating employee,  | 
 regardless of participation date, if the
General Assembly  | 
 terminates the Fund.
 | 
 (b) Retirement annuities shall be payable:
 | 
  1. As provided in Section 7-119;
 | 
 | 
  2. Except as provided in item 3, upon receipt by the  | 
 fund of a written
application. The effective date may be  | 
 not more than one
year prior to the date of the receipt by  | 
 the fund of the application;
 | 
  3. Upon attainment of the required age of distribution  | 
 under Section 401(a)(9) of the Internal Revenue Code of  | 
 1986, as amended, if the member (i) is no longer in
 | 
 service,
and (ii) is otherwise entitled to an annuity  | 
 under this Article;
 | 
  4. To the beneficiary of the deceased annuitant for  | 
 the unpaid amount
accrued to date of death, if any.
 | 
(Source: P.A. 102-210, Article 5, Section 5-5, eff. 7-30-21;  | 
102-210, Article 10, Section 10-5, eff. 1-1-22; revised  | 
9-28-21.)
 | 
 (40 ILCS 5/14-103.42) | 
 Sec. 14-103.42. Licensed health care professional.  | 
"Licensed health care professional": Any individual who has  | 
obtained a license through the Department of Financial and  | 
Professional Regulation under the Medical Practice Act of  | 
1987, under the Physician Assistant Practice Act of 1987, or  | 
under the Clinical Psychologist Licensing Act or an advanced  | 
practice registered nurse licensed under the Nurse Practice  | 
Act.
 | 
(Source: P.A. 101-54, eff. 7-12-19; revised 1-9-22.)
 | 
 | 
 (40 ILCS 5/14-110) (from Ch. 108 1/2, par. 14-110)
 | 
 Sec. 14-110. Alternative retirement annuity. 
 | 
 (a) Any member who has withdrawn from service with not  | 
less than 20
years of eligible creditable service and has  | 
attained age 55, and any
member who has withdrawn from service  | 
with not less than 25 years of
eligible creditable service and  | 
has attained age 50, regardless of whether
the attainment of  | 
either of the specified ages occurs while the member is
still  | 
in service, shall be entitled to receive at the option of the  | 
member,
in lieu of the regular or minimum retirement annuity,  | 
a retirement annuity
computed as follows:
 | 
  (i) for periods of service as a noncovered employee:
 | 
 if retirement occurs on or after January 1, 2001, 3% of  | 
 final
average compensation for each year of creditable  | 
 service; if retirement occurs
before January 1, 2001, 2  | 
 1/4% of final average compensation for each of the
first  | 
 10 years of creditable service, 2 1/2% for each year above  | 
 10 years to
and including 20 years of creditable service,  | 
 and 2 3/4% for each year of
creditable service above 20  | 
 years; and
 | 
  (ii) for periods of eligible creditable service as a  | 
 covered employee:
if retirement occurs on or after January  | 
 1, 2001, 2.5% of final average
compensation for each year  | 
 of creditable service; if retirement occurs before
January  | 
 1, 2001, 1.67% of final average compensation for each of  | 
 the first
10 years of such service, 1.90% for each of the  | 
 | 
 next 10 years of such service,
2.10% for each year of such  | 
 service in excess of 20 but not exceeding 30, and
2.30% for  | 
 each year in excess of 30.
 | 
 Such annuity shall be subject to a maximum of 75% of final  | 
average
compensation if retirement occurs before January 1,  | 
2001 or to a maximum
of 80% of final average compensation if  | 
retirement occurs on or after January
1, 2001.
 | 
 These rates shall not be applicable to any service  | 
performed
by a member as a covered employee which is not  | 
eligible creditable service.
Service as a covered employee  | 
which is not eligible creditable service
shall be subject to  | 
the rates and provisions of Section 14-108.
 | 
 (b) For the purpose of this Section, "eligible creditable  | 
service" means
creditable service resulting from service in  | 
one or more of the following
positions:
 | 
  (1) State policeman;
 | 
  (2) fire fighter in the fire protection service of a  | 
 department;
 | 
  (3) air pilot;
 | 
  (4) special agent;
 | 
  (5) investigator for the Secretary of State;
 | 
  (6) conservation police officer;
 | 
  (7) investigator for the Department of Revenue or the  | 
 Illinois Gaming Board;
 | 
  (8) security employee of the Department of Human  | 
 Services;
 | 
 | 
  (9) Central Management Services security police  | 
 officer;
 | 
  (10) security employee of the Department of  | 
 Corrections or the Department of Juvenile Justice;
 | 
  (11) dangerous drugs investigator;
 | 
  (12) investigator for the Illinois State Police;
 | 
  (13) investigator for the Office of the Attorney  | 
 General;
 | 
  (14) controlled substance inspector;
 | 
  (15) investigator for the Office of the State's  | 
 Attorneys Appellate
Prosecutor;
 | 
  (16) Commerce Commission police officer;
 | 
  (17) arson investigator;
 | 
  (18) State highway maintenance worker;
 | 
  (19) security employee of the Department of Innovation  | 
 and Technology; or  | 
  (20) transferred employee.  | 
 A person employed in one of the positions specified in  | 
this subsection is
entitled to eligible creditable service for  | 
service credit earned under this
Article while undergoing the  | 
basic police training course approved by the
Illinois Law  | 
Enforcement Training
Standards Board, if
completion of that  | 
training is required of persons serving in that position.
For  | 
the purposes of this Code, service during the required basic  | 
police
training course shall be deemed performance of the  | 
duties of the specified
position, even though the person is  | 
 | 
not a sworn peace officer at the time of
the training.
 | 
 A person under paragraph (20) is entitled to eligible  | 
creditable service for service credit earned under this  | 
Article on and after his or her transfer by Executive Order No.  | 
2003-10, Executive Order No. 2004-2, or Executive Order No.  | 
2016-1.  | 
 (c) For the purposes of this Section:
 | 
  (1) The term "State policeman" includes any title or  | 
 position
in the Illinois State Police that is held by an  | 
 individual employed
under the Illinois State Police Act.
 | 
  (2) The term "fire fighter in the fire protection  | 
 service of a
department" includes all officers in such  | 
 fire protection service
including fire chiefs and  | 
 assistant fire chiefs.
 | 
  (3) The term "air pilot" includes any employee whose  | 
 official job
description on file in the Department of  | 
 Central Management Services, or
in the department by which  | 
 he is employed if that department is not covered
by the  | 
 Personnel Code, states that his principal duty is the  | 
 operation of
aircraft, and who possesses a pilot's  | 
 license; however, the change in this
definition made by  | 
 Public Act 83-842 this amendatory Act of 1983 shall not  | 
 operate to exclude
any noncovered employee who was an "air  | 
 pilot" for the purposes of this
Section on January 1,  | 
 1984.
 | 
  (4) The term "special agent" means any person who by  | 
 | 
 reason of
employment by the Division of Narcotic Control,  | 
 the Bureau of Investigation
or, after July 1, 1977, the  | 
 Division of Criminal Investigation, the
Division of  | 
 Internal Investigation, the Division of Operations, the  | 
 Division of Patrol Operations, or any
other Division or  | 
 organizational
entity in the Illinois State Police is  | 
 vested by law with duties to
maintain public order,  | 
 investigate violations of the criminal law of this
State,  | 
 enforce the laws of this State, make arrests and recover  | 
 property.
The term "special agent" includes any title or  | 
 position in the Illinois State Police that is held by an  | 
 individual employed under the Illinois State
Police Act.
 | 
  (5) The term "investigator for the Secretary of State"  | 
 means any person
employed by the Office of the Secretary  | 
 of State and vested with such
investigative duties as  | 
 render him ineligible for coverage under the Social
 | 
 Security Act by reason of Sections 218(d)(5)(A),  | 
 218(d)(8)(D) and 218(l)(1)
of that Act.
 | 
  A person who became employed as an investigator for  | 
 the Secretary of
State between January 1, 1967 and  | 
 December 31, 1975, and who has served as
such until  | 
 attainment of age 60, either continuously or with a single  | 
 break
in service of not more than 3 years duration, which  | 
 break terminated before
January 1, 1976, shall be entitled  | 
 to have his retirement annuity
calculated in accordance  | 
 with subsection (a), notwithstanding
that he has less than  | 
 | 
 20 years of credit for such service.
 | 
  (6) The term "Conservation Police Officer" means any  | 
 person employed
by the Division of Law Enforcement of the  | 
 Department of Natural Resources and
vested with such law  | 
 enforcement duties as render him ineligible for coverage
 | 
 under the Social Security Act by reason of Sections  | 
 218(d)(5)(A), 218(d)(8)(D),
and 218(l)(1) of that Act. The  | 
 term "Conservation Police Officer" includes
the positions  | 
 of Chief Conservation Police Administrator and Assistant
 | 
 Conservation Police Administrator.
 | 
  (7) The term "investigator for the Department of  | 
 Revenue" means any
person employed by the Department of  | 
 Revenue and vested with such
investigative duties as  | 
 render him ineligible for coverage under the Social
 | 
 Security Act by reason of Sections 218(d)(5)(A),  | 
 218(d)(8)(D) and 218(l)(1)
of that Act.
 | 
  The term "investigator for the Illinois Gaming Board"  | 
 means any
person employed as such by the Illinois Gaming  | 
 Board and vested with such
peace officer duties as render  | 
 the person ineligible for coverage under the Social
 | 
 Security Act by reason of Sections 218(d)(5)(A),  | 
 218(d)(8)(D), and 218(l)(1)
of that Act.
 | 
  (8) The term "security employee of the Department of  | 
 Human Services"
means any person employed by the  | 
 Department of Human Services who (i) is
employed at the  | 
 Chester Mental Health Center and has daily contact with  | 
 | 
 the
residents thereof, (ii) is employed within a security  | 
 unit at a facility
operated by the Department and has  | 
 daily contact with the residents of the
security unit,  | 
 (iii) is employed at a facility operated by the Department
 | 
 that includes a security unit and is regularly scheduled  | 
 to work at least
50% of his or her working hours within  | 
 that security unit, or (iv) is a mental health police  | 
 officer.
"Mental health police officer" means any person  | 
 employed by the Department of
Human Services in a position  | 
 pertaining to the Department's mental health and
 | 
 developmental disabilities functions who is vested with  | 
 such law enforcement
duties as render the person  | 
 ineligible for coverage under the Social Security
Act by  | 
 reason of Sections 218(d)(5)(A), 218(d)(8)(D) and  | 
 218(l)(1) of that
Act. "Security unit" means that portion  | 
 of a facility that is devoted to
the care, containment,  | 
 and treatment of persons committed to the Department of
 | 
 Human Services as sexually violent persons, persons unfit  | 
 to stand trial, or
persons not guilty by reason of  | 
 insanity. With respect to past employment,
references to  | 
 the Department of Human Services include its predecessor,  | 
 the
Department of Mental Health and Developmental  | 
 Disabilities.
 | 
  The changes made to this subdivision (c)(8) by Public  | 
 Act 92-14 apply to persons who retire on or after January  | 
 1,
2001, notwithstanding Section 1-103.1.
 | 
 | 
  (9) "Central Management Services security police  | 
 officer" means any
person employed by the Department of  | 
 Central Management Services who is
vested with such law  | 
 enforcement duties as render him ineligible for
coverage  | 
 under the Social Security Act by reason of Sections  | 
 218(d)(5)(A),
218(d)(8)(D) and 218(l)(1) of that Act.
 | 
  (10) For a member who first became an employee under  | 
 this Article before July 1, 2005, the term "security  | 
 employee of the Department of Corrections or the  | 
 Department of Juvenile Justice"
means any employee of the  | 
 Department of Corrections or the Department of Juvenile  | 
 Justice or the former
Department of Personnel, and any  | 
 member or employee of the Prisoner
Review Board, who has  | 
 daily contact with inmates or youth by working within a
 | 
 correctional facility or Juvenile facility operated by the  | 
 Department of Juvenile Justice or who is a parole officer  | 
 or an employee who has
direct contact with committed  | 
 persons in the performance of his or her
job duties. For a  | 
 member who first becomes an employee under this Article on  | 
 or after July 1, 2005, the term means an employee of the  | 
 Department of Corrections or the Department of Juvenile  | 
 Justice who is any of the following: (i) officially  | 
 headquartered at a correctional facility or Juvenile  | 
 facility operated by the Department of Juvenile Justice,  | 
 (ii) a parole officer, (iii) a member of the apprehension  | 
 unit, (iv) a member of the intelligence unit, (v) a member  | 
 | 
 of the sort team, or (vi) an investigator.
 | 
  (11) The term "dangerous drugs investigator" means any  | 
 person who is
employed as such by the Department of Human  | 
 Services.
 | 
  (12) The term "investigator for the Illinois State  | 
 Police" means
a person employed by the Illinois State  | 
 Police who is vested under
Section 4 of the Narcotic  | 
 Control Division Abolition Act with such
law enforcement  | 
 powers as render him ineligible for coverage under the
 | 
 Social Security Act by reason of Sections 218(d)(5)(A),  | 
 218(d)(8)(D) and
218(l)(1) of that Act.
 | 
  (13) "Investigator for the Office of the Attorney  | 
 General" means any
person who is employed as such by the  | 
 Office of the Attorney General and
is vested with such  | 
 investigative duties as render him ineligible for
coverage  | 
 under the Social Security Act by reason of Sections  | 
 218(d)(5)(A),
218(d)(8)(D) and 218(l)(1) of that Act. For  | 
 the period before January 1,
1989, the term includes all  | 
 persons who were employed as investigators by the
Office  | 
 of the Attorney General, without regard to social security  | 
 status.
 | 
  (14) "Controlled substance inspector" means any person  | 
 who is employed
as such by the Department of Professional  | 
 Regulation and is vested with such
law enforcement duties  | 
 as render him ineligible for coverage under the Social
 | 
 Security Act by reason of Sections 218(d)(5)(A),  | 
 | 
 218(d)(8)(D) and 218(l)(1) of
that Act. The term  | 
 "controlled substance inspector" includes the Program
 | 
 Executive of Enforcement and the Assistant Program  | 
 Executive of Enforcement.
 | 
  (15) The term "investigator for the Office of the  | 
 State's Attorneys
Appellate Prosecutor" means a person  | 
 employed in that capacity on a full-time full
time basis  | 
 under the authority of Section 7.06 of the State's  | 
 Attorneys
Appellate Prosecutor's Act.
 | 
  (16) "Commerce Commission police officer" means any  | 
 person employed
by the Illinois Commerce Commission who is  | 
 vested with such law
enforcement duties as render him  | 
 ineligible for coverage under the Social
Security Act by  | 
 reason of Sections 218(d)(5)(A), 218(d)(8)(D), and
 | 
 218(l)(1) of that Act.
 | 
  (17) "Arson investigator" means any person who is  | 
 employed as such by
the Office of the State Fire Marshal  | 
 and is vested with such law enforcement
duties as render  | 
 the person ineligible for coverage under the Social  | 
 Security
Act by reason of Sections 218(d)(5)(A),  | 
 218(d)(8)(D), and 218(l)(1) of that
Act. A person who was  | 
 employed as an arson
investigator on January 1, 1995 and  | 
 is no longer in service but not yet
receiving a retirement  | 
 annuity may convert his or her creditable service for
 | 
 employment as an arson investigator into eligible  | 
 creditable service by paying
to the System the difference  | 
 | 
 between the employee contributions actually paid
for that  | 
 service and the amounts that would have been contributed  | 
 if the
applicant were contributing at the rate applicable  | 
 to persons with the same
social security status earning  | 
 eligible creditable service on the date of
application.
 | 
  (18) The term "State highway maintenance worker" means  | 
 a person who is
either of the following:
 | 
   (i) A person employed on a full-time basis by the  | 
 Illinois
Department of Transportation in the position  | 
 of
highway maintainer,
highway maintenance lead  | 
 worker,
highway maintenance lead/lead worker,
heavy  | 
 construction equipment operator,
power shovel  | 
 operator, or
bridge mechanic; and
whose principal  | 
 responsibility is to perform, on the roadway, the  | 
 actual
maintenance necessary to keep the highways that  | 
 form a part of the State
highway system in serviceable  | 
 condition for vehicular traffic.
 | 
   (ii) A person employed on a full-time basis by the  | 
 Illinois
State Toll Highway Authority in the position  | 
 of
equipment operator/laborer H-4,
equipment  | 
 operator/laborer H-6,
welder H-4,
welder H-6,
 | 
 mechanical/electrical H-4,
mechanical/electrical H-6,
 | 
 water/sewer H-4,
water/sewer H-6,
sign maker/hanger  | 
 H-4,
sign maker/hanger H-6,
roadway lighting H-4,
 | 
 roadway lighting H-6,
structural H-4,
structural H-6,
 | 
 painter H-4, or
painter H-6; and
whose principal  | 
 | 
 responsibility is to perform, on the roadway, the  | 
 actual
maintenance necessary to keep the Authority's  | 
 tollways in serviceable condition
for vehicular  | 
 traffic.
 | 
  (19) The term "security employee of the Department of  | 
 Innovation and Technology" means a person who was a  | 
 security employee of the Department of Corrections or the  | 
 Department of Juvenile Justice, was transferred to the  | 
 Department of Innovation and Technology pursuant to  | 
 Executive Order 2016-01, and continues to perform similar  | 
 job functions under that Department.  | 
  (20) "Transferred employee" means an employee who was  | 
 transferred to the Department of Central Management  | 
 Services by Executive Order No. 2003-10 or Executive Order  | 
 No. 2004-2 or transferred to the Department of Innovation  | 
 and Technology by Executive Order No. 2016-1, or both, and  | 
 was entitled to eligible creditable service for services  | 
 immediately preceding the transfer.  | 
 (d) A security employee of the Department of Corrections  | 
or the Department of Juvenile Justice, a security
employee of  | 
the Department of Human Services who is not a mental health  | 
police
officer, and a security employee of the Department of  | 
Innovation and Technology shall not be eligible for the  | 
alternative retirement annuity provided
by this Section unless  | 
he or she meets the following minimum age and service
 | 
requirements at the time of retirement:
 | 
 | 
  (i) 25 years of eligible creditable service and age  | 
 55; or
 | 
  (ii) beginning January 1, 1987, 25 years of eligible  | 
 creditable service
and age 54, or 24 years of eligible  | 
 creditable service and age 55; or
 | 
  (iii) beginning January 1, 1988, 25 years of eligible  | 
 creditable service
and age 53, or 23 years of eligible  | 
 creditable service and age 55; or
 | 
  (iv) beginning January 1, 1989, 25 years of eligible  | 
 creditable service
and age 52, or 22 years of eligible  | 
 creditable service and age 55; or
 | 
  (v) beginning January 1, 1990, 25 years of eligible  | 
 creditable service
and age 51, or 21 years of eligible  | 
 creditable service and age 55; or
 | 
  (vi) beginning January 1, 1991, 25 years of eligible  | 
 creditable service
and age 50, or 20 years of eligible  | 
 creditable service and age 55.
 | 
 Persons who have service credit under Article 16 of this  | 
Code for service
as a security employee of the Department of  | 
Corrections or the Department of Juvenile Justice, or the  | 
Department
of Human Services in a position requiring  | 
certification as a teacher may
count such service toward  | 
establishing their eligibility under the service
requirements  | 
of this Section; but such service may be used only for
 | 
establishing such eligibility, and not for the purpose of  | 
increasing or
calculating any benefit.
 | 
 | 
 (e) If a member enters military service while working in a  | 
position in
which eligible creditable service may be earned,  | 
and returns to State
service in the same or another such  | 
position, and fulfills in all other
respects the conditions  | 
prescribed in this Article for credit for military
service,  | 
such military service shall be credited as eligible creditable
 | 
service for the purposes of the retirement annuity prescribed  | 
in this Section.
 | 
 (f) For purposes of calculating retirement annuities under  | 
this
Section, periods of service rendered after December 31,  | 
1968 and before
October 1, 1975 as a covered employee in the  | 
position of special agent,
conservation police officer, mental  | 
health police officer, or investigator
for the Secretary of  | 
State, shall be deemed to have been service as a
noncovered  | 
employee, provided that the employee pays to the System prior  | 
to
retirement an amount equal to (1) the difference between  | 
the employee
contributions that would have been required for  | 
such service as a
noncovered employee, and the amount of  | 
employee contributions actually
paid, plus (2) if payment is  | 
made after July 31, 1987, regular interest
on the amount  | 
specified in item (1) from the date of service to the date
of  | 
payment.
 | 
 For purposes of calculating retirement annuities under  | 
this Section,
periods of service rendered after December 31,  | 
1968 and before January 1,
1982 as a covered employee in the  | 
position of investigator for the
Department of Revenue shall  | 
 | 
be deemed to have been service as a noncovered
employee,  | 
provided that the employee pays to the System prior to  | 
retirement
an amount equal to (1) the difference between the  | 
employee contributions
that would have been required for such  | 
service as a noncovered employee,
and the amount of employee  | 
contributions actually paid, plus (2) if payment
is made after  | 
January 1, 1990, regular interest on the amount specified in
 | 
item (1) from the date of service to the date of payment.
 | 
 (g) A State policeman may elect, not later than January 1,  | 
1990, to
establish eligible creditable service for up to 10  | 
years of his service as
a policeman under Article 3, by filing  | 
a written election with the Board,
accompanied by payment of  | 
an amount to be determined by the Board, equal to
(i) the  | 
difference between the amount of employee and employer
 | 
contributions transferred to the System under Section 3-110.5,  | 
and the
amounts that would have been contributed had such  | 
contributions been made
at the rates applicable to State  | 
policemen, plus (ii) interest thereon at
the effective rate  | 
for each year, compounded annually, from the date of
service  | 
to the date of payment.
 | 
 Subject to the limitation in subsection (i), a State  | 
policeman may elect,
not later than July 1, 1993, to establish  | 
eligible creditable service for
up to 10 years of his service  | 
as a member of the County Police Department
under Article 9, by  | 
filing a written election with the Board, accompanied
by  | 
payment of an amount to be determined by the Board, equal to  | 
 | 
(i) the
difference between the amount of employee and employer  | 
contributions
transferred to the System under Section 9-121.10  | 
and the amounts that would
have been contributed had those  | 
contributions been made at the rates
applicable to State  | 
policemen, plus (ii) interest thereon at the effective
rate  | 
for each year, compounded annually, from the date of service  | 
to the
date of payment.
 | 
 (h) Subject to the limitation in subsection (i), a State  | 
policeman or
investigator for the Secretary of State may elect  | 
to establish eligible
creditable service for up to 12 years of  | 
his service as a policeman under
Article 5, by filing a written  | 
election with the Board on or before January
31, 1992, and  | 
paying to the System by January 31, 1994 an amount to be
 | 
determined by the Board, equal to (i) the difference between  | 
the amount of
employee and employer contributions transferred  | 
to the System under Section
5-236, and the amounts that would  | 
have been contributed had such
contributions been made at the  | 
rates applicable to State policemen, plus
(ii) interest  | 
thereon at the effective rate for each year, compounded
 | 
annually, from the date of service to the date of payment.
 | 
 Subject to the limitation in subsection (i), a State  | 
policeman,
conservation police officer, or investigator for  | 
the Secretary of State may
elect to establish eligible  | 
creditable service for up to 10 years of
service as a sheriff's  | 
law enforcement employee under Article 7, by filing
a written  | 
election with the Board on or before January 31, 1993, and  | 
 | 
paying
to the System by January 31, 1994 an amount to be  | 
determined by the Board,
equal to (i) the difference between  | 
the amount of employee and
employer contributions transferred  | 
to the System under Section
7-139.7, and the amounts that  | 
would have been contributed had such
contributions been made  | 
at the rates applicable to State policemen, plus
(ii) interest  | 
thereon at the effective rate for each year, compounded
 | 
annually, from the date of service to the date of payment.
 | 
 Subject to the limitation in subsection (i), a State  | 
policeman,
conservation police officer, or investigator for  | 
the Secretary of State may
elect to establish eligible  | 
creditable service for up to 5 years of
service as a police  | 
officer under Article 3, a policeman under Article 5, a  | 
sheriff's law enforcement employee under Article 7, a member  | 
of the county police department under Article 9, or a police  | 
officer under Article 15 by filing
a written election with the  | 
Board and paying
to the System an amount to be determined by  | 
the Board,
equal to (i) the difference between the amount of  | 
employee and
employer contributions transferred to the System  | 
under Section
3-110.6, 5-236, 7-139.8, 9-121.10, or 15-134.4  | 
and the amounts that would have been contributed had such
 | 
contributions been made at the rates applicable to State  | 
policemen, plus
(ii) interest thereon at the effective rate  | 
for each year, compounded
annually, from the date of service  | 
to the date of payment. | 
 Subject to the limitation in subsection (i), an  | 
 | 
investigator for the Office of the Attorney General, or an  | 
investigator for the Department of Revenue, may elect to  | 
establish eligible creditable service for up to 5 years of  | 
service as a police officer under Article 3, a policeman under  | 
Article 5, a sheriff's law enforcement employee under Article  | 
7, or a member of the county police department under Article 9  | 
by filing a written election with the Board within 6 months  | 
after August 25, 2009 (the effective date of Public Act  | 
96-745) and paying to the System an amount to be determined by  | 
the Board, equal to (i) the difference between the amount of  | 
employee and employer contributions transferred to the System  | 
under Section 3-110.6, 5-236, 7-139.8, or 9-121.10 and the  | 
amounts that would have been contributed had such  | 
contributions been made at the rates applicable to State  | 
policemen, plus (ii) interest thereon at the actuarially  | 
assumed rate for each year, compounded annually, from the date  | 
of service to the date of payment. | 
 Subject to the limitation in subsection (i), a State  | 
policeman, conservation police officer, investigator for the  | 
Office of the Attorney General, an investigator for the  | 
Department of Revenue, or investigator for the Secretary of  | 
State may elect to establish eligible creditable service for  | 
up to 5 years of service as a person employed by a  | 
participating municipality to perform police duties, or law  | 
enforcement officer employed on a full-time basis by a forest  | 
preserve district under Article 7, a county corrections  | 
 | 
officer, or a court services officer under Article 9, by  | 
filing a written election with the Board within 6 months after  | 
August 25, 2009 (the effective date of Public Act 96-745) and  | 
paying to the System an amount to be determined by the Board,  | 
equal to (i) the difference between the amount of employee and  | 
employer contributions transferred to the System under  | 
Sections 7-139.8 and 9-121.10 and the amounts that would have  | 
been contributed had such contributions been made at the rates  | 
applicable to State policemen, plus (ii) interest thereon at  | 
the actuarially assumed rate for each year, compounded  | 
annually, from the date of service to the date of payment. | 
 Subject to the limitation in subsection (i), a State  | 
policeman, arson
investigator, or Commerce Commission police  | 
officer may elect to establish eligible creditable service for  | 
up to 5 years of service as a person employed by a  | 
participating municipality to perform police duties under  | 
Article 7, a county corrections officer, a court services  | 
officer under Article 9, or a firefighter
under Article 4 by  | 
filing a written election with the Board within 6 months after  | 
July 30, 2021 (the effective date of Public Act 102-210) this  | 
amendatory Act of the 102nd General Assembly and paying to the  | 
System an amount to be determined by the Board equal to (i) the  | 
difference between the amount of employee and employer  | 
contributions transferred to the System under Sections  | 
4-108.8, 7-139.8, and 9-121.10 and the amounts that would have  | 
been contributed had such contributions been made at the rates  | 
 | 
applicable to State policemen, plus (ii) interest thereon at  | 
the actuarially assumed rate for each year, compounded  | 
annually, from the date of service to the date of payment.  | 
 Subject to the limitation in subsection (i), a  | 
conservation police officer may elect to establish eligible  | 
creditable service for up to 5 years of service as a person  | 
employed by a participating municipality to perform police  | 
duties under Article 7, a county corrections officer, or a  | 
court services officer under Article 9 by filing a written  | 
election with the Board within 6 months after July 30, 2021  | 
(the effective date of Public Act 102-210) this amendatory Act  | 
of the 102nd General Assembly and paying to the System an  | 
amount to be determined by the Board equal to (i) the  | 
difference between the amount of employee and employer  | 
contributions transferred to the System under Sections 7-139.8  | 
and 9-121.10 and the amounts that would have been contributed  | 
had such contributions been made at the rates applicable to  | 
State policemen, plus (ii) interest thereon at the actuarially  | 
assumed rate for each year, compounded annually, from the date  | 
of service to the date of payment.  | 
 Notwithstanding the limitation in subsection (i), a State  | 
policeman or conservation police officer may elect to convert  | 
service credit earned under this Article to eligible  | 
creditable service, as defined by this Section, by filing a  | 
written election with the board within 6 months after July 30,  | 
2021 (the effective date of Public Act 102-210) this  | 
 | 
amendatory Act of the 102nd General Assembly and paying to the  | 
System an amount to be determined by the Board equal to (i) the  | 
difference between the amount of employee contributions  | 
originally paid for that service and the amounts that would  | 
have been contributed had such contributions been made at the  | 
rates applicable to State policemen, plus (ii) the difference  | 
between the employer's normal cost of the credit prior to the  | 
conversion authorized by Public Act 102-210 this amendatory  | 
Act of the 102nd General Assembly and the employer's normal  | 
cost of the credit converted in accordance with Public Act  | 
102-210 this amendatory Act of the 102nd General Assembly,  | 
plus (iii) interest thereon at the actuarially assumed rate  | 
for each year, compounded annually, from the date of service  | 
to the date of payment.  | 
 (i) The total amount of eligible creditable service  | 
established by any
person under subsections (g), (h), (j),  | 
(k), (l), (l-5), and (o) of this
Section shall not exceed 12  | 
years.
 | 
 (j) Subject to the limitation in subsection (i), an  | 
investigator for
the Office of the State's Attorneys Appellate  | 
Prosecutor or a controlled
substance inspector may elect to
 | 
establish eligible creditable service for up to 10 years of  | 
his service as
a policeman under Article 3 or a sheriff's law  | 
enforcement employee under
Article 7, by filing a written  | 
election with the Board, accompanied by
payment of an amount  | 
to be determined by the Board, equal to (1) the
difference  | 
 | 
between the amount of employee and employer contributions
 | 
transferred to the System under Section 3-110.6 or 7-139.8,  | 
and the amounts
that would have been contributed had such  | 
contributions been made at the
rates applicable to State  | 
policemen, plus (2) interest thereon at the
effective rate for  | 
each year, compounded annually, from the date of service
to  | 
the date of payment.
 | 
 (k) Subject to the limitation in subsection (i) of this  | 
Section, an
alternative formula employee may elect to  | 
establish eligible creditable
service for periods spent as a  | 
full-time law enforcement officer or full-time
corrections  | 
officer employed by the federal government or by a state or  | 
local
government located outside of Illinois, for which credit  | 
is not held in any
other public employee pension fund or  | 
retirement system. To obtain this
credit, the applicant must  | 
file a written application with the Board by March
31, 1998,  | 
accompanied by evidence of eligibility acceptable to the Board  | 
and
payment of an amount to be determined by the Board, equal  | 
to (1) employee
contributions for the credit being  | 
established, based upon the applicant's
salary on the first  | 
day as an alternative formula employee after the employment
 | 
for which credit is being established and the rates then  | 
applicable to
alternative formula employees, plus (2) an  | 
amount determined by the Board
to be the employer's normal  | 
cost of the benefits accrued for the credit being
established,  | 
plus (3) regular interest on the amounts in items (1) and (2)  | 
 | 
from
the first day as an alternative formula employee after  | 
the employment for which
credit is being established to the  | 
date of payment.
 | 
 (l) Subject to the limitation in subsection (i), a  | 
security employee of
the Department of Corrections may elect,  | 
not later than July 1, 1998, to
establish eligible creditable  | 
service for up to 10 years of his or her service
as a policeman  | 
under Article 3, by filing a written election with the Board,
 | 
accompanied by payment of an amount to be determined by the  | 
Board, equal to
(i) the difference between the amount of  | 
employee and employer contributions
transferred to the System  | 
under Section 3-110.5, and the amounts that would
have been  | 
contributed had such contributions been made at the rates  | 
applicable
to security employees of the Department of  | 
Corrections, plus (ii) interest
thereon at the effective rate  | 
for each year, compounded annually, from the date
of service  | 
to the date of payment.
 | 
 (l-5) Subject to the limitation in subsection (i) of this  | 
Section, a State policeman may elect to establish eligible  | 
creditable service for up to 5 years of service as a full-time  | 
law enforcement officer employed by the federal government or  | 
by a state or local government located outside of Illinois for  | 
which credit is not held in any other public employee pension  | 
fund or retirement system. To obtain this credit, the  | 
applicant must file a written application with the Board no  | 
later than 3 years after January 1, 2020 (the effective date of  | 
 | 
Public Act 101-610) this amendatory Act of the 101st General  | 
Assembly, accompanied by evidence of eligibility acceptable to  | 
the Board and payment of an amount to be determined by the  | 
Board, equal to (1) employee contributions for the credit  | 
being established, based upon the applicant's salary on the  | 
first day as an alternative formula employee after the  | 
employment for which credit is being established and the rates  | 
then applicable to alternative formula employees, plus (2) an  | 
amount determined by the Board to be the employer's normal  | 
cost of the benefits accrued for the credit being established,  | 
plus (3) regular interest on the amounts in items (1) and (2)  | 
from the first day as an alternative formula employee after  | 
the employment for which credit is being established to the  | 
date of payment.  | 
 (m) The amendatory changes to this Section made by Public  | 
Act 94-696 this amendatory Act of the 94th General Assembly  | 
apply only to: (1) security employees of the Department of  | 
Juvenile Justice employed by the Department of Corrections  | 
before June 1, 2006 (the effective date of Public Act 94-696)  | 
this amendatory Act of the 94th General Assembly and  | 
transferred to the Department of Juvenile Justice by Public  | 
Act 94-696 this amendatory Act of the 94th General Assembly;  | 
and (2) persons employed by the Department of Juvenile Justice  | 
on or after June 1, 2006 (the effective date of Public Act  | 
94-696) this amendatory Act of the 94th General Assembly who  | 
are required by subsection (b) of Section 3-2.5-15 of the  | 
 | 
Unified Code of Corrections to have any bachelor's or advanced  | 
degree from an accredited college or university or, in the  | 
case of persons who provide vocational training, who are  | 
required to have adequate knowledge in the skill for which  | 
they are providing the vocational training.
 | 
 (n) A person employed in a position under subsection (b)  | 
of this Section who has purchased service credit under  | 
subsection (j) of Section 14-104 or subsection (b) of Section  | 
14-105 in any other capacity under this Article may convert up  | 
to 5 years of that service credit into service credit covered  | 
under this Section by paying to the Fund an amount equal to (1)  | 
the additional employee contribution required under Section  | 
14-133, plus (2) the additional employer contribution required  | 
under Section 14-131, plus (3) interest on items (1) and (2) at  | 
the actuarially assumed rate from the date of the service to  | 
the date of payment.  | 
 (o) Subject to the limitation in subsection (i), a  | 
conservation police officer, investigator for the Secretary of  | 
State, Commerce Commission police officer, investigator for  | 
the Department of Revenue or the
Illinois Gaming Board, or  | 
arson investigator subject to subsection (g) of Section 1-160  | 
may elect to convert up to 8 years of service credit  | 
established before January 1, 2020 (the effective date of  | 
Public Act 101-610) this amendatory Act of the 101st General  | 
Assembly as a conservation police officer, investigator for  | 
the Secretary of State, Commerce Commission police officer,  | 
 | 
investigator for the Department of Revenue or the
Illinois  | 
Gaming Board, or arson investigator under this Article into  | 
eligible creditable service by filing a written election with  | 
the Board no later than one year after January 1, 2020 (the  | 
effective date of Public Act 101-610) this amendatory Act of  | 
the 101st General Assembly, accompanied by payment of an  | 
amount to be determined by the Board equal to (i) the  | 
difference between the amount of the employee contributions  | 
actually paid for that service and the amount of the employee  | 
contributions that would have been paid had the employee  | 
contributions been made as a noncovered employee serving in a  | 
position in which eligible creditable service, as defined in  | 
this Section, may be earned, plus (ii) interest thereon at the  | 
effective rate for each year, compounded annually, from the  | 
date of service to the date of payment. | 
(Source: P.A. 101-610, eff. 1-1-20; 102-210, eff. 7-30-21;  | 
102-538, eff. 8-20-21; revised 10-12-21.)
 | 
 (40 ILCS 5/16-158)
 (from Ch. 108 1/2, par. 16-158)
 | 
 Sec. 16-158. Contributions by State and other employing  | 
units. 
 | 
 (a) The State shall make contributions to the System by  | 
means of
appropriations from the Common School Fund and other  | 
State funds of amounts
which, together with other employer  | 
contributions, employee contributions,
investment income, and  | 
other income, will be sufficient to meet the cost of
 | 
 | 
maintaining and administering the System on a 90% funded basis  | 
in accordance
with actuarial recommendations.
 | 
 The Board shall determine the amount of State  | 
contributions required for
each fiscal year on the basis of  | 
the actuarial tables and other assumptions
adopted by the  | 
Board and the recommendations of the actuary, using the  | 
formula
in subsection (b-3).
 | 
 (a-1) Annually, on or before November 15 until November  | 
15, 2011, the Board shall certify to the
Governor the amount of  | 
the required State contribution for the coming fiscal
year.  | 
The certification under this subsection (a-1) shall include a  | 
copy of the actuarial recommendations
upon which it is based  | 
and shall specifically identify the System's projected State  | 
normal cost for that fiscal year.
 | 
 On or before May 1, 2004, the Board shall recalculate and  | 
recertify to
the Governor the amount of the required State  | 
contribution to the System for
State fiscal year 2005, taking  | 
into account the amounts appropriated to and
received by the  | 
System under subsection (d) of Section 7.2 of the General
 | 
Obligation Bond Act.
 | 
 On or before July 1, 2005, the Board shall recalculate and  | 
recertify
to the Governor the amount of the required State
 | 
contribution to the System for State fiscal year 2006, taking  | 
into account the changes in required State contributions made  | 
by Public Act 94-4.
 | 
 On or before April 1, 2011, the Board shall recalculate  | 
 | 
and recertify to the Governor the amount of the required State  | 
contribution to the System for State fiscal year 2011,  | 
applying the changes made by Public Act 96-889 to the System's  | 
assets and liabilities as of June 30, 2009 as though Public Act  | 
96-889 was approved on that date.  | 
 (a-5) On or before November 1 of each year, beginning  | 
November 1, 2012, the Board shall submit to the State Actuary,  | 
the Governor, and the General Assembly a proposed  | 
certification of the amount of the required State contribution  | 
to the System for the next fiscal year, along with all of the  | 
actuarial assumptions, calculations, and data upon which that  | 
proposed certification is based. On or before January 1 of  | 
each year, beginning January 1, 2013, the State Actuary shall  | 
issue a preliminary report concerning the proposed  | 
certification and identifying, if necessary, recommended  | 
changes in actuarial assumptions that the Board must consider  | 
before finalizing its certification of the required State  | 
contributions. On or before January 15, 2013 and each January  | 
15 thereafter, the Board shall certify to the Governor and the  | 
General Assembly the amount of the required State contribution  | 
for the next fiscal year. The Board's certification must note  | 
any deviations from the State Actuary's recommended changes,  | 
the reason or reasons for not following the State Actuary's  | 
recommended changes, and the fiscal impact of not following  | 
the State Actuary's recommended changes on the required State  | 
contribution.  | 
 | 
 (a-10) By November 1, 2017, the Board shall recalculate  | 
and recertify to the State Actuary, the Governor, and the  | 
General Assembly the amount of the State contribution to the  | 
System for State fiscal year 2018, taking into account the  | 
changes in required State contributions made by Public Act  | 
100-23. The State Actuary shall review the assumptions and  | 
valuations underlying the Board's revised certification and  | 
issue a preliminary report concerning the proposed  | 
recertification and identifying, if necessary, recommended  | 
changes in actuarial assumptions that the Board must consider  | 
before finalizing its certification of the required State  | 
contributions. The Board's final certification must note any  | 
deviations from the State Actuary's recommended changes, the  | 
reason or reasons for not following the State Actuary's  | 
recommended changes, and the fiscal impact of not following  | 
the State Actuary's recommended changes on the required State  | 
contribution.  | 
 (a-15) On or after June 15, 2019, but no later than June  | 
30, 2019, the Board shall recalculate and recertify to the  | 
Governor and the General Assembly the amount of the State  | 
contribution to the System for State fiscal year 2019, taking  | 
into account the changes in required State contributions made  | 
by Public Act 100-587. The recalculation shall be made using  | 
assumptions adopted by the Board for the original fiscal year  | 
2019 certification. The monthly voucher for the 12th month of  | 
fiscal year 2019 shall be paid by the Comptroller after the  | 
 | 
recertification required pursuant to this subsection is  | 
submitted to the Governor, Comptroller, and General Assembly.  | 
The recertification submitted to the General Assembly shall be  | 
filed with the Clerk of the House of Representatives and the  | 
Secretary of the Senate in electronic form only, in the manner  | 
that the Clerk and the Secretary shall direct.  | 
 (b) Through State fiscal year 1995, the State  | 
contributions shall be
paid to the System in accordance with  | 
Section 18-7 of the School Code.
 | 
 (b-1) Beginning in State fiscal year 1996, on the 15th day  | 
of each month,
or as soon thereafter as may be practicable, the  | 
Board shall submit vouchers
for payment of State contributions  | 
to the System, in a total monthly amount of
one-twelfth of the  | 
required annual State contribution certified under
subsection  | 
(a-1).
From March 5, 2004 (the
effective date of Public Act  | 
93-665)
through June 30, 2004, the Board shall not submit  | 
vouchers for the
remainder of fiscal year 2004 in excess of the  | 
fiscal year 2004
certified contribution amount determined  | 
under this Section
after taking into consideration the  | 
transfer to the System
under subsection (a) of Section 6z-61  | 
of the State Finance Act.
These vouchers shall be paid by the  | 
State Comptroller and
Treasurer by warrants drawn on the funds  | 
appropriated to the System for that
fiscal year.
 | 
 If in any month the amount remaining unexpended from all  | 
other appropriations
to the System for the applicable fiscal  | 
year (including the appropriations to
the System under Section  | 
 | 
8.12 of the State Finance Act and Section 1 of the
State  | 
Pension Funds Continuing Appropriation Act) is less than the  | 
amount
lawfully vouchered under this subsection, the  | 
difference shall be paid from the
Common School Fund under the  | 
continuing appropriation authority provided in
Section 1.1 of  | 
the State Pension Funds Continuing Appropriation Act.
 | 
 (b-2) Allocations from the Common School Fund apportioned  | 
to school
districts not coming under this System shall not be  | 
diminished or affected by
the provisions of this Article.
 | 
 (b-3) For State fiscal years 2012 through 2045, the  | 
minimum contribution
to the System to be made by the State for  | 
each fiscal year shall be an amount
determined by the System to  | 
be sufficient to bring the total assets of the
System up to 90%  | 
of the total actuarial liabilities of the System by the end of
 | 
State fiscal year 2045. In making these determinations, the  | 
required State
contribution shall be calculated each year as a  | 
level percentage of payroll
over the years remaining to and  | 
including fiscal year 2045 and shall be
determined under the  | 
projected unit credit actuarial cost method.
 | 
 For each of State fiscal years 2018, 2019, and 2020, the  | 
State shall make an additional contribution to the System  | 
equal to 2% of the total payroll of each employee who is deemed  | 
to have elected the benefits under Section 1-161 or who has  | 
made the election under subsection (c) of Section 1-161.  | 
 A change in an actuarial or investment assumption that  | 
increases or
decreases the required State contribution and  | 
 | 
first
applies in State fiscal year 2018 or thereafter shall be
 | 
implemented in equal annual amounts over a 5-year period
 | 
beginning in the State fiscal year in which the actuarial
 | 
change first applies to the required State contribution. | 
 A change in an actuarial or investment assumption that  | 
increases or
decreases the required State contribution and  | 
first
applied to the State contribution in fiscal year 2014,  | 
2015, 2016, or 2017 shall be
implemented: | 
  (i) as already applied in State fiscal years before  | 
 2018; and | 
  (ii) in the portion of the 5-year period beginning in  | 
 the State fiscal year in which the actuarial
change first  | 
 applied that occurs in State fiscal year 2018 or  | 
 thereafter, by calculating the change in equal annual  | 
 amounts over that 5-year period and then implementing it  | 
 at the resulting annual rate in each of the remaining  | 
 fiscal years in that 5-year period. | 
 For State fiscal years 1996 through 2005, the State  | 
contribution to the
System, as a percentage of the applicable  | 
employee payroll, shall be increased
in equal annual  | 
increments so that by State fiscal year 2011, the State is
 | 
contributing at the rate required under this Section; except  | 
that in the
following specified State fiscal years, the State  | 
contribution to the System
shall not be less than the  | 
following indicated percentages of the applicable
employee  | 
payroll, even if the indicated percentage will produce a State
 | 
 | 
contribution in excess of the amount otherwise required under  | 
this subsection
and subsection (a), and notwithstanding any  | 
contrary certification made under
subsection (a-1) before May  | 
27, 1998 (the effective date of Public Act 90-582):
10.02% in  | 
FY 1999;
10.77% in FY 2000;
11.47% in FY 2001;
12.16% in FY  | 
2002;
12.86% in FY 2003; and
13.56% in FY 2004.
 | 
 Notwithstanding any other provision of this Article, the  | 
total required State
contribution for State fiscal year 2006  | 
is $534,627,700.
 | 
 Notwithstanding any other provision of this Article, the  | 
total required State
contribution for State fiscal year 2007  | 
is $738,014,500.
 | 
 For each of State fiscal years 2008 through 2009, the  | 
State contribution to
the System, as a percentage of the  | 
applicable employee payroll, shall be
increased in equal  | 
annual increments from the required State contribution for  | 
State fiscal year 2007, so that by State fiscal year 2011, the
 | 
State is contributing at the rate otherwise required under  | 
this Section.
 | 
 Notwithstanding any other provision of this Article, the  | 
total required State contribution for State fiscal year 2010  | 
is $2,089,268,000 and shall be made from the proceeds of bonds  | 
sold in fiscal year 2010 pursuant to Section 7.2 of the General  | 
Obligation Bond Act, less (i) the pro rata share of bond sale  | 
expenses determined by the System's share of total bond  | 
proceeds, (ii) any amounts received from the Common School  | 
 | 
Fund in fiscal year 2010, and (iii) any reduction in bond  | 
proceeds due to the issuance of discounted bonds, if  | 
applicable.  | 
 Notwithstanding any other provision of this Article, the
 | 
total required State contribution for State fiscal year 2011  | 
is
the amount recertified by the System on or before April 1,  | 
2011 pursuant to subsection (a-1) of this Section and shall be  | 
made from the proceeds of bonds
sold in fiscal year 2011  | 
pursuant to Section 7.2 of the General
Obligation Bond Act,  | 
less (i) the pro rata share of bond sale
expenses determined by  | 
the System's share of total bond
proceeds, (ii) any amounts  | 
received from the Common School Fund
in fiscal year 2011, and  | 
(iii) any reduction in bond proceeds
due to the issuance of  | 
discounted bonds, if applicable. This amount shall include, in  | 
addition to the amount certified by the System, an amount  | 
necessary to meet employer contributions required by the State  | 
as an employer under paragraph (e) of this Section, which may  | 
also be used by the System for contributions required by  | 
paragraph (a) of Section 16-127.  | 
 Beginning in State fiscal year 2046, the minimum State  | 
contribution for
each fiscal year shall be the amount needed  | 
to maintain the total assets of
the System at 90% of the total  | 
actuarial liabilities of the System.
 | 
 Amounts received by the System pursuant to Section 25 of  | 
the Budget Stabilization Act or Section 8.12 of the State  | 
Finance Act in any fiscal year do not reduce and do not  | 
 | 
constitute payment of any portion of the minimum State  | 
contribution required under this Article in that fiscal year.  | 
Such amounts shall not reduce, and shall not be included in the  | 
calculation of, the required State contributions under this  | 
Article in any future year until the System has reached a  | 
funding ratio of at least 90%. A reference in this Article to  | 
the "required State contribution" or any substantially similar  | 
term does not include or apply to any amounts payable to the  | 
System under Section 25 of the Budget Stabilization Act. | 
 Notwithstanding any other provision of this Section, the  | 
required State
contribution for State fiscal year 2005 and for  | 
fiscal year 2008 and each fiscal year thereafter, as
 | 
calculated under this Section and
certified under subsection  | 
(a-1), shall not exceed an amount equal to (i) the
amount of  | 
the required State contribution that would have been  | 
calculated under
this Section for that fiscal year if the  | 
System had not received any payments
under subsection (d) of  | 
Section 7.2 of the General Obligation Bond Act, minus
(ii) the  | 
portion of the State's total debt service payments for that  | 
fiscal
year on the bonds issued in fiscal year 2003 for the  | 
purposes of that Section 7.2, as determined
and certified by  | 
the Comptroller, that is the same as the System's portion of
 | 
the total moneys distributed under subsection (d) of Section  | 
7.2 of the General
Obligation Bond Act. In determining this  | 
maximum for State fiscal years 2008 through 2010, however, the  | 
amount referred to in item (i) shall be increased, as a  | 
 | 
percentage of the applicable employee payroll, in equal  | 
increments calculated from the sum of the required State  | 
contribution for State fiscal year 2007 plus the applicable  | 
portion of the State's total debt service payments for fiscal  | 
year 2007 on the bonds issued in fiscal year 2003 for the  | 
purposes of Section 7.2 of the General
Obligation Bond Act, so  | 
that, by State fiscal year 2011, the
State is contributing at  | 
the rate otherwise required under this Section.
 | 
 (b-4) Beginning in fiscal year 2018, each employer under  | 
this Article shall pay to the System a required contribution  | 
determined as a percentage of projected payroll and sufficient  | 
to produce an annual amount equal to: | 
  (i) for each of fiscal years 2018, 2019, and 2020, the  | 
 defined benefit normal cost of the defined benefit plan,  | 
 less the employee contribution, for each employee of that  | 
 employer who has elected or who is deemed to have elected  | 
 the benefits under Section 1-161 or who has made the  | 
 election under subsection (b) of Section 1-161; for fiscal  | 
 year 2021 and each fiscal year thereafter, the defined  | 
 benefit normal cost of the defined benefit plan, less the  | 
 employee contribution, plus 2%, for each employee of that  | 
 employer who has elected or who is deemed to have elected  | 
 the benefits under Section 1-161 or who has made the  | 
 election under subsection (b) of Section 1-161; plus | 
  (ii) the amount required for that fiscal year to  | 
 amortize any unfunded actuarial accrued liability  | 
 | 
 associated with the present value of liabilities  | 
 attributable to the employer's account under Section  | 
 16-158.3, determined
as a level percentage of payroll over  | 
 a 30-year rolling amortization period. | 
 In determining contributions required under item (i) of  | 
this subsection, the System shall determine an aggregate rate  | 
for all employers, expressed as a percentage of projected  | 
payroll.  | 
 In determining the contributions required under item (ii)  | 
of this subsection, the amount shall be computed by the System  | 
on the basis of the actuarial assumptions and tables used in  | 
the most recent actuarial valuation of the System that is  | 
available at the time of the computation.  | 
 The contributions required under this subsection (b-4)  | 
shall be paid by an employer concurrently with that employer's  | 
payroll payment period. The State, as the actual employer of  | 
an employee, shall make the required contributions under this  | 
subsection.  | 
 (c) Payment of the required State contributions and of all  | 
pensions,
retirement annuities, death benefits, refunds, and  | 
other benefits granted
under or assumed by this System, and  | 
all expenses in connection with the
administration and  | 
operation thereof, are obligations of the State.
 | 
 If members are paid from special trust or federal funds  | 
which are
administered by the employing unit, whether school  | 
district or other
unit, the employing unit shall pay to the  | 
 | 
System from such
funds the full accruing retirement costs  | 
based upon that
service, which, beginning July 1, 2017, shall  | 
be at a rate, expressed as a percentage of salary, equal to the  | 
total employer's normal cost, expressed as a percentage of  | 
payroll, as determined by the System. Employer contributions,  | 
based on
salary paid to members from federal funds, may be  | 
forwarded by the distributing
agency of the State of Illinois  | 
to the System prior to allocation, in an
amount determined in  | 
accordance with guidelines established by such
agency and the  | 
System. Any contribution for fiscal year 2015 collected as a  | 
result of the change made by Public Act 98-674 shall be  | 
considered a State contribution under subsection (b-3) of this  | 
Section. 
 | 
 (d) Effective July 1, 1986, any employer of a teacher as  | 
defined in
paragraph (8) of Section 16-106 shall pay the  | 
employer's normal cost
of benefits based upon the teacher's  | 
service, in addition to
employee contributions, as determined  | 
by the System. Such employer
contributions shall be forwarded  | 
monthly in accordance with guidelines
established by the  | 
System.
 | 
 However, with respect to benefits granted under Section  | 
16-133.4 or
16-133.5 to a teacher as defined in paragraph (8)  | 
of Section 16-106, the
employer's contribution shall be 12%  | 
(rather than 20%) of the member's
highest annual salary rate  | 
for each year of creditable service granted, and
the employer  | 
shall also pay the required employee contribution on behalf of
 | 
 | 
the teacher. For the purposes of Sections 16-133.4 and  | 
16-133.5, a teacher
as defined in paragraph (8) of Section  | 
16-106 who is serving in that capacity
while on leave of  | 
absence from another employer under this Article shall not
be  | 
considered an employee of the employer from which the teacher  | 
is on leave.
 | 
 (e) Beginning July 1, 1998, every employer of a teacher
 | 
shall pay to the System an employer contribution computed as  | 
follows:
 | 
  (1) Beginning July 1, 1998 through June 30, 1999, the  | 
 employer
contribution shall be equal to 0.3% of each  | 
 teacher's salary.
 | 
  (2) Beginning July 1, 1999 and thereafter, the  | 
 employer
contribution shall be equal to 0.58% of each  | 
 teacher's salary.
 | 
The school district or other employing unit may pay these  | 
employer
contributions out of any source of funding available  | 
for that purpose and
shall forward the contributions to the  | 
System on the schedule established
for the payment of member  | 
contributions.
 | 
 These employer contributions are intended to offset a  | 
portion of the cost
to the System of the increases in  | 
retirement benefits resulting from Public Act 90-582.
 | 
 Each employer of teachers is entitled to a credit against  | 
the contributions
required under this subsection (e) with  | 
respect to salaries paid to teachers
for the period January 1,  | 
 | 
2002 through June 30, 2003, equal to the amount paid
by that  | 
employer under subsection (a-5) of Section 6.6 of the State  | 
Employees
Group Insurance Act of 1971 with respect to salaries  | 
paid to teachers for that
period.
 | 
 The additional 1% employee contribution required under  | 
Section 16-152 by Public Act 90-582
is the responsibility of  | 
the teacher and not the
teacher's employer, unless the  | 
employer agrees, through collective bargaining
or otherwise,  | 
to make the contribution on behalf of the teacher.
 | 
 If an employer is required by a contract in effect on May  | 
1, 1998 between the
employer and an employee organization to  | 
pay, on behalf of all its full-time
employees
covered by this  | 
Article, all mandatory employee contributions required under
 | 
this Article, then the employer shall be excused from paying  | 
the employer
contribution required under this subsection (e)  | 
for the balance of the term
of that contract. The employer and  | 
the employee organization shall jointly
certify to the System  | 
the existence of the contractual requirement, in such
form as  | 
the System may prescribe. This exclusion shall cease upon the
 | 
termination, extension, or renewal of the contract at any time  | 
after May 1,
1998.
 | 
 (f) If the amount of a teacher's salary for any school year  | 
used to determine final average salary exceeds the member's  | 
annual full-time salary rate with the same employer for the  | 
previous school year by more than 6%, the teacher's employer  | 
shall pay to the System, in addition to all other payments  | 
 | 
required under this Section and in accordance with guidelines  | 
established by the System, the present value of the increase  | 
in benefits resulting from the portion of the increase in  | 
salary that is in excess of 6%. This present value shall be  | 
computed by the System on the basis of the actuarial  | 
assumptions and tables used in the most recent actuarial  | 
valuation of the System that is available at the time of the  | 
computation. If a teacher's salary for the 2005-2006 school  | 
year is used to determine final average salary under this  | 
subsection (f), then the changes made to this subsection (f)  | 
by Public Act 94-1057 shall apply in calculating whether the  | 
increase in his or her salary is in excess of 6%. For the  | 
purposes of this Section, change in employment under Section  | 
10-21.12 of the School Code on or after June 1, 2005 shall  | 
constitute a change in employer. The System may require the  | 
employer to provide any pertinent information or  | 
documentation.
The changes made to this subsection (f) by  | 
Public Act 94-1111 apply without regard to whether the teacher  | 
was in service on or after its effective date.
 | 
 Whenever it determines that a payment is or may be  | 
required under this subsection, the System shall calculate the  | 
amount of the payment and bill the employer for that amount.  | 
The bill shall specify the calculations used to determine the  | 
amount due. If the employer disputes the amount of the bill, it  | 
may, within 30 days after receipt of the bill, apply to the  | 
System in writing for a recalculation. The application must  | 
 | 
specify in detail the grounds of the dispute and, if the  | 
employer asserts that the calculation is subject to subsection  | 
(g), (g-5), (g-10), (g-15), or (h) of this Section, must  | 
include an affidavit setting forth and attesting to all facts  | 
within the employer's knowledge that are pertinent to the  | 
applicability of that subsection. Upon receiving a timely  | 
application for recalculation, the System shall review the  | 
application and, if appropriate, recalculate the amount due.
 | 
 The employer contributions required under this subsection  | 
(f) may be paid in the form of a lump sum within 90 days after  | 
receipt of the bill. If the employer contributions are not  | 
paid within 90 days after receipt of the bill, then interest  | 
will be charged at a rate equal to the System's annual  | 
actuarially assumed rate of return on investment compounded  | 
annually from the 91st day after receipt of the bill. Payments  | 
must be concluded within 3 years after the employer's receipt  | 
of the bill.
 | 
 (f-1) (Blank). | 
 (g) This subsection (g) applies only to payments made or  | 
salary increases given on or after June 1, 2005 but before July  | 
1, 2011. The changes made by Public Act 94-1057 shall not  | 
require the System to refund any payments received before
July  | 
31, 2006 (the effective date of Public Act 94-1057). | 
 When assessing payment for any amount due under subsection  | 
(f), the System shall exclude salary increases paid to  | 
teachers under contracts or collective bargaining agreements  | 
 | 
entered into, amended, or renewed before June 1, 2005.
 | 
 When assessing payment for any amount due under subsection  | 
(f), the System shall exclude salary increases paid to a  | 
teacher at a time when the teacher is 10 or more years from  | 
retirement eligibility under Section 16-132 or 16-133.2.
 | 
 When assessing payment for any amount due under subsection  | 
(f), the System shall exclude salary increases resulting from  | 
overload work, including summer school, when the school  | 
district has certified to the System, and the System has  | 
approved the certification, that (i) the overload work is for  | 
the sole purpose of classroom instruction in excess of the  | 
standard number of classes for a full-time teacher in a school  | 
district during a school year and (ii) the salary increases  | 
are equal to or less than the rate of pay for classroom  | 
instruction computed on the teacher's current salary and work  | 
schedule.
 | 
 When assessing payment for any amount due under subsection  | 
(f), the System shall exclude a salary increase resulting from  | 
a promotion (i) for which the employee is required to hold a  | 
certificate or supervisory endorsement issued by the State  | 
Teacher Certification Board that is a different certification  | 
or supervisory endorsement than is required for the teacher's  | 
previous position and (ii) to a position that has existed and  | 
been filled by a member for no less than one complete academic  | 
year and the salary increase from the promotion is an increase  | 
that results in an amount no greater than the lesser of the  | 
 | 
average salary paid for other similar positions in the  | 
district requiring the same certification or the amount  | 
stipulated in the collective bargaining agreement for a  | 
similar position requiring the same certification.
 | 
 When assessing payment for any amount due under subsection  | 
(f), the System shall exclude any payment to the teacher from  | 
the State of Illinois or the State Board of Education over  | 
which the employer does not have discretion, notwithstanding  | 
that the payment is included in the computation of final  | 
average salary.
 | 
 (g-5) When assessing payment for any amount due under  | 
subsection (f), the System shall exclude salary increases  | 
resulting from overload or stipend work performed in a school  | 
year subsequent to a school year in which the employer was  | 
unable to offer or allow to be conducted overload or stipend  | 
work due to an emergency declaration limiting such activities. | 
 (g-10) When assessing payment for any amount due under  | 
subsection (f), the System shall exclude salary increases  | 
resulting from increased instructional time that exceeded the  | 
instructional time required during the 2019-2020 school year.  | 
 (g-15) (g-5) When assessing payment for any amount due  | 
under subsection (f), the System shall exclude salary  | 
increases resulting from teaching summer school on or after  | 
May 1, 2021 and before September 15, 2022.  | 
 (h) When assessing payment for any amount due under  | 
subsection (f), the System shall exclude any salary increase  | 
 | 
described in subsection (g) of this Section given on or after  | 
July 1, 2011 but before July 1, 2014 under a contract or  | 
collective bargaining agreement entered into, amended, or  | 
renewed on or after June 1, 2005 but before July 1, 2011.  | 
Notwithstanding any other provision of this Section, any  | 
payments made or salary increases given after June 30, 2014  | 
shall be used in assessing payment for any amount due under  | 
subsection (f) of this Section.
 | 
 (i) The System shall prepare a report and file copies of  | 
the report with the Governor and the General Assembly by  | 
January 1, 2007 that contains all of the following  | 
information: | 
  (1) The number of recalculations required by the  | 
 changes made to this Section by Public Act 94-1057 for  | 
 each employer. | 
  (2) The dollar amount by which each employer's  | 
 contribution to the System was changed due to  | 
 recalculations required by Public Act 94-1057. | 
  (3) The total amount the System received from each  | 
 employer as a result of the changes made to this Section by  | 
 Public Act 94-4. | 
  (4) The increase in the required State contribution  | 
 resulting from the changes made to this Section by Public  | 
 Act 94-1057.
 | 
 (i-5) For school years beginning on or after July 1, 2017,  | 
if the amount of a participant's salary for any school year  | 
 | 
exceeds the amount of the salary set for the Governor, the  | 
participant's employer shall pay to the System, in addition to  | 
all other payments required under this Section and in  | 
accordance with guidelines established by the System, an  | 
amount determined by the System to be equal to the employer  | 
normal cost, as established by the System and expressed as a  | 
total percentage of payroll, multiplied by the amount of  | 
salary in excess of the amount of the salary set for the  | 
Governor. This amount shall be computed by the System on the  | 
basis of the actuarial assumptions and tables used in the most  | 
recent actuarial valuation of the System that is available at  | 
the time of the computation. The System may require the  | 
employer to provide any pertinent information or  | 
documentation. | 
 Whenever it determines that a payment is or may be  | 
required under this subsection, the System shall calculate the  | 
amount of the payment and bill the employer for that amount.  | 
The bill shall specify the calculations used to determine the  | 
amount due. If the employer disputes the amount of the bill, it  | 
may, within 30 days after receipt of the bill, apply to the  | 
System in writing for a recalculation. The application must  | 
specify in detail the grounds of the dispute. Upon receiving a  | 
timely application for recalculation, the System shall review  | 
the application and, if appropriate, recalculate the amount  | 
due.  | 
 The employer contributions required under this subsection  | 
 | 
may be paid in the form of a lump sum within 90 days after  | 
receipt of the bill. If the employer contributions are not  | 
paid within 90 days after receipt of the bill, then interest  | 
will be charged at a rate equal to the System's annual  | 
actuarially assumed rate of return on investment compounded  | 
annually from the 91st day after receipt of the bill. Payments  | 
must be concluded within 3 years after the employer's receipt  | 
of the bill.  | 
 (j) For purposes of determining the required State  | 
contribution to the System, the value of the System's assets  | 
shall be equal to the actuarial value of the System's assets,  | 
which shall be calculated as follows: | 
 As of June 30, 2008, the actuarial value of the System's  | 
assets shall be equal to the market value of the assets as of  | 
that date. In determining the actuarial value of the System's  | 
assets for fiscal years after June 30, 2008, any actuarial  | 
gains or losses from investment return incurred in a fiscal  | 
year shall be recognized in equal annual amounts over the  | 
5-year period following that fiscal year.  | 
 (k) For purposes of determining the required State  | 
contribution to the system for a particular year, the  | 
actuarial value of assets shall be assumed to earn a rate of  | 
return equal to the system's actuarially assumed rate of  | 
return.  | 
(Source: P.A. 101-10, eff. 6-5-19; 101-81, eff. 7-12-19;  | 
102-16, eff. 6-17-21; 102-525, eff. 8-20-21; 102-558, eff.  | 
 | 
8-20-21; revised 10-21-21.)
 | 
 (40 ILCS 5/16-203)
 | 
 Sec. 16-203. Application and expiration of new benefit  | 
increases. | 
 (a) As used in this Section, "new benefit increase" means  | 
an increase in the amount of any benefit provided under this  | 
Article, or an expansion of the conditions of eligibility for  | 
any benefit under this Article, that results from an amendment  | 
to this Code that takes effect after June 1, 2005 (the  | 
effective date of Public Act 94-4). "New benefit increase",  | 
however, does not include any benefit increase resulting from  | 
the changes made to Article 1 or this Article by Public Act  | 
95-910, Public Act 100-23, Public Act 100-587, Public Act  | 
100-743, Public Act 100-769, Public Act 101-10, or Public Act  | 
101-49, or Public Act 102-16 this amendatory Act of the 102nd  | 
General Assembly. | 
 (b) Notwithstanding any other provision of this Code or  | 
any subsequent amendment to this Code, every new benefit  | 
increase is subject to this Section and shall be deemed to be  | 
granted only in conformance with and contingent upon  | 
compliance with the provisions of this Section.
 | 
 (c) The Public Act enacting a new benefit increase must  | 
identify and provide for payment to the System of additional  | 
funding at least sufficient to fund the resulting annual  | 
increase in cost to the System as it accrues. | 
 | 
 Every new benefit increase is contingent upon the General  | 
Assembly providing the additional funding required under this  | 
subsection. The Commission on Government Forecasting and  | 
Accountability shall analyze whether adequate additional  | 
funding has been provided for the new benefit increase and  | 
shall report its analysis to the Public Pension Division of  | 
the Department of Insurance. A new benefit increase created by  | 
a Public Act that does not include the additional funding  | 
required under this subsection is null and void. If the Public  | 
Pension Division determines that the additional funding  | 
provided for a new benefit increase under this subsection is  | 
or has become inadequate, it may so certify to the Governor and  | 
the State Comptroller and, in the absence of corrective action  | 
by the General Assembly, the new benefit increase shall expire  | 
at the end of the fiscal year in which the certification is  | 
made.
 | 
 (d) Every new benefit increase shall expire 5 years after  | 
its effective date or on such earlier date as may be specified  | 
in the language enacting the new benefit increase or provided  | 
under subsection (c). This does not prevent the General  | 
Assembly from extending or re-creating a new benefit increase  | 
by law. | 
 (e) Except as otherwise provided in the language creating  | 
the new benefit increase, a new benefit increase that expires  | 
under this Section continues to apply to persons who applied  | 
and qualified for the affected benefit while the new benefit  | 
 | 
increase was in effect and to the affected beneficiaries and  | 
alternate payees of such persons, but does not apply to any  | 
other person, including, without limitation, a person who  | 
continues in service after the expiration date and did not  | 
apply and qualify for the affected benefit while the new  | 
benefit increase was in effect.
 | 
(Source: P.A. 101-10, eff. 6-5-19; 101-49, eff. 7-12-19;  | 
101-81, eff. 7-12-19; 102-16, eff. 6-17-21; 102-558, eff.  | 
8-20-21; revised 10-15-21.)
 | 
 Section 270. The Public Officer Prohibited Activities Act  | 
is amended by changing Section 4.1 as follows:
 | 
 (50 ILCS 105/4.1) | 
 Sec. 4.1. Retaliation against a whistleblower. | 
 (a) It is prohibited for a unit of local government, any  | 
agent or representative of a unit of local government, or  | 
another employee to retaliate against an employee or  | 
contractor who: | 
  (1) reports an improper governmental action under this  | 
 Section; | 
  (2) cooperates with an investigation by an auditing  | 
 official related to a report of improper governmental  | 
 action; or | 
  (3) testifies in a proceeding or prosecution arising  | 
 out of an improper governmental action. | 
 | 
 (b) To invoke the protections of this Section, an employee  | 
shall make a written report of improper governmental action to  | 
the appropriate auditing official. An employee who believes he  | 
or she has been retaliated against in violation of this  | 
Section must submit a written report to the auditing official  | 
within 60 days of gaining knowledge of the retaliatory action.  | 
If the auditing official is the individual doing the improper  | 
governmental action, then a report under this subsection may  | 
be submitted to any State's Attorney. | 
 (c) Each auditing official shall establish written  | 
processes and procedures for managing complaints filed under  | 
this Section, and each auditing official shall investigate and  | 
dispose of reports of improper governmental action in  | 
accordance with these processes and procedures.
If an auditing  | 
official concludes that an improper governmental action has  | 
taken place or concludes that the relevant unit of local  | 
government, department, agency, or supervisory officials have  | 
hindered the auditing official's investigation into the  | 
report, the auditing official shall notify in writing the  | 
chief executive of the unit of local government and any other  | 
individual or entity the auditing official deems necessary in  | 
the circumstances. | 
 (d) An auditing official may transfer a report of improper  | 
governmental action to another auditing official for  | 
investigation if an auditing official deems it appropriate,  | 
including, but not limited to, the appropriate State's  | 
 | 
Attorney. | 
 (e) To the extent allowed by law, the identity of an  | 
employee reporting information about an improper governmental  | 
action shall be kept confidential unless the employee waives  | 
confidentiality in writing. Auditing officials may take  | 
reasonable measures to protect employees who reasonably  | 
believe they may be subject to bodily harm for reporting  | 
improper government action. | 
 (f) The following remedies are available to employees  | 
subjected to adverse actions for reporting improper government  | 
action: | 
  (1) Auditing officials may reinstate, reimburse for  | 
 lost wages or expenses incurred, promote, or provide some  | 
 other form of restitution. | 
  (2) In instances where an auditing official determines  | 
 that restitution will not suffice, the auditing official  | 
 may make his or her investigation findings available for  | 
 the purposes of aiding in that employee or the employee's  | 
 attorney's effort to make the employee whole. | 
 (g) A person who engages in prohibited retaliatory action  | 
under subsection (a) is subject to the following penalties: a  | 
fine of no less than $500 and no more than $5,000, suspension  | 
without pay, demotion, discharge, civil or criminal  | 
prosecution, or any combination of these penalties, as  | 
appropriate. | 
 (h) Every employee shall receive a written summary or a  | 
 | 
complete copy of this Section upon commencement of employment  | 
and at least once each year of employment. At the same time,  | 
the employee shall also receive a copy of the written  | 
processes and procedures for reporting improper governmental  | 
actions from the applicable auditing official. | 
 (i) As used in this Section: | 
 "Auditing official" means any elected, appointed, or hired  | 
individual, by whatever name, in a unit of local government  | 
whose duties are similar to, but not limited to, receiving,  | 
registering, and investigating complaints and information  | 
concerning misconduct, inefficiency, and waste within the unit  | 
of local government; investigating the performance of  | 
officers, employees, functions, and programs; and promoting  | 
economy, efficiency, effectiveness and integrity in the  | 
administration of the programs and operations of the  | 
municipality. If a unit of local government does not have an  | 
"auditing official", the "auditing official" shall be a  | 
State's Attorney of the county in which the unit of local  | 
government is located within. | 
 "Employee" means anyone employed by a unit of local  | 
government, whether in a permanent or temporary position,  | 
including full-time, part-time, and intermittent workers.  | 
"Employee" also includes members of appointed boards or  | 
commissions, whether or not paid. "Employee" also includes  | 
persons who have been terminated because of any report or  | 
complaint submitted under this Section. | 
 | 
 "Improper governmental action" means any action by a unit  | 
of local government employee, an appointed member of a board,  | 
commission, or committee, or an elected official of the unit  | 
of local government that is undertaken in violation of a  | 
federal, State, or unit of local government law or rule; is an  | 
abuse of authority; violates the public's trust or expectation  | 
of his or her conduct; is of substantial and specific danger to  | 
the public's health or safety; or is a gross waste of public  | 
funds. The action need not be within the scope of the  | 
employee's, elected official's, board member's, commission  | 
member's, or committee member's official duties to be subject  | 
to a claim of "improper governmental action". "Improper  | 
governmental action" does not include a unit of local  | 
government personnel actions, including, but not limited to  | 
employee grievances, complaints, appointments, promotions,  | 
transfers, assignments, reassignments, reinstatements,  | 
restorations, reemployment, performance evaluations,  | 
reductions in pay, dismissals, suspensions, demotions,  | 
reprimands, or violations of collective bargaining agreements,  | 
except to the extent that the action amounts to retaliation. | 
 "Retaliate", "retaliation", or "retaliatory action" means  | 
any adverse change in an employee's employment status or the  | 
terms and conditions of employment that results from an  | 
employee's protected activity under this Section. "Retaliatory  | 
action" includes, but is not limited to, denial of adequate  | 
staff to perform duties; frequent staff changes; frequent and  | 
 | 
undesirable office changes; refusal to assign meaningful work;  | 
unsubstantiated letters of reprimand or unsatisfactory  | 
performance evaluations; demotion; reduction in pay; denial of  | 
promotion; transfer or reassignment; suspension or dismissal;  | 
or other disciplinary action made because of an employee's  | 
protected activity under this Section.
 | 
(Source: P.A. 101-652, eff. 7-1-21; revised 12-3-21.)
 | 
 Section 275. The Illinois Police Training Act is amended  | 
by changing Sections 9 and 10.18 as follows:
 | 
 (50 ILCS 705/9) (from Ch. 85, par. 509)
 | 
 Sec. 9. 
A special fund is hereby established in the State  | 
Treasury to
be known as the Traffic and Criminal Conviction  | 
Surcharge Fund. Moneys in this Fund shall be
expended as  | 
follows:
 | 
  (1) a portion of the total amount deposited in the  | 
 Fund may be used, as
appropriated by the General Assembly,  | 
 for the ordinary and contingent expenses
of the Illinois  | 
 Law Enforcement Training Standards Board;
 | 
  (2) a portion of the total amount deposited in the  | 
 Fund
shall be appropriated for the reimbursement of local  | 
 governmental agencies
participating in training programs  | 
 certified by the Board, in an amount
equaling 1/2 of the  | 
 total sum paid by such agencies during the State's  | 
 previous
fiscal year for mandated training for  | 
 | 
 probationary law enforcement officers or
probationary  | 
 county corrections officers and for optional advanced and
 | 
 specialized law enforcement or county corrections  | 
 training; these
reimbursements may include the costs for  | 
 tuition at training schools, the
salaries of trainees  | 
 while in schools, and the necessary travel and room
and  | 
 board expenses for each trainee; if the appropriations  | 
 under this
paragraph (2) are not sufficient to fully  | 
 reimburse the participating local
governmental agencies,  | 
 the available funds shall be apportioned among such
 | 
 agencies, with priority first given to repayment of the  | 
 costs of mandatory
training given to law enforcement  | 
 officer or county corrections officer
recruits, then to  | 
 repayment of costs of advanced or specialized training
for  | 
 permanent law enforcement officers or permanent county  | 
 corrections officers;
 | 
  (3) a portion of the total amount deposited in the  | 
 Fund may be used to
fund the Intergovernmental Law  | 
 Enforcement Officer's In-Service Training
Act, veto  | 
 overridden October 29, 1981, as now or hereafter amended,  | 
 at
a rate and method to be determined by the board;
 | 
  (4) a portion of the Fund also may be used by the  | 
 Illinois State Police for expenses incurred in the  | 
 training of employees from
any State, county, or municipal  | 
 agency whose function includes enforcement
of criminal or  | 
 traffic law;
 | 
 | 
  (5) a portion of the Fund may be used by the Board to  | 
 fund grant-in-aid
programs and services for the training  | 
 of employees from any county or
municipal agency whose  | 
 functions include corrections or the enforcement of
 | 
 criminal or traffic
law;
 | 
  (6) for fiscal years 2013 through 2017 only, a portion  | 
 of the Fund also may be used by the
Department of State  | 
 Police to finance any of its lawful purposes or functions;  | 
  (7) a portion of the Fund may be used by the Board,  | 
 subject to appropriation, to administer grants to local  | 
 law enforcement agencies for the purpose of purchasing  | 
 bulletproof vests under the Law Enforcement Officer  | 
 Bulletproof Vest Act; and  | 
  (8) a portion of the Fund may be used by the Board to  | 
 create a law enforcement grant program available for units  | 
 of local government to fund crime prevention programs,  | 
 training, and interdiction efforts, including enforcement  | 
 and prevention efforts, relating to the illegal cannabis  | 
 market and driving under the influence of cannabis.  | 
 All payments from the Traffic and Criminal Conviction  | 
Surcharge Fund shall
be made each year from moneys  | 
appropriated for the purposes specified in
this Section. No  | 
more than 50% of any appropriation under this Act shall be
 | 
spent in any city having a population of more than 500,000. The  | 
State
Comptroller and the State Treasurer shall from time to  | 
time, at the
direction of the Governor, transfer from the  | 
 | 
Traffic and Criminal
Conviction Surcharge Fund to the General  | 
Revenue Fund in the State Treasury
such amounts as the  | 
Governor determines are in excess of the amounts
required to  | 
meet the obligations of the Traffic and Criminal Conviction
 | 
Surcharge Fund.
 | 
(Source: P.A. 101-27, eff. 6-25-19; 101-652, eff. 1-1-22;  | 
102-538, eff. 8-20-21; revised 10-5-21.)
 | 
 (50 ILCS 705/10.18) | 
 Sec. 10.18. Training; administration of opioid  | 
antagonists. The Board shall conduct or approve an in-service  | 
training program for law enforcement officers in the  | 
administration of opioid antagonists as defined in paragraph  | 
(1) of subsection (e) of Section 5-23 of the Substance Use  | 
Disorder Act that is in accordance with that Section. As used  | 
in this Section, the term "law enforcement officers" includes  | 
full-time or part-time probationary law enforcement officers,  | 
permanent or part-time law enforcement officers, law  | 
enforcement officers, recruits, permanent or probationary  | 
county corrections officers, permanent or probationary county  | 
security officers, and court security officers. The term does  | 
not include auxiliary police officers as defined in Section  | 
3.1-30-20 of the Illinois Municipal Code.
 | 
(Source: P.A. 100-759, eff. 1-1-19; 101-652, eff. 1-1-22;  | 
revised 11-24-21.)
 | 
 | 
 Section 280. The Uniform Crime Reporting Act is amended by  | 
changing Sections 5-10, 5-11, 5-12, and 5-20 as follows:
 | 
 (50 ILCS 709/5-10)
 | 
 Sec. 5-10. Central repository of crime statistics. The  | 
Illinois State Police shall be a central repository and  | 
custodian of crime statistics for the State and shall have all  | 
the power necessary to carry out the purposes of this Act,  | 
including the power to demand and receive cooperation in the  | 
submission of crime statistics from all law enforcement  | 
agencies. All data and information provided to the Illinois  | 
State Police under this Act must be provided in a manner and  | 
form prescribed by the Illinois State Police. On an annual  | 
basis, the Illinois State Police shall make available  | 
compilations of crime statistics and monthly reporting  | 
required to be reported by each law enforcement agency.
 | 
(Source: P.A. 101-652, eff. 7-1-21; 102-538, eff. 8-20-21;  | 
revised 10-15-21.)
 | 
 (50 ILCS 709/5-11) | 
 Sec. 5-11. FBI National Use of Force Database. The  | 
Illinois State Police Department shall participate in and  | 
regularly submit use of force information to the Federal  | 
Bureau of Investigation (FBI) National Use of Force Database.  | 
Within 90 days of July 1, 2021 (the effective date of Public  | 
Act 101-652) this amendatory Act, the Illinois State Police  | 
 | 
Department shall promulgate rules outlining the use of force  | 
information required for submission to the Database, which  | 
shall be submitted monthly by law enforcement agencies under  | 
Section 5-12.
 | 
(Source: P.A. 101-652, eff. 7-1-21; revised 12-3-21.)
 | 
 (50 ILCS 709/5-12) | 
 Sec. 5-12. Monthly reporting. All law enforcement agencies  | 
shall submit to the Illinois State Police on a monthly basis  | 
the following: | 
  (1) beginning January 1, 2016, a report on any  | 
 arrest-related death that shall include information  | 
 regarding the deceased, the officer, any weapon used by  | 
 the officer or the deceased, and the circumstances of the  | 
 incident. The Illinois State Police shall submit on a  | 
 quarterly basis all information collected under this  | 
 paragraph (1) to the Illinois Criminal Justice Information  | 
 Authority, contingent upon updated federal guidelines  | 
 regarding the Uniform Crime Reporting Program; | 
  (2) beginning January 1, 2017, a report on any  | 
 instance when a law enforcement officer discharges his or  | 
 her firearm causing a non-fatal injury to a person, during  | 
 the performance of his or her official duties or in the  | 
 line of duty; | 
  (3) a report of incident-based information on hate  | 
 crimes including information describing the offense,  | 
 | 
 location of the offense, type of victim, offender, and  | 
 bias motivation. If no hate crime incidents occurred  | 
 during a reporting month, the law enforcement agency must  | 
 submit a no incident record, as required by the Illinois  | 
 State Police; | 
  (4) a report on any incident of an alleged commission  | 
 of a domestic crime, that shall include information  | 
 regarding the victim, offender, date and time of the  | 
 incident, any injury inflicted, any weapons involved in  | 
 the commission of the offense, and the relationship  | 
 between the victim and the offender; | 
  (5) data on an index of offenses selected by the  | 
 Illinois State Police based on the seriousness of the  | 
 offense, frequency of occurrence of the offense, and  | 
 likelihood of being reported to law enforcement. The data  | 
 shall include the number of index crime offenses committed  | 
 and number of associated arrests; | 
  (6) data on offenses and incidents reported by schools  | 
 to local law enforcement. The data shall include offenses  | 
 defined as an attack against school personnel,  | 
 intimidation offenses, drug incidents, and incidents  | 
 involving weapons;
 | 
  (7) beginning on July 1, 2021, a report on incidents  | 
 where a law enforcement officer was dispatched to deal  | 
 with a person experiencing a mental health crisis or  | 
 incident. The report shall include the number of  | 
 | 
 incidents, the level of law enforcement response and the  | 
 outcome of each incident. For purposes of this Section, a  | 
 "mental health crisis" is when a person's behavior puts  | 
 them at risk of hurting themselves or others or prevents  | 
 them from being able to care for themselves;  | 
  (8) beginning on July 1, 2021, a report on use of  | 
 force, including any action that resulted in the death or  | 
 serious bodily injury of a person or the discharge of a  | 
 firearm at or in the direction of a person. The report  | 
 shall include information required by the Illinois State  | 
 Police Department, pursuant to Section 5-11 of this Act. | 
(Source: P.A. 101-652, eff. 7-1-21; 102-28, eff. 6-25-21;  | 
102-538, eff. 8-20-21; revised 10-15-21.)
 | 
 (50 ILCS 709/5-20)
 | 
 Sec. 5-20. Reporting compliance. The Illinois State Police  | 
shall annually report to the Illinois Law Enforcement Training  | 
Standards Board and the Department of Revenue any law  | 
enforcement agency not in compliance with the reporting  | 
requirements under this Act. A law enforcement agency's  | 
compliance with the reporting requirements under this Act  | 
shall be a factor considered by the Illinois Law Enforcement  | 
Training Standards Board in awarding grant funding under the  | 
Law Enforcement Camera Grant Act, with preference to law  | 
enforcement agencies which are in compliance with reporting  | 
requirements under this Act.
 | 
 | 
(Source: P.A. 101-652, eff. 7-1-21; 102-538, eff. 8-20-21;  | 
revised 10-15-21.)
 | 
 Section 285. The Emergency Telephone System Act is amended  | 
by changing Sections 2, 7, 8, 10, 15.6, 15.6a, 15.6b, 17.5, 19,  | 
20, 30, and 40 as follows:
 | 
 (50 ILCS 750/2) (from Ch. 134, par. 32)
 | 
 (Section scheduled to be repealed on December 31, 2023)
 | 
 Sec. 2. Definitions. As used in this Act, unless the  | 
context otherwise requires:  | 
 "9-1-1 network" means the network used for the delivery of  | 
9-1-1 calls and messages over dedicated and redundant  | 
facilities to a primary or backup 9-1-1 PSAP that meets the  | 
appropriate grade of service.  | 
 "9-1-1 system" means the geographic area that has been  | 
granted an order of authority by the Commission or the  | 
Statewide 9-1-1 Administrator to use "9-1-1" as the primary  | 
emergency telephone number, including, but not limited to, the  | 
network, software applications, databases, CPE components and  | 
operational and management procedures required to provide  | 
9-1-1 service.  | 
 "9-1-1 Authority" means an Emergency Telephone System  | 
Board or , Joint Emergency Telephone System Board that provides  | 
for the management and operation of a 9-1-1 system. "9-1-1  | 
Authority" includes the Illinois State Police only to the  | 
 | 
extent it provides 9-1-1 services under this Act. | 
 "9-1-1 System Manager" means the manager, director,  | 
administrator, or coordinator who at the direction of his or  | 
her Emergency Telephone System Board is responsible for the  | 
implementation and execution of the order of authority issued  | 
by the Commission or the Statewide 9-1-1 Administrator through  | 
the programs, policies, procedures, and daily operations of  | 
the 9-1-1 system consistent with the provisions of this Act.  | 
 "Administrator" means the Statewide 9-1-1 Administrator. | 
 "Advanced service" means any telecommunications service  | 
with or without dynamic bandwidth allocation, including, but  | 
not limited to, ISDN Primary Rate Interface (PRI), that,  | 
through the use of a DS-1, T-1, or other un-channelized or  | 
multi-channel transmission facility, is capable of  | 
transporting either the subscriber's inter-premises voice  | 
telecommunications services to the public switched network or  | 
the subscriber's 9-1-1 calls to the public agency. | 
 "Aggregator" means an entity that ingresses 9-1-1 calls of  | 
multiple traffic types or 9-1-1 calls from multiple  | 
originating service providers and combines them on a trunk  | 
group or groups (or equivalent egress connection arrangement  | 
to a 9-1-1 system provider's E9-1-1/NG9-1-1 network or  | 
system), and that uses the routing information provided in the  | 
received call setup signaling to select the appropriate trunk  | 
group and proceeds to signal call setup toward the 9-1-1  | 
system provider. "Aggregator" includes an originating service  | 
 | 
provider that provides aggregation functions for its own 9-1-1  | 
calls. "Aggregator" also includes an aggregation network or an  | 
aggregation entity that provides aggregator services for other  | 
types of system providers, such as cloud-based services or  | 
enterprise networks as its client.  | 
 "ALI" or "automatic location identification" means the  | 
automatic display at the public safety answering point of the  | 
address or location of the caller's telephone and  | 
supplementary emergency services information of the location  | 
from which a call originates. | 
 "ANI" or "automatic number identification" means the  | 
automatic display of the 10-digit 10 digit telephone number  | 
associated with the caller's telephone number. | 
 "Automatic alarm" and "automatic alerting device" mean any  | 
device that will access the 9-1-1 system for emergency  | 
services upon activation and does not provide for two-way  | 
communication. | 
 "Answering point" means a PSAP, SAP, Backup PSAP, Unmanned  | 
Backup Answering Point, or VAP. | 
 "Authorized entity" means an answering point or  | 
participating agency other than a decommissioned PSAP.  | 
 "Backup PSAP" means an answering point that meets the  | 
appropriate standards of service and serves as an alternate to  | 
the PSAP operating independently from the PSAP at a different  | 
location, that has the capability to direct dispatch for the  | 
PSAP or otherwise transfer emergency calls directly to an  | 
 | 
authorized entity. A backup PSAP may accept overflow calls  | 
from the PSAP or be activated if the primary PSAP is disabled.  | 
 "Board" means an Emergency Telephone System Board or a  | 
Joint Emergency Telephone System Board created pursuant to  | 
Section 15.4. | 
 "Carrier" includes a telecommunications carrier and a  | 
wireless carrier. | 
 "Commission" means the Illinois Commerce Commission. | 
 "Computer aided dispatch" or "CAD" means a computer-based  | 
system that aids public safety telecommunicators by automating  | 
selected dispatching and recordkeeping activities. | 
 "Direct dispatch" means a 9-1-1 service wherein upon  | 
receipt of an emergency call, a public safety telecommunicator  | 
transmits - without delay, transfer, relay, or referral - all  | 
relevant available information to the appropriate public  | 
safety personnel or emergency responders. | 
 "Decommissioned" means the revocation of a PSAPs authority  | 
to handle 9-1-1 calls as an answering point within the 9-1-1  | 
network.  | 
 "DS-1, T-1, or similar un-channelized or multi-channel  | 
transmission facility" means a facility that can transmit and  | 
receive a bit rate of at least 1.544 megabits per second  | 
(Mbps). | 
 "Dynamic bandwidth allocation" means the ability of the  | 
facility or customer to drop and add channels, or adjust  | 
bandwidth, when needed in real time for voice or data  | 
 | 
purposes. | 
 "Emergency call" means any type of request for emergency  | 
assistance through a 9-1-1 network either to the digits 9-1-1  | 
or the emergency 24/7 10-digit telephone number for all  | 
answering points. An emergency call is not limited to a voice  | 
telephone call. It could be a two-way video call, an  | 
interactive text, Teletypewriter (TTY), an SMS, an Instant  | 
Message, or any new mechanism for communications available in  | 
the future. An emergency call occurs when the request for  | 
emergency assistance is received by a public safety  | 
telecommunicator.  | 
 "Enhanced 9-1-1" or "E9-1-1" means a telephone system that  | 
includes network switching, database and PSAP premise elements  | 
capable of providing automatic location identification data,  | 
selective routing, selective transfer, fixed transfer, and a  | 
call back number, including any enhanced 9-1-1 service so  | 
designated by the Federal Communications Commission in its  | 
report and order in WC Dockets Nos. 04-36 and 05-196, or any  | 
successor proceeding.  | 
 "ETSB" means an emergency telephone system board appointed  | 
by the corporate authorities of any county or municipality  | 
that provides for the management and operation of a 9-1-1  | 
system. | 
 "Grade of service" means P.01 for enhanced 9-1-1 services  | 
or the NENA i3 Solution adopted standard for NG9-1-1.  | 
 "Hearing-impaired individual" means a person with a  | 
 | 
permanent hearing loss who can regularly and routinely  | 
communicate by telephone only through the aid of devices which  | 
can send and receive written messages over the telephone  | 
network. | 
 "Hosted supplemental 9-1-1 service" means a database  | 
service that: | 
  (1) electronically provides information to 9-1-1 call  | 
 takers when a call is placed to 9-1-1; | 
  (2) allows telephone subscribers to provide  | 
 information to 9-1-1 to be used in emergency scenarios; | 
  (3) collects a variety of formatted data relevant to  | 
 9-1-1 and first responder needs, which may include, but is  | 
 not limited to, photographs of the telephone subscribers,  | 
 physical descriptions, medical information, household  | 
 data, and emergency contacts; | 
  (4) allows for information to be entered by telephone  | 
 subscribers through a secure website where they can elect  | 
 to provide as little or as much information as they  | 
 choose; | 
  (5) automatically displays data provided by telephone  | 
 subscribers to 9-1-1 call takers for all types of  | 
 telephones when a call is placed to 9-1-1 from a  | 
 registered and confirmed phone number; | 
  (6) supports the delivery of telephone subscriber  | 
 information through a secure internet connection to all  | 
 emergency telephone system boards; | 
 | 
  (7) works across all 9-1-1 call taking equipment and  | 
 allows for the easy transfer of information into a  | 
 computer aided dispatch system; and | 
  (8) may be used to collect information pursuant to an  | 
 Illinois Premise Alert Program as defined in the Illinois  | 
 Premise Alert Program (PAP) Act. | 
 "Interconnected voice over Internet protocol provider" or  | 
"Interconnected VoIP provider" has the meaning given to that  | 
term under Section 13-235 of the Public Utilities Act. | 
 "Joint ETSB" means a Joint Emergency Telephone System  | 
Board established by intergovernmental agreement of two or  | 
more municipalities or counties, or a combination thereof, to  | 
provide for the management and operation of a 9-1-1 system. | 
 "Local public agency" means any unit of local government  | 
or special purpose district located in whole or in part within  | 
this State that provides or has authority to provide  | 
firefighting, police, ambulance, medical, or other emergency  | 
services. | 
 "Mechanical dialer" means any device that accesses the  | 
9-1-1 system without human intervention and does not provide  | 
for two-way communication. | 
 "Master Street Address Guide" or "MSAG" is a database of  | 
street names and house ranges within their associated  | 
communities defining emergency service zones (ESZs) and their  | 
associated emergency service numbers (ESNs) to enable proper  | 
routing of 9-1-1 calls. | 
 | 
 "Mobile telephone number" or "MTN" means the telephone  | 
number assigned to a wireless telephone at the time of initial  | 
activation. | 
 "Network connections" means the number of voice grade  | 
communications channels directly between a subscriber and a  | 
telecommunications carrier's public switched network, without  | 
the intervention of any other telecommunications carrier's  | 
switched network, which would be required to carry the  | 
subscriber's inter-premises traffic and which connection  | 
either (1) is capable of providing access through the public  | 
switched network to a 9-1-1 Emergency Telephone System, if one  | 
exists, or (2) if no system exists at the time a surcharge is  | 
imposed under Section 15.3, that would be capable of providing  | 
access through the public switched network to the local 9-1-1  | 
Emergency Telephone System if one existed. Where multiple  | 
voice grade communications channels are connected to a  | 
telecommunications carrier's public switched network through a  | 
private branch exchange (PBX) service, there shall be  | 
determined to be one network connection for each trunk line  | 
capable of transporting either the subscriber's inter-premises  | 
traffic to the public switched network or the subscriber's  | 
9-1-1 calls to the public agency. Where multiple voice grade  | 
communications channels are connected to a telecommunications  | 
carrier's public switched network through Centrex type  | 
service, the number of network connections shall be equal to  | 
the number of PBX trunk equivalents for the subscriber's  | 
 | 
service or other multiple voice grade communication channels  | 
facility, as determined by reference to any generally  | 
applicable exchange access service tariff filed by the  | 
subscriber's telecommunications carrier with the Commission. | 
 "Network costs" means those recurring costs that directly  | 
relate to the operation of the 9-1-1 network as determined by  | 
the Statewide 9-1-1 Administrator with the advice of the  | 
Statewide 9-1-1 Advisory Board, which may include, but need  | 
not be limited to, some or all of the following: costs for  | 
interoffice trunks, selective routing charges, transfer lines  | 
and toll charges for 9-1-1 services, Automatic Location  | 
Information (ALI) database charges, independent local exchange  | 
carrier charges and non-system provider charges, carrier  | 
charges for third party database for on-site customer premises  | 
equipment, back-up PSAP trunks for non-system providers,  | 
periodic database updates as provided by carrier (also known  | 
as "ALI data dump"), regional ALI storage charges, circuits  | 
for call delivery (fiber or circuit connection), NG9-1-1  | 
costs, and all associated fees, taxes, and surcharges on each  | 
invoice. "Network costs" shall not include radio circuits or  | 
toll charges that are other than for 9-1-1 services. | 
 "Next generation 9-1-1" or "NG9-1-1" means a secure  | 
Internet Protocol-based (IP-based) open-standards system  | 
comprised of hardware, software, data, and operational  | 
policies and procedures that: | 
   (A) provides standardized interfaces from  | 
 | 
 emergency call and message services to support  | 
 emergency communications;  | 
   (B) processes all types of emergency calls,  | 
 including voice, text, data, and multimedia  | 
 information;  | 
   (C) acquires and integrates additional emergency  | 
 call data useful to call routing and handling; | 
   (D) delivers the emergency calls, messages, and  | 
 data to the appropriate public safety answering point  | 
 and other appropriate emergency entities based on the  | 
 location of the caller; | 
   (E) supports data, video, and other communications  | 
 needs for coordinated incident response and  | 
 management; and | 
   (F) interoperates with services and networks used  | 
 by first responders to facilitate emergency response.  | 
 "NG9-1-1 costs" means those recurring costs that directly  | 
relate to the Next Generation 9-1-1 service as determined by  | 
the Statewide 9-1-1 Administrator with the advice of the  | 
Statewide 9-1-1 Advisory Board, which may include, but need  | 
not be limited to, costs for NENA i3 Core Components (Border  | 
Control Function (BCF), Emergency Call Routing Function  | 
(ECRF), Location Validation Function (LVF), Emergency Services  | 
Routing Proxy (ESRP), Policy Store/Policy Routing Functions  | 
(PSPRF), and Location Information Servers (LIS)), Statewide  | 
ESInet, software external to the PSAP (data collection,  | 
 | 
identity management, aggregation, and GIS functionality), and  | 
gateways (legacy 9-1-1 tandems or gateways or both). | 
 "Originating service provider" or "OSP" means the entity  | 
that provides services to end users that may be used to  | 
originate voice or nonvoice 9-1-1 requests for assistance and  | 
who would interconnect, in any of various fashions, to the  | 
9-1-1 system provider for purposes of delivering 9-1-1 traffic  | 
to the public safety answering points.  | 
 "Private branch exchange" or "PBX" means a private  | 
telephone system and associated equipment located on the  | 
user's property that provides communications between internal  | 
stations and external networks. | 
 "Private business switch service" means network and  | 
premises based systems including a VoIP, Centrex type service,  | 
or PBX service, even though key telephone systems or  | 
equivalent telephone systems registered with the Federal  | 
Communications Commission under 47 CFR Part 68 are directly  | 
connected to Centrex type and PBX systems. "Private business  | 
switch service" does not include key telephone systems or  | 
equivalent telephone systems registered with the Federal  | 
Communications Commission under 47 CFR Part 68 when not used  | 
in conjunction with a VoIP, Centrex type, or PBX systems.  | 
"Private business switch service" typically includes, but is  | 
not limited to, private businesses, corporations, and  | 
industries where the telecommunications service is primarily  | 
for conducting business. | 
 | 
 "Private residential switch service" means network and  | 
premise based systems including a VoIP, Centrex type service,  | 
or PBX service or key telephone systems or equivalent  | 
telephone systems registered with the Federal Communications  | 
Commission under 47 CFR C.F.R. Part 68 that are directly  | 
connected to a VoIP, Centrex type service, or PBX systems  | 
equipped for switched local network connections or 9-1-1  | 
system access to residential end users through a private  | 
telephone switch. "Private residential switch service" does  | 
not include key telephone systems or equivalent telephone  | 
systems registered with the Federal Communications Commission  | 
under 47 CFR C.F.R. Part 68 when not used in conjunction with a  | 
VoIP, Centrex type, or PBX systems. "Private residential  | 
switch service" typically includes, but is not limited to,  | 
apartment complexes, condominiums, and campus or university  | 
environments where shared tenant service is provided and where  | 
the usage of the telecommunications service is primarily  | 
residential. | 
 "Public agency" means the State, and any unit of local  | 
government or special purpose district located in whole or in  | 
part within this State, that provides or has authority to  | 
provide firefighting, police, ambulance, medical, or other  | 
emergency services. | 
 "Public safety agency" means a functional division of a  | 
public agency that provides firefighting, police, medical, or  | 
other emergency services to respond to and manage emergency  | 
 | 
incidents. For the purpose of providing wireless service to  | 
users of 9-1-1 emergency services, as expressly provided for  | 
in this Act, the Illinois State Police may be considered a  | 
public safety agency. | 
 "Public safety answering point" or "PSAP" means the  | 
primary answering location of an emergency call that meets the  | 
appropriate standards of service and is responsible for  | 
receiving and processing those calls and events according to a  | 
specified operational policy. | 
 "PSAP representative" means the manager or supervisor of a  | 
Public Safety Answering Point (PSAP) who oversees the daily  | 
operational functions and is responsible for the overall  | 
management and administration of the PSAP.  | 
 "Public safety telecommunicator" means any person employed  | 
in a full-time or part-time capacity at an answering point  | 
whose duties or responsibilities include answering, receiving,  | 
or transferring an emergency call for dispatch to the  | 
appropriate emergency responder.  | 
 "Public safety telecommunicator supervisor" means any  | 
person employed in a full-time or part-time capacity at an  | 
answering point or by a 9-1-1 Authority, whose primary duties  | 
or responsibilities are to direct, administer, or manage any  | 
public safety telecommunicator and whose responsibilities  | 
include answering, receiving, or transferring an emergency  | 
call for dispatch to the appropriate responders.  | 
 "Referral" means a 9-1-1 service in which the public  | 
 | 
safety telecommunicator provides the calling party with the  | 
telephone number of the appropriate public safety agency or  | 
other provider of emergency services. | 
 "Regular service" means any telecommunications service,  | 
other than advanced service, that is capable of transporting  | 
either the subscriber's inter-premises voice  | 
telecommunications services to the public switched network or  | 
the subscriber's 9-1-1 calls to the public agency. | 
 "Relay" means a 9-1-1 service in which the public safety  | 
telecommunicator takes the pertinent information from a caller  | 
and relays that information to the appropriate public safety  | 
agency or other provider of emergency services. | 
 "Remit period" means the billing period, one month in  | 
duration, for which a wireless carrier remits a surcharge and  | 
provides subscriber information by zip code to the Illinois  | 
State Police, in accordance with Section 20 of this Act. | 
 "Secondary Answering Point" or "SAP" means a location,  | 
other than a PSAP, that is able to receive the voice, data, and  | 
call back number of E9-1-1 or NG9-1-1 emergency calls  | 
transferred from a PSAP and completes the call taking process  | 
by dispatching police, medical, fire, or other emergency  | 
responders.  | 
 "Statewide wireless emergency 9-1-1 system" means all  | 
areas of the State where an emergency telephone system board  | 
has not declared its intention for one or more of its public  | 
safety answering points to serve as a primary wireless 9-1-1  | 
 | 
public safety answering point for its jurisdiction. The  | 
operator of the statewide wireless emergency 9-1-1 system  | 
shall be the Illinois State Police. | 
 "System" means the communications equipment and related  | 
software applications required to produce a response by the  | 
appropriate emergency public safety agency or other provider  | 
of emergency services as a result of an emergency call being  | 
placed to 9-1-1. | 
 "System provider" means the contracted entity providing  | 
9-1-1 network and database services. | 
 "Telecommunications carrier" means those entities included  | 
within the definition specified in Section 13-202 of the  | 
Public Utilities Act, and includes those carriers acting as  | 
resellers of telecommunications services. "Telecommunications  | 
carrier" includes telephone systems operating as mutual  | 
concerns. "Telecommunications carrier" does not include a  | 
wireless carrier. | 
 "Telecommunications technology" means equipment that can  | 
send and receive written messages over the telephone network. | 
 "Transfer" means a 9-1-1 service in which the public  | 
safety telecommunicator, who receives an emergency call,  | 
transmits, redirects, or conferences that call to the  | 
appropriate public safety agency or other provider of  | 
emergency services. "Transfer" Transfer shall not include a  | 
relay or referral of the information without transferring the  | 
caller. | 
 | 
 "Transmitting messages" shall have the meaning given to  | 
that term under Section 8-11-2 of the Illinois Municipal Code. | 
 "Trunk line" means a transmission path, or group of  | 
transmission paths, connecting a subscriber's PBX to a  | 
telecommunications carrier's public switched network. In the  | 
case of regular service, each voice grade communications  | 
channel or equivalent amount of bandwidth capable of  | 
transporting either the subscriber's inter-premises voice  | 
telecommunications services to the public switched network or  | 
the subscriber's 9-1-1 calls to the public agency shall be  | 
considered a trunk line, even if it is bundled with other  | 
channels or additional bandwidth. In the case of advanced  | 
service, each DS-1, T-1, or other un-channelized or  | 
multi-channel transmission facility that is capable of  | 
transporting either the subscriber's inter-premises voice  | 
telecommunications services to the public switched network or  | 
the subscriber's 9-1-1 calls to the public agency shall be  | 
considered a single trunk line, even if it contains multiple  | 
voice grade communications channels or otherwise supports 2 or  | 
more voice grade calls at a time; provided, however, that each  | 
additional increment of up to 24 voice grade channels of  | 
transmission capacity that is capable of transporting either  | 
the subscriber's inter-premises voice telecommunications  | 
services to the public switched network or the subscriber's  | 
9-1-1 calls to the public agency shall be considered an  | 
additional trunk line. | 
 | 
 "Unmanned backup answering point" means an answering point  | 
that serves as an alternate to the PSAP at an alternate  | 
location and is typically unmanned but can be activated if the  | 
primary PSAP is disabled. | 
 "Virtual answering point" or "VAP" means a temporary or  | 
nonpermanent location that is capable of receiving an  | 
emergency call, contains a fully functional worksite that is  | 
not bound to a specific location, but rather is portable and  | 
scalable, connecting public safety telecommunicators to the  | 
work process, and is capable of completing the call  | 
dispatching process.  | 
 "Voice-impaired individual" means a person with a  | 
permanent speech disability which precludes oral  | 
communication, who can regularly and routinely communicate by  | 
telephone only through the aid of devices which can send and  | 
receive written messages over the telephone network. | 
 "Wireless carrier" means a provider of two-way cellular,  | 
broadband PCS, geographic area 800 MHZ and 900 MHZ Commercial  | 
Mobile Radio Service (CMRS), Wireless Communications Service  | 
(WCS), or other Commercial Mobile Radio Service (CMRS), as  | 
defined by the Federal Communications Commission, offering  | 
radio communications that may provide fixed, mobile, radio  | 
location, or satellite communication services to individuals  | 
or businesses within its assigned spectrum block and  | 
geographical area or that offers real-time, two-way voice  | 
service that is interconnected with the public switched  | 
 | 
network, including a reseller of such service. | 
 "Wireless enhanced 9-1-1" means the ability to relay the  | 
telephone number of the originator of a 9-1-1 call and  | 
location information from any mobile handset or text telephone  | 
device accessing the wireless system to the designated  | 
wireless public safety answering point as set forth in the  | 
order of the Federal Communications Commission, FCC Docket No.  | 
94-102, adopted June 12, 1996, with an effective date of  | 
October 1, 1996, and any subsequent amendment thereto. | 
 "Wireless public safety answering point" means the  | 
functional division of a 9-1-1 authority accepting wireless  | 
9-1-1 calls. | 
 "Wireless subscriber" means an individual or entity to  | 
whom a wireless service account or number has been assigned by  | 
a wireless carrier, other than an account or number associated  | 
with prepaid wireless telecommunication service.
 | 
(Source: P.A. 102-9, eff. 6-3-21; 102-538, eff. 8-20-21;  | 
revised 10-5-21.)
 | 
 (50 ILCS 750/7) (from Ch. 134, par. 37)
 | 
 (Section scheduled to be repealed on December 31, 2023)
 | 
 Sec. 7. 
The General Assembly finds that, because of  | 
overlapping
jurisdiction of public agencies, public safety  | 
agencies, and telephone
service areas, the Administrator, with  | 
the advice and recommendation of the Statewide 9-1-1 Advisory  | 
Board, shall establish a general overview or plan
to  | 
 | 
effectuate the purposes of this Act within the time frame  | 
provided in
this Act. The General Assembly further finds and  | 
declares that direct dispatch should be used if possible to  | 
shorten the time required for the public to request and  | 
receive emergency aid. The Administrator shall minimize the  | 
use of transfer, relay, and referral of an emergency call if  | 
possible and encourage Backup PSAPs to be able to direct  | 
dispatch. Transfer, relay, and referral of an emergency call  | 
to an entity other than an answering point or the Illinois  | 
State Police shall not be used in response to emergency calls  | 
unless exigent circumstances exist. In order to insure that  | 
proper preparation and implementation
of emergency telephone  | 
systems are accomplished by all public agencies as required  | 
under this Act, the Illinois State Police, with the
advice and  | 
assistance of
the Attorney General, shall secure compliance by  | 
public agencies as
provided in this Act.
 | 
(Source: P.A. 102-9, eff. 6-3-21; 102-538, eff. 8-20-21;  | 
revised 10-4-21.)
 | 
 (50 ILCS 750/8) (from Ch. 134, par. 38)
 | 
 (Section scheduled to be repealed on December 31, 2023)
 | 
 Sec. 8. 
The Administrator, with the advice and  | 
recommendation of the Statewide 9-1-1 Advisory Board, shall  | 
coordinate the implementation of systems established under  | 
this Act. To assist with this coordination, all systems  | 
authorized to operate under this Act shall register with the  | 
 | 
Administrator information regarding its composition and  | 
organization, including, but not limited to, identification of  | 
the
9-1-1 System Manager and all answering points.  | 
Decommissioned PSAPs shall not be registered and are not part  | 
of the 9-1-1 system in Illinois. The Illinois State Police may  | 
adopt rules for the administration of this Section. 
 | 
(Source: P.A. 102-9, eff. 6-3-21; 102-538, eff 8-20-21;  | 
revised 10-4-21.)
 | 
 (50 ILCS 750/10) (from Ch. 134, par. 40) | 
 (Section scheduled to be repealed on December 31, 2023) | 
 Sec. 10. (a) The Administrator, with the advice and  | 
recommendation of the Statewide 9-1-1 Advisory Board, shall  | 
establish uniform technical and operational standards for all  | 
9-1-1 systems in Illinois. All findings, orders, decisions,  | 
rules, and regulations issued or promulgated by the Commission  | 
under this Act or any other Act establishing or conferring  | 
power on the Commission with respect to emergency  | 
telecommunications services, shall continue in force.  | 
Notwithstanding the provisions of this Section, where  | 
applicable, the Administrator shall, with the advice and  | 
recommendation of the Statewide 9-1-1 Advisory Board, amend  | 
the Commission's findings, orders, decisions, rules, and  | 
regulations to conform to the specific provisions of this Act  | 
as soon as practicable after the effective date of this  | 
amendatory Act of the 99th General Assembly.  | 
 | 
 (a-5) All 9-1-1 systems are responsible for complying with  | 
the uniform technical and operational standards adopted by the  | 
Administrator and the Illinois State Police with the advice  | 
and recommendation of the Statewide 9-1-1 Advisory Board.  | 
 (b) The Illinois State Police may adopt emergency rules  | 
necessary to implement the provisions of this amendatory Act  | 
of the 99th General Assembly under subsection (t) of Section  | 
5-45 of the Illinois Administrative Procedure Act. | 
 (c) Nothing in this Act shall deprive the Commission of  | 
any authority to regulate the provision by telecommunication  | 
carriers or 9-1-1 system service providers of  | 
telecommunication or other services under the Public Utilities  | 
Act. | 
 (d) For rules that implicate both the regulation of 9-1-1  | 
authorities under this Act and the regulation of  | 
telecommunication carriers and 9-1-1 system service providers  | 
under the Public Utilities Act, the Illinois State Police and  | 
the Commission may adopt joint rules necessary for  | 
implementation. | 
 (e) Any findings, orders, or decisions of the  | 
Administrator under this Section shall be deemed a final  | 
administrative decision and shall be subject to judicial  | 
review under the Administrative Review Law.  | 
(Source: P.A. 102-9, eff. 6-3-21; 102-538, eff. 8-20-21;  | 
revised 10-5-21.)
 | 
 | 
 (50 ILCS 750/15.6)
 | 
 (Section scheduled to be repealed on December 31, 2023)
 | 
 Sec. 15.6. 9-1-1 service; business service. 
 | 
 (a) After June 30, 2000, or within 18 months after 9-1-1  | 
service
becomes available, any entity that installs or  | 
operates a private business
switch service and provides  | 
telecommunications facilities or services to
businesses shall  | 
assure that the system is connected to the public switched
 | 
network in a manner that calls to 9-1-1 result in automatic  | 
number and location
identification. For buildings having their  | 
own street address and containing
workspace of 40,000 square  | 
feet or less, location identification shall include
the  | 
building's street address. For buildings having their own  | 
street
address and containing workspace of more than 40,000  | 
square feet, location
identification shall include the  | 
building's street address and one distinct
location  | 
identification per 40,000 square feet of workspace. Separate
 | 
buildings containing workspace of 40,000 square feet or less  | 
having a common
public street address shall have a distinct  | 
location identification for each
building in addition to the  | 
street address.
 | 
 (b) Exemptions. Buildings containing workspace of more  | 
than 40,000 square
feet are exempt from the multiple location  | 
identification requirements of
subsection (a) if the building  | 
maintains, at all times, alternative and
adequate means of  | 
signaling and responding to emergencies. Those means shall
 | 
 | 
include, but not be limited to, a telephone system that  | 
provides the physical
location of 9-1-1 calls coming from  | 
within the building. Health care
facilities are presumed to  | 
meet the requirements of this paragraph if the
facilities are  | 
staffed with medical or nursing personnel 24 hours per day and
 | 
if an alternative means of providing information about the  | 
source of an
emergency call exists. Buildings under this  | 
exemption must provide 9-1-1
service that provides the  | 
building's street address.
 | 
 Buildings containing workspace of more than 40,000 square  | 
feet are exempt
from subsection (a) if the building maintains,  | 
at all times, alternative and
adequate means of signaling and  | 
responding to emergencies, including a
telephone system that  | 
provides the location of a 9-1-1 call coming from within
the  | 
building, and the building is serviced by its own medical,  | 
fire and
security personnel. Buildings under this exemption  | 
are subject to emergency
phone system certification by the  | 
Administrator.
 | 
 Buildings in communities not serviced by 9-1-1 service are  | 
exempt
from subsection (a).
 | 
 Correctional institutions and facilities, as defined in  | 
subsection (d) of
Section 3-1-2 of the Unified Code of  | 
Corrections, are exempt from subsection
(a).
 | 
 (c) This Act does not apply to any PBX telephone extension  | 
that uses radio
transmissions to convey electrical signals  | 
directly between the telephone
extension and the serving PBX.
 | 
 | 
 (d) An entity that violates this Section is guilty of a  | 
business
offense and shall be fined not less than $1,000 and  | 
not more than $5,000.
 | 
 (e) Nothing in this Section shall be
construed to preclude  | 
the Attorney General on behalf of the Illinois State Police or  | 
on
his or her own initiative, or any other interested person,  | 
from seeking
judicial relief, by mandamus, injunction, or  | 
otherwise, to compel compliance
with this Section.
 | 
 (f) The Illinois State Police may promulgate rules for the  | 
administration of this
Section.
 | 
(Source: P.A. 102-9, eff. 6-3-21; 102-538, eff. 8-20-21;  | 
revised 10-14-21.)
 | 
 (50 ILCS 750/15.6a) | 
 (Section scheduled to be repealed on December 31, 2023) | 
 Sec. 15.6a. Wireless emergency 9-1-1 service. | 
 (a) The digits "9-1-1" shall be the designated emergency  | 
telephone number within the wireless system. | 
 (b) The Illinois State Police may set non-discriminatory  | 
and uniform technical and operational standards consistent  | 
with the rules of the Federal Communications Commission for  | 
directing calls to authorized public safety answering points.  | 
These standards shall not in any way prescribe the technology  | 
or manner a wireless carrier shall use to deliver wireless  | 
9-1-1 or wireless E9-1-1 calls, and these standards shall not  | 
exceed the requirements set by the Federal Communications  | 
 | 
Commission; however, standards for directing calls to the  | 
authorized public safety answering point shall be included.  | 
The authority given to the Illinois State Police in this  | 
Section is limited to setting standards as set forth herein  | 
and does not constitute authority to regulate wireless  | 
carriers. | 
 (c) For the purpose of providing wireless 9-1-1 emergency  | 
services, an emergency telephone system board may declare its  | 
intention for one or more of its public safety answering  | 
points to serve as a primary wireless 9-1-1 public safety  | 
answering point for its jurisdiction by notifying the  | 
Administrator in writing within 6 months after receiving its  | 
authority to operate a 9-1-1 system under this Act. In  | 
addition, 2 or more emergency telephone system boards may, by  | 
virtue of an intergovernmental agreement, provide wireless  | 
9-1-1 service. Until the jurisdiction comes into compliance  | 
with Section 15.4a of this Act, the Illinois State Police  | 
shall be the primary wireless 9-1-1 public safety answering  | 
point for any jurisdiction that did not provide notice to the  | 
Illinois Commerce Commission and the Illinois State Police  | 
prior to January 1, 2016. | 
 (d) The Administrator, upon a request from an emergency  | 
telephone system board and with the advice and recommendation  | 
of the Statewide 9-1-1 Advisory Board, may grant authority to  | 
the emergency telephone system board to provide wireless 9-1-1  | 
service in areas for which the Illinois State Police has  | 
 | 
accepted wireless 9-1-1 responsibility. The Administrator  | 
shall maintain a current list of all 9-1-1 systems providing  | 
wireless 9-1-1 service under this Act. 
 | 
(Source: P.A. 102-9, eff. 6-3-21; 102-538, eff. 8-20-21;  | 
revised 10-14-21.)
 | 
 (50 ILCS 750/15.6b) | 
 (Section scheduled to be repealed on December 31, 2023) | 
 Sec. 15.6b. Next Generation 9-1-1 service. | 
 (a) The Administrator, with the advice and recommendation  | 
of the Statewide 9-1-1 Advisory Board, shall develop and  | 
implement a plan for a statewide Next Generation 9-1-1  | 
network. The Next Generation 9-1-1 network must be an Internet  | 
protocol-based platform that at a minimum provides:  | 
  (1) improved 9-1-1 call delivery; | 
  (2) enhanced interoperability; | 
  (3) increased ease of communication between 9-1-1  | 
 service providers, allowing immediate transfer of 9-1-1  | 
 calls, caller information, photos, and other data  | 
 statewide; | 
  (4) a hosted solution with redundancy built in; and | 
  (5) compliance with the most current NENA Standards. | 
 (b) By July 1, 2016, the Administrator, with the advice  | 
and recommendation of the Statewide 9-1-1 Advisory Board,  | 
shall design and issue a competitive request for a proposal to  | 
secure the services of a consultant to complete a feasibility  | 
 | 
study on the implementation of a statewide Next Generation  | 
9-1-1 network in Illinois. By July 1, 2017, the consultant  | 
shall complete the feasibility study and make recommendations  | 
as to the appropriate procurement approach for developing a  | 
statewide Next Generation 9-1-1 network. | 
 (c) Within 12 months of the final report from the  | 
consultant under subsection (b) of this Section, the Illinois  | 
State Police shall procure and finalize a contract with a  | 
vendor certified under Section 13-900 of the Public Utilities  | 
Act to establish a statewide Next Generation 9-1-1 network.  | 
The Illinois State Police, in consultation with and subject to  | 
the approval of the Chief Procurement Officer, may procure a  | 
single contract or multiple contracts to implement the  | 
provisions of this Section. A contract or contracts under this  | 
subsection are not subject to the provisions of the Illinois  | 
Procurement Code, except for Sections 20-60, 20-65, 20-70, and  | 
20-160 and Article 50 of that Code, provided that the Chief  | 
Procurement Officer may, in writing with justification, waive  | 
any certification required under Article 50 of the Illinois  | 
Procurement Code. This exemption is inoperative 2 years from  | 
June 3, 2021 (the effective date of Public Act 102-9) this  | 
Amendatory Act of the 102nd General Assembly. Within 18 months  | 
of securing the contract, the vendor shall implement a Next  | 
Generation 9-1-1 network that allows 9-1-1 systems providing  | 
9-1-1 service to Illinois residents to access the system  | 
utilizing their current infrastructure if it meets the  | 
 | 
standards adopted by the Illinois State Police. 
 | 
(Source: P.A. 101-639, eff. 6-12-20; 102-9, eff. 6-3-21;  | 
102-538, eff. 8-20-21; revised 10-12-21.)
 | 
 (50 ILCS 750/17.5) | 
 (Section scheduled to be repealed on December 31, 2023) | 
 Sec. 17.5. Statewide 9-1-1 Call Directory. | 
 (a) The General Assembly finds the following: | 
  (1) Some 9-1-1 systems throughout this State do not  | 
 have a procedure in place to manually transfer 9-1-1 calls  | 
 originating within one 9-1-1 system's jurisdiction, but  | 
 which should properly be answered and dispatched by  | 
 another 9-1-1 system, to the appropriate 9-1-1 system for  | 
 answering and dispatch of first responders. | 
  (2) On January 1, 2016, the General Assembly gave  | 
 oversight authority of 9-1-1 systems to the Illinois State  | 
 Police. | 
  (3) Since that date, the Illinois State Police has  | 
 authorized individual 9-1-1 systems in counties and  | 
 municipalities to implement and upgrade 9-1-1 systems  | 
 throughout the State. | 
 (b) The Illinois State Police shall prepare a directory of  | 
all authorized 9-1-1 systems in the State. The directory shall  | 
include an emergency 24/7 10-digit telephone number for all  | 
primary public safety answering points located in each 9-1-1  | 
system to which 9-1-1 calls from another jurisdiction can be  | 
 | 
transferred. This directory shall be made available to each  | 
9-1-1 authority for its use in establishing standard operating  | 
procedures regarding calls outside its 9-1-1 jurisdiction. | 
 (c) Each 9-1-1 system shall provide the Illinois State  | 
Police with the following information: | 
  (1) The name of the PSAP, a list of every  | 
 participating agency, and the county the PSAP is in,  | 
 including college and university public safety entities. | 
  (2) The 24/7 10-digit emergency telephone number for  | 
 the dispatch agency to which 9-1-1 calls originating in  | 
 another 9-1-1 jurisdiction can be transferred to exchange  | 
 information. The emergency telephone number must be a  | 
 direct line that is not answered by an automated system  | 
 but rather is answered by a person. Each 9-1-1 system  | 
 shall provide the Illinois State Police with any changes  | 
 to the participating agencies and this number immediately  | 
 upon the change occurring. Each 9-1-1 system shall provide  | 
 the PSAP information and the 24/7 10-digit emergency  | 
 telephone number Illinois State Police's within 30 days of  | 
 June 3, 2021 (the effective date of Public Act 102-9) this  | 
 amendatory Act of the 102nd General Assembly. | 
  (3) The standard operating procedure describing the  | 
 manner in which the 9-1-1 system will transfer 9-1-1 calls  | 
 originating within its jurisdiction, but which should  | 
 properly be answered and dispatched by another 9-1-1  | 
 system, to the appropriate 9-1-1 system. Each 9-1-1 system  | 
 | 
 shall provide the standard operating procedures to the  | 
 Manager of the Illinois State Police's 9-1-1 Program  | 
 within 180 days after July 1, 2017 (the effective date of  | 
 Public Act 100-20) this amendatory Act of the 100th  | 
 General Assembly. 
 | 
 (d) Unless exigent circumstances dictate otherwise, each  | 
9-1-1 system's public safety telecommunicators shall be  | 
responsible for remaining on the line with the caller when a  | 
9-1-1 call originates within its jurisdiction to ensure the  | 
9-1-1 call is transferred to the appropriate authorized entity  | 
for answer and dispatch until a public safety telecommunicator  | 
is on the line and confirms jurisdiction for the call.  | 
(Source: P.A. 102-9, eff. 6-3-21; 102-538, eff. 8-20-21;  | 
revised 10-15-21.)
 | 
 (50 ILCS 750/19) | 
 (Section scheduled to be repealed on December 31, 2023) | 
 Sec. 19. Statewide 9-1-1 Advisory Board. | 
 (a) Beginning July 1, 2015, there is created the Statewide  | 
9-1-1 Advisory Board within the Illinois State Police. The  | 
Board shall consist of the following 11 voting members: | 
  (1) The Director of the Illinois State Police, or his  | 
 or her designee, who shall serve as chairman. | 
  (2) The Executive Director of the Commission, or his  | 
 or her designee. | 
  (3) Members Nine members appointed by the Governor as  | 
 | 
 follows: | 
   (A) one member representing the Illinois chapter  | 
 of the National Emergency Number Association, or his  | 
 or her designee; | 
   (B) one member representing the Illinois chapter  | 
 of the Association of Public-Safety Communications  | 
 Officials, or his or her designee; | 
   (C) one member representing a county 9-1-1 system  | 
 from a county with a population of less than 37,000; | 
   (C-5) one member representing a county 9-1-1  | 
 system from a county with a population between 37,000  | 
 and 100,000;  | 
   (D) one member representing a county 9-1-1 system  | 
 from a county with a population between 100,001 and  | 
 250,000; | 
   (E) one member representing a county 9-1-1 system  | 
 from a county with a population of more than 250,000; | 
   (F) one member representing a municipal or  | 
 intergovernmental cooperative 9-1-1 system, excluding  | 
 any single municipality with a population over  | 
 500,000; | 
   (G) one member representing the Illinois  | 
 Association of Chiefs of Police; | 
   (H) one member representing the Illinois Sheriffs'  | 
 Association; and | 
   (I) one member representing the Illinois Fire  | 
 | 
 Chiefs Association. | 
 The Governor shall appoint the following non-voting  | 
members: (i) one member representing an incumbent local  | 
exchange 9-1-1 system provider; (ii) one member representing a  | 
non-incumbent local exchange 9-1-1 system provider; (iii) one  | 
member representing a large wireless carrier; (iv) one member  | 
representing an incumbent local exchange carrier; (v) one  | 
member representing the Illinois Broadband and  | 
Telecommunications Association; (vi) one member representing  | 
the Illinois Broadband and Cable Association; and (vii) one  | 
member representing the Illinois State Ambulance Association.  | 
The Speaker of the House of Representatives, the Minority  | 
Leader of the House of Representatives, the President of the  | 
Senate, and the Minority Leader of the Senate may each appoint  | 
a member of the General Assembly to temporarily serve as a  | 
non-voting member of the Board during the 12 months prior to  | 
the repeal date of this Act to discuss legislative initiatives  | 
of the Board.  | 
 (b) The Governor shall make initial appointments to the  | 
Statewide 9-1-1 Advisory Board by August 31, 2015. Six of the  | 
voting members appointed by the Governor shall serve an  | 
initial term of 2 years, and the remaining voting members  | 
appointed by the Governor shall serve an initial term of 3  | 
years. Thereafter, each appointment by the Governor shall be  | 
for a term of 3 years. Non-voting members shall serve for a  | 
term of 3 years. Vacancies shall be filled in the same manner  | 
 | 
as the original appointment. Persons appointed to fill a  | 
vacancy shall serve for the balance of the unexpired term. | 
 Members of the Statewide 9-1-1 Advisory Board shall serve  | 
without compensation. | 
 (c) The 9-1-1 Services Advisory Board, as constituted on  | 
June 1, 2015 without the legislative members, shall serve in  | 
the role of the Statewide 9-1-1 Advisory Board until all  | 
appointments of voting members have been made by the Governor  | 
under subsection (a) of this Section. | 
 (d) The Statewide 9-1-1 Advisory Board shall: | 
  (1) advise the Illinois State Police and the Statewide  | 
 9-1-1 Administrator on the oversight of 9-1-1 systems and  | 
 the development and implementation of a uniform statewide  | 
 9-1-1 system; | 
  (2) make recommendations to the Governor and the  | 
 General Assembly regarding improvements to 9-1-1 services  | 
 throughout the State; and | 
  (3) exercise all other powers and duties provided in  | 
 this Act. | 
 (e) The Statewide 9-1-1 Advisory Board shall submit to the  | 
General Assembly a report by March 1 of each year providing an  | 
update on the transition to a statewide 9-1-1 system and  | 
recommending any legislative action. | 
 (f) The Illinois State Police shall provide administrative  | 
support to the Statewide 9-1-1 Advisory Board. 
 | 
(Source: P.A. 102-9, eff. 6-3-21; 102-538, eff. 8-20-21;  | 
 | 
revised 10-15-21.)
 | 
 (50 ILCS 750/20) | 
 (Section scheduled to be repealed on December 31, 2023) | 
 Sec. 20. Statewide surcharge. | 
 (a) On and after January 1, 2016, and except with respect  | 
to those customers who are subject to surcharges as provided  | 
in Sections 15.3 and 15.3a of this Act, a monthly surcharge  | 
shall be imposed on all customers of telecommunications  | 
carriers and wireless carriers as follows:  | 
  (1) Each telecommunications carrier shall impose a  | 
 monthly surcharge per network connection; provided,  | 
 however, the monthly surcharge shall not apply to a  | 
 network connection provided for use with pay telephone  | 
 services. Where multiple voice grade communications  | 
 channels are connected between the subscriber's premises  | 
 and a public switched network through private branch  | 
 exchange (PBX), Centrex type service, or other multiple  | 
 voice grade communication channels facility, there shall  | 
 be imposed 5 such surcharges per network connection for  | 
 both regular service and advanced service provisioned  | 
 trunk lines. Until December 31, 2017, the surcharge shall  | 
 be $0.87 per network connection and on and after January  | 
 1, 2018, the surcharge shall be $1.50 per network  | 
 connection. | 
  (2) Each wireless carrier shall impose and collect a  | 
 | 
 monthly surcharge per CMRS connection that either has a  | 
 telephone number within an area code assigned to Illinois  | 
 by the North American Numbering Plan Administrator or has  | 
 a billing address in this State. Until December 31, 2017,  | 
 the surcharge shall be $0.87 per connection and on and  | 
 after January 1, 2018, the surcharge shall be $1.50 per  | 
 connection.  | 
 (b) State and local taxes shall not apply to the  | 
surcharges imposed under this Section. | 
 (c) The surcharges imposed by this Section shall be stated  | 
as a separately stated item on subscriber bills. | 
 (d) The telecommunications carrier collecting the  | 
surcharge may deduct and retain 1.74% of the gross amount of  | 
surcharge collected to reimburse the telecommunications  | 
carrier for the expense of accounting and collecting the  | 
surcharge. On and after July 1, 2022, the wireless carrier  | 
collecting a surcharge under this Section may deduct and  | 
retain 1.74% of the gross amount of the surcharge collected to  | 
reimburse the wireless carrier for the expense of accounting  | 
and collecting the surcharge. | 
 (d-5) Notwithstanding the provisions of subsection (d) of  | 
this Section, an amount not greater than 2.5% may be deducted  | 
and retained if the telecommunications or wireless carrier can  | 
support, through documentation, expenses that exceed the 1.74%  | 
allowed. The documentation shall be submitted to the Illinois  | 
State Police and input obtained from the Statewide 9-1-1  | 
 | 
Advisory Board prior to approval of the deduction.  | 
 (e) Surcharges imposed under this Section shall be  | 
collected by the carriers and shall be remitted to the  | 
Illinois State Police, either by check or electronic funds  | 
transfer, by the end of the next calendar month after the  | 
calendar month in which it was collected for deposit into the  | 
Statewide 9-1-1 Fund. Carriers are not required to remit  | 
surcharge moneys that are billed to subscribers but not yet  | 
collected. | 
 The first remittance by wireless carriers shall include  | 
the number of subscribers by zip code, and the 9-digit zip code  | 
if currently being used or later implemented by the carrier,  | 
that shall be the means by which the Illinois State Police  | 
shall determine distributions from the Statewide 9-1-1 Fund.  | 
This information shall be updated at least once each year. Any  | 
carrier that fails to provide the zip code information  | 
required under this subsection (e) shall be subject to the  | 
penalty set forth in subsection (g) of this Section. | 
 (f) If, within 8 calendar days after it is due under  | 
subsection (e) of this Section, a carrier does not remit the  | 
surcharge or any portion thereof required under this Section,  | 
then the surcharge or portion thereof shall be deemed  | 
delinquent until paid in full, and the Illinois State Police  | 
may impose a penalty against the carrier in an amount equal to  | 
the greater of: | 
  (1) $25 for each month or portion of a month from the  | 
 | 
 time an amount becomes delinquent until the amount is paid  | 
 in full; or | 
  (2) an amount equal to the product of 1% and the sum of  | 
 all delinquent amounts for each month or portion of a  | 
 month that the delinquent amounts remain unpaid. | 
 A penalty imposed in accordance with this subsection (f)  | 
for a portion of a month during which the carrier pays the  | 
delinquent amount in full shall be prorated for each day of  | 
that month that the delinquent amount was paid in full. Any  | 
penalty imposed under this subsection (f) is in addition to  | 
the amount of the delinquency and is in addition to any other  | 
penalty imposed under this Section. | 
 (g) If, within 8 calendar days after it is due, a wireless  | 
carrier does not provide the number of subscribers by zip code  | 
as required under subsection (e) of this Section, then the  | 
report is deemed delinquent and the Illinois State Police may  | 
impose a penalty against the carrier in an amount equal to the  | 
greater of: | 
  (1) $25 for each month or portion of a month that the  | 
 report is delinquent; or | 
  (2) an amount equal to the product of $0.01 and the  | 
 number of subscribers served by the carrier for each month  | 
 or portion of a month that the delinquent report is not  | 
 provided. | 
 A penalty imposed in accordance with this subsection (g)  | 
for a portion of a month during which the carrier provides the  | 
 | 
number of subscribers by zip code as required under subsection  | 
(e) of this Section shall be prorated for each day of that  | 
month during which the carrier had not provided the number of  | 
subscribers by zip code as required under subsection (e) of  | 
this Section. Any penalty imposed under this subsection (g) is  | 
in addition to any other penalty imposed under this Section. | 
 (h) A penalty imposed and collected in accordance with  | 
subsection (f) or (g) of this Section shall be deposited into  | 
the Statewide 9-1-1 Fund for distribution according to Section  | 
30 of this Act. | 
 (i) The Illinois State Police may enforce the collection  | 
of any delinquent amount and any penalty due and unpaid under  | 
this Section by legal action or in any other manner by which  | 
the collection of debts due the State of Illinois may be  | 
enforced under the laws of this State. The Illinois State  | 
Police may excuse the payment of any penalty imposed under  | 
this Section if the Administrator determines that the  | 
enforcement of this penalty is unjust. | 
 (j) Notwithstanding any provision of law to the contrary,  | 
nothing shall impair the right of wireless carriers to recover  | 
compliance costs for all emergency communications services  | 
that are not reimbursed out of the Wireless Carrier  | 
Reimbursement Fund directly from their wireless subscribers by  | 
line-item charges on the wireless subscriber's bill. Those  | 
compliance costs include all costs incurred by wireless  | 
carriers in complying with local, State, and federal  | 
 | 
regulatory or legislative mandates that require the  | 
transmission and receipt of emergency communications to and  | 
from the general public, including, but not limited to,  | 
E9-1-1. 
 | 
(Source: P.A. 102-9, eff. 6-3-21; 102-538, eff. 8-20-21;  | 
revised 10-26-21.)
 | 
 (50 ILCS 750/30) | 
 (Section scheduled to be repealed on December 31, 2023) | 
 Sec. 30. Statewide 9-1-1 Fund; surcharge disbursement. | 
 (a) A special fund in the State treasury known as the  | 
Wireless Service Emergency Fund shall be renamed the Statewide  | 
9-1-1 Fund. Any appropriations made from the Wireless Service  | 
Emergency Fund shall be payable from the Statewide 9-1-1 Fund.  | 
The Fund shall consist of the following:  | 
  (1) 9-1-1 wireless surcharges assessed under the  | 
 Wireless Emergency Telephone Safety Act. | 
  (2) 9-1-1 surcharges assessed under Section 20 of this  | 
 Act. | 
  (3) Prepaid wireless 9-1-1 surcharges assessed under  | 
 Section 15 of the Prepaid Wireless 9-1-1 Surcharge Act. | 
  (4) Any appropriations, grants, or gifts made to the  | 
 Fund. | 
  (5) Any income from interest, premiums, gains, or  | 
 other earnings on moneys in the Fund. | 
  (6) Money from any other source that is deposited in  | 
 | 
 or transferred to the Fund.  | 
 (b) Subject to appropriation and availability of funds,  | 
the Illinois State Police shall distribute the 9-1-1  | 
surcharges monthly as follows: | 
  (1) From each surcharge collected and remitted under  | 
 Section 20 of this Act: | 
   (A) $0.013 shall be distributed monthly in equal  | 
 amounts to each County Emergency Telephone System  | 
 Board in counties with a population under 100,000  | 
 according to the most recent census data which is  | 
 authorized to serve as a primary wireless 9-1-1 public  | 
 safety answering point for the county and to provide  | 
 wireless 9-1-1 service as prescribed by subsection (b)  | 
 of Section 15.6a of this Act, and which does provide  | 
 such service. | 
   (B) $0.033 shall be transferred by the Comptroller  | 
 at the direction of the Illinois State Police to the  | 
 Wireless Carrier Reimbursement Fund until June 30,  | 
 2017; from July 1, 2017 through June 30, 2018, $0.026  | 
 shall be transferred; from July 1, 2018 through June  | 
 30, 2019, $0.020 shall be transferred; from July 1,  | 
 2019, through June 30, 2020, $0.013 shall be  | 
 transferred; from July 1, 2020 through June 30, 2021,  | 
 $0.007 will be transferred; and after June 30, 2021,  | 
 no transfer shall be made to the Wireless Carrier  | 
 Reimbursement Fund. | 
 | 
   (C) Until December 31, 2017, $0.007 and on and  | 
 after January 1, 2018, $0.017 shall be used to cover  | 
 the Illinois State Police's administrative costs. | 
   (D) Beginning January 1, 2018, until June 30,  | 
 2020, $0.12, and on and after July 1, 2020, $0.04 shall  | 
 be used to make monthly proportional grants to the  | 
 appropriate 9-1-1 Authority currently taking wireless  | 
 9-1-1 based upon the United States Postal Zip Code of  | 
 the billing addresses of subscribers wireless  | 
 carriers. | 
   (E) Until June 30, 2023, $0.05 shall be used by the  | 
 Illinois State Police for grants for NG9-1-1 expenses,  | 
 with priority given to 9-1-1 Authorities that provide  | 
 9-1-1 service within the territory of a Large Electing  | 
 Provider as defined in Section 13-406.1 of the Public  | 
 Utilities Act. | 
   (F) On and after July 1, 2020, $0.13 shall be used  | 
 for the implementation of and continuing expenses for  | 
 the Statewide NG9-1-1 system.  | 
  (2) After disbursements under paragraph (1) of this  | 
 subsection (b), all remaining funds in the Statewide 9-1-1  | 
 Fund shall be disbursed in the following priority order:  | 
   (A) The Fund shall pay monthly to:  | 
    (i) the 9-1-1 Authorities that imposed  | 
 surcharges under Section 15.3 of this Act and were  | 
 required to report to the Illinois Commerce  | 
 | 
 Commission under Section 27 of the Wireless  | 
 Emergency Telephone Safety Act on October 1, 2014,  | 
 except a 9-1-1 Authority in a municipality with a  | 
 population in excess of 500,000, an amount equal  | 
 to the average monthly wireline and VoIP surcharge  | 
 revenue attributable to the most recent 12-month  | 
 period reported to the Illinois State Police under  | 
 that Section for the October 1, 2014 filing,  | 
 subject to the power of the Illinois State Police  | 
 to investigate the amount reported and adjust the  | 
 number by order under Article X of the Public  | 
 Utilities Act, so that the monthly amount paid  | 
 under this item accurately reflects one-twelfth of  | 
 the aggregate wireline and VoIP surcharge revenue  | 
 properly attributable to the most recent 12-month  | 
 period reported to the Commission; or  | 
    (ii) county qualified governmental entities  | 
 that did not impose a surcharge under Section 15.3  | 
 as of December 31, 2015, and counties that did not  | 
 impose a surcharge as of June 30, 2015, an amount  | 
 equivalent to their population multiplied by .37  | 
 multiplied by the rate of $0.69; counties that are  | 
 not county qualified governmental entities and  | 
 that did not impose a surcharge as of December 31,  | 
 2015, shall not begin to receive the payment  | 
 provided for in this subsection until E9-1-1 and  | 
 | 
 wireless E9-1-1 services are provided within their  | 
 counties; or  | 
    (iii) counties without 9-1-1 service that had  | 
 a surcharge in place by December 31, 2015, an  | 
 amount equivalent to their population multiplied  | 
 by .37 multiplied by their surcharge rate as  | 
 established by the referendum.  | 
   (B) All 9-1-1 network costs for systems outside of  | 
 municipalities with a population of at least 500,000  | 
 shall be paid by the Illinois State Police directly to  | 
 the vendors. | 
   (C) All expenses incurred by the Administrator and  | 
 the Statewide 9-1-1 Advisory Board and costs  | 
 associated with procurement under Section 15.6b  | 
 including requests for information and requests for  | 
 proposals. | 
   (D) Funds may be held in reserve by the Statewide  | 
 9-1-1 Advisory Board and disbursed by the Illinois  | 
 State Police for grants under Section 15.4b of this  | 
 Act and for NG9-1-1 expenses up to $12.5 million per  | 
 year in State fiscal years 2016 and 2017; up to $20  | 
 million in State fiscal year 2018; up to $20.9 million  | 
 in State fiscal year 2019; up to $15.3 million in State  | 
 fiscal year 2020; up to $16.2 million in State fiscal  | 
 year 2021; up to $23.1 million in State fiscal year  | 
 2022; and up to $17.0 million per year for State fiscal  | 
 | 
 year 2023 and each year thereafter. The amount held in  | 
 reserve in State fiscal years 2021, 2022, and 2023  | 
 shall not be less than $6.5 million. Disbursements  | 
 under this subparagraph (D) shall be prioritized as  | 
 follows: (i) consolidation grants prioritized under  | 
 subsection (a) of Section 15.4b of this Act; (ii)  | 
 NG9-1-1 expenses; and (iii) consolidation grants under  | 
 Section 15.4b of this Act for consolidation expenses  | 
 incurred between January 1, 2010, and January 1, 2016.  | 
   (E) All remaining funds per remit month shall be  | 
 used to make monthly proportional grants to the  | 
 appropriate 9-1-1 Authority currently taking wireless  | 
 9-1-1 based upon the United States Postal Zip Code of  | 
 the billing addresses of subscribers of wireless  | 
 carriers.  | 
 (c) The moneys deposited into the Statewide 9-1-1 Fund  | 
under this Section shall not be subject to administrative  | 
charges or chargebacks unless otherwise authorized by this  | 
Act. | 
 (d) Whenever two or more 9-1-1 Authorities consolidate,  | 
the resulting Joint Emergency Telephone System Board shall be  | 
entitled to the monthly payments that had theretofore been  | 
made to each consolidating 9-1-1 Authority. Any reserves held  | 
by any consolidating 9-1-1 Authority shall be transferred to  | 
the resulting Joint Emergency Telephone System Board. Whenever  | 
a county that has no 9-1-1 service as of January 1, 2016 enters  | 
 | 
into an agreement to consolidate to create or join a Joint  | 
Emergency Telephone System Board, the Joint Emergency  | 
Telephone System Board shall be entitled to the monthly  | 
payments that would have otherwise been paid to the county if  | 
it had provided 9-1-1 service. 
 | 
(Source: P.A. 101-639, eff. 6-12-20; 102-9, eff. 6-3-21;  | 
102-538, eff. 8-20-21; revised 10-5-21.)
 | 
 (50 ILCS 750/40) | 
 (Section scheduled to be repealed on December 31, 2023) | 
 Sec. 40. Financial reports. | 
 (a) The Illinois State Police shall create uniform  | 
accounting procedures, with such modification as may be  | 
required to give effect to statutory provisions applicable  | 
only to municipalities with a population in excess of 500,000,  | 
that any emergency telephone system board or unit of local  | 
government receiving surcharge money pursuant to Section 15.3,  | 
15.3a, or 30 of this Act must follow. | 
 (b) By January 31, 2018, and every January 31 thereafter,  | 
each emergency telephone system board or unit of local  | 
government receiving surcharge money pursuant to Section 15.3,  | 
15.3a, or 30 shall report to the Illinois State Police audited  | 
financial statements showing total revenue and expenditures  | 
for the period beginning with the end of the period covered by  | 
the last submitted report through the end of the previous  | 
calendar year in a form and manner as prescribed by the  | 
 | 
Illinois State Police. Such financial information shall  | 
include:  | 
  (1) a detailed summary of revenue from all sources  | 
 including, but not limited to, local, State, federal, and  | 
 private revenues, and any other funds received; | 
  (2) all expenditures made during the reporting period  | 
 from distributions under this Act; | 
  (3) call data and statistics, when available, from the  | 
 reporting period, as specified by the Illinois State  | 
 Police and collected in accordance with any reporting  | 
 method established or required by the Illinois State  | 
 Police; | 
  (4) all costs associated with dispatching appropriate  | 
 public safety agencies to respond to 9-1-1 calls received  | 
 by the PSAP; and | 
  (5) all funding sources and amounts of funding used  | 
 for costs described in paragraph (4) of this subsection  | 
 (b).  | 
 The emergency telephone system board or unit of local  | 
government is responsible for any costs associated with  | 
auditing such financial statements. The Illinois State Police  | 
shall post the audited financial statements on the Illinois  | 
State Police's website.  | 
 (c) Along with its audited financial statement, each  | 
emergency telephone system board or unit of local government  | 
receiving a grant under Section 15.4b of this Act shall  | 
 | 
include a report of the amount of grant moneys received and how  | 
the grant moneys were used. In case of a conflict between this  | 
requirement and the Grant Accountability and Transparency Act,  | 
or with the rules of the Governor's Office of Management and  | 
Budget adopted thereunder, that Act and those rules shall  | 
control. | 
 (d) If an emergency telephone system board that receives  | 
funds from the Statewide 9-1-1 Fund fails to file the 9-1-1  | 
system financial reports as required under this Section, the  | 
Illinois State Police shall suspend and withhold monthly  | 
disbursements otherwise due to the emergency telephone system  | 
board under Section 30 of this Act until the report is filed. | 
 Any monthly disbursements that have been withheld for 12  | 
months or more shall be forfeited by the emergency telephone  | 
system board and shall be distributed proportionally by the  | 
Illinois State Police to compliant emergency telephone system  | 
boards that receive funds from the Statewide 9-1-1 Fund. | 
 Any emergency telephone system board not in compliance  | 
with this Section shall be ineligible to receive any  | 
consolidation grant or infrastructure grant issued under this  | 
Act. | 
 (e) The Illinois State Police may adopt emergency rules  | 
necessary to implement the provisions of this Section. 
 | 
 (f) Any findings or decisions of the Illinois State Police  | 
under this Section shall be deemed a final administrative  | 
decision and shall be subject to judicial review under the  | 
 | 
Administrative Review Law.  | 
 (g) Beginning October 1, 2017, the Illinois State Police  | 
shall provide a quarterly report to the Statewide 9-1-1  | 
Advisory Board of its expenditures from the Statewide 9-1-1  | 
Fund for the prior fiscal quarter.  | 
(Source: P.A. 102-9, eff. 6-3-21; 102-538, eff. 8-20-21;  | 
revised 10-18-21.)
 | 
 Section 290. The Counties Code is amended by changing  | 
Sections 3-9008 and 5-1069.3 and by setting forth,  | 
renumbering, and changing multiple
versions of Section 5-1186  | 
as follows:
 | 
 (55 ILCS 5/3-9008) (from Ch. 34, par. 3-9008)
 | 
 Sec. 3-9008. Appointment of attorney to perform duties.  | 
 (a) (Blank). | 
 (a-5) The court on its own motion, or an interested person  | 
in a cause or proceeding, civil or criminal, may file a  | 
petition alleging that the State's Attorney is sick, absent,  | 
or unable to fulfill the State's Attorney's duties. The court  | 
shall consider the petition, any documents filed in response,  | 
and if necessary, grant a hearing to determine whether the  | 
State's Attorney is sick, absent, or otherwise unable to  | 
fulfill the State's Attorney's duties. If the court finds that  | 
the State's Attorney is sick, absent, or otherwise unable to  | 
fulfill the State's Attorney's duties, the court may appoint  | 
 | 
some competent attorney to prosecute or defend the cause or  | 
proceeding. | 
 (a-10) The court on its own motion, or an interested  | 
person in a cause, proceeding, or other matter arising under  | 
the State's Attorney's duties, civil or criminal, may file a  | 
petition alleging that the State's Attorney has an actual  | 
conflict of interest in the cause, proceeding, or other  | 
matter. The court shall consider the petition, any documents  | 
filed in response, and if necessary, grant a hearing to  | 
determine whether the State's Attorney has an actual conflict  | 
of interest in the cause, proceeding, or other matter. If the  | 
court finds that the petitioner has proven by sufficient facts  | 
and evidence that the State's Attorney has an actual conflict  | 
of interest in a specific case, the court may appoint some  | 
competent attorney to prosecute or defend the cause,  | 
proceeding, or other matter. | 
 (a-15) Notwithstanding subsections (a-5) and (a-10) of  | 
this Section, the State's Attorney may file a petition to  | 
recuse the State's Attorney from a cause or proceeding for any  | 
other reason the State's Attorney deems appropriate and the  | 
court shall appoint a special prosecutor as provided in this  | 
Section. | 
 (a-20) Prior to appointing a private attorney under this  | 
Section, the court shall contact public agencies, including,  | 
but not limited to, the Office of Attorney General, Office of  | 
the State's Attorneys Appellate Prosecutor, or local State's  | 
 | 
Attorney's Offices throughout the State, to determine a public  | 
prosecutor's availability to serve as a special prosecutor at  | 
no cost to the county and shall appoint a public agency if they  | 
are able and willing to accept the appointment. An attorney so  | 
appointed shall have the same power and authority in relation  | 
to the cause or proceeding as the State's Attorney would have  | 
if present and attending to the cause or proceedings.  | 
 (b) In case of a vacancy of more than one year
occurring in  | 
any county in the office of State's attorney, by death,
 | 
resignation or otherwise, and it becomes necessary for the  | 
transaction
of the public business, that some competent  | 
attorney act as State's
attorney in and for such county during  | 
the period between the time of
the occurrence of such vacancy  | 
and the election and qualification of a
State's attorney, as  | 
provided by law, the vacancy shall be filled upon
the written  | 
request of a majority of the circuit judges of the circuit
in  | 
which is located the county where such vacancy exists, by  | 
appointment
as provided in the Election Code of some competent  | 
attorney to perform
and discharge all the duties of a State's  | 
attorney in the said county,
such appointment and all  | 
authority thereunder to cease upon the election
and  | 
qualification of a State's attorney, as provided by law. Any
 | 
attorney appointed for any reason under this Section shall
 | 
possess all the powers and discharge all the
duties of a  | 
regularly elected State's attorney under the laws of the
State  | 
to the extent necessary to fulfill the purpose of such
 | 
 | 
appointment, and shall be paid by the county the State's  | 
Attorney serves not to exceed in
any one period of 12 months,  | 
for the reasonable amount of time actually
expended in  | 
carrying out the purpose of such appointment, the same  | 
compensation
as provided by law for the State's attorney of  | 
the county, apportioned,
in the case of lesser amounts of  | 
compensation,
as to the time of service reasonably and  | 
actually expended. The county shall participate in all  | 
agreements on the rate of compensation of a special  | 
prosecutor. 
 | 
 (c) An order granting authority to a special prosecutor  | 
must be construed strictly and narrowly by the court. The  | 
power and authority of a special prosecutor shall not be  | 
expanded without prior notice to the county. In the case of the  | 
proposed expansion of a special prosecutor's power and  | 
authority, a county may provide the court with information on  | 
the financial impact of an expansion on the county. Prior to  | 
the signing of an order requiring a county to pay for  | 
attorney's fees or litigation expenses, the county shall be  | 
provided with a detailed copy of the invoice describing the  | 
fees, and the invoice shall include all activities performed  | 
in relation to the case and the amount of time spent on each  | 
activity.  | 
(Source: P.A. 102-56, eff. 7-9-21; 102-657, eff. 1-1-22;  | 
revised 10-18-21.)
 | 
 | 
 (55 ILCS 5/5-1069.3)
 | 
 Sec. 5-1069.3. Required health benefits.  If a county,  | 
including a home
rule
county, is a self-insurer for purposes  | 
of providing health insurance coverage
for its employees, the  | 
coverage shall include coverage for the post-mastectomy
care  | 
benefits required to be covered by a policy of accident and  | 
health
insurance under Section 356t and the coverage required  | 
under Sections 356g, 356g.5, 356g.5-1, 356q, 356u,
356w, 356x,  | 
356z.6, 356z.8, 356z.9, 356z.10, 356z.11, 356z.12, 356z.13,  | 
356z.14, 356z.15, 356z.22, 356z.25, 356z.26, 356z.29,  | 
356z.30a, 356z.32, 356z.33, 356z.36, 356z.40, 356z.41,  | 
356z.45, 356z.46, 356z.47, 356z.48, and 356z.51 and 356z.43 of
 | 
the Illinois Insurance Code. The coverage shall comply with  | 
Sections 155.22a, 355b, 356z.19, and 370c of
the Illinois  | 
Insurance Code. The Department of Insurance shall enforce the  | 
requirements of this Section. The requirement that health  | 
benefits be covered
as provided in this Section is an
 | 
exclusive power and function of the State and is a denial and  | 
limitation under
Article VII, Section 6, subsection (h) of the  | 
Illinois Constitution. A home
rule county to which this  | 
Section applies must comply with every provision of
this  | 
Section.
 | 
 Rulemaking authority to implement Public Act 95-1045, if  | 
any, is conditioned on the rules being adopted in accordance  | 
with all provisions of the Illinois Administrative Procedure  | 
Act and all rules and procedures of the Joint Committee on  | 
 | 
Administrative Rules; any purported rule not so adopted, for  | 
whatever reason, is unauthorized.  | 
(Source: P.A. 101-81, eff. 7-12-19; 101-281, eff. 1-1-20;  | 
101-393, eff. 1-1-20; 101-461, eff. 1-1-20; 101-625, eff.  | 
1-1-21; 102-30, eff. 1-1-22; 102-103, eff. 1-1-22; 102-203,  | 
eff. 1-1-22; 102-306, eff. 1-1-22; 102-443, eff. 1-1-22;  | 
102-642, eff. 1-1-22; 102-665, eff. 10-8-21; revised  | 
10-26-21.)
 | 
 (55 ILCS 5/5-1186) | 
 Sec. 5-1186. Kane County criminal courts complex drug  | 
treatment center. Notwithstanding any other provision of law: | 
  (1) A private drug addiction treatment center may  | 
 operate on the property transferred to Kane County in  | 
 Public Act 86-729. | 
  (2) Kane County may lease portions of the property  | 
 transferred to the County in Public Act 86-729 to a  | 
 not-for-profit or for-profit company for a drug addiction  | 
 treatment center. Kane County may share in the drug  | 
 addiction treatment center revenue with a company to whom  | 
 it leases the property. | 
  (3) Kane County may authorize the expenditure of funds  | 
 for a private drug addiction treatment center on the  | 
 property transferred to the County in Public Act 86-729.
 | 
(Source: P.A. 102-281, eff. 8-6-21.)
 | 
 | 
 (55 ILCS 5/5-1187)
 | 
 Sec. 5-1187 5-1186. COVID-19 business relief; waiver of  | 
business fees, costs, and licensing. Notwithstanding any other  | 
provision of law, a county board or board of county  | 
commissioners may, by resolution, waive or provide credit for  | 
any application or permit costs, fees, or other licensing or  | 
registration costs for businesses, including, but not limited  | 
to, professional or business licensing, liquor licenses,  | 
construction, insurance, sales, builders, contractors, food  | 
service, delivery, repair, consultation, legal services,  | 
accounting, transportation, manufacturing, technology,  | 
assembly, tourism, entertainment, or any business, industry,  | 
or service the county is permitted by law to regulate or  | 
license. | 
 A waiver of business fees or costs shall be subject to an  | 
application or review process and a demonstration of need  | 
based upon any financial or logistical hardship as a result of  | 
the COVID-19 pandemic. | 
 Any such waiver or credit shall not be construed to apply  | 
to any of the business and licensing costs of the State or any  | 
of its agencies or departments and is not an exemption from  | 
safety, health, or regulatory requirements or inspections of a  | 
county, municipality, or the State.
 | 
(Source: P.A. 102-435, eff. 8-20-21; revised 11-9-21.)
 | 
 Section 295. The Illinois Municipal Code is amended by  | 
 | 
changing Sections 8-4-25, 10-1-7, 10-1-7.1, 10-2.1-6,  | 
10-2.1-6.3, and 10-4-2.3 as follows:
 | 
 (65 ILCS 5/8-4-25) (from Ch. 24, par. 8-4-25)
 | 
 Sec. 8-4-25. 
Subject to the requirements of the Bond Issue  | 
Notification
Act, any municipality is authorized to issue from  | 
time to time
full faith and credit general obligation notes in  | 
an amount not to exceed
85% of the specific taxes levied for  | 
the year during which and for which
such notes are issued,  | 
provided no notes shall be issued in lieu of tax
warrants for  | 
any tax at any time there are outstanding tax anticipation
 | 
warrants against the specific taxes levied for the year. Such  | 
notes shall
bear interest at a rate not to exceed the maximum  | 
rate authorized by the
Bond Authorization Act, as amended at  | 
the time of the making of the
contract, if issued before  | 
January 1, 1972 and not more than the maximum
rate authorized  | 
by the Bond Authorization Act, as amended at the time of
the  | 
making of the contract, if issued after January 1, 1972 and  | 
shall
mature within two years from date. The first interest  | 
payment date on any
such notes shall not be earlier than the  | 
delinquency date of the first
installment of taxes levied to  | 
pay interest and principal of such notes.
Notes may be issued  | 
for taxes levied for the following purposes:
 | 
 (a) Corporate.
 | 
 (b) For the payment of judgments.
 | 
 (c) Public Library for Maintenance and Operation.
 | 
 | 
 (d) Public Library for Buildings and Sites.
 | 
 (e) (Blank).
 | 
 (f) Relief (General Assistance).
 | 
 In order to authorize and issue such notes, the corporate  | 
authorities
shall adopt an ordinance fixing the amount of the  | 
notes, the date
thereof, the maturity, rate of interest, place  | 
of payment and
denomination, which shall be in equal multiples  | 
of $1,000, and provide
for the levy and collection of a direct  | 
annual tax upon all the taxable
property in the municipality  | 
sufficient to pay the principal of and
interest on such notes  | 
as the same becomes due.
 | 
 A certified copy of the ordinance authorizing the issuance  | 
of the
notes shall be filed in the office of the County Clerk  | 
of the county in
which the municipality is located, or if the  | 
municipality lies partly
within two or more counties, a  | 
certified copy of the ordinance
authorizing such notes shall  | 
be filed with the County Clerk of each of
the respective  | 
counties, and it shall be the duty of the County Clerk,
or  | 
County Clerks, whichever the case may be, to extend the tax  | 
therefor
in addition to and in excess of all other taxes  | 
heretofore or hereafter
authorized to be levied by such  | 
municipality.
 | 
 From and after any such notes have been issued and while  | 
such notes
are outstanding, it shall be the duty of the County  | 
Clerk or County
Clerks, whichever the case may be, in  | 
computing the tax rate for the
purpose for which the notes have  | 
 | 
been issued to reduce the tax rate
levied for such purpose by  | 
the amount levied to pay the principal of and
interest on the  | 
notes to maturity, provided the tax rate shall not be
reduced  | 
beyond the amount necessary to reimburse any money borrowed  | 
from
the working cash fund, and it shall be the duty of the  | 
Clerk of the
municipality annually, not less than thirty (30)  | 
days prior to the tax
extension date, to certify to the County  | 
Clerk, or County Clerks,
whichever the case may be, the amount  | 
of money borrowed from the working
cash fund to be reimbursed  | 
from the specific tax levy.
 | 
 No reimbursement shall be made to the working cash fund  | 
until there
has been accumulated from the tax levy provided  | 
for the notes an amount
sufficient to pay the principal of and  | 
interest on such notes as the
same become due.
 | 
 With respect to instruments for the payment of money  | 
issued under this
Section either before, on, or after June 6,  | 
1989 (the effective date of Public Act 86-4) this amendatory
 | 
Act of 1989, it is and always has been the intention of the  | 
General
Assembly (i) that the Omnibus Bond Acts are and always  | 
have been supplementary
grants of power to issue instruments  | 
in accordance with the Omnibus Bond
Acts, regardless of any  | 
provision of this Act that may appear to be or to
have been  | 
more restrictive than those Acts, (ii) that the provisions of
 | 
this Section are not a limitation on the supplementary  | 
authority granted by
the Omnibus Bond Acts, and (iii) that  | 
instruments issued under this Section
within the supplementary  | 
 | 
authority granted by the Omnibus Bond Acts are not
invalid  | 
because of any provision of this Act that may appear to be or  | 
to
have been more restrictive than those Acts.
 | 
(Source: P.A. 102-587, eff. 1-1-22; revised 12-3-21.)
 | 
 (65 ILCS 5/10-1-7) (from Ch. 24, par. 10-1-7)
 | 
 Sec. 10-1-7. Examination of applicants; disqualifications. 
 | 
 (a) All applicants for offices or places in the classified  | 
service, except
those mentioned in Section 10-1-17, are  | 
subject to examination. The
examination shall be public,  | 
competitive, and open to all citizens of the
United States,  | 
with specified limitations as to residence, age, health,  | 
habits
and moral character.
 | 
 (b) Residency requirements in effect at the time an  | 
individual enters the
fire or police service of a municipality  | 
(other than a municipality that
has more than 1,000,000  | 
inhabitants) cannot be made more restrictive
for that  | 
individual during his or her period of service for that  | 
municipality,
or be made a condition of promotion, except for  | 
the rank or position of Fire or
Police Chief. 
 | 
 (c) No person with a record of misdemeanor convictions  | 
except
those under Sections 11-1.50, 11-6, 11-7, 11-9, 11-14,  | 
11-15, 11-17, 11-18, 11-19,
11-30, 11-35, 12-2, 12-6, 12-15,  | 
14-4, 16-1, 21.1-3, 24-3.1, 24-5, 25-1, 28-3, 31-1,
31-4,  | 
31-6, 31-7, 32-1, 32-2, 32-3, 32-4, and 32-8, subdivisions  | 
(a)(1) and (a)(2)(C) of Section 11-14.3, and paragraphs  | 
 | 
subsections (1), (6), and
(8) of subsection (a) of Section  | 
24-1 of the Criminal Code of 1961 or the Criminal Code of 2012  | 
or arrested for any cause but
not convicted on that cause shall  | 
be disqualified from taking the examination
on grounds of  | 
habits or moral character, unless the person is attempting to
 | 
qualify for a position on the police department, in which case  | 
the conviction
or arrest may be considered as a factor in  | 
determining the person's habits or
moral character.
 | 
 (d) Persons entitled to military preference under Section  | 
10-1-16
shall not be subject to limitations specifying age  | 
unless they are
applicants for a position as a fireman or a  | 
policeman having no previous
employment status as a fireman or  | 
policeman in the regularly constituted
fire or police  | 
department of the municipality, in which case they must not
 | 
have attained their 35th birthday, except any person who has  | 
served as an
auxiliary police officer under Section 3.1-30-20  | 
for at least 5 years and is
under 40 years of age. 
 | 
 (e) All employees of a municipality of less than 500,000  | 
population (except
those who would be excluded from the  | 
classified service as provided in this
Division 1) who are  | 
holding that employment as of the date a municipality
adopts  | 
this Division 1, or as of July 17, 1959, whichever date is the  | 
later,
and who have held that employment for at least 2 years  | 
immediately before that
later date, and all firemen and  | 
policemen regardless of length of service who
were either  | 
appointed to their respective positions by the board of fire  | 
 | 
and
police commissioners under the provisions of Division 2 of  | 
this Article or who
are serving in a position (except as a  | 
temporary employee) in the fire or
police department in the  | 
municipality on the date a municipality adopts
this Division  | 
1, or as of July 17, 1959, whichever date is the later, shall
 | 
become members of the classified civil service of the  | 
municipality
without examination.
 | 
 (f) The examinations shall be practical in their  | 
character, and shall
relate to those matters that will fairly  | 
test the relative capacity of the
persons examined to  | 
discharge the duties of the positions to which they
seek to be  | 
appointed. The examinations shall include tests of physical
 | 
qualifications, health, and (when appropriate) manual skill.  | 
If an applicant
is unable to pass the physical examination  | 
solely as the result of an injury
received by the applicant as  | 
the result of the performance of an act of duty
while working  | 
as a temporary employee in the position for which he or she is
 | 
being examined, however, the physical examination shall be  | 
waived and the
applicant shall be considered to have passed  | 
the examination. No questions in
any examination shall relate  | 
to political or religious opinions or
affiliations. Results of  | 
examinations and the eligible registers prepared from
the  | 
results shall be published by the commission within 60 days  | 
after any
examinations are held.
 | 
 (g) The commission shall control all examinations, and  | 
may, whenever an
examination is to take place, designate a  | 
 | 
suitable number of persons,
either in or not in the official  | 
service of the municipality, to be
examiners. The examiners  | 
shall conduct the examinations as directed by the
commission  | 
and shall make a return or report of the examinations to the
 | 
commission. If the appointed examiners are in the official  | 
service of the
municipality, the examiners shall not receive  | 
extra compensation for conducting
the examinations unless the  | 
examiners are subject to a collective bargaining agreement  | 
with the municipality. The commission may at any time  | 
substitute any other person,
whether or not in the service of  | 
the municipality, in the place of any one
selected as an  | 
examiner. The commission members may themselves at any time  | 
act
as examiners without appointing examiners. The examiners  | 
at any examination
shall not all be members of the same  | 
political party.
 | 
 (h) In municipalities of 500,000 or more population, no  | 
person who has
attained his or her 35th birthday shall be  | 
eligible to take an examination for
a position as a fireman or  | 
a policeman unless the person has had previous
employment  | 
status as a policeman or fireman in the regularly constituted  | 
police
or fire department of the municipality, except as  | 
provided in this Section.
 | 
 (i) In municipalities of more than 5,000 but not more than  | 
200,000
inhabitants, no person who has attained his or her  | 
35th birthday shall be
eligible to take an examination for a  | 
position as a fireman or a policeman
unless the person has had  | 
 | 
previous employment status as a policeman or fireman
in the  | 
regularly constituted police or fire department of the  | 
municipality,
except as provided in this Section.
 | 
 (j) In all municipalities, applicants who are 20 years of  | 
age and who have
successfully completed 2 years of law  | 
enforcement studies at an accredited
college or university may  | 
be considered for appointment to active duty with
the police  | 
department. An applicant described in this subsection (j) who  | 
is
appointed to active duty shall not have power of arrest, nor  | 
shall the
applicant be permitted to carry firearms, until he  | 
or she reaches 21 years of
age.
 | 
 (k) In municipalities of more than 500,000 population,  | 
applications for
examination for and appointment to positions  | 
as firefighters or police
shall be made available at various  | 
branches of the public library of the
municipality.
 | 
 (l) No municipality having a population less than  | 
1,000,000 shall require
that any fireman appointed to the  | 
lowest rank serve a probationary employment
period of longer  | 
than one year. The limitation on periods of probationary
 | 
employment provided in Public Act 86-990 this amendatory Act  | 
of 1989 is an exclusive power and
function of the State.  | 
Pursuant to subsection (h) of Section 6 of Article VII
of the  | 
Illinois Constitution, a home rule municipality having a  | 
population less
than 1,000,000 must comply with this  | 
limitation on periods of probationary
employment, which is a  | 
denial and limitation of home rule powers.
Notwithstanding  | 
 | 
anything to the contrary in this Section, the probationary
 | 
employment period limitation may be extended for a firefighter  | 
who is required, as a condition of employment, to be a licensed  | 
paramedic, during which time the sole reason that a  | 
firefighter may be discharged without a hearing is for failing  | 
to meet the requirements for paramedic licensure.
 | 
 (m) To the extent that this Section or any other Section in  | 
this Division conflicts with Section 10-1-7.1 or 10-1-7.2,  | 
then Section 10-1-7.1 or 10-1-7.2 shall control. | 
(Source: P.A. 97-251, eff. 8-4-11; 97-898, eff. 8-6-12;  | 
97-1109, eff. 1-1-13; 97-1150, eff. 1-25-13; 98-973, eff.  | 
8-15-14; revised 12-3-21.)
 | 
 (65 ILCS 5/10-1-7.1) | 
 Sec. 10-1-7.1. Original appointments; full-time fire  | 
department. | 
 (a) Applicability. Unless a commission elects to follow  | 
the provisions of Section 10-1-7.2, this Section shall apply  | 
to all original appointments to an affected full-time fire  | 
department. Existing registers of eligibles shall continue to  | 
be valid until their expiration dates, or up to a maximum of 2  | 
years after August 4, 2011 (the effective date of Public Act  | 
97-251). | 
 Notwithstanding any statute, ordinance, rule, or other law  | 
to the contrary, all original appointments to an affected  | 
department to which this Section applies shall be administered  | 
 | 
in the manner provided for in this Section. Provisions of the  | 
Illinois Municipal Code, municipal ordinances, and rules  | 
adopted pursuant to such authority and other laws relating to  | 
initial hiring of firefighters in affected departments shall  | 
continue to apply to the extent they are compatible with this  | 
Section, but in the event of a conflict between this Section  | 
and any other law, this Section shall control. | 
 A home rule or non-home rule municipality may not  | 
administer its fire department process for original  | 
appointments in a manner that is less stringent than this  | 
Section. This Section is a limitation under subsection (i) of  | 
Section 6 of Article VII of the Illinois Constitution on the  | 
concurrent exercise by home rule units of the powers and  | 
functions exercised by the State. | 
 A municipality that is operating under a court order or  | 
consent decree regarding original appointments to a full-time  | 
fire department before August 4, 2011 (the effective date of  | 
Public Act 97-251) is exempt from the requirements of this  | 
Section for the duration of the court order or consent decree.  | 
 Notwithstanding any other provision of this subsection  | 
(a), this Section does not apply to a municipality with more  | 
than 1,000,000 inhabitants.  | 
 (b) Original appointments. All original appointments made  | 
to an affected fire department shall be made from a register of  | 
eligibles established in accordance with the processes  | 
established by this Section. Only persons who meet or exceed  | 
 | 
the performance standards required by this Section shall be  | 
placed on a register of eligibles for original appointment to  | 
an affected fire department. | 
 Whenever an appointing authority authorizes action to hire  | 
a person to perform the duties of a firefighter or to hire a  | 
firefighter-paramedic to fill a position that is a new  | 
position or vacancy due to resignation, discharge, promotion,  | 
death, the granting of a disability or retirement pension, or  | 
any other cause, the appointing authority shall appoint to  | 
that position the person with the highest ranking on the final  | 
eligibility list. If the appointing authority has reason to  | 
conclude that the highest ranked person fails to meet the  | 
minimum standards for the position or if the appointing  | 
authority believes an alternate candidate would better serve  | 
the needs of the department, then the appointing authority has  | 
the right to pass over the highest ranked person and appoint  | 
either: (i) any person who has a ranking in the top 5% of the  | 
register of eligibles or (ii) any person who is among the top 5  | 
highest ranked persons on the list of eligibles if the number  | 
of people who have a ranking in the top 5% of the register of  | 
eligibles is less than 5 people. | 
 Any candidate may pass on an appointment once without  | 
losing his or her position on the register of eligibles. Any  | 
candidate who passes a second time may be removed from the list  | 
by the appointing authority provided that such action shall  | 
not prejudice a person's opportunities to participate in  | 
 | 
future examinations, including an examination held during the  | 
time a candidate is already on the municipality's register of  | 
eligibles. | 
 The sole authority to issue certificates of appointment  | 
shall be vested in the Civil Service Commission. All  | 
certificates of appointment issued to any officer or member of  | 
an affected department shall be signed by the chairperson and  | 
secretary, respectively, of the commission upon appointment of  | 
such officer or member to the affected department by the  | 
commission. After being selected from the register of  | 
eligibles to fill a vacancy in the affected department, each  | 
appointee shall be presented with his or her certificate of  | 
appointment on the day on which he or she is sworn in as a  | 
classified member of the affected department. Firefighters who  | 
were not issued a certificate of appointment when originally  | 
appointed shall be provided with a certificate within 10 days  | 
after making a written request to the chairperson of the Civil  | 
Service Commission. Each person who accepts a certificate of  | 
appointment and successfully completes his or her probationary  | 
period shall be enrolled as a firefighter and as a regular  | 
member of the fire department. | 
 For the purposes of this Section, "firefighter" means any  | 
person who has been prior to, on, or after August 4, 2011 (the  | 
effective date of Public Act 97-251) appointed to a fire  | 
department or fire protection district or employed by a State  | 
university and sworn or commissioned to perform firefighter  | 
 | 
duties or paramedic duties, or both, except that the following  | 
persons are not included: part-time firefighters; auxiliary,  | 
reserve, or voluntary firefighters, including paid-on-call  | 
firefighters; clerks and dispatchers or other civilian  | 
employees of a fire department or fire protection district who  | 
are not routinely expected to perform firefighter duties; and  | 
elected officials. | 
 (c) Qualification for placement on register of eligibles.  | 
The purpose of establishing a register of eligibles is to  | 
identify applicants who possess and demonstrate the mental  | 
aptitude and physical ability to perform the duties required  | 
of members of the fire department in order to provide the  | 
highest quality of service to the public. To this end, all  | 
applicants for original appointment to an affected fire  | 
department shall be subject to examination and testing which  | 
shall be public, competitive, and open to all applicants  | 
unless the municipality shall by ordinance limit applicants to  | 
residents of the municipality, county or counties in which the  | 
municipality is located, State, or nation. Any examination and  | 
testing procedure utilized under subsection (e) of this  | 
Section shall be supported by appropriate validation evidence  | 
and shall comply with all applicable State and federal laws.  | 
Municipalities may establish educational, emergency medical  | 
service licensure, and other prerequisites for participation  | 
in an examination or for hire as a firefighter. Any  | 
municipality may charge a fee to cover the costs of the  | 
 | 
application process. | 
 Residency requirements in effect at the time an individual  | 
enters the fire service of a municipality cannot be made more  | 
restrictive for that individual during his or her period of  | 
service for that municipality, or be made a condition of  | 
promotion, except for the rank or position of fire chief and  | 
for no more than 2 positions that rank immediately below that  | 
of the chief rank which are appointed positions pursuant to  | 
the Fire Department Promotion Act. | 
 No person who is 35 years of age or older shall be eligible  | 
to take an examination for a position as a firefighter unless  | 
the person has had previous employment status as a firefighter  | 
in the regularly constituted fire department of the  | 
municipality, except as provided in this Section. The age  | 
limitation does not apply to: | 
  (1) any person previously employed as a full-time  | 
 firefighter in a regularly constituted fire department of  | 
 (i) any municipality or fire protection district located  | 
 in Illinois, (ii) a fire protection district whose  | 
 obligations were assumed by a municipality under Section  | 
 21 of the Fire Protection District Act, or (iii) a  | 
 municipality whose obligations were taken over by a fire  | 
 protection district, | 
  (2) any person who has served a municipality as a  | 
 regularly enrolled volunteer, paid-on-call, or part-time  | 
 firefighter, or | 
 | 
  (3) any person who turned 35 while serving as a member  | 
 of the active or reserve components of any of the branches  | 
 of the Armed Forces of the United States or the National  | 
 Guard of any state, whose service was characterized as  | 
 honorable or under honorable, if separated from the  | 
 military, and is currently under the age of 40.  | 
 No person who is under 21 years of age shall be eligible  | 
for employment as a firefighter. | 
 No applicant shall be examined concerning his or her  | 
political or religious opinions or affiliations. The  | 
examinations shall be conducted by the commissioners of the  | 
municipality or their designees and agents. | 
 No municipality shall require that any firefighter  | 
appointed to the lowest rank serve a probationary employment  | 
period of longer than one year of actual active employment,  | 
which may exclude periods of training, or injury or illness  | 
leaves, including duty related leave, in excess of 30 calendar  | 
days. Notwithstanding anything to the contrary in this  | 
Section, the probationary employment period limitation may be  | 
extended for a firefighter who is required, as a condition of  | 
employment, to be a licensed paramedic, during which time the  | 
sole reason that a firefighter may be discharged without a  | 
hearing is for failing to meet the requirements for paramedic  | 
licensure. | 
 In the event that any applicant who has been found  | 
eligible for appointment and whose name has been placed upon  | 
 | 
the final eligibility register provided for in this Division 1  | 
has not been appointed to a firefighter position within one  | 
year after the date of his or her physical ability  | 
examination, the commission may cause a second examination to  | 
be made of that applicant's physical ability prior to his or  | 
her appointment. If, after the second examination, the  | 
physical ability of the applicant shall be found to be less  | 
than the minimum standard fixed by the rules of the  | 
commission, the applicant shall not be appointed. The  | 
applicant's name may be retained upon the register of  | 
candidates eligible for appointment and when next reached for  | 
certification and appointment that applicant may be again  | 
examined as provided in this Section, and if the physical  | 
ability of that applicant is found to be less than the minimum  | 
standard fixed by the rules of the commission, the applicant  | 
shall not be appointed, and the name of the applicant shall be  | 
removed from the register. | 
 (d) Notice, examination, and testing components. Notice of  | 
the time, place, general scope, merit criteria for any  | 
subjective component, and fee of every examination shall be  | 
given by the commission, by a publication at least 2 weeks  | 
preceding the examination: (i) in one or more newspapers  | 
published in the municipality, or if no newspaper is published  | 
therein, then in one or more newspapers with a general  | 
circulation within the municipality, or (ii) on the  | 
municipality's Internet website. Additional notice of the  | 
 | 
examination may be given as the commission shall prescribe. | 
 The examination and qualifying standards for employment of  | 
firefighters shall be based on: mental aptitude, physical  | 
ability, preferences, moral character, and health. The mental  | 
aptitude, physical ability, and preference components shall  | 
determine an applicant's qualification for and placement on  | 
the final register of eligibles. The examination may also  | 
include a subjective component based on merit criteria as  | 
determined by the commission. Scores from the examination must  | 
be made available to the public. | 
 (e) Mental aptitude. No person who does not possess at  | 
least a high school diploma or an equivalent high school  | 
education shall be placed on a register of eligibles.  | 
Examination of an applicant's mental aptitude shall be based  | 
upon a written examination. The examination shall be practical  | 
in character and relate to those matters that fairly test the  | 
capacity of the persons examined to discharge the duties  | 
performed by members of a fire department. Written  | 
examinations shall be administered in a manner that ensures  | 
the security and accuracy of the scores achieved. | 
 (f) Physical ability. All candidates shall be required to  | 
undergo an examination of their physical ability to perform  | 
the essential functions included in the duties they may be  | 
called upon to perform as a member of a fire department. For  | 
the purposes of this Section, essential functions of the job  | 
are functions associated with duties that a firefighter may be  | 
 | 
called upon to perform in response to emergency calls. The  | 
frequency of the occurrence of those duties as part of the fire  | 
department's regular routine shall not be a controlling factor  | 
in the design of examination criteria or evolutions selected  | 
for testing. These physical examinations shall be open,  | 
competitive, and based on industry standards designed to test  | 
each applicant's physical abilities in the following  | 
dimensions: | 
  (1) Muscular strength to perform tasks and evolutions  | 
 that may be required in the performance of duties  | 
 including grip strength, leg strength, and arm strength.  | 
 Tests shall be conducted under anaerobic as well as  | 
 aerobic conditions to test both the candidate's speed and  | 
 endurance in performing tasks and evolutions. Tasks tested  | 
 may be based on standards developed, or approved, by the  | 
 local appointing authority. | 
  (2) The ability to climb ladders, operate from  | 
 heights, walk or crawl in the dark along narrow and uneven  | 
 surfaces, and operate in proximity to hazardous  | 
 environments. | 
  (3) The ability to carry out critical, time-sensitive,  | 
 and complex problem solving during physical exertion in  | 
 stressful and hazardous environments. The testing  | 
 environment may be hot and dark with tightly enclosed  | 
 spaces, flashing lights, sirens, and other distractions. | 
 The tests utilized to measure each applicant's
 | 
 | 
capabilities in each of these dimensions may be tests based on
 | 
industry standards currently in use or equivalent tests  | 
approved by the Joint Labor-Management Committee of the Office  | 
of the State Fire Marshal. | 
 Physical ability examinations administered under this  | 
Section shall be conducted with a reasonable number of  | 
proctors and monitors, open to the public, and subject to  | 
reasonable regulations of the commission. | 
 (g) Scoring of examination components. Appointing  | 
authorities may create a preliminary eligibility register. A  | 
person shall be placed on the list based upon his or her  | 
passage of the written examination or the passage of the  | 
written examination and the physical ability component.  | 
Passage of the written examination means attaining the minimum  | 
score set by the commission. Minimum scores should be set by  | 
the commission so as to demonstrate a candidate's ability to  | 
perform the essential functions of the job. The minimum score  | 
set by the commission shall be supported by appropriate  | 
validation evidence and shall comply with all applicable State  | 
and federal laws. The appointing authority may conduct the  | 
physical ability component and any subjective components  | 
subsequent to the posting of the preliminary eligibility  | 
register. | 
 The examination components for an initial eligibility  | 
register shall be graded on a 100-point scale. A person's  | 
position on the list shall be determined by the following: (i)
 | 
 | 
the person's score on the written examination, (ii) the person
 | 
successfully passing the physical ability component, and (iii)  | 
the
person's results on any subjective component as described  | 
in
subsection (d).  | 
 In order to qualify for placement on the final eligibility  | 
register, an applicant's score on the written examination,  | 
before any applicable preference points or subjective points  | 
are applied, shall be at or above the minimum score set by the  | 
commission. The local appointing authority may prescribe the  | 
score to qualify for placement on the final eligibility  | 
register, but the score shall not be less than the minimum  | 
score set by the commission. | 
 The commission shall prepare and keep a register of  | 
persons whose total score is not less than the minimum score  | 
for passage and who have passed the physical ability  | 
examination. These persons shall take rank upon the register  | 
as candidates in the order of their relative excellence based  | 
on the highest to the lowest total points scored on the mental  | 
aptitude, subjective component, and preference components of  | 
the test administered in accordance with this Section. No more  | 
than 60 days after each examination, an initial eligibility  | 
list shall be posted by the commission. The list shall include  | 
the final grades of the candidates without reference to  | 
priority of the time of examination and subject to claim for  | 
preference credit. | 
 Commissions may conduct additional examinations, including  | 
 | 
without limitation a polygraph test, after a final eligibility  | 
register is established and before it expires with the  | 
candidates ranked by total score without regard to date of  | 
examination. No more than 60 days after each examination, an  | 
initial eligibility list shall be posted by the commission  | 
showing the final grades of the candidates without reference  | 
to priority of time of examination and subject to claim for  | 
preference credit. | 
 (h) Preferences. The following are preferences: | 
  (1) Veteran preference. Persons who were engaged in  | 
 the military service of the United States for a period of  | 
 at least one year of active duty and who were honorably  | 
 discharged therefrom, or who are now or have been members  | 
 on inactive or reserve duty in such military or naval  | 
 service, shall be preferred for appointment to and  | 
 employment with the fire department of an affected  | 
 department. | 
  (2) Fire cadet preference. Persons who have  | 
 successfully completed 2 years of study in fire techniques  | 
 or cadet training within a cadet program established under  | 
 the rules of the Joint Labor and Management Committee  | 
 (JLMC), as defined in Section 50 of the Fire Department  | 
 Promotion Act, may be preferred for appointment to and  | 
 employment with the fire department. | 
  (3) Educational preference. Persons who have  | 
 successfully obtained an associate's degree in the field  | 
 | 
 of fire service or emergency medical services, or a  | 
 bachelor's degree from an accredited college or university  | 
 may be preferred for appointment to and employment with  | 
 the fire department. | 
  (4) Paramedic preference. Persons who have obtained a  | 
 license as a paramedic may be preferred for appointment to  | 
 and employment with the fire department of an affected  | 
 department providing emergency medical services. | 
  (5) Experience preference. All persons employed by a  | 
 municipality who have been paid-on-call or part-time  | 
 certified Firefighter II, certified Firefighter III, State  | 
 of Illinois or nationally licensed EMT, EMT-I, A-EMT, or  | 
 paramedic, or any combination of those capacities may be  | 
 awarded up to a maximum of 5 points. However, the  | 
 applicant may not be awarded more than 0.5 points for each  | 
 complete year of paid-on-call or part-time service.  | 
 Applicants from outside the municipality who were employed  | 
 as full-time firefighters or firefighter-paramedics by a  | 
 fire protection district or another municipality may be  | 
 awarded up to 5 experience preference points. However, the  | 
 applicant may not be awarded more than one point for each  | 
 complete year of full-time service. | 
  Upon request by the commission, the governing body of  | 
 the municipality or in the case of applicants from outside  | 
 the municipality the governing body of any fire protection  | 
 district or any other municipality shall certify to the  | 
 | 
 commission, within 10 days after the request, the number  | 
 of years of successful paid-on-call, part-time, or  | 
 full-time service of any person. A candidate may not  | 
 receive the full amount of preference points under this  | 
 subsection if the amount of points awarded would place the  | 
 candidate before a veteran on the eligibility list. If  | 
 more than one candidate receiving experience preference  | 
 points is prevented from receiving all of their points due  | 
 to not being allowed to pass a veteran, the candidates  | 
 shall be placed on the list below the veteran in rank order  | 
 based on the totals received if all points under this  | 
 subsection were to be awarded. Any remaining ties on the  | 
 list shall be determined by lot.  | 
  (6) Residency preference. Applicants whose principal  | 
 residence is located within the fire department's  | 
 jurisdiction may be preferred for appointment to and  | 
 employment with the fire department. | 
  (7) Additional preferences. Up to 5 additional  | 
 preference points may be awarded for unique categories  | 
 based on an applicant's experience or background as  | 
 identified by the commission. | 
  (7.5) Apprentice preferences. A person who has  | 
 performed fire suppression service for a department as a  | 
 firefighter apprentice and otherwise meets the  | 
 qualifications for original appointment as a firefighter  | 
 specified in this Section may be awarded up to 20  | 
 | 
 preference points. To qualify for preference points, an  | 
 applicant shall have completed a minimum of 600 hours of  | 
 fire suppression work on a regular shift for the affected  | 
 fire department over a 12-month period. The fire  | 
 suppression work must be in accordance with Section  | 
 10-1-14 of this Division and the terms established by a  | 
 Joint Apprenticeship Committee included in a collective  | 
 bargaining agreement agreed between the employer and its  | 
 certified bargaining agent. An eligible applicant must  | 
 apply to the Joint Apprenticeship Committee for preference  | 
 points under this item. The Joint Apprenticeship Committee  | 
 shall evaluate the merit of the applicant's performance,  | 
 determine the preference points to be awarded, and certify  | 
 the amount of points awarded to the commissioners. The  | 
 commissioners may add the certified preference points to  | 
 the final grades achieved by the applicant on the other  | 
 components of the examination.  | 
  (8) Scoring of preferences. The commission shall give  | 
 preference for original appointment to persons designated  | 
 in item (1)
by adding to the final grade that they receive  | 
 5 points
for the recognized preference achieved. The  | 
 commission may give preference for original appointment to  | 
 persons designated in item (7.5) by adding to the final  | 
 grade the amount of points designated by the Joint  | 
 Apprenticeship Committee as defined in item (7.5). The  | 
 commission shall determine the number of preference points  | 
 | 
 for each category, except items (1) and (7.5). The number  | 
 of preference points for each category shall range from 0  | 
 to 5, except item (7.5). In determining the number of  | 
 preference points, the commission shall prescribe that if  | 
 a candidate earns the maximum number of preference points  | 
 in all categories except item (7.5), that number may not  | 
 be less than 10 nor more than 30. The commission shall give  | 
 preference for original appointment to persons designated  | 
 in items (2) through (7) by adding the requisite number of  | 
 points to the final grade for each recognized preference  | 
 achieved. The numerical result thus attained shall be  | 
 applied by the commission in determining the final  | 
 eligibility list and appointment from the eligibility  | 
 list. The local appointing authority may prescribe the  | 
 total number of preference points awarded under this  | 
 Section, but the total number of preference points, except  | 
 item (7.5), shall not be less than 10 points or more than  | 
 30 points. Apprentice preference points may be added in  | 
 addition to other preference points awarded by the  | 
 commission.  | 
 No person entitled to any preference shall be required to  | 
claim the credit before any examination held under the  | 
provisions of this Section, but the preference shall be given  | 
after the posting or publication of the initial eligibility  | 
list or register at the request of a person entitled to a  | 
credit before any certification or appointments are made from  | 
 | 
the eligibility register, upon the furnishing of verifiable  | 
evidence and proof of qualifying preference credit. Candidates  | 
who are eligible for preference credit shall make a claim in  | 
writing within 10 days after the posting of the initial  | 
eligibility list, or the claim shall be deemed waived. Final  | 
eligibility registers shall be established after the awarding  | 
of verified preference points. However, apprentice preference  | 
credit earned subsequent to the establishment of the final  | 
eligibility register may be applied to the applicant's score  | 
upon certification by the Joint Apprenticeship Committee to  | 
the commission and the rank order of candidates on the final  | 
eligibility register shall be adjusted accordingly. All  | 
employment shall be subject to the commission's initial hire  | 
background review, including, but not limited to, criminal  | 
history, employment history, moral character, oral  | 
examination, and medical and psychological examinations, all  | 
on a pass-fail basis. The medical and psychological  | 
examinations must be conducted last, and may only be performed  | 
after a conditional offer of employment has been extended. | 
 Any person placed on an eligibility list who exceeds the  | 
age requirement before being appointed to a fire department  | 
shall remain eligible for appointment until the list is  | 
abolished, or his or her name has been on the list for a period  | 
of 2 years. No person who has attained the age of 35 years  | 
shall be inducted into a fire department, except as otherwise  | 
provided in this Section. | 
 | 
 The commission shall strike off the names of candidates  | 
for original appointment after the names have been on the list  | 
for more than 2 years. | 
 (i) Moral character. No person shall be appointed to a  | 
fire department unless he or she is a person of good character;  | 
not a habitual drunkard, a gambler, or a person who has been  | 
convicted of a felony or a crime involving moral turpitude.  | 
However, no person shall be disqualified from appointment to  | 
the fire department because of the person's record of  | 
misdemeanor convictions except those under Sections 11-6,  | 
11-7, 11-9, 11-14, 11-15, 11-17, 11-18, 11-19, 12-2, 12-6,  | 
12-15, 14-4, 16-1, 21.1-3, 24-3.1, 24-5, 25-1, 28-3, 31-1,  | 
31-4, 31-6, 31-7, 32-1, 32-2, 32-3, 32-4, 32-8, and paragraphs  | 
(1), (6), and (8) of subsection (a) subsections 1, 6, and 8 of  | 
Section 24-1 of the Criminal Code of 1961 or the Criminal Code  | 
of 2012, or arrest for any cause without conviction thereon.  | 
Any such person who is in the department may be removed on  | 
charges brought for violating this subsection and after a  | 
trial as hereinafter provided. | 
 A classifiable set of the fingerprints of every person who  | 
is offered employment as a certificated member of an affected  | 
fire department whether with or without compensation, shall be  | 
furnished to the Illinois State Police and to the Federal  | 
Bureau of Investigation by the commission. | 
 Whenever a commission is authorized or required by law to  | 
consider some aspect of criminal history record information  | 
 | 
for the purpose of carrying out its statutory powers and  | 
responsibilities, then, upon request and payment of fees in  | 
conformance with the requirements of Section 2605-400 of the  | 
Illinois State Police Law of the Civil Administrative Code of  | 
Illinois, the Illinois State Police is authorized to furnish,  | 
pursuant to positive identification, the information contained  | 
in State files as is necessary to fulfill the request. | 
 (j) Temporary appointments. In order to prevent a stoppage  | 
of public business, to meet extraordinary exigencies, or to  | 
prevent material impairment of the fire department, the  | 
commission may make temporary appointments, to remain in force  | 
only until regular appointments are made under the provisions  | 
of this Division, but never to exceed 60 days. No temporary  | 
appointment of any one person shall be made more than twice in  | 
any calendar year. | 
 (k) A person who knowingly divulges or receives test  | 
questions or answers before a written examination, or  | 
otherwise knowingly violates or subverts any requirement of  | 
this Section, commits a violation of this Section and may be  | 
subject to charges for official misconduct. | 
 A person who is the knowing recipient of test information  | 
in advance of the examination shall be disqualified from the  | 
examination or discharged from the position to which he or she  | 
was appointed, as applicable, and otherwise subjected to  | 
disciplinary actions.
 | 
(Source: P.A. 101-489, eff. 8-23-19; 102-375, eff. 8-13-21;  | 
 | 
102-538, eff. 8-20-21; 102-558, eff. 8-20-21; revised  | 
10-5-21.)
 | 
 (65 ILCS 5/10-2.1-6) (from Ch. 24, par. 10-2.1-6)
 | 
 Sec. 10-2.1-6. Examination of applicants;  | 
disqualifications. 
 | 
 (a) All applicants for a position in either the fire or  | 
police department
of the municipality shall be under 35 years  | 
of age, shall be subject to an
examination that shall be  | 
public, competitive, and open to all applicants
(unless the  | 
council or board of trustees by ordinance limit applicants to
 | 
electors of the municipality, county, state or nation) and  | 
shall be subject to
reasonable limitations as to residence,  | 
health, habits, and moral character.
The municipality may not  | 
charge or collect any fee from an applicant who has
met all  | 
prequalification standards established by the municipality for  | 
any such
position. With respect to a police department, a  | 
veteran shall be allowed to exceed the maximum age provision  | 
of this Section by the number of years served on active  | 
military duty, but by no more than 10 years of active military  | 
duty. 
 | 
 (b) Residency requirements in effect at the time an  | 
individual enters the
fire or police service of a municipality  | 
(other than a municipality that
has more than 1,000,000  | 
inhabitants) cannot be made more restrictive for
that  | 
individual during his period of service for that municipality,  | 
 | 
or be
made a condition of promotion, except for the rank or  | 
position of Fire or
Police Chief. 
 | 
 (c) No person with a record of misdemeanor convictions  | 
except those
under Sections 11-1.50, 11-6, 11-7, 11-9, 11-14,  | 
11-15, 11-17, 11-18, 11-19,
11-30, 11-35, 12-2, 12-6, 12-15,  | 
14-4, 16-1, 21.1-3, 24-3.1, 24-5, 25-1, 28-3, 31-1, 31-4,
 | 
31-6, 31-7, 32-1, 32-2, 32-3, 32-4, and 32-8, subdivisions  | 
(a)(1) and (a)(2)(C) of Section 11-14.3, and paragraphs  | 
subsections (1), (6), and (8) of subsection (a) of
Section  | 
24-1 of the Criminal Code of 1961 or the Criminal Code of 2012,  | 
or arrested for any cause but not
convicted on that cause shall  | 
be disqualified from taking the examination to
qualify for a  | 
position in the fire department on grounds of habits or moral
 | 
character.
 | 
 (d) The age limitation in subsection (a) does not apply  | 
(i) to any person
previously employed as a policeman or  | 
fireman in a regularly constituted police
or fire department  | 
of (I) any municipality, regardless of whether the  | 
municipality is located in Illinois or in another state, or  | 
(II) a fire protection district
whose obligations were assumed  | 
by a municipality under Section 21 of the Fire
Protection  | 
District Act, (ii) to any person who has served a municipality  | 
as a
regularly enrolled volunteer fireman for 5 years  | 
immediately preceding the time
that municipality begins to use  | 
full time firemen to provide all or part of its
fire protection  | 
service, or (iii) to any person who has served as an auxiliary  | 
 | 
police officer under Section 3.1-30-20 for at least 5 years  | 
and is under 40 years of
age, (iv) to any person who has served  | 
as a deputy under Section 3-6008 of
the Counties Code and  | 
otherwise meets necessary training requirements, or (v) to any  | 
person who has served as a sworn officer as a member of the  | 
Illinois State Police.
 | 
 (e) Applicants who are 20 years of age and who have  | 
successfully completed 2
years of law enforcement studies at  | 
an accredited college or university may be
considered for  | 
appointment to active duty with the police department. An
 | 
applicant described in this subsection (e) who is appointed to  | 
active duty
shall not have power of arrest, nor shall the  | 
applicant be permitted to carry
firearms, until he or she  | 
reaches 21 years of age.
 | 
 (f) Applicants who are 18 years of age and who have  | 
successfully
completed 2 years of study in fire techniques,  | 
amounting to a total of 4
high school credits, within the cadet  | 
program of a municipality may be
considered for appointment to  | 
active duty with the fire department of any
municipality. 
 | 
 (g) The council or board of trustees may by ordinance  | 
provide
that persons residing outside the municipality are  | 
eligible to take the
examination. 
 | 
 (h) The examinations shall be practical in character and  | 
relate to
those matters that will fairly test the capacity of  | 
the persons examined
to discharge the duties of the positions  | 
to which they seek appointment. No
person shall be appointed  | 
 | 
to the police or fire department if he or she does
not possess  | 
a high school diploma or an equivalent high school education.
 | 
A board of fire and police commissioners may, by its rules,  | 
require police
applicants to have obtained an associate's  | 
degree or a bachelor's degree as a
prerequisite for  | 
employment. The
examinations shall include tests of physical  | 
qualifications and health. A board of fire and police  | 
commissioners may, by its rules, waive portions of the  | 
required examination for police applicants who have previously  | 
been full-time sworn officers of a regular police department  | 
in any municipal, county, university, or State law enforcement  | 
agency, provided they are certified by the Illinois Law  | 
Enforcement Training Standards Board and have been with their  | 
respective law enforcement agency within the State for at  | 
least 2 years. No
person shall be appointed to the police or  | 
fire department if he or she has
suffered the amputation of any  | 
limb unless the applicant's duties will be only
clerical or as  | 
a radio operator. No applicant shall be examined concerning  | 
his
or her political or religious opinions or affiliations.  | 
The examinations shall
be conducted by the board of fire and  | 
police commissioners of the municipality
as provided in this  | 
Division 2.1.
 | 
 The requirement that a police applicant possess an  | 
associate's degree under this subsection may be waived if one  | 
or more of the following applies: (1) the applicant has served  | 
for 24 months of honorable active duty in the United States  | 
 | 
Armed Forces and has not been discharged dishonorably or under  | 
circumstances other than honorable; (2) the applicant has  | 
served for 180 days of active duty in the United States Armed  | 
Forces in combat duty recognized by the Department of Defense  | 
and has not been discharged dishonorably or under  | 
circumstances other than honorable; or (3) the applicant has  | 
successfully received credit for a minimum of 60 credit hours  | 
toward a bachelor's degree from an accredited college or  | 
university. | 
 The requirement that a police applicant possess a  | 
bachelor's degree under this subsection may be waived if one  | 
or more of the following applies: (1) the applicant has served  | 
for 36 months of honorable active duty in the United States  | 
Armed Forces and has not been discharged dishonorably or under  | 
circumstances other than honorable or (2) the applicant has  | 
served for 180 days of active duty in the United States Armed  | 
Forces in combat duty recognized by the Department of Defense  | 
and has not been discharged dishonorably or under  | 
circumstances other than honorable.  | 
 (i) No person who is classified by his local selective  | 
service draft board
as a conscientious objector, or who has  | 
ever been so classified, may be
appointed to the police  | 
department.
 | 
 (j) No person shall be appointed to the police or fire  | 
department unless he
or she is a person of good character and  | 
not an habitual drunkard, gambler, or
a person who has been  | 
 | 
convicted of a felony or a crime involving moral
turpitude. No  | 
person, however, shall be disqualified from appointment to the
 | 
fire department because of his or her record of misdemeanor  | 
convictions except
those under Sections 11-1.50, 11-6, 11-7,  | 
11-9, 11-14, 11-15, 11-17, 11-18, 11-19, 11-30, 11-35, 12-2,
 | 
12-6, 12-15, 14-4, 16-1, 21.1-3, 24-3.1, 24-5, 25-1, 28-3,  | 
31-1, 31-4, 31-6,
31-7, 32-1, 32-2, 32-3, 32-4, and 32-8,  | 
subdivisions (a)(1) and (a)(2)(C) of Section 11-14.3, and  | 
paragraphs subsections (1), (6), and (8) of subsection (a) of  | 
Section
24-1 of the Criminal Code of 1961 or the Criminal Code  | 
of 2012, or arrest for any cause without conviction on
that  | 
cause. Any such person who is in the department may be removed  | 
on charges
brought and after a trial as provided in this  | 
Division 2.1.
 | 
(Source: P.A. 102-538, eff. 8-20-21; revised 12-3-21.)
 | 
 (65 ILCS 5/10-2.1-6.3) | 
 Sec. 10-2.1-6.3. Original appointments; full-time fire  | 
department. | 
 (a) Applicability. Unless a commission elects to follow  | 
the provisions of Section 10-2.1-6.4, this Section shall apply  | 
to all original appointments to an affected full-time fire  | 
department. Existing registers of eligibles shall continue to  | 
be valid until their expiration dates, or up to a maximum of 2  | 
years after August 4, 2011 (the effective date of Public Act  | 
97-251). | 
 | 
 Notwithstanding any statute, ordinance, rule, or other law  | 
to the contrary, all original appointments to an affected  | 
department to which this Section applies shall be administered  | 
in the manner provided for in this Section. Provisions of the  | 
Illinois Municipal Code, municipal ordinances, and rules  | 
adopted pursuant to such authority and other laws relating to  | 
initial hiring of firefighters in affected departments shall  | 
continue to apply to the extent they are compatible with this  | 
Section, but in the event of a conflict between this Section  | 
and any other law, this Section shall control. | 
 A home rule or non-home rule municipality may not  | 
administer its fire department process for original  | 
appointments in a manner that is less stringent than this  | 
Section. This Section is a limitation under subsection (i) of  | 
Section 6 of Article VII of the Illinois Constitution on the  | 
concurrent exercise by home rule units of the powers and  | 
functions exercised by the State. | 
 A municipality that is operating under a court order or  | 
consent decree regarding original appointments to a full-time  | 
fire department before August 4, 2011 (the effective date of  | 
Public Act 97-251) is exempt from the requirements of this  | 
Section for the duration of the court order or consent decree. | 
 Notwithstanding any other provision of this subsection  | 
(a), this Section does not apply to a municipality with more  | 
than 1,000,000 inhabitants.  | 
 (b) Original appointments. All original appointments made  | 
 | 
to an affected fire department shall be made from a register of  | 
eligibles established in accordance with the processes  | 
established by this Section. Only persons who meet or exceed  | 
the performance standards required by this Section shall be  | 
placed on a register of eligibles for original appointment to  | 
an affected fire department. | 
 Whenever an appointing authority authorizes action to hire  | 
a person to perform the duties of a firefighter or to hire a  | 
firefighter-paramedic to fill a position that is a new  | 
position or vacancy due to resignation, discharge, promotion,  | 
death, the granting of a disability or retirement pension, or  | 
any other cause, the appointing authority shall appoint to  | 
that position the person with the highest ranking on the final  | 
eligibility list. If the appointing authority has reason to  | 
conclude that the highest ranked person fails to meet the  | 
minimum standards for the position or if the appointing  | 
authority believes an alternate candidate would better serve  | 
the needs of the department, then the appointing authority has  | 
the right to pass over the highest ranked person and appoint  | 
either: (i) any person who has a ranking in the top 5% of the  | 
register of eligibles or (ii) any person who is among the top 5  | 
highest ranked persons on the list of eligibles if the number  | 
of people who have a ranking in the top 5% of the register of  | 
eligibles is less than 5 people. | 
 Any candidate may pass on an appointment once without  | 
losing his or her position on the register of eligibles. Any  | 
 | 
candidate who passes a second time may be removed from the list  | 
by the appointing authority provided that such action shall  | 
not prejudice a person's opportunities to participate in  | 
future examinations, including an examination held during the  | 
time a candidate is already on the municipality's register of  | 
eligibles. | 
 The sole authority to issue certificates of appointment  | 
shall be vested in the board of fire and police commissioners.  | 
All certificates of appointment issued to any officer or  | 
member of an affected department shall be signed by the  | 
chairperson and secretary, respectively, of the board upon  | 
appointment of such officer or member to the affected  | 
department by action of the board. After being selected from  | 
the register of eligibles to fill a vacancy in the affected  | 
department, each appointee shall be presented with his or her  | 
certificate of appointment on the day on which he or she is  | 
sworn in as a classified member of the affected department.  | 
Firefighters who were not issued a certificate of appointment  | 
when originally appointed shall be provided with a certificate  | 
within 10 days after making a written request to the  | 
chairperson of the board of fire and police commissioners.  | 
Each person who accepts a certificate of appointment and  | 
successfully completes his or her probationary period shall be  | 
enrolled as a firefighter and as a regular member of the fire  | 
department. | 
 For the purposes of this Section, "firefighter" means any  | 
 | 
person who has been prior to, on, or after August 4, 2011 (the  | 
effective date of Public Act 97-251) appointed to a fire  | 
department or fire protection district or employed by a State  | 
university and sworn or commissioned to perform firefighter  | 
duties or paramedic duties, or both, except that the following  | 
persons are not included: part-time firefighters; auxiliary,  | 
reserve, or voluntary firefighters, including paid-on-call  | 
firefighters; clerks and dispatchers or other civilian  | 
employees of a fire department or fire protection district who  | 
are not routinely expected to perform firefighter duties; and  | 
elected officials. | 
 (c) Qualification for placement on register of eligibles.  | 
The purpose of establishing a register of eligibles is to  | 
identify applicants who possess and demonstrate the mental  | 
aptitude and physical ability to perform the duties required  | 
of members of the fire department in order to provide the  | 
highest quality of service to the public. To this end, all  | 
applicants for original appointment to an affected fire  | 
department shall be subject to examination and testing which  | 
shall be public, competitive, and open to all applicants  | 
unless the municipality shall by ordinance limit applicants to  | 
residents of the municipality, county or counties in which the  | 
municipality is located, State, or nation. Any examination and  | 
testing procedure utilized under subsection (e) of this  | 
Section shall be supported by appropriate validation evidence  | 
and shall comply with all applicable State and federal laws.  | 
 | 
Municipalities may establish educational, emergency medical  | 
service licensure, and other prerequisites for participation  | 
in an examination or for hire as a firefighter. Any  | 
municipality may charge a fee to cover the costs of the  | 
application process. | 
 Residency requirements in effect at the time an individual  | 
enters the fire service of a municipality cannot be made more  | 
restrictive for that individual during his or her period of  | 
service for that municipality, or be made a condition of  | 
promotion, except for the rank or position of fire chief and  | 
for no more than 2 positions that rank immediately below that  | 
of the chief rank which are appointed positions pursuant to  | 
the Fire Department Promotion Act. | 
 No person who is 35 years of age or older shall be eligible  | 
to take an examination for a position as a firefighter unless  | 
the person has had previous employment status as a firefighter  | 
in the regularly constituted fire department of the  | 
municipality, except as provided in this Section. The age  | 
limitation does not apply to: | 
  (1) any person previously employed as a full-time  | 
 firefighter in a regularly constituted fire department of  | 
 (i) any municipality or fire protection district located  | 
 in Illinois, (ii) a fire protection district whose  | 
 obligations were assumed by a municipality under Section  | 
 21 of the Fire Protection District Act, or (iii) a  | 
 municipality whose obligations were taken over by a fire  | 
 | 
 protection district, | 
  (2) any person who has served a municipality as a  | 
 regularly enrolled volunteer, paid-on-call, or part-time  | 
 firefighter, or | 
  (3) any person who turned 35 while serving as a member  | 
 of the active or reserve components of any of the branches  | 
 of the Armed Forces of the United States or the National  | 
 Guard of any state, whose service was characterized as  | 
 honorable or under honorable, if separated from the  | 
 military, and is currently under the age of 40.  | 
 No person who is under 21 years of age shall be eligible  | 
for employment as a firefighter. | 
 No applicant shall be examined concerning his or her  | 
political or religious opinions or affiliations. The  | 
examinations shall be conducted by the commissioners of the  | 
municipality or their designees and agents. | 
 No municipality shall require that any firefighter  | 
appointed to the lowest rank serve a probationary employment  | 
period of longer than one year of actual active employment,  | 
which may exclude periods of training, or injury or illness  | 
leaves, including duty related leave, in excess of 30 calendar  | 
days. Notwithstanding anything to the contrary in this  | 
Section, the probationary employment period limitation may be  | 
extended for a firefighter who is required, as a condition of  | 
employment, to be a licensed paramedic, during which time the  | 
sole reason that a firefighter may be discharged without a  | 
 | 
hearing is for failing to meet the requirements for paramedic  | 
licensure. | 
 In the event that any applicant who has been found  | 
eligible for appointment and whose name has been placed upon  | 
the final eligibility register provided for in this Section  | 
has not been appointed to a firefighter position within one  | 
year after the date of his or her physical ability  | 
examination, the commission may cause a second examination to  | 
be made of that applicant's physical ability prior to his or  | 
her appointment. If, after the second examination, the  | 
physical ability of the applicant shall be found to be less  | 
than the minimum standard fixed by the rules of the  | 
commission, the applicant shall not be appointed. The  | 
applicant's name may be retained upon the register of  | 
candidates eligible for appointment and when next reached for  | 
certification and appointment that applicant may be again  | 
examined as provided in this Section, and if the physical  | 
ability of that applicant is found to be less than the minimum  | 
standard fixed by the rules of the commission, the applicant  | 
shall not be appointed, and the name of the applicant shall be  | 
removed from the register. | 
 (d) Notice, examination, and testing components. Notice of  | 
the time, place, general scope, merit criteria for any  | 
subjective component, and fee of every examination shall be  | 
given by the commission, by a publication at least 2 weeks  | 
preceding the examination: (i) in one or more newspapers  | 
 | 
published in the municipality, or if no newspaper is published  | 
therein, then in one or more newspapers with a general  | 
circulation within the municipality, or (ii) on the  | 
municipality's Internet website. Additional notice of the  | 
examination may be given as the commission shall prescribe. | 
 The examination and qualifying standards for employment of  | 
firefighters shall be based on: mental aptitude, physical  | 
ability, preferences, moral character, and health. The mental  | 
aptitude, physical ability, and preference components shall  | 
determine an applicant's qualification for and placement on  | 
the final register of eligibles. The examination may also  | 
include a subjective component based on merit criteria as  | 
determined by the commission. Scores from the examination must  | 
be made available to the public. | 
 (e) Mental aptitude. No person who does not possess at  | 
least a high school diploma or an equivalent high school  | 
education shall be placed on a register of eligibles.  | 
Examination of an applicant's mental aptitude shall be based  | 
upon a written examination. The examination shall be practical  | 
in character and relate to those matters that fairly test the  | 
capacity of the persons examined to discharge the duties  | 
performed by members of a fire department. Written  | 
examinations shall be administered in a manner that ensures  | 
the security and accuracy of the scores achieved. | 
 (f) Physical ability. All candidates shall be required to  | 
undergo an examination of their physical ability to perform  | 
 | 
the essential functions included in the duties they may be  | 
called upon to perform as a member of a fire department. For  | 
the purposes of this Section, essential functions of the job  | 
are functions associated with duties that a firefighter may be  | 
called upon to perform in response to emergency calls. The  | 
frequency of the occurrence of those duties as part of the fire  | 
department's regular routine shall not be a controlling factor  | 
in the design of examination criteria or evolutions selected  | 
for testing. These physical examinations shall be open,  | 
competitive, and based on industry standards designed to test  | 
each applicant's physical abilities in the following  | 
dimensions: | 
  (1) Muscular strength to perform tasks and evolutions  | 
 that may be required in the performance of duties  | 
 including grip strength, leg strength, and arm strength.  | 
 Tests shall be conducted under anaerobic as well as  | 
 aerobic conditions to test both the candidate's speed and  | 
 endurance in performing tasks and evolutions. Tasks tested  | 
 may be based on standards developed, or approved, by the  | 
 local appointing authority. | 
  (2) The ability to climb ladders, operate from  | 
 heights, walk or crawl in the dark along narrow and uneven  | 
 surfaces, and operate in proximity to hazardous  | 
 environments. | 
  (3) The ability to carry out critical, time-sensitive,  | 
 and complex problem solving during physical exertion in  | 
 | 
 stressful and hazardous environments. The testing  | 
 environment may be hot and dark with tightly enclosed  | 
 spaces, flashing lights, sirens, and other distractions. | 
 The tests utilized to measure each applicant's
 | 
capabilities in each of these dimensions may be tests based on
 | 
industry standards currently in use or equivalent tests  | 
approved by the Joint Labor-Management Committee of the Office  | 
of the State Fire Marshal.  | 
 Physical ability examinations administered under this  | 
Section shall be conducted with a reasonable number of  | 
proctors and monitors, open to the public, and subject to  | 
reasonable regulations of the commission. | 
 (g) Scoring of examination components. Appointing  | 
authorities may create a preliminary eligibility register. A  | 
person shall be placed on the list based upon his or her  | 
passage of the written examination or the passage of the  | 
written examination and the physical ability component.  | 
Passage of the written examination means attaining the minimum  | 
score set by the commission. Minimum scores should be set by  | 
the commission so as to demonstrate a candidate's ability to  | 
perform the essential functions of the job. The minimum score  | 
set by the commission shall be supported by appropriate  | 
validation evidence and shall comply with all applicable State  | 
and federal laws. The appointing authority may conduct the  | 
physical ability component and any subjective components  | 
subsequent to the posting of the preliminary eligibility  | 
 | 
register. | 
 The examination components for an initial eligibility  | 
register shall be graded on a 100-point scale. A person's  | 
position on the list shall be determined by the following: (i)
 | 
the person's score on the written examination, (ii) the person
 | 
successfully passing the physical ability component, and (iii)  | 
the
person's results on any subjective component as described  | 
in
subsection (d).  | 
 In order to qualify for placement on the final eligibility  | 
register, an applicant's score on the written examination,  | 
before any applicable preference points or subjective points  | 
are applied, shall be at or above the minimum score as set by  | 
the commission. The local appointing authority may prescribe  | 
the score to qualify for placement on the final eligibility  | 
register, but the score shall not be less than the minimum  | 
score set by the commission. | 
 The commission shall prepare and keep a register of  | 
persons whose total score is not less than the minimum score  | 
for passage and who have passed the physical ability  | 
examination. These persons shall take rank upon the register  | 
as candidates in the order of their relative excellence based  | 
on the highest to the lowest total points scored on the mental  | 
aptitude, subjective component, and preference components of  | 
the test administered in accordance with this Section. No more  | 
than 60 days after each examination, an initial eligibility  | 
list shall be posted by the commission. The list shall include  | 
 | 
the final grades of the candidates without reference to  | 
priority of the time of examination and subject to claim for  | 
preference credit. | 
 Commissions may conduct additional examinations, including  | 
without limitation a polygraph test, after a final eligibility  | 
register is established and before it expires with the  | 
candidates ranked by total score without regard to date of  | 
examination. No more than 60 days after each examination, an  | 
initial eligibility list shall be posted by the commission  | 
showing the final grades of the candidates without reference  | 
to priority of time of examination and subject to claim for  | 
preference credit. | 
 (h) Preferences. The following are preferences: | 
  (1) Veteran preference. Persons who were engaged in  | 
 the military service of the United States for a period of  | 
 at least one year of active duty and who were honorably  | 
 discharged therefrom, or who are now or have been members  | 
 on inactive or reserve duty in such military or naval  | 
 service, shall be preferred for appointment to and  | 
 employment with the fire department of an affected  | 
 department. | 
  (2) Fire cadet preference. Persons who have  | 
 successfully completed 2 years of study in fire techniques  | 
 or cadet training within a cadet program established under  | 
 the rules of the Joint Labor and Management Committee  | 
 (JLMC), as defined in Section 50 of the Fire Department  | 
 | 
 Promotion Act, may be preferred for appointment to and  | 
 employment with the fire department. | 
  (3) Educational preference. Persons who have  | 
 successfully obtained an associate's degree in the field  | 
 of fire service or emergency medical services, or a  | 
 bachelor's degree from an accredited college or university  | 
 may be preferred for appointment to and employment with  | 
 the fire department. | 
  (4) Paramedic preference. Persons who have obtained a  | 
 license as a paramedic shall be preferred for appointment  | 
 to and employment with the fire department of an affected  | 
 department providing emergency medical services. | 
  (5) Experience preference. All persons employed by a  | 
 municipality who have been paid-on-call or part-time  | 
 certified Firefighter II, State of Illinois or nationally  | 
 licensed EMT, EMT-I, A-EMT, or any combination of those  | 
 capacities shall be awarded 0.5 point for each year of  | 
 successful service in one or more of those capacities, up  | 
 to a maximum of 5 points. Certified Firefighter III and  | 
 State of Illinois or nationally licensed paramedics shall  | 
 be awarded one point per year up to a maximum of 5 points.  | 
 Applicants from outside the municipality who were employed  | 
 as full-time firefighters or firefighter-paramedics by a  | 
 fire protection district or another municipality for at  | 
 least 2 years shall be awarded 5 experience preference  | 
 points. These additional points presuppose a rating scale  | 
 | 
 totaling 100 points available for the eligibility list. If  | 
 more or fewer points are used in the rating scale for the  | 
 eligibility list, the points awarded under this subsection  | 
 shall be increased or decreased by a factor equal to the  | 
 total possible points available for the examination  | 
 divided by 100. | 
  Upon request by the commission, the governing body of  | 
 the municipality or in the case of applicants from outside  | 
 the municipality the governing body of any fire protection  | 
 district or any other municipality shall certify to the  | 
 commission, within 10 days after the request, the number  | 
 of years of successful paid-on-call, part-time, or  | 
 full-time service of any person. A candidate may not  | 
 receive the full amount of preference points under this  | 
 subsection if the amount of points awarded would place the  | 
 candidate before a veteran on the eligibility list. If  | 
 more than one candidate receiving experience preference  | 
 points is prevented from receiving all of their points due  | 
 to not being allowed to pass a veteran, the candidates  | 
 shall be placed on the list below the veteran in rank order  | 
 based on the totals received if all points under this  | 
 subsection were to be awarded. Any remaining ties on the  | 
 list shall be determined by lot.  | 
  (6) Residency preference. Applicants whose principal  | 
 residence is located within the fire department's  | 
 jurisdiction shall be preferred for appointment to and  | 
 | 
 employment with the fire department. | 
  (7) Additional preferences. Up to 5 additional  | 
 preference points may be awarded for unique categories  | 
 based on an applicant's experience or background as  | 
 identified by the commission. | 
  (7.5) Apprentice preferences. A person who has  | 
 performed fire suppression service for a department as a  | 
 firefighter apprentice and otherwise meets the  | 
 qualifications for original appointment as a firefighter  | 
 specified in this Section is eligible to be awarded up to  | 
 20 preference points. To qualify for preference points, an  | 
 applicant shall have completed a minimum of 600 hours of  | 
 fire suppression work on a regular shift for the affected  | 
 fire department over a 12-month period. The fire  | 
 suppression work must be in accordance with Section  | 
 10-2.1-4 of this Division and the terms established by a  | 
 Joint Apprenticeship Committee included in a collective  | 
 bargaining agreement agreed between the employer and its  | 
 certified bargaining agent. An eligible applicant must  | 
 apply to the Joint Apprenticeship Committee for preference  | 
 points under this item. The Joint Apprenticeship Committee  | 
 shall evaluate the merit of the applicant's performance,  | 
 determine the preference points to be awarded, and certify  | 
 the amount of points awarded to the commissioners. The  | 
 commissioners may add the certified preference points to  | 
 the final grades achieved by the applicant on the other  | 
 | 
 components of the examination.  | 
  (8) Scoring of preferences. The commission may give  | 
 preference for original appointment
to persons designated  | 
 in item (1)
by adding to the final grade that they receive  | 
 5 points
for the recognized preference achieved. The  | 
 commission may give preference for original appointment to  | 
 persons designated in item (7.5) by adding to the final  | 
 grade the amount of points designated by the Joint  | 
 Apprenticeship Committee as defined in item (7.5). The  | 
 commission shall determine the number of preference points  | 
 for each category, except items (1) and (7.5). The number  | 
 of preference points for each category shall range from 0  | 
 to 5, except item (7.5). In determining the number of  | 
 preference points, the commission shall prescribe that if  | 
 a candidate earns the maximum number of preference points  | 
 in all categories except item (7.5), that number may not  | 
 be less than 10 nor more than 30. The commission shall give  | 
 preference for original appointment to persons designated  | 
 in items (2) through (7) by adding the requisite number of  | 
 points to the final grade for each recognized preference  | 
 achieved. The numerical result thus attained shall be  | 
 applied by the commission in determining the final  | 
 eligibility list and appointment from the eligibility  | 
 list. The local appointing authority may prescribe the  | 
 total number of preference points awarded under this  | 
 Section, but the total number of preference points, except  | 
 | 
 item (7.5), shall not be less than 10 points or more than  | 
 30 points. Apprentice preference points may be added in  | 
 addition to other preference points awarded by the  | 
 commission.  | 
 No person entitled to any preference shall be required to  | 
claim the credit before any examination held under the  | 
provisions of this Section, but the preference may be given  | 
after the posting or publication of the initial eligibility  | 
list or register at the request of a person entitled to a  | 
credit before any certification or appointments are made from  | 
the eligibility register, upon the furnishing of verifiable  | 
evidence and proof of qualifying preference credit. Candidates  | 
who are eligible for preference credit may make a claim in  | 
writing within 10 days after the posting of the initial  | 
eligibility list, or the claim may be deemed waived. Final  | 
eligibility registers may be established after the awarding of  | 
verified preference points. However, apprentice preference  | 
credit earned subsequent to the establishment of the final  | 
eligibility register may be applied to the applicant's score  | 
upon certification by the Joint Apprenticeship Committee to  | 
the commission and the rank order of candidates on the final  | 
eligibility register shall be adjusted accordingly. All  | 
employment shall be subject to the commission's initial hire  | 
background review, including, but not limited to, criminal  | 
history, employment history, moral character, oral  | 
examination, and medical and psychological examinations, all  | 
 | 
on a pass-fail basis. The medical and psychological  | 
examinations must be conducted last, and may only be performed  | 
after a conditional offer of employment has been extended. | 
 Any person placed on an eligibility list who exceeds the  | 
age requirement before being appointed to a fire department  | 
shall remain eligible for appointment until the list is  | 
abolished, or his or her name has been on the list for a period  | 
of 2 years. No person who has attained the age of 35 years  | 
shall be inducted into a fire department, except as otherwise  | 
provided in this Section. | 
 The commission shall strike off the names of candidates  | 
for original appointment after the names have been on the list  | 
for more than 2 years. | 
 (i) Moral character. No person shall be appointed to a  | 
fire department unless he or she is a person of good character;  | 
not a habitual drunkard, a gambler, or a person who has been  | 
convicted of a felony or a crime involving moral turpitude.  | 
However, no person shall be disqualified from appointment to  | 
the fire department because of the person's record of  | 
misdemeanor convictions except those under Sections 11-6,  | 
11-7, 11-9, 11-14, 11-15, 11-17, 11-18, 11-19, 12-2, 12-6,  | 
12-15, 14-4, 16-1, 21.1-3, 24-3.1, 24-5, 25-1, 28-3, 31-1,  | 
31-4, 31-6, 31-7, 32-1, 32-2, 32-3, 32-4, 32-8, and paragraphs  | 
(1), (6), and (8) of subsection (a) subsections 1, 6, and 8 of  | 
Section 24-1 of the Criminal Code of 1961 or the Criminal Code  | 
of 2012, or arrest for any cause without conviction thereon.  | 
 | 
Any such person who is in the department may be removed on  | 
charges brought for violating this subsection and after a  | 
trial as hereinafter provided. | 
 A classifiable set of the fingerprints of every person who  | 
is offered employment as a certificated member of an affected  | 
fire department whether with or without compensation, shall be  | 
furnished to the Illinois State Police and to the Federal  | 
Bureau of Investigation by the commission. | 
 Whenever a commission is authorized or required by law to  | 
consider some aspect of criminal history record information  | 
for the purpose of carrying out its statutory powers and  | 
responsibilities, then, upon request and payment of fees in  | 
conformance with the requirements of Section 2605-400 of the  | 
Illinois State Police Law of the Civil Administrative Code of  | 
Illinois, the Illinois State Police is authorized to furnish,  | 
pursuant to positive identification, the information contained  | 
in State files as is necessary to fulfill the request. | 
 (j) Temporary appointments. In order to prevent a stoppage  | 
of public business, to meet extraordinary exigencies, or to  | 
prevent material impairment of the fire department, the  | 
commission may make temporary appointments, to remain in force  | 
only until regular appointments are made under the provisions  | 
of this Division, but never to exceed 60 days. No temporary  | 
appointment of any one person shall be made more than twice in  | 
any calendar year. | 
 (k) A person who knowingly divulges or receives test  | 
 | 
questions or answers before a written examination, or  | 
otherwise knowingly violates or subverts any requirement of  | 
this Section, commits a violation of this Section and may be  | 
subject to charges for official misconduct. | 
 A person who is the knowing recipient of test information  | 
in advance of the examination shall be disqualified from the  | 
examination or discharged from the position to which he or she  | 
was appointed, as applicable, and otherwise subjected to  | 
disciplinary actions.
 | 
(Source: P.A. 101-489, eff. 8-23-19; 102-375, eff. 8-13-21;  | 
102-538, eff. 8-20-21; 102-558, eff. 8-20-21; revised  | 
10-5-21.)
 | 
 (65 ILCS 5/10-4-2.3)
 | 
 Sec. 10-4-2.3. Required health benefits.  If a  | 
municipality, including a
home rule municipality, is a  | 
self-insurer for purposes of providing health
insurance  | 
coverage for its employees, the coverage shall include  | 
coverage for
the post-mastectomy care benefits required to be  | 
covered by a policy of
accident and health insurance under  | 
Section 356t and the coverage required
under Sections 356g,  | 
356g.5, 356g.5-1, 356q, 356u, 356w, 356x, 356z.6, 356z.8,  | 
356z.9, 356z.10, 356z.11, 356z.12, 356z.13, 356z.14, 356z.15,  | 
356z.22, 356z.25, 356z.26, 356z.29, 356z.30a, 356z.32,  | 
356z.33, 356z.36, 356z.40, 356z.41, 356z.45, 356z.46, 356z.47,  | 
356z.48, and 356z.51 and 356z.43 of the Illinois
Insurance
 | 
 | 
Code. The coverage shall comply with Sections 155.22a, 355b,  | 
356z.19, and 370c of
the Illinois Insurance Code. The  | 
Department of Insurance shall enforce the requirements of this  | 
Section. The requirement that health
benefits be covered as  | 
provided in this is an exclusive power and function of
the  | 
State and is a denial and limitation under Article VII,  | 
Section 6,
subsection (h) of the Illinois Constitution. A home  | 
rule municipality to which
this Section applies must comply  | 
with every provision of this Section.
 | 
 Rulemaking authority to implement Public Act 95-1045, if  | 
any, is conditioned on the rules being adopted in accordance  | 
with all provisions of the Illinois Administrative Procedure  | 
Act and all rules and procedures of the Joint Committee on  | 
Administrative Rules; any purported rule not so adopted, for  | 
whatever reason, is unauthorized.  | 
(Source: P.A. 101-81, eff. 7-12-19; 101-281, eff. 1-1-20;  | 
101-393, eff. 1-1-20; 101-461, eff. 1-1-20; 101-625, eff.  | 
1-1-21; 102-30, eff. 1-1-22; 102-103, eff. 1-1-22; 102-203,  | 
eff. 1-1-22; 102-306, eff. 1-1-22; 102-443, eff. 1-1-22;  | 
102-642, eff. 1-1-22; 102-665, eff. 10-8-21; revised  | 
10-26-21.)
 | 
 Section 300. The Revised Cities and Villages Act of 1941  | 
is amended by changing Section 21-5.1 as follows:
 | 
 (65 ILCS 20/21-5.1) (from Ch. 24, par. 21-5.1)
 | 
 | 
 Sec. 21-5.1. Vice Mayor; election; duties; compensation.  | 
Mayor - election - duties - compensation.) Following
election  | 
and qualification of alderpersons at a general election as  | 
provided
by Section 21-22 of this Act, the City Council shall  | 
elect, from among its
members, a Vice Mayor, to serve as  | 
interim Mayor of Chicago in the event
that a vacancy occurs in  | 
the office of Mayor or in the event that the Council
 | 
determines, by 3/5 vote, that the Mayor is under a permanent or  | 
protracted
disability caused by illness or injury which  | 
renders the Mayor unable to
serve. The Vice Mayor shall serve  | 
as interim Mayor. He will serve until
the City Council shall  | 
elect one of its members acting Mayor or until the
mayoral term  | 
expires.
 | 
 The Vice Mayor shall receive no compensation as such, but  | 
shall receive
compensation as an alderperson even while  | 
serving as interim Mayor. While
serving as interim Mayor, the  | 
Vice Mayor shall possess all rights and powers
and shall  | 
perform the duties of Mayor.
 | 
(Source: P.A. 102-15, eff. 6-17-21; revised 7-15-21.)
 | 
 Section 305. The Fire Protection District Act is amended  | 
by changing Sections 16.06 and 16.06b as follows:
 | 
 (70 ILCS 705/16.06) (from Ch. 127 1/2, par. 37.06)
 | 
 Sec. 16.06. Eligibility for positions in fire department;
 | 
disqualifications. | 
 | 
 (a) All applicants for a position in the fire department  | 
of the
fire protection district shall be under 35 years of age  | 
and shall be
subjected to examination, which shall be public,  | 
competitive, and free to
all applicants, subject to reasonable  | 
limitations as to health, habits, and
moral character;  | 
provided that the foregoing age limitation shall not apply
in  | 
the case of any person having previous employment status as a  | 
fireman in a
regularly constituted fire department of any fire  | 
protection district, and
further provided that each fireman or  | 
fire chief who is a member in
good standing in a regularly  | 
constituted fire department of any municipality
which shall be  | 
or shall have subsequently been included within the boundaries
 | 
of any fire protection district now or hereafter organized  | 
shall be given
a preference for original appointment in the  | 
same class, grade or employment
over all other applicants. The  | 
examinations shall be practical in their
character and shall  | 
relate to those matters which will fairly test the persons
 | 
examined as to their relative capacity to discharge the duties  | 
of the positions
to which they seek appointment. The  | 
examinations shall include tests of
physical qualifications  | 
and health. No applicant, however, shall be examined
 | 
concerning his political or religious opinions or  | 
affiliations. The
examinations shall be conducted by the board  | 
of fire commissioners.
 | 
 In any fire protection district that employs full-time  | 
firefighters and is subject to a collective bargaining  | 
 | 
agreement, a person who has not qualified for regular  | 
appointment under the provisions of this Section shall not be  | 
used as a temporary or permanent substitute for certificated  | 
members of a fire district's fire department or for regular  | 
appointment as a certificated member of a fire district's fire  | 
department unless mutually agreed to by the employee's  | 
certified bargaining agent. Such agreement shall be considered  | 
a permissive subject of bargaining. Fire protection districts  | 
covered by the changes made by Public Act 95-490 this  | 
amendatory Act of the 95th General Assembly that are using  | 
non-certificated employees as substitutes immediately prior to  | 
June 1, 2008 (the effective date of Public Act 95-490) this  | 
amendatory Act of the 95th General Assembly may, by mutual  | 
agreement with the certified bargaining agent, continue the  | 
existing practice or a modified practice and that agreement  | 
shall be considered a permissive subject of bargaining.
 | 
 (b) No person shall be appointed to the fire department  | 
unless he or she is
a person of good character and not a person  | 
who has been convicted of a felony
in Illinois or convicted in  | 
another jurisdiction for conduct that would be a
felony under  | 
Illinois law, or convicted of a crime involving moral  | 
turpitude.
No person,
however, shall be disqualified from  | 
appointment to the fire department because
of his or her  | 
record of misdemeanor convictions, except those under Sections
 | 
11-1.50, 11-6, 11-7, 11-9, 11-14, 11-15, 11-17, 11-18, 11-19,  | 
11-30, 11-35, 12-2, 12-6, 12-15, 14-4,
16-1,
21.1-3, 24-3.1,  | 
 | 
24-5, 25-1, 28-3, 31-1, 31-4, 31-6, 31-7, 32-1, 32-2, 32-3,
 | 
32-4, and 32-8, subdivisions (a)(1) and (a)(2)(C) of Section  | 
11-14.3, and paragraphs subsections (1), (6), and (8) of  | 
subsection (a) of Section 24-1 of the Criminal
Code of 1961 or  | 
the Criminal Code of 2012.
 | 
(Source: P.A. 96-1551, eff. 7-1-11; 97-1150, eff. 1-25-13;  | 
revised 12-3-21.)
 | 
 (70 ILCS 705/16.06b) | 
 Sec. 16.06b. Original appointments; full-time fire  | 
department. | 
 (a) Applicability. Unless a commission elects to follow  | 
the provisions of Section 16.06c, this Section shall apply to  | 
all original appointments to an affected full-time fire  | 
department. Existing registers of eligibles shall continue to  | 
be valid until their expiration dates, or up to a maximum of 2  | 
years after August 4, 2011 (the effective date of Public Act  | 
97-251). | 
 Notwithstanding any statute, ordinance, rule, or other law  | 
to the contrary, all original appointments to an affected  | 
department to which this Section applies shall be administered  | 
in a no less stringent manner than the manner provided for in  | 
this Section. Provisions of the Illinois Municipal Code, Fire  | 
Protection District Act, fire district ordinances, and rules  | 
adopted pursuant to such authority and other laws relating to  | 
initial hiring of firefighters in affected departments shall  | 
 | 
continue to apply to the extent they are compatible with this  | 
Section, but in the event of a conflict between this Section  | 
and any other law, this Section shall control. | 
 A fire protection district that is operating under a court  | 
order or consent decree regarding original appointments to a  | 
full-time fire department before August 4, 2011 (the effective  | 
date of Public Act 97-251) is exempt from the requirements of  | 
this Section for the duration of the court order or consent  | 
decree. | 
 (b) Original appointments. All original appointments made  | 
to an affected fire department shall be made from a register of  | 
eligibles established in accordance with the processes  | 
required by this Section. Only persons who meet or exceed the  | 
performance standards required by the Section shall be placed  | 
on a register of eligibles for original appointment to an  | 
affected fire department. | 
 Whenever an appointing authority authorizes action to hire  | 
a person to perform the duties of a firefighter or to hire a  | 
firefighter-paramedic to fill a position that is a new  | 
position or vacancy due to resignation, discharge, promotion,  | 
death, the granting of a disability or retirement pension, or  | 
any other cause, the appointing authority shall appoint to  | 
that position the person with the highest ranking on the final  | 
eligibility list. If the appointing authority has reason to  | 
conclude that the highest ranked person fails to meet the  | 
minimum standards for the position or if the appointing  | 
 | 
authority believes an alternate candidate would better serve  | 
the needs of the department, then the appointing authority has  | 
the right to pass over the highest ranked person and appoint  | 
either: (i) any person who has a ranking in the top 5% of the  | 
register of eligibles or (ii) any person who is among the top 5  | 
highest ranked persons on the list of eligibles if the number  | 
of people who have a ranking in the top 5% of the register of  | 
eligibles is less than 5 people. | 
 Any candidate may pass on an appointment once without  | 
losing his or her position on the register of eligibles. Any  | 
candidate who passes a second time may be removed from the list  | 
by the appointing authority provided that such action shall  | 
not prejudice a person's opportunities to participate in  | 
future examinations, including an examination held during the  | 
time a candidate is already on the fire district's register of  | 
eligibles. | 
 The sole authority to issue certificates of appointment  | 
shall be vested in the board of fire commissioners, or board of  | 
trustees serving in the capacity of a board of fire  | 
commissioners. All certificates of appointment issued to any  | 
officer or member of an affected department shall be signed by  | 
the chairperson and secretary, respectively, of the commission  | 
upon appointment of such officer or member to the affected  | 
department by action of the commission. After being selected  | 
from the register of eligibles to fill a vacancy in the  | 
affected department, each appointee shall be presented with  | 
 | 
his or her certificate of appointment on the day on which he or  | 
she is sworn in as a classified member of the affected  | 
department. Firefighters who were not issued a certificate of  | 
appointment when originally appointed shall be provided with a  | 
certificate within 10 days after making a written request to  | 
the chairperson of the board of fire commissioners, or board  | 
of trustees serving in the capacity of a board of fire  | 
commissioners. Each person who accepts a certificate of  | 
appointment and successfully completes his or her probationary  | 
period shall be enrolled as a firefighter and as a regular  | 
member of the fire department. | 
 For the purposes of this Section, "firefighter" means any  | 
person who has been prior to, on, or after August 4, 2011 (the  | 
effective date of Public Act 97-251) appointed to a fire  | 
department or fire protection district or employed by a State  | 
university and sworn or commissioned to perform firefighter  | 
duties or paramedic duties, or both, except that the following  | 
persons are not included: part-time firefighters; auxiliary,  | 
reserve, or voluntary firefighters, including paid-on-call  | 
firefighters; clerks and dispatchers or other civilian  | 
employees of a fire department or fire protection district who  | 
are not routinely expected to perform firefighter duties; and  | 
elected officials. | 
 (c) Qualification for placement on register of eligibles.  | 
The purpose of establishing a register of eligibles is to  | 
identify applicants who possess and demonstrate the mental  | 
 | 
aptitude and physical ability to perform the duties required  | 
of members of the fire department in order to provide the  | 
highest quality of service to the public. To this end, all  | 
applicants for original appointment to an affected fire  | 
department shall be subject to examination and testing which  | 
shall be public, competitive, and open to all applicants  | 
unless the district shall by ordinance limit applicants to  | 
residents of the district, county or counties in which the  | 
district is located, State, or nation. Any examination and  | 
testing procedure utilized under subsection (e) of this  | 
Section shall be supported by appropriate validation evidence  | 
and shall comply with all applicable State and federal laws.  | 
Districts may establish educational, emergency medical service  | 
licensure, and other prerequisites for participation in an  | 
examination or for hire as a firefighter. Any fire protection  | 
district may charge a fee to cover the costs of the application  | 
process. | 
 Residency requirements in effect at the time an individual  | 
enters the fire service of a district cannot be made more  | 
restrictive for that individual during his or her period of  | 
service for that district, or be made a condition of  | 
promotion, except for the rank or position of fire chief and  | 
for no more than 2 positions that rank immediately below that  | 
of the chief rank which are appointed positions pursuant to  | 
the Fire Department Promotion Act. | 
 No person who is 35 years of age or older shall be eligible  | 
 | 
to take an examination for a position as a firefighter unless  | 
the person has had previous employment status as a firefighter  | 
in the regularly constituted fire department of the district,  | 
except as provided in this Section. The age limitation does  | 
not apply to: | 
  (1) any person previously employed as a full-time  | 
 firefighter in a regularly constituted fire department of  | 
 (i) any municipality or fire protection district located  | 
 in Illinois, (ii) a fire protection district whose  | 
 obligations were assumed by a municipality under Section  | 
 21 of the Fire Protection District Act, or (iii) a  | 
 municipality whose obligations were taken over by a fire  | 
 protection district; | 
  (2) any person who has served a fire district as a  | 
 regularly enrolled volunteer, paid-on-call, or part-time  | 
 firefighter; or | 
  (3) any person who turned 35 while serving as a member  | 
 of the active or reserve components of any of the branches  | 
 of the Armed Forces of the United States or the National  | 
 Guard of any state, whose service was characterized as  | 
 honorable or under honorable, if separated from the  | 
 military, and is currently under the age of 40.  | 
 No person who is under 21 years of age shall be eligible  | 
for employment as a firefighter. | 
 No applicant shall be examined concerning his or her  | 
political or religious opinions or affiliations. The  | 
 | 
examinations shall be conducted by the commissioners of the  | 
district or their designees and agents. | 
 No district shall require that any firefighter appointed  | 
to the lowest rank serve a probationary employment period of  | 
longer than one year of actual active employment, which may  | 
exclude periods of training, or injury or illness leaves,  | 
including duty related leave, in excess of 30 calendar days.  | 
Notwithstanding anything to the contrary in this Section, the  | 
probationary employment period limitation may be extended for  | 
a firefighter who is required, as a condition of employment,  | 
to be a licensed paramedic, during which time the sole reason  | 
that a firefighter may be discharged without a hearing is for  | 
failing to meet the requirements for paramedic licensure. | 
 In the event that any applicant who has been found  | 
eligible for appointment and whose name has been placed upon  | 
the final eligibility register provided for in this Section  | 
has not been appointed to a firefighter position within one  | 
year after the date of his or her physical ability  | 
examination, the commission may cause a second examination to  | 
be made of that applicant's physical ability prior to his or  | 
her appointment. If, after the second examination, the  | 
physical ability of the applicant shall be found to be less  | 
than the minimum standard fixed by the rules of the  | 
commission, the applicant shall not be appointed. The  | 
applicant's name may be retained upon the register of  | 
candidates eligible for appointment and when next reached for  | 
 | 
certification and appointment that applicant may be again  | 
examined as provided in this Section, and if the physical  | 
ability of that applicant is found to be less than the minimum  | 
standard fixed by the rules of the commission, the applicant  | 
shall not be appointed, and the name of the applicant shall be  | 
removed from the register. | 
 (d) Notice, examination, and testing components. Notice of  | 
the time, place, general scope, merit criteria for any  | 
subjective component, and fee of every examination shall be  | 
given by the commission, by a publication at least 2 weeks  | 
preceding the examination: (i) in one or more newspapers  | 
published in the district, or if no newspaper is published  | 
therein, then in one or more newspapers with a general  | 
circulation within the district, or (ii) on the fire  | 
protection district's Internet website. Additional notice of  | 
the examination may be given as the commission shall  | 
prescribe. | 
 The examination and qualifying standards for employment of  | 
firefighters shall be based on: mental aptitude, physical  | 
ability, preferences, moral character, and health. The mental  | 
aptitude, physical ability, and preference components shall  | 
determine an applicant's qualification for and placement on  | 
the final register of eligibles. The examination may also  | 
include a subjective component based on merit criteria as  | 
determined by the commission. Scores from the examination must  | 
be made available to the public. | 
 | 
 (e) Mental aptitude. No person who does not possess at  | 
least a high school diploma or an equivalent high school  | 
education shall be placed on a register of eligibles.  | 
Examination of an applicant's mental aptitude shall be based  | 
upon a written examination. The examination shall be practical  | 
in character and relate to those matters that fairly test the  | 
capacity of the persons examined to discharge the duties  | 
performed by members of a fire department. Written  | 
examinations shall be administered in a manner that ensures  | 
the security and accuracy of the scores achieved. | 
 (f) Physical ability. All candidates shall be required to  | 
undergo an examination of their physical ability to perform  | 
the essential functions included in the duties they may be  | 
called upon to perform as a member of a fire department. For  | 
the purposes of this Section, essential functions of the job  | 
are functions associated with duties that a firefighter may be  | 
called upon to perform in response to emergency calls. The  | 
frequency of the occurrence of those duties as part of the fire  | 
department's regular routine shall not be a controlling factor  | 
in the design of examination criteria or evolutions selected  | 
for testing. These physical examinations shall be open,  | 
competitive, and based on industry standards designed to test  | 
each applicant's physical abilities in the following  | 
dimensions: | 
  (1) Muscular strength to perform tasks and evolutions  | 
 that may be required in the performance of duties  | 
 | 
 including grip strength, leg strength, and arm strength.  | 
 Tests shall be conducted under anaerobic as well as  | 
 aerobic conditions to test both the candidate's speed and  | 
 endurance in performing tasks and evolutions. Tasks tested  | 
 may be based on standards developed, or approved, by the  | 
 local appointing authority. | 
  (2) The ability to climb ladders, operate from  | 
 heights, walk or crawl in the dark along narrow and uneven  | 
 surfaces, and operate in proximity to hazardous  | 
 environments. | 
  (3) The ability to carry out critical, time-sensitive,  | 
 and complex problem solving during physical exertion in  | 
 stressful and hazardous environments. The testing  | 
 environment may be hot and dark with tightly enclosed  | 
 spaces, flashing lights, sirens, and other distractions. | 
 The tests utilized to measure each applicant's
 | 
capabilities in each of these dimensions may be tests based on
 | 
industry standards currently in use or equivalent tests  | 
approved by the Joint Labor-Management Committee of the Office  | 
of the State Fire Marshal.  | 
 Physical ability examinations administered under this  | 
Section shall be conducted with a reasonable number of  | 
proctors and monitors, open to the public, and subject to  | 
reasonable regulations of the commission. | 
 (g) Scoring of examination components. Appointing  | 
authorities may create a preliminary eligibility register. A  | 
 | 
person shall be placed on the list based upon his or her  | 
passage of the written examination or the passage of the  | 
written examination and the physical ability component.  | 
Passage of the written examination means attaining the minimum  | 
score set by the commission. Minimum scores should be set by  | 
the appointing authorities so as to demonstrate a candidate's  | 
ability to perform the essential functions of the job. The  | 
minimum score set by the commission shall be supported by  | 
appropriate validation evidence and shall comply with all  | 
applicable State and federal laws. The appointing authority  | 
may conduct the physical ability component and any subjective  | 
components subsequent to the posting of the preliminary  | 
eligibility register. | 
 The examination components for an initial eligibility  | 
register shall be graded on a 100-point scale. A person's  | 
position on the list shall be determined by the following: (i)
 | 
the person's score on the written examination, (ii) the person
 | 
successfully passing the physical ability component, and (iii)  | 
the
person's results on any subjective component as described  | 
in
subsection (d).  | 
 In order to qualify for placement on the final eligibility  | 
register, an applicant's score on the written examination,  | 
before any applicable preference points or subjective points  | 
are applied, shall be at or above the minimum score set by the  | 
commission. The local appointing authority may prescribe the  | 
score to qualify for placement on the final eligibility  | 
 | 
register, but the score shall not be less than the minimum  | 
score set by the commission. | 
 The commission shall prepare and keep a register of  | 
persons whose total score is not less than the minimum score  | 
for passage and who have passed the physical ability  | 
examination. These persons shall take rank upon the register  | 
as candidates in the order of their relative excellence based  | 
on the highest to the lowest total points scored on the mental  | 
aptitude, subjective component, and preference components of  | 
the test administered in accordance with this Section. No more  | 
than 60 days after each examination, an initial eligibility  | 
list shall be posted by the commission. The list shall include  | 
the final grades of the candidates without reference to  | 
priority of the time of examination and subject to claim for  | 
preference credit. | 
 Commissions may conduct additional examinations, including  | 
without limitation a polygraph test, after a final eligibility  | 
register is established and before it expires with the  | 
candidates ranked by total score without regard to date of  | 
examination. No more than 60 days after each examination, an  | 
initial eligibility list shall be posted by the commission  | 
showing the final grades of the candidates without reference  | 
to priority of time of examination and subject to claim for  | 
preference credit. | 
 (h) Preferences. The following are preferences: | 
  (1) Veteran preference. Persons who were engaged in  | 
 | 
 the military service of the United States for a period of  | 
 at least one year of active duty and who were honorably  | 
 discharged therefrom, or who are now or have been members  | 
 on inactive or reserve duty in such military or naval  | 
 service, shall be preferred for appointment to and  | 
 employment with the fire department of an affected  | 
 department. | 
  (2) Fire cadet preference. Persons who have  | 
 successfully completed 2 years of study in fire techniques  | 
 or cadet training within a cadet program established under  | 
 the rules of the Joint Labor and Management Committee  | 
 (JLMC), as defined in Section 50 of the Fire Department  | 
 Promotion Act, may be preferred for appointment to and  | 
 employment with the fire department. | 
  (3) Educational preference. Persons who have  | 
 successfully obtained an associate's degree in the field  | 
 of fire service or emergency medical services, or a  | 
 bachelor's degree from an accredited college or university  | 
 may be preferred for appointment to and employment with  | 
 the fire department. | 
  (4) Paramedic preference. Persons who have obtained a  | 
 license as a paramedic may be preferred for appointment to  | 
 and employment with the fire department of an affected  | 
 department providing emergency medical services. | 
  (5) Experience preference. All persons employed by a  | 
 district who have been paid-on-call or part-time certified  | 
 | 
 Firefighter II, certified Firefighter III, State of  | 
 Illinois or nationally licensed EMT, EMT-I, A-EMT, or  | 
 paramedic, or any combination of those capacities may be  | 
 awarded up to a maximum of 5 points. However, the  | 
 applicant may not be awarded more than 0.5 points for each  | 
 complete year of paid-on-call or part-time service.  | 
 Applicants from outside the district who were employed as  | 
 full-time firefighters or firefighter-paramedics by a fire  | 
 protection district or municipality for at least 2 years  | 
 may be awarded up to 5 experience preference points.  | 
 However, the applicant may not be awarded more than one  | 
 point for each complete year of full-time service. | 
  Upon request by the commission, the governing body of  | 
 the district or in the case of applicants from outside the  | 
 district the governing body of any other fire protection  | 
 district or any municipality shall certify to the  | 
 commission, within 10 days after the request, the number  | 
 of years of successful paid-on-call, part-time, or  | 
 full-time service of any person. A candidate may not  | 
 receive the full amount of preference points under this  | 
 subsection if the amount of points awarded would place the  | 
 candidate before a veteran on the eligibility list. If  | 
 more than one candidate receiving experience preference  | 
 points is prevented from receiving all of their points due  | 
 to not being allowed to pass a veteran, the candidates  | 
 shall be placed on the list below the veteran in rank order  | 
 | 
 based on the totals received if all points under this  | 
 subsection were to be awarded. Any remaining ties on the  | 
 list shall be determined by lot.  | 
  (6) Residency preference. Applicants whose principal  | 
 residence is located within the fire department's  | 
 jurisdiction may be preferred for appointment to and  | 
 employment with the fire department. | 
  (7) Additional preferences. Up to 5 additional  | 
 preference points may be awarded for unique categories  | 
 based on an applicant's experience or background as  | 
 identified by the commission. | 
  (7.5) Apprentice preferences. A person who has  | 
 performed fire suppression service for a department as a  | 
 firefighter apprentice and otherwise meets the  | 
 qualifications for original appointment as a firefighter  | 
 specified in this Section is eligible to be awarded up to  | 
 20 preference points. To qualify for preference points, an  | 
 applicant shall have completed a minimum of 600 hours of  | 
 fire suppression work on a regular shift for the affected  | 
 fire department over a 12-month period. The fire  | 
 suppression work must be in accordance with Section 16.06  | 
 of this Act and the terms established by a Joint  | 
 Apprenticeship Committee included in a collective  | 
 bargaining agreement agreed between the employer and its  | 
 certified bargaining agent. An eligible applicant must  | 
 apply to the Joint Apprenticeship Committee for preference  | 
 | 
 points under this item. The Joint Apprenticeship Committee  | 
 shall evaluate the merit of the applicant's performance,  | 
 determine the preference points to be awarded, and certify  | 
 the amount of points awarded to the commissioners. The  | 
 commissioners may add the certified preference points to  | 
 the final grades achieved by the applicant on the other  | 
 components of the examination.  | 
  (8) Scoring of preferences. The
commission shall give  | 
 preference for original appointment
to persons designated  | 
 in item (1)
by adding to the final grade that they receive  | 
 5 points
for the recognized preference achieved. The  | 
 commission may give preference for original appointment to  | 
 persons designated in item (7.5) by adding to the final  | 
 grade the amount of points designated by the Joint  | 
 Apprenticeship Committee as defined in item (7.5). The  | 
 commission shall determine the number of preference points  | 
 for each category, except (1) and (7.5). The number of  | 
 preference points for each category shall range from 0 to  | 
 5, except item (7.5). In determining the number of  | 
 preference points, the commission shall prescribe that if  | 
 a candidate earns the maximum number of preference points  | 
 in all categories except item (7.5), that number may not  | 
 be less than 10 nor more than 30. The commission shall give  | 
 preference for original appointment to persons designated  | 
 in items (2) through (7) by adding the requisite number of  | 
 points to the final grade for each recognized preference  | 
 | 
 achieved. The numerical result thus attained shall be  | 
 applied by the commission in determining the final  | 
 eligibility list and appointment from the eligibility  | 
 list. The local appointing authority may prescribe the  | 
 total number of preference points awarded under this  | 
 Section, but the total number of preference points, except  | 
 item (7.5), shall not be less than 10 points or more than  | 
 30 points. Apprentice preference points may be added in  | 
 addition to other preference points awarded by the  | 
 commission.  | 
 No person entitled to any preference shall be required to  | 
claim the credit before any examination held under the  | 
provisions of this Section, but the preference shall be given  | 
after the posting or publication of the initial eligibility  | 
list or register at the request of a person entitled to a  | 
credit before any certification or appointments are made from  | 
the eligibility register, upon the furnishing of verifiable  | 
evidence and proof of qualifying preference credit. Candidates  | 
who are eligible for preference credit shall make a claim in  | 
writing within 10 days after the posting of the initial  | 
eligibility list, or the claim shall be deemed waived. Final  | 
eligibility registers shall be established after the awarding  | 
of verified preference points. However, apprentice preference  | 
credit earned subsequent to the establishment of the final  | 
eligibility register may be applied to the applicant's score  | 
upon certification by the Joint Apprenticeship Committee to  | 
 | 
the commission and the rank order of candidates on the final  | 
eligibility register shall be adjusted accordingly. All  | 
employment shall be subject to the commission's initial hire  | 
background review, including, but not limited to, criminal  | 
history, employment history, moral character, oral  | 
examination, and medical and psychological examinations, all  | 
on a pass-fail basis. The medical and psychological  | 
examinations must be conducted last, and may only be performed  | 
after a conditional offer of employment has been extended. | 
 Any person placed on an eligibility list who exceeds the  | 
age requirement before being appointed to a fire department  | 
shall remain eligible for appointment until the list is  | 
abolished, or his or her name has been on the list for a period  | 
of 2 years. No person who has attained the age of 35 years  | 
shall be inducted into a fire department, except as otherwise  | 
provided in this Section. | 
 The commission shall strike off the names of candidates  | 
for original appointment after the names have been on the list  | 
for more than 2 years. | 
 (i) Moral character. No person shall be appointed to a  | 
fire department unless he or she is a person of good character;  | 
not a habitual drunkard, a gambler, or a person who has been  | 
convicted of a felony or a crime involving moral turpitude.  | 
However, no person shall be disqualified from appointment to  | 
the fire department because of the person's record of  | 
misdemeanor convictions except those under Sections 11-6,  | 
 | 
11-7, 11-9, 11-14, 11-15, 11-17, 11-18, 11-19, 12-2, 12-6,  | 
12-15, 14-4, 16-1, 21.1-3, 24-3.1, 24-5, 25-1, 28-3, 31-1,  | 
31-4, 31-6, 31-7, 32-1, 32-2, 32-3, 32-4, 32-8, and paragraphs  | 
(1), (6), and (8) of subsection (a) subsections 1, 6, and 8 of  | 
Section 24-1 of the Criminal Code of 1961 or the Criminal Code  | 
of 2012, or arrest for any cause without conviction thereon.  | 
Any such person who is in the department may be removed on  | 
charges brought for violating this subsection and after a  | 
trial as hereinafter provided. | 
 A classifiable set of the fingerprints of every person who  | 
is offered employment as a certificated member of an affected  | 
fire department whether with or without compensation, shall be  | 
furnished to the Illinois State Police and to the Federal  | 
Bureau of Investigation by the commission. | 
 Whenever a commission is authorized or required by law to  | 
consider some aspect of criminal history record information  | 
for the purpose of carrying out its statutory powers and  | 
responsibilities, then, upon request and payment of fees in  | 
conformance with the requirements of Section 2605-400 of the  | 
Illinois State Police Law of the Civil Administrative Code of  | 
Illinois, the Illinois State Police is authorized to furnish,  | 
pursuant to positive identification, the information contained  | 
in State files as is necessary to fulfill the request. | 
 (j) Temporary appointments. In order to prevent a stoppage  | 
of public business, to meet extraordinary exigencies, or to  | 
prevent material impairment of the fire department, the  | 
 | 
commission may make temporary appointments, to remain in force  | 
only until regular appointments are made under the provisions  | 
of this Section, but never to exceed 60 days. No temporary  | 
appointment of any one person shall be made more than twice in  | 
any calendar year. | 
 (k) A person who knowingly divulges or receives test  | 
questions or answers before a written examination, or  | 
otherwise knowingly violates or subverts any requirement of  | 
this Section, commits a violation of this Section and may be  | 
subject to charges for official misconduct. | 
 A person who is the knowing recipient of test information  | 
in advance of the examination shall be disqualified from the  | 
examination or discharged from the position to which he or she  | 
was appointed, as applicable, and otherwise subjected to  | 
disciplinary actions.
 | 
(Source: P.A. 101-489, eff. 8-23-19; 102-375, eff. 8-13-21;  | 
102-538, eff. 8-20-21; 102-558, eff. 8-20-21; revised  | 
11-23-21.)
 | 
 Section 310. The School Code is amended by changing  | 
Sections 2-3.25o, 2-3.80, 10-17a, 10-21.9, 10-22.3f, 10-22.6,  | 
10-22.39, 10-27.1A, 14-8.02, 18-8.15, 21A-25.5, 22-30, 24-2,  | 
26-1, 26-2a, 26-13, 27-23.7, 27A-5, 29-5, 34-2.1, 34-4.5,  | 
34-18.5, 34-18.8, and 34-21.9, by setting forth, renumbering,  | 
and changing multiple
versions of Sections 2-3.182, 10-20.73,  | 
10-20.75, 14-17, and 22-90, and by setting forth and  | 
 | 
renumbering Sections 27-23.15 and 34-18.67 as follows:
 | 
 (105 ILCS 5/2-3.25o)
 | 
 Sec. 2-3.25o. Registration and recognition of non-public  | 
elementary and
secondary schools.
 | 
 (a) Findings. The General Assembly finds and declares (i)  | 
that the
Constitution
of the State of Illinois provides that a  | 
"fundamental goal of the People of the
State is the
 | 
educational development of all persons to the limits of their  | 
capacities" and
(ii) that the
educational development of every  | 
school student serves the public purposes of
the State.
In  | 
order to ensure that all Illinois students and teachers have  | 
the opportunity
to enroll and
work in State-approved  | 
educational institutions and programs, the State Board
of
 | 
Education shall provide for the voluntary registration and  | 
recognition of
non-public
elementary and secondary schools.
 | 
 (b) Registration. All non-public elementary and secondary  | 
schools in the
State
of
Illinois may voluntarily register with  | 
the State Board of Education on an
annual basis. Registration  | 
shall
be completed
in conformance with procedures prescribed  | 
by the State Board of Education.
Information
required for  | 
registration shall include assurances of compliance (i) with
 | 
federal
and State
laws regarding health examination and  | 
immunization, attendance, length of term,
and
 | 
nondiscrimination, including assurances that the school will  | 
not prohibit hairstyles historically associated with race,  | 
 | 
ethnicity, or hair texture, including, but not limited to,  | 
protective hairstyles such as braids, locks, and twists, and  | 
(ii) with applicable fire and health safety requirements.
 | 
 (c) Recognition. All non-public elementary and secondary  | 
schools in the
State of
Illinois may voluntarily seek the  | 
status of "Non-public School Recognition"
from
the State
Board  | 
of Education. This status may be obtained by compliance with
 | 
administrative
guidelines and review procedures as prescribed  | 
by the State Board of Education.
The
guidelines and procedures  | 
must recognize that some of the aims and the
financial bases of
 | 
non-public schools are different from public schools and will  | 
not be identical
to those for
public schools, nor will they be  | 
more burdensome. The guidelines and procedures
must
also  | 
recognize the diversity of non-public schools and shall not  | 
impinge upon
the
noneducational relationships between those  | 
schools and their clientele.
 | 
 (c-5) Prohibition against recognition. A non-public  | 
elementary or secondary school may not obtain "Non-public  | 
School Recognition" status unless the school requires all  | 
certified and non-certified applicants for employment with the  | 
school, after July 1, 2007, to authorize a fingerprint-based  | 
criminal history records check as a condition of employment to  | 
determine if such applicants have been convicted of any of the  | 
enumerated criminal or drug offenses set forth in Section  | 
21B-80 of this Code or have been convicted, within 7 years of  | 
the application for employment, of any other felony under the  | 
 | 
laws of this State or of any offense committed or attempted in  | 
any other state or against the laws of the United States that,  | 
if committed or attempted in this State, would have been  | 
punishable as a felony under the laws of this State. | 
 Authorization for the check shall be furnished by the  | 
applicant to the school, except that if the applicant is a  | 
substitute teacher seeking employment in more than one  | 
non-public school, a teacher seeking concurrent part-time  | 
employment positions with more than one non-public school (as  | 
a reading specialist, special education teacher, or  | 
otherwise), or an educational support personnel employee  | 
seeking employment positions with more than one non-public  | 
school, then only one of the non-public schools employing the  | 
individual shall request the authorization. Upon receipt of  | 
this authorization, the non-public school shall submit the  | 
applicant's name, sex, race, date of birth, social security  | 
number, fingerprint images, and other identifiers, as  | 
prescribed by the Illinois State Police, to the Illinois State  | 
Police. | 
 The Illinois State Police and Federal Bureau of  | 
Investigation shall furnish, pursuant to a fingerprint-based  | 
criminal history records check, records of convictions,  | 
forever and hereafter, until expunged, to the president or  | 
principal of the non-public school that requested the check.  | 
The Illinois State Police shall charge that school a fee for  | 
conducting such check, which fee must be deposited into the  | 
 | 
State Police Services Fund and must not exceed the cost of the  | 
inquiry. Subject to appropriations for these purposes, the  | 
State Superintendent of Education shall reimburse non-public  | 
schools for fees paid to obtain criminal history records  | 
checks under this Section. | 
 A non-public school may not obtain recognition status  | 
unless the school also performs a check of the Statewide Sex  | 
Offender Database, as authorized by the Sex Offender Community  | 
Notification Law, for each applicant for employment, after  | 
July 1, 2007, to determine whether the applicant has been  | 
adjudicated a sex offender. | 
 Any information concerning the record of convictions  | 
obtained by a non-public school's president or principal under  | 
this Section is confidential and may be disseminated only to  | 
the governing body of the non-public school or any other  | 
person necessary to the decision of hiring the applicant for  | 
employment. A copy of the record of convictions obtained from  | 
the Illinois State Police shall be provided to the applicant  | 
for employment. Upon a check of the Statewide Sex Offender  | 
Database, the non-public school shall notify the applicant as  | 
to whether or not the applicant has been identified in the Sex  | 
Offender Database as a sex offender. Any information  | 
concerning the records of conviction obtained by the  | 
non-public school's president or principal under this Section  | 
for a substitute teacher seeking employment in more than one  | 
non-public school, a teacher seeking concurrent part-time  | 
 | 
employment positions with more than one non-public school (as  | 
a reading specialist, special education teacher, or  | 
otherwise), or an educational support personnel employee  | 
seeking employment positions with more than one non-public  | 
school may be shared with another non-public school's  | 
principal or president to which the applicant seeks  | 
employment. Any unauthorized release of confidential  | 
information may be a violation of Section 7 of the Criminal  | 
Identification Act. | 
 No non-public school may obtain recognition status that  | 
knowingly employs a person, hired after July 1, 2007, for whom  | 
an Illinois State Police and Federal Bureau of Investigation  | 
fingerprint-based criminal history records check and a  | 
Statewide Sex Offender Database check has not been initiated  | 
or who has been convicted of any offense enumerated in Section  | 
21B-80 of this Code or any offense committed or attempted in  | 
any other state or against the laws of the United States that,  | 
if committed or attempted in this State, would have been  | 
punishable as one or more of those offenses. No non-public  | 
school may obtain recognition status under this Section that  | 
knowingly employs a person who has been found to be the  | 
perpetrator of sexual or physical abuse of a minor under 18  | 
years of age pursuant to proceedings under Article II of the  | 
Juvenile Court Act of 1987. | 
 In order to obtain recognition status under this Section,  | 
a non-public school must require compliance with the  | 
 | 
provisions of this subsection (c-5) from all employees of  | 
persons or firms holding contracts with the school, including,  | 
but not limited to, food service workers, school bus drivers,  | 
and other transportation employees, who have direct, daily  | 
contact with pupils. Any information concerning the records of  | 
conviction or identification as a sex offender of any such  | 
employee obtained by the non-public school principal or  | 
president must be promptly reported to the school's governing  | 
body.
 | 
 Prior to the commencement of any student teaching  | 
experience or required internship (which is referred to as  | 
student teaching in this Section) in any non-public elementary  | 
or secondary school that has obtained or seeks to obtain  | 
recognition status under this Section, a student teacher is  | 
required to authorize a fingerprint-based criminal history  | 
records check. Authorization for and payment of the costs of  | 
the check must be furnished by the student teacher to the chief  | 
administrative officer of the non-public school where the  | 
student teaching is to be completed. Upon receipt of this  | 
authorization and payment, the chief administrative officer of  | 
the non-public school shall submit the student teacher's name,  | 
sex, race, date of birth, social security number, fingerprint  | 
images, and other identifiers, as prescribed by the Illinois  | 
State Police, to the Illinois State Police. The Illinois State  | 
Police and the Federal Bureau of Investigation shall furnish,  | 
pursuant to a fingerprint-based criminal history records  | 
 | 
check, records of convictions, forever and hereinafter, until  | 
expunged, to the chief administrative officer of the  | 
non-public school that requested the check. The Illinois State  | 
Police shall charge the school a fee for conducting the check,  | 
which fee must be passed on to the student teacher, must not  | 
exceed the cost of the inquiry, and must be deposited into the  | 
State Police Services Fund. The school shall further perform a  | 
check of the Statewide Sex Offender Database, as authorized by  | 
the Sex Offender Community Notification Law, and of the  | 
Statewide Murderer and Violent Offender Against Youth  | 
Database, as authorized by the Murderer and Violent Offender  | 
Against Youth Registration Act, for each student teacher. No  | 
school that has obtained or seeks to obtain recognition status  | 
under this Section may knowingly allow a person to student  | 
teach for whom a criminal history records check, a Statewide  | 
Sex Offender Database check, and a Statewide Murderer and  | 
Violent Offender Against Youth Database check have not been  | 
completed and reviewed by the chief administrative officer of  | 
the non-public school. | 
 A copy of the record of convictions obtained from the  | 
Illinois State Police must be provided to the student teacher.  | 
Any information concerning the record of convictions obtained  | 
by the chief administrative officer of the non-public school  | 
is confidential and may be transmitted only to the chief  | 
administrative officer of the non-public school or his or her  | 
designee, the State Superintendent of Education, the State  | 
 | 
Educator Preparation and Licensure Board, or, for  | 
clarification purposes, the Illinois State Police or the  | 
Statewide Sex Offender Database or Statewide Murderer and  | 
Violent Offender Against Youth Database. Any unauthorized  | 
release of confidential information may be a violation of  | 
Section 7 of the Criminal Identification Act. | 
 No school that has obtained or seeks to obtain recognition  | 
status under this Section may knowingly allow a person to  | 
student teach who has been convicted of any offense that would  | 
subject him or her to license suspension or revocation  | 
pursuant to Section 21B-80 of this Code or who has been found  | 
to be the perpetrator of sexual or physical abuse of a minor  | 
under 18 years of age pursuant to proceedings under Article II  | 
of the Juvenile Court Act of 1987.  | 
 Any school that has obtained or seeks to obtain  | 
recognition status under this Section may not prohibit  | 
hairstyles historically associated with race, ethnicity, or  | 
hair texture, including, but not limited to, protective  | 
hairstyles such as braids, locks, and twists.  | 
 (d) Public purposes. The provisions of this Section are in  | 
the public
interest, for
the public benefit, and serve secular  | 
public purposes.
 | 
 (e) Definition. For purposes of this Section, a non-public  | 
school means any
non-profit, non-home-based, and non-public  | 
elementary or secondary school that
is
in
compliance with  | 
Title VI of the Civil Rights Act of 1964 and attendance at
 | 
 | 
which
satisfies the requirements of Section 26-1 of this Code.
 | 
(Source: P.A. 102-360, eff. 1-1-22; 102-538, eff. 8-20-21;  | 
revised 10-4-21.)
 | 
 (105 ILCS 5/2-3.80) (from Ch. 122, par. 2-3.80)
 | 
 Sec. 2-3.80. (a) The General Assembly recognizes that  | 
agriculture is
the most basic and singularly important  | 
industry in the State, that
agriculture is of central  | 
importance to the welfare and economic stability
of the State,  | 
and that the maintenance of this vital industry requires a
 | 
continued source of trained and qualified individuals for  | 
employment in
agriculture and agribusiness. The General  | 
Assembly hereby declares that it
is in the best interests of  | 
the people of the State of Illinois that a
comprehensive  | 
education program in agriculture be created and maintained by
 | 
the State's public school system in order to ensure an  | 
adequate supply of
trained and skilled individuals and to  | 
ensure appropriate representation of
racial and ethnic groups  | 
in all phases of the industry. It is the intent
of the General  | 
Assembly that a State program for agricultural education
shall  | 
be a part of the curriculum of the public school system K  | 
through
adult, and made readily available to all school  | 
districts which may, at
their option, include programs in  | 
education in agriculture as a part of the
curriculum of that  | 
district.
 | 
 (b) The State Board of Education shall adopt such rules  | 
 | 
and regulations
as are necessary to implement the provisions  | 
of this Section. The rules
and regulations shall not create  | 
any new State mandates on school districts
as a condition of  | 
receiving federal, State, and local funds by those
entities.  | 
It is in the intent of the General Assembly that, although this
 | 
Section does not create any new mandates, school districts are  | 
strongly
advised to follow the guidelines set forth in this  | 
Section.
 | 
 (c) The State Superintendent of Education shall assume  | 
responsibility
for the administration of the State program  | 
adopted under this Section
throughout the public school system  | 
as well as the articulation of the
State program to the  | 
requirements and mandates of federally assisted
education.  | 
There is currently within the State Board of Education an
 | 
agricultural education unit to assist school districts in the  | 
establishment
and maintenance of educational programs pursuant  | 
to the provisions of this
Section. The staffing of the unit  | 
shall at all times be comprised of an
appropriate number of  | 
full-time employees who shall serve as program
consultants in  | 
agricultural education and shall be available to provide
 | 
assistance to school districts. At least one consultant shall  | 
be
responsible for the coordination of the State program, as  | 
Head Consultant.
At least one consultant shall be responsible  | 
for the coordination of the
activities of student and  | 
agricultural organizations and associations.
 | 
 (d) A committee of 13 agriculturalists representative of  | 
 | 
the various and
diverse areas of the agricultural industry in  | 
Illinois shall be established
to at least develop a curriculum  | 
and overview the implementation of the
Build Illinois through  | 
Quality Agricultural Education plans of the Illinois
 | 
Leadership Council for Agricultural Education and to advise
 | 
the State Board of Education on vocational agricultural  | 
education, including the administration of the agricultural  | 
education line item appropriation and agency rulemaking that  | 
affects agricultural education educators. The
committee shall  | 
be composed of the following:  | 
  (1) 3 6 agriculturalists
representing the Illinois  | 
 Leadership Council for Agricultural Education; | 
  (2) 3 agriculturalists; | 
  (3) 2 secondary agriculture teachers;  | 
  (4) one representative of "Ag In The Classroom";  | 
  (5) one community college agriculture teacher;  | 
  (6) one adult agriculture educator;  | 
  (7) one university agriculture teacher educator; and  | 
  (8) one FFA representative.  | 
 All members of the committee shall be appointed by the
 | 
Governor by and with the advice and consent of the Senate. The  | 
terms of
all members so appointed shall be for 3 years, except  | 
that of the members
initially appointed, 5 shall be appointed  | 
to serve for terms of one year, 4
shall be appointed to serve  | 
for terms of 2 years, and 4 shall be appointed
to serve for  | 
terms of 3 years. All members of the committee shall serve
 | 
 | 
until their successors are appointed and qualified. Subject to  | 
a requirement that committee members in office before January  | 
1, 2022 (the effective date of Public Act 102-463) this  | 
amendatory Act of 102nd General Assembly may serve the full  | 
term to which they were appointed, the appointment of  | 
committee members to terms that commence on or after January  | 
1, 2022 (the effective date of Public Act 102-463) this  | 
amendatory Act of the 102nd General Assembly shall be made in a  | 
manner that gives effect at the earliest possible time to the  | 
changes that are required by Public Act 102-463 this  | 
amendatory Act of the 102nd General Assembly in the  | 
representative composition of the committee's membership. | 
 Vacancies in terms
shall be filled by appointment of the  | 
Governor with the advice and consent
of the Senate for the  | 
extent of the unexpired term.  | 
 The State Board of
Education shall implement a Build  | 
Illinois through Quality Agricultural
Education plan following  | 
receipt of these recommendations, which
shall be made  | 
available on or before March 31, 1987.
Recommendations shall  | 
include, but not be limited to, the development of a
 | 
curriculum and a strategy for the purpose of establishing a  | 
source of
trained and qualified individuals in agriculture, a  | 
strategy for
articulating the State program in agricultural  | 
education throughout the
public school system, and a consumer  | 
education outreach strategy regarding
the importance of  | 
agriculture in Illinois.  | 
 | 
 The committee of agriculturalists
shall serve without  | 
compensation.
 | 
 (e) A school district that offers a secondary agricultural  | 
education program that is approved for State and federal  | 
funding must ensure that, at a minimum, all of the following  | 
are available to its secondary agricultural education  | 
students: | 
  (1) An instructional sequence of courses approved by  | 
 the State Board of Education. | 
  (2) A State and nationally affiliated FFA (Future  | 
 Farmers of America) chapter that is integral to  | 
 instruction and is not treated solely as an  | 
 extracurricular activity. | 
  (3) A mechanism for ensuring the involvement of all  | 
 secondary agricultural education students in formal,  | 
 supervised, agricultural-experience activities and  | 
 programs.
 | 
 (f) Nothing in this Section may prevent those secondary  | 
agricultural education programs that are in operation before  | 
January 1, 2007 (the effective date of Public Act 94-855) and  | 
that do not have an active State and nationally affiliated FFA  | 
chapter from continuing to operate or from continuing to  | 
receive funding from the State Board of Education.
 | 
(Source: P.A. 102-463, eff. 1-1-22; 102-558, eff. 8-20-21;  | 
revised 10-5-21.)
 | 
 | 
 (105 ILCS 5/2-3.182) | 
 Sec. 2-3.182. Annual census of personnel holding school  | 
support personnel endorsements. | 
 (a) In this Section:  | 
 "School support personnel endorsement" means an  | 
endorsement affixed to a Professional Educator License as  | 
referenced in subparagraph (G) of paragraph (2) of Section  | 
21B-25 of this Code. | 
 "Special education joint agreement" means an entity formed  | 
pursuant to Section 10-22.31 of this Code.  | 
 (b) No later than December 1, 2023 and each December 1st  | 
annually thereafter, the State Board of Education must make  | 
available on its website the following information for each  | 
school district as of October 1st of each year beginning in  | 
2022: | 
  (1) The total number of personnel with a school  | 
 support personnel endorsement and, for each endorsement  | 
 area: | 
   (A) those actively employed on a full-time basis  | 
 by the school district; | 
   (B) those actively employed on a part-time basis  | 
 by the school district; and | 
   (C) those actively employed by a special education  | 
 joint agreement providing services to students in the  | 
 school district. | 
  (2) The total number of students enrolled in the  | 
 | 
 school district and, of that total, the number of students  | 
 with an individualized education program or a plan  | 
 pursuant to Section 504 of the federal Rehabilitation Act  | 
 of 1973. 
 | 
(Source: P.A. 102-302, eff. 1-1-22.)
 | 
 (105 ILCS 5/2-3.189)
 | 
 Sec. 2-3.189 2-3.182. School unused food sharing plan.  | 
School districts shall incorporate a food sharing plan for  | 
unused food into their local wellness policy under Section  | 
2-3.139. The food sharing plan shall focus on needy students,  | 
with the plan being developed and supported jointly by the  | 
district's local health department. Participants in the child  | 
nutrition programs, the National School Lunch Program and  | 
National School Breakfast Program, the Child and Adult Care  | 
Food Program (CACFP), and the Summer Food Service Program  | 
(SFSP) shall adhere to the provisions of the Richard B.  | 
Russell National School Lunch Act, as well as accompanying  | 
guidance from the U.S. Department of Agriculture on the Food  | 
Donation Program, to ensure that any leftover food items are  | 
properly donated in order to combat potential food insecurity  | 
in their communities. For the purpose of this Section,  | 
"properly" means in accordance with all federal regulations  | 
and State and local health and sanitation codes.
 | 
(Source: P.A. 102-359, eff. 8-13-21; revised 11-9-21.)
 | 
 | 
 (105 ILCS 5/2-3.190)
 | 
 Sec. 2-3.190 2-3.182. Anaphylactic policy for school  | 
districts. | 
 (a) The State Board of Education, in consultation with the  | 
Department of Public Health, shall establish an anaphylactic  | 
policy for school districts setting forth guidelines and  | 
procedures to be followed both for the prevention of  | 
anaphylaxis and during a medical emergency resulting from  | 
anaphylaxis. The policy shall be developed after consultation  | 
with the advisory committee established pursuant to Section 5  | 
of the Critical Health Problems and Comprehensive Health  | 
Education Act. In establishing the policy required under this  | 
Section, the State Board shall consider existing requirements  | 
and current and best practices for schools regarding allergies  | 
and anaphylaxis. The State Board must also consider the  | 
voluntary guidelines for managing food allergies in schools  | 
issued by the United States Department of Health and Human  | 
Services. | 
 (b) The anaphylactic policy established under subsection  | 
(a) shall include the following: | 
  (1) A procedure and treatment plan, including  | 
 emergency protocols and responsibilities for school nurses  | 
 and other appropriate school personnel, for responding to  | 
 anaphylaxis. | 
  (2) Requirements for a training course for appropriate  | 
 school personnel on preventing and responding to  | 
 | 
 anaphylaxis. | 
  (3) A procedure and appropriate guidelines for the  | 
 development of an individualized emergency health care  | 
 plan for children with a food or other allergy that could  | 
 result in anaphylaxis. | 
  (4) A communication plan for intake and dissemination  | 
 of information provided by this State regarding children  | 
 with a food or other allergy that could result in  | 
 anaphylaxis, including a discussion of methods,  | 
 treatments, and therapies to reduce the risk of allergic  | 
 reactions, including anaphylaxis. | 
  (5) Strategies for reducing the risk of exposure to  | 
 anaphylactic causative agents, including food and other  | 
 allergens. | 
  (6) A communication plan for discussion with children  | 
 who have developed adequate verbal communication and  | 
 comprehension skills and with the parents or guardians of  | 
 all children about foods that are safe and unsafe and  | 
 about strategies to avoid exposure to unsafe food. | 
 (c) At least once each calendar year, each school district  | 
shall send a notification to the parents or guardians of all  | 
children under the care of a school to make them aware of the  | 
anaphylactic policy. The notification shall include contact  | 
information for parents and guardians to engage further with  | 
the school to learn more about individualized aspects of the  | 
policy. | 
 | 
 (d) At least 6 months after August 20, 2021 (the effective  | 
date of Public Act 102-413) this amendatory Act of the 102nd  | 
General Assembly, the anaphylactic policy established under  | 
subsection (a) shall be forwarded by the State Board to the  | 
school board of each school district in this State. Each  | 
school district shall implement or update, as appropriate, its  | 
anaphylactic policy in accordance with those developed by the  | 
State Board within 6 months after receiving the anaphylactic  | 
policy from the State Board. | 
 (e) The anaphylactic policy established under subsection  | 
(a) shall be reviewed and updated, if necessary, at least once  | 
every 3 years. | 
 (f) The State Board shall post the anaphylactic policy  | 
established under subsection (a) and resources regarding  | 
allergies and anaphylaxis on its website. | 
 (g) The State Board may adopt any rules necessary to  | 
implement this Section.
 | 
(Source: P.A. 102-413, eff. 8-20-21; revised 11-9-21.)
 | 
 (105 ILCS 5/2-3.191)
 | 
 Sec. 2-3.191 2-3.182. State Education Equity Committee. | 
 (a) The General Assembly finds that this State has an  | 
urgent and collective responsibility to achieve educational  | 
equity by ensuring that all policies, programs, and practices  | 
affirm the strengths that each and every child brings with  | 
diverse backgrounds and life experiences and by delivering the  | 
 | 
comprehensive support, programs, and educational opportunities  | 
children need to succeed. | 
 (b) The State Education Equity Committee is created within  | 
the State Board of Education to strive toward ensuring equity  | 
in education for all children from birth through grade 12.  | 
 (c) The Committee shall consist of the State  | 
Superintendent of Education or the State Superintendent's  | 
designee, who shall serve as chairperson, and one member from  | 
each of the following organizations appointed by the State  | 
Superintendent: | 
  (1) At least 2 educators who each represent a  | 
 different statewide professional teachers' organization. | 
  (2) A professional teachers' organization located in a  | 
 city having a population exceeding 500,000. | 
  (3) A statewide association representing school  | 
 administrators. | 
  (4) A statewide association representing regional  | 
 superintendents of schools.  | 
  (5) A statewide association representing school board  | 
 members. | 
  (6) A statewide association representing school  | 
 principals. | 
  (7) A school district serving a community with a  | 
 population of 500,000 or more. | 
  (8) A parent-led organization.  | 
  (9) A student-led organization. | 
 | 
  (10) One community organization that works to foster  | 
 safe and healthy environments through advocacy for  | 
 immigrant families and ensuring equitable opportunities  | 
 for educational advancement and economic development. | 
  (11) An organization that works for economic,  | 
 educational, and social progress for African Americans and  | 
 promotes strong sustainable communities through advocacy,  | 
 collaboration, and innovation. | 
  (12) One statewide organization whose focus is to  | 
 narrow or close the achievement gap between students of  | 
 color and their peers. | 
  (13) An organization that advocates for healthier  | 
 school environments in this State. | 
  (14) One statewide organization that advocates for  | 
 partnerships among schools, families, and the community,  | 
 provides access to support, and removes barriers to  | 
 learning and development, using schools as hubs. | 
  (15) One organization that advocates for the health  | 
 and safety of Illinois youth and families by providing  | 
 capacity building services. | 
  (16) An organization dedicated to advocating for  | 
 public policies to prevent homelessness. | 
  (17) Other appropriate State agencies as determined by  | 
 the State Superintendent.  | 
 Members appointed to the Committee must reflect, as much  | 
as possible, the racial, ethnic, and geographic diversity of  | 
 | 
this State.  | 
 (d) Members appointed by the State Superintendent shall  | 
serve without compensation, but may be reimbursed for  | 
reasonable and necessary expenses, including travel, from  | 
funds appropriated to the State Board of Education for that  | 
purpose, subject to the rules of the appropriate travel  | 
control board. | 
 (e) The Committee shall meet at the call of the  | 
chairperson, but shall meet no less than 3 times a year. | 
 (f) The Committee shall recognize that, while progress has  | 
been made, much remains to be done to address systemic  | 
inequities and ensure each and every child is equipped to  | 
reach the child's fullest potential and shall:  | 
  (1) guide its work through the principles of equity,  | 
 equality, collaboration, and community; | 
  (2) focus its work around the overarching goals of  | 
 student learning, learning conditions, and elevating  | 
 educators, all underpinned by equity; | 
  (3) identify evidence-based practices or policies  | 
 around these goals to build on this State's progress of  | 
 ensuring educational equity for all its students in all  | 
 aspects of birth through grade 12 education; and | 
  (4) seek input and feedback on identified  | 
 evidence-based practices or policies from stakeholders,  | 
 including, but not limited to, parents, students, and  | 
 educators that reflect the rich diversity of Illinois  | 
 | 
 students.  | 
 (g) The Committee shall submit its recommendations to the  | 
General Assembly and the State Board of Education no later  | 
than January 31, 2022. By no later than December 15, 2023 and  | 
each year thereafter, the Committee shall report to the  | 
General Assembly and the State Board of Education about the  | 
additional progress that has been made to achieve educational  | 
equity. 
 | 
(Source: P.A. 102-458, eff. 8-20-21; revised 1-15-22.)
 | 
 (105 ILCS 5/10-17a) (from Ch. 122, par. 10-17a)
 | 
 (Text of Section before amendment by P.A. 102-594) | 
 Sec. 10-17a. State, school district, and school report  | 
cards. 
 | 
 (1) By October 31, 2013 and October 31 of each subsequent  | 
school year, the State Board of Education, through the State  | 
Superintendent of Education, shall prepare a State report  | 
card, school district report cards, and school report cards,  | 
and shall by the most economical economic means provide to  | 
each school
district in this State, including special charter  | 
districts and districts
subject to the provisions of Article  | 
34, the report cards for the school district and each of its  | 
schools. Because of the impacts of the COVID-19 public health  | 
emergency during school year 2020-2021, the State Board of  | 
Education shall have until December 31, 2021 to prepare and  | 
provide the report cards that would otherwise be due by  | 
 | 
October 31, 2021. During a school year in which the Governor  | 
has declared a disaster due to a public health emergency  | 
pursuant to Section 7 of the Illinois Emergency Management  | 
Agency Act, the report cards for the school districts and each  | 
of its schools shall be prepared by December 31. | 
 (2) In addition to any information required by federal  | 
law, the State Superintendent shall determine the indicators  | 
and presentation of the school report card, which must  | 
include, at a minimum, the most current data collected and  | 
maintained by the State Board of Education related to the  | 
following: | 
  (A) school characteristics and student demographics,  | 
 including average class size, average teaching experience,  | 
 student racial/ethnic breakdown, and the percentage of  | 
 students classified as low-income; the percentage of  | 
 students classified as English learners, the number of  | 
 students who graduate from a bilingual or English learner  | 
 program, and the number of students who graduate from,  | 
 transfer from, or otherwise leave bilingual programs; the  | 
 percentage of students who have individualized education  | 
 plans or 504 plans that provide for special education  | 
 services; the number and percentage of all students who  | 
 have been assessed for placement in a gifted education or  | 
 advanced academic program and, of those students: (i) the  | 
 racial and ethnic breakdown, (ii) the percentage who are  | 
 classified as low-income, and (iii) the number and  | 
 | 
 percentage of students who received direct instruction  | 
 from a teacher who holds a gifted education endorsement  | 
 and, of those students, the percentage who are classified  | 
 as low-income; the percentage of students scoring at the  | 
 "exceeds expectations" level on the assessments required  | 
 under Section 2-3.64a-5 of this Code; the percentage of  | 
 students who annually transferred in or out of the school  | 
 district; average daily attendance; the per-pupil  | 
 operating expenditure of the school district; and the  | 
 per-pupil State average operating expenditure for the  | 
 district type (elementary, high school, or unit); | 
  (B) curriculum information, including, where  | 
 applicable, Advanced Placement, International  | 
 Baccalaureate or equivalent courses, dual enrollment  | 
 courses, foreign language classes, computer science  | 
 courses, school personnel resources (including Career  | 
 Technical Education teachers), before and after school  | 
 programs, extracurricular activities, subjects in which  | 
 elective classes are offered, health and wellness  | 
 initiatives (including the average number of days of  | 
 Physical Education per week per student), approved  | 
 programs of study, awards received, community  | 
 partnerships, and special programs such as programming for  | 
 the gifted and talented, students with disabilities, and  | 
 work-study students; | 
  (C) student outcomes, including, where applicable, the  | 
 | 
 percentage of students deemed proficient on assessments of  | 
 State standards, the percentage of students in the eighth  | 
 grade who pass Algebra, the percentage of students who  | 
 participated in workplace learning experiences, the  | 
 percentage of students enrolled in post-secondary  | 
 institutions (including colleges, universities, community  | 
 colleges, trade/vocational schools, and training programs  | 
 leading to career certification within 2 semesters of high  | 
 school graduation), the percentage of students graduating  | 
 from high school who are college and career ready, and the  | 
 percentage of graduates enrolled in community colleges,  | 
 colleges, and universities who are in one or more courses  | 
 that the community college, college, or university  | 
 identifies as a developmental course;  | 
  (D) student progress, including, where applicable, the  | 
 percentage of students in the ninth grade who have earned  | 
 5 credits or more without failing more than one core  | 
 class, a measure of students entering kindergarten ready  | 
 to learn, a measure of growth, and the percentage of  | 
 students who enter high school on track for college and  | 
 career readiness; | 
  (E) the school environment, including, where  | 
 applicable, high school dropout rate by grade level, the  | 
 percentage of students with less than 10 absences in a  | 
 school year, the percentage of teachers with less than 10  | 
 absences in a school year for reasons other than  | 
 | 
 professional development, leaves taken pursuant to the  | 
 federal Family Medical Leave Act of 1993, long-term  | 
 disability, or parental leaves, the 3-year average of the  | 
 percentage of teachers returning to the school from the  | 
 previous year, the number of different principals at the  | 
 school in the last 6 years, the number of teachers who hold  | 
 a gifted education endorsement, the process and criteria  | 
 used by the district to determine whether a student is  | 
 eligible for participation in a gifted education program  | 
 or advanced academic program and the manner in which  | 
 parents and guardians are made aware of the process and  | 
 criteria, 2 or more indicators from any school climate  | 
 survey selected or approved by the State and administered  | 
 pursuant to Section 2-3.153 of this Code, with the same or  | 
 similar indicators included on school report cards for all  | 
 surveys selected or approved by the State pursuant to  | 
 Section 2-3.153 of this Code, the combined percentage of  | 
 teachers rated as proficient or excellent in their most  | 
 recent evaluation, and, beginning with the 2022-2023  | 
 school year, data on the number of incidents of violence  | 
 that occurred on school grounds or during school-related  | 
 activities and that resulted in an out-of-school  | 
 suspension, expulsion, or removal to an alternative  | 
 setting, as reported pursuant to Section 2-3.162; | 
  (F) a school district's and its individual schools'  | 
 balanced accountability measure, in accordance with  | 
 | 
 Section 2-3.25a of this Code; | 
  (G) the total and per pupil normal cost amount the  | 
 State contributed to the Teachers' Retirement System of  | 
 the State of Illinois in the prior fiscal year for the  | 
 school's employees, which shall be reported to the State  | 
 Board of Education by the Teachers' Retirement System of  | 
 the State of Illinois; | 
  (H) for a school district organized under Article 34  | 
 of this Code only, State contributions to the Public  | 
 School Teachers' Pension and Retirement Fund of Chicago  | 
 and State contributions for health care for employees of  | 
 that school district;  | 
  (I) a school district's Final Percent of Adequacy, as  | 
 defined in paragraph (4) of subsection (f) of Section  | 
 18-8.15 of this Code; | 
  (J) a school district's Local Capacity Target, as  | 
 defined in paragraph (2) of subsection (c) of Section  | 
 18-8.15 of this Code, displayed as a percentage amount; | 
  (K) a school district's Real Receipts, as defined in  | 
 paragraph (1) of subsection (d) of Section 18-8.15 of this  | 
 Code, divided by a school district's Adequacy Target, as  | 
 defined in paragraph (1) of subsection (b) of Section  | 
 18-8.15 of this Code, displayed as a percentage amount;  | 
  (L) a school district's administrative costs; | 
  (M) whether or not the school has participated in the  | 
 Illinois Youth Survey. In this paragraph (M), "Illinois  | 
 | 
 Youth Survey" means a self-report survey, administered in  | 
 school settings every 2 years, designed to gather  | 
 information about health and social indicators, including  | 
 substance abuse patterns and the attitudes of students in  | 
 grades 8, 10, and 12; and  | 
  (N) whether the school offered its students career and  | 
 technical education opportunities.  | 
 The school report card shall also provide
information that  | 
allows for comparing the current outcome, progress, and  | 
environment data to the State average, to the school data from  | 
the past 5 years, and to the outcomes, progress, and  | 
environment of similar schools based on the type of school and  | 
enrollment of low-income students, special education students,  | 
and English learners.
 | 
 As used in this subsection (2):  | 
 "Administrative costs" means costs associated with  | 
executive, administrative, or managerial functions within the  | 
school district that involve planning, organizing, managing,  | 
or directing the school district.  | 
 "Advanced academic program" means a course of study to  | 
which students are assigned based on advanced cognitive  | 
ability or advanced academic achievement compared to local age  | 
peers and in which the curriculum is substantially  | 
differentiated from the general curriculum to provide  | 
appropriate challenge and pace.  | 
 "Computer science" means the study of computers and  | 
 | 
algorithms, including their principles, their hardware and  | 
software designs, their implementation, and their impact on  | 
society. "Computer science" does not include the study of  | 
everyday uses of computers and computer applications, such as  | 
keyboarding or accessing the Internet.  | 
 "Gifted education" means educational services, including  | 
differentiated curricula and instructional methods, designed  | 
to meet the needs of gifted children as defined in Article 14A  | 
of this Code.  | 
 For the purposes of paragraph (A) of this subsection (2),  | 
"average daily attendance" means the average of the actual  | 
number of attendance days during the previous school year for  | 
any enrolled student who is subject to compulsory attendance  | 
by Section 26-1 of this Code at each school and charter school.  | 
 (3) At the discretion of the State Superintendent, the  | 
school district report card shall include a subset of the  | 
information identified in paragraphs (A) through (E) of  | 
subsection (2) of this Section, as well as information  | 
relating to the operating expense per pupil and other finances  | 
of the school district, and the State report card shall  | 
include a subset of the information identified in paragraphs  | 
(A) through (E) and paragraph (N) of subsection (2) of this  | 
Section. The school district report card shall include the  | 
average daily attendance, as that term is defined in  | 
subsection (2) of this Section, of students who have  | 
individualized education programs and students who have 504  | 
 | 
plans that provide for special education services within the  | 
school district. | 
 (4) Notwithstanding anything to the contrary in this  | 
Section, in consultation with key education stakeholders, the  | 
State Superintendent shall at any time have the discretion to  | 
amend or update any and all metrics on the school, district, or  | 
State report card.  | 
 (5) Annually, no more than 30 calendar days after receipt  | 
of the school district and school report cards from the State  | 
Superintendent of Education, each school district, including  | 
special charter districts and districts subject to the  | 
provisions of Article 34, shall present such report
cards at a  | 
regular school board meeting subject to
applicable notice  | 
requirements, post the report cards
on the
school district's  | 
Internet web site, if the district maintains an Internet web
 | 
site, make the report cards
available
to a newspaper of  | 
general circulation serving the district, and, upon
request,  | 
send the report cards
home to a parent (unless the district  | 
does not maintain an Internet web site,
in which case
the  | 
report card shall be sent home to parents without request). If  | 
the
district posts the report card on its Internet web
site,  | 
the district
shall send a
written notice home to parents  | 
stating (i) that the report card is available on
the web site,
 | 
(ii) the address of the web site, (iii) that a printed copy of  | 
the report card
will be sent to
parents upon request, and (iv)  | 
the telephone number that parents may
call to
request a  | 
 | 
printed copy of the report card.
 | 
 (6) Nothing contained in Public Act 98-648 repeals,  | 
supersedes, invalidates, or nullifies final decisions in  | 
lawsuits pending on July 1, 2014 (the effective date of Public  | 
Act 98-648) in Illinois courts involving the interpretation of  | 
Public Act 97-8.  | 
(Source: P.A. 101-68, eff. 1-1-20; 101-81, eff. 7-12-19;  | 
101-654, eff. 3-8-21; 102-16, eff. 6-17-21; 102-294, eff.  | 
1-1-22; 102-539, eff. 8-20-21; 102-558, eff. 8-20-21; revised  | 
10-18-21.)
 | 
 (Text of Section after amendment by P.A. 102-594)
 | 
 Sec. 10-17a. State, school district, and school report  | 
cards. 
 | 
 (1) By October 31, 2013 and October 31 of each subsequent  | 
school year, the State Board of Education, through the State  | 
Superintendent of Education, shall prepare a State report  | 
card, school district report cards, and school report cards,  | 
and shall by the most economical economic means provide to  | 
each school
district in this State, including special charter  | 
districts and districts
subject to the provisions of Article  | 
34, the report cards for the school district and each of its  | 
schools. Because of the impacts of the COVID-19 public health  | 
emergency during school year 2020-2021, the State Board of  | 
Education shall have until December 31, 2021 to prepare and  | 
provide the report cards that would otherwise be due by  | 
 | 
October 31, 2021. During a school year in which the Governor  | 
has declared a disaster due to a public health emergency  | 
pursuant to Section 7 of the Illinois Emergency Management  | 
Agency Act, the report cards for the school districts and each  | 
of its schools shall be prepared by December 31. | 
 (2) In addition to any information required by federal  | 
law, the State Superintendent shall determine the indicators  | 
and presentation of the school report card, which must  | 
include, at a minimum, the most current data collected and  | 
maintained by the State Board of Education related to the  | 
following: | 
  (A) school characteristics and student demographics,  | 
 including average class size, average teaching experience,  | 
 student racial/ethnic breakdown, and the percentage of  | 
 students classified as low-income; the percentage of  | 
 students classified as English learners, the number of  | 
 students who graduate from a bilingual or English learner  | 
 program, and the number of students who graduate from,  | 
 transfer from, or otherwise leave bilingual programs; the  | 
 percentage of students who have individualized education  | 
 plans or 504 plans that provide for special education  | 
 services; the number and percentage of all students who  | 
 have been assessed for placement in a gifted education or  | 
 advanced academic program and, of those students: (i) the  | 
 racial and ethnic breakdown, (ii) the percentage who are  | 
 classified as low-income, and (iii) the number and  | 
 | 
 percentage of students who received direct instruction  | 
 from a teacher who holds a gifted education endorsement  | 
 and, of those students, the percentage who are classified  | 
 as low-income; the percentage of students scoring at the  | 
 "exceeds expectations" level on the assessments required  | 
 under Section 2-3.64a-5 of this Code; the percentage of  | 
 students who annually transferred in or out of the school  | 
 district; average daily attendance; the per-pupil  | 
 operating expenditure of the school district; and the  | 
 per-pupil State average operating expenditure for the  | 
 district type (elementary, high school, or unit); | 
  (B) curriculum information, including, where  | 
 applicable, Advanced Placement, International  | 
 Baccalaureate or equivalent courses, dual enrollment  | 
 courses, foreign language classes, computer science  | 
 courses, school personnel resources (including Career  | 
 Technical Education teachers), before and after school  | 
 programs, extracurricular activities, subjects in which  | 
 elective classes are offered, health and wellness  | 
 initiatives (including the average number of days of  | 
 Physical Education per week per student), approved  | 
 programs of study, awards received, community  | 
 partnerships, and special programs such as programming for  | 
 the gifted and talented, students with disabilities, and  | 
 work-study students; | 
  (C) student outcomes, including, where applicable, the  | 
 | 
 percentage of students deemed proficient on assessments of  | 
 State standards, the percentage of students in the eighth  | 
 grade who pass Algebra, the percentage of students who  | 
 participated in workplace learning experiences, the  | 
 percentage of students enrolled in post-secondary  | 
 institutions (including colleges, universities, community  | 
 colleges, trade/vocational schools, and training programs  | 
 leading to career certification within 2 semesters of high  | 
 school graduation), the percentage of students graduating  | 
 from high school who are college and career ready, and the  | 
 percentage of graduates enrolled in community colleges,  | 
 colleges, and universities who are in one or more courses  | 
 that the community college, college, or university  | 
 identifies as a developmental course;  | 
  (D) student progress, including, where applicable, the  | 
 percentage of students in the ninth grade who have earned  | 
 5 credits or more without failing more than one core  | 
 class, a measure of students entering kindergarten ready  | 
 to learn, a measure of growth, and the percentage of  | 
 students who enter high school on track for college and  | 
 career readiness; | 
  (E) the school environment, including, where  | 
 applicable, high school dropout rate by grade level, the  | 
 percentage of students with less than 10 absences in a  | 
 school year, the percentage of teachers with less than 10  | 
 absences in a school year for reasons other than  | 
 | 
 professional development, leaves taken pursuant to the  | 
 federal Family Medical Leave Act of 1993, long-term  | 
 disability, or parental leaves, the 3-year average of the  | 
 percentage of teachers returning to the school from the  | 
 previous year, the number of different principals at the  | 
 school in the last 6 years, the number of teachers who hold  | 
 a gifted education endorsement, the process and criteria  | 
 used by the district to determine whether a student is  | 
 eligible for participation in a gifted education program  | 
 or advanced academic program and the manner in which  | 
 parents and guardians are made aware of the process and  | 
 criteria, the number of teachers who are National Board  | 
 Certified Teachers, disaggregated by race and ethnicity, 2  | 
 or more indicators from any school climate survey selected  | 
 or approved by the State and administered pursuant to  | 
 Section 2-3.153 of this Code, with the same or similar  | 
 indicators included on school report cards for all surveys  | 
 selected or approved by the State pursuant to Section  | 
 2-3.153 of this Code, the combined percentage of teachers  | 
 rated as proficient or excellent in their most recent  | 
 evaluation, and, beginning with the 2022-2023 school year,  | 
 data on the number of incidents of violence that occurred  | 
 on school grounds or during school-related activities and  | 
 that resulted in an out-of-school suspension, expulsion,  | 
 or removal to an alternative setting, as reported pursuant  | 
 to Section 2-3.162; | 
 | 
  (F) a school district's and its individual schools'  | 
 balanced accountability measure, in accordance with  | 
 Section 2-3.25a of this Code; | 
  (G) the total and per pupil normal cost amount the  | 
 State contributed to the Teachers' Retirement System of  | 
 the State of Illinois in the prior fiscal year for the  | 
 school's employees, which shall be reported to the State  | 
 Board of Education by the Teachers' Retirement System of  | 
 the State of Illinois; | 
  (H) for a school district organized under Article 34  | 
 of this Code only, State contributions to the Public  | 
 School Teachers' Pension and Retirement Fund of Chicago  | 
 and State contributions for health care for employees of  | 
 that school district;  | 
  (I) a school district's Final Percent of Adequacy, as  | 
 defined in paragraph (4) of subsection (f) of Section  | 
 18-8.15 of this Code; | 
  (J) a school district's Local Capacity Target, as  | 
 defined in paragraph (2) of subsection (c) of Section  | 
 18-8.15 of this Code, displayed as a percentage amount; | 
  (K) a school district's Real Receipts, as defined in  | 
 paragraph (1) of subsection (d) of Section 18-8.15 of this  | 
 Code, divided by a school district's Adequacy Target, as  | 
 defined in paragraph (1) of subsection (b) of Section  | 
 18-8.15 of this Code, displayed as a percentage amount;  | 
  (L) a school district's administrative costs; | 
 | 
  (M) whether or not the school has participated in the  | 
 Illinois Youth Survey. In this paragraph (M), "Illinois  | 
 Youth Survey" means a self-report survey, administered in  | 
 school settings every 2 years, designed to gather  | 
 information about health and social indicators, including  | 
 substance abuse patterns and the attitudes of students in  | 
 grades 8, 10, and 12; and  | 
  (N) whether the school offered its students career and  | 
 technical education opportunities.  | 
 The school report card shall also provide
information that  | 
allows for comparing the current outcome, progress, and  | 
environment data to the State average, to the school data from  | 
the past 5 years, and to the outcomes, progress, and  | 
environment of similar schools based on the type of school and  | 
enrollment of low-income students, special education students,  | 
and English learners.
 | 
 As used in this subsection (2):  | 
 "Administrative costs" means costs associated with  | 
executive, administrative, or managerial functions within the  | 
school district that involve planning, organizing, managing,  | 
or directing the school district.  | 
 "Advanced academic program" means a course of study to  | 
which students are assigned based on advanced cognitive  | 
ability or advanced academic achievement compared to local age  | 
peers and in which the curriculum is substantially  | 
differentiated from the general curriculum to provide  | 
 | 
appropriate challenge and pace.  | 
 "Computer science" means the study of computers and  | 
algorithms, including their principles, their hardware and  | 
software designs, their implementation, and their impact on  | 
society. "Computer science" does not include the study of  | 
everyday uses of computers and computer applications, such as  | 
keyboarding or accessing the Internet.  | 
 "Gifted education" means educational services, including  | 
differentiated curricula and instructional methods, designed  | 
to meet the needs of gifted children as defined in Article 14A  | 
of this Code.  | 
 For the purposes of paragraph (A) of this subsection (2),  | 
"average daily attendance" means the average of the actual  | 
number of attendance days during the previous school year for  | 
any enrolled student who is subject to compulsory attendance  | 
by Section 26-1 of this Code at each school and charter school.  | 
 (3) At the discretion of the State Superintendent, the  | 
school district report card shall include a subset of the  | 
information identified in paragraphs (A) through (E) of  | 
subsection (2) of this Section, as well as information  | 
relating to the operating expense per pupil and other finances  | 
of the school district, and the State report card shall  | 
include a subset of the information identified in paragraphs  | 
(A) through (E) and paragraph (N) of subsection (2) of this  | 
Section. The school district report card shall include the  | 
average daily attendance, as that term is defined in  | 
 | 
subsection (2) of this Section, of students who have  | 
individualized education programs and students who have 504  | 
plans that provide for special education services within the  | 
school district. | 
 (4) Notwithstanding anything to the contrary in this  | 
Section, in consultation with key education stakeholders, the  | 
State Superintendent shall at any time have the discretion to  | 
amend or update any and all metrics on the school, district, or  | 
State report card.  | 
 (5) Annually, no more than 30 calendar days after receipt  | 
of the school district and school report cards from the State  | 
Superintendent of Education, each school district, including  | 
special charter districts and districts subject to the  | 
provisions of Article 34, shall present such report
cards at a  | 
regular school board meeting subject to
applicable notice  | 
requirements, post the report cards
on the
school district's  | 
Internet web site, if the district maintains an Internet web
 | 
site, make the report cards
available
to a newspaper of  | 
general circulation serving the district, and, upon
request,  | 
send the report cards
home to a parent (unless the district  | 
does not maintain an Internet web site,
in which case
the  | 
report card shall be sent home to parents without request). If  | 
the
district posts the report card on its Internet web
site,  | 
the district
shall send a
written notice home to parents  | 
stating (i) that the report card is available on
the web site,
 | 
(ii) the address of the web site, (iii) that a printed copy of  | 
 | 
the report card
will be sent to
parents upon request, and (iv)  | 
the telephone number that parents may
call to
request a  | 
printed copy of the report card.
 | 
 (6) Nothing contained in Public Act 98-648 repeals,  | 
supersedes, invalidates, or nullifies final decisions in  | 
lawsuits pending on July 1, 2014 (the effective date of Public  | 
Act 98-648) in Illinois courts involving the interpretation of  | 
Public Act 97-8.  | 
(Source: P.A. 101-68, eff. 1-1-20; 101-81, eff. 7-12-19;  | 
101-654, eff. 3-8-21; 102-16, eff. 6-17-21; 102-294, eff.  | 
1-1-22; 102-539, eff. 8-20-21; 102-558, eff. 8-20-21; 102-594,  | 
eff. 7-1-22; revised 10-18-21.)
 | 
 (105 ILCS 5/10-20.73) | 
 Sec. 10-20.73. Modification of athletic or team uniform  | 
permitted.  | 
 (a) A school board must allow a student athlete to modify  | 
his or her athletic or team uniform for the purpose of modesty  | 
in clothing or attire that is in accordance with the  | 
requirements of his or her religion or his or her cultural  | 
values or modesty preferences. The modification of the  | 
athletic or team uniform may include, but is not limited to,  | 
the wearing of a hijab, an undershirt, or leggings. If a  | 
student chooses to modify his or her athletic or team uniform,  | 
the student is responsible for all costs associated with the  | 
modification of the uniform and the student shall not be  | 
 | 
required to receive prior approval from the school board for  | 
such modification. However, nothing in this Section prohibits  | 
a school from providing the modification to the student. | 
 (b) At a minimum, any modification of the athletic or team  | 
uniform must not interfere with the movement of the student or  | 
pose a safety hazard to the student or to other athletes or  | 
players. The modification of headgear is permitted if the  | 
headgear: | 
  (1) is black, white, the predominant predominate color  | 
 of the uniform, or the same color for all players on the  | 
 team; | 
  (2) does not cover any part of the face; | 
  (3) is not dangerous to the player or to the other  | 
 players; | 
  (4) has no opening or closing elements around the face  | 
 and neck; and | 
  (5) has no parts extruding from its surface. 
 | 
(Source: P.A. 102-51, eff. 7-9-21; revised 10-19-21.)
 | 
 (105 ILCS 5/10-20.75) | 
 (This Section may contain text from a Public Act with a  | 
delayed effective date) | 
 Sec. 10-20.75. Website accessibility guidelines. | 
 (a) As used in this Section, "Internet website or web  | 
service" means any third party online curriculum that is made  | 
available to enrolled students or the public by a school  | 
 | 
district through the Internet. | 
 (b) To ensure that the content available on an Internet  | 
website or web service of a school district is readily  | 
accessible to persons with disabilities, the school district  | 
must require that the Internet website or web service comply  | 
with Level AA of the World Wide Web Consortium's Web Content  | 
Accessibility Guidelines 2.1 or any revised version of those  | 
guidelines. 
 | 
(Source: P.A. 102-238, eff. 8-1-22.)
 | 
 (105 ILCS 5/10-20.76)
 | 
 Sec. 10-20.76 10-20.73. Student identification; suicide  | 
prevention information. Each school district shall provide  | 
contact information for the National Suicide Prevention  | 
Lifeline and for the Crisis Text Line on the back of each  | 
student identification card issued by the school district. If  | 
the school district does not issue student identification  | 
cards to its students or to all of its students, the school  | 
district must publish this information on its website.
 | 
(Source: P.A. 102-134, eff. 7-23-21; revised 10-19-21.)
 | 
 (105 ILCS 5/10-20.77)
 | 
 (This Section may contain text from a Public Act with a  | 
delayed effective date) | 
 Sec. 10-20.77 10-20.73. Parent-teacher conference and  | 
other meetings; caseworker. For any student who is in the  | 
 | 
legal custody of the Department of Children and Family  | 
Services, the liaison appointed under Section 10-20.59 must  | 
inform the Department's Office of Education and Transition  | 
Services of a parent-teacher conference or any other meeting  | 
concerning the student that would otherwise involve a parent  | 
and must, at the option of the caseworker, allow the student's  | 
caseworker to attend the conference or meeting.
 | 
(Source: P.A. 102-199, eff. 7-1-22; revised 10-19-21.)
 | 
 (105 ILCS 5/10-20.78)
 | 
 Sec. 10-20.78 10-20.73. Student absence; pregnancy. A  | 
school board shall adopt written policies related to absences  | 
and missed homework or classwork assignments as a result of or  | 
related to a student's pregnancy.
 | 
(Source: P.A. 102-471, eff. 8-20-21; revised 10-19-21.)
 | 
 (105 ILCS 5/10-20.79)
 | 
 Sec. 10-20.79 10-20.73. Computer literacy skills. All  | 
school districts shall ensure that students receive  | 
developmentally appropriate opportunities to gain computer  | 
literacy skills beginning in elementary school.
 | 
(Source: P.A. 101-654, eff. 3-8-21; revised 10-19-21.)
 | 
 (105 ILCS 5/10-20.80)
 | 
 Sec. 10-20.80 10-20.75. School support personnel  | 
reporting. No later than December 1, 2022 and each December  | 
 | 
1st annually thereafter, each school district must report to  | 
the State Board of Education the information with regard to  | 
the school district as of October 1st of each year beginning in  | 
2022 as described in subsection (b) of Section 2-3.182 of this  | 
Code and must make that information available on its website.
 | 
(Source: P.A. 102-302, eff. 1-1-22; revised 10-19-21.)
 | 
 (105 ILCS 5/10-20.81)
 | 
 (This Section may contain text from a Public Act with a  | 
delayed effective date) | 
 Sec. 10-20.81 10-20.75. Identification cards; suicide  | 
prevention information. Each school district that serves  | 
pupils in any of grades 6 through 12 and that issues an  | 
identification card to pupils in any of grades 6 through 12  | 
shall provide contact information for the National Suicide  | 
Prevention Lifeline (988), the Crisis Text Line, and either  | 
the Safe2Help Illinois helpline or a local suicide prevention  | 
hotline or both on the identification card. The contact  | 
information shall identify each helpline that may be contacted  | 
through text messaging. The contact information shall be  | 
included in the school's student handbook and also the student  | 
planner if a student planner is custom printed by the school  | 
for distribution to pupils in any of grades 6 through 12.
 | 
(Source: P.A. 102-416, eff. 7-1-22; revised 10-19-21.)
 | 
 (105 ILCS 5/10-21.9) (from Ch. 122, par. 10-21.9)
 | 
 | 
 Sec. 10-21.9. Criminal history records checks and checks  | 
of the Statewide Sex Offender Database and Statewide Murderer  | 
and Violent Offender Against Youth Database.
 | 
 (a) Licensed and nonlicensed applicants for employment  | 
with a school
district, except school bus driver applicants,  | 
are required as a condition
of employment to authorize a  | 
fingerprint-based criminal history records check to determine  | 
if such applicants have been convicted of any disqualifying,  | 
enumerated criminal or drug offenses in subsection (c) of this  | 
Section or
have been convicted, within 7 years of the  | 
application for employment with
the
school district, of any  | 
other felony under the laws of this State or of any
offense  | 
committed or attempted in any other state or against the laws  | 
of
the United States that, if committed or attempted in this  | 
State, would
have been punishable as a felony under the laws of  | 
this State.
Authorization for
the check shall be furnished by  | 
the applicant to
the school district, except that if the  | 
applicant is a substitute teacher
seeking employment in more  | 
than one school district, a teacher seeking
concurrent  | 
part-time employment positions with more than one school
 | 
district (as a reading specialist, special education teacher  | 
or otherwise),
or an educational support personnel employee  | 
seeking employment positions
with more than one district, any  | 
such district may require the applicant to
furnish  | 
authorization for
the check to the regional superintendent
of  | 
the educational service region in which are located the school  | 
 | 
districts
in which the applicant is seeking employment as a  | 
substitute or concurrent
part-time teacher or concurrent  | 
educational support personnel employee.
Upon receipt of this  | 
authorization, the school district or the appropriate
regional  | 
superintendent, as the case may be, shall submit the  | 
applicant's
name, sex, race, date of birth, social security  | 
number, fingerprint images, and other identifiers, as  | 
prescribed by the Illinois State Police, to the Illinois State  | 
Police. The regional
superintendent submitting the requisite  | 
information to the Illinois
State Police shall promptly notify  | 
the school districts in which the
applicant is seeking  | 
employment as a substitute or concurrent part-time
teacher or  | 
concurrent educational support personnel employee that
the
 | 
check of the applicant has been requested. The Illinois State  | 
Police and the Federal Bureau of Investigation shall furnish,  | 
pursuant to a fingerprint-based criminal history records  | 
check, records of convictions, forever and hereinafter, until  | 
expunged, to the president of the school board for the school  | 
district that requested the check, or to the regional  | 
superintendent who requested the check.
The Illinois State  | 
Police
shall charge
the school district
or the appropriate  | 
regional superintendent a fee for
conducting
such check, which  | 
fee shall be deposited in the State
Police Services Fund and  | 
shall not exceed the cost of
the inquiry; and the
applicant  | 
shall not be charged a fee for
such check by the school
 | 
district or by the regional superintendent, except that those  | 
 | 
applicants seeking employment as a substitute teacher with a  | 
school district may be charged a fee not to exceed the cost of  | 
the inquiry. Subject to appropriations for these purposes, the  | 
State Superintendent of Education shall reimburse school  | 
districts and regional superintendents for fees paid to obtain  | 
criminal history records checks under this Section.
 | 
 (a-5) The school district or regional superintendent shall  | 
further perform a check of the Statewide Sex Offender  | 
Database, as authorized by the Sex Offender Community  | 
Notification Law, for each applicant. The check of the  | 
Statewide Sex Offender Database must be conducted by the  | 
school district or regional superintendent once for every 5  | 
years that an applicant remains employed by the school  | 
district.  | 
 (a-6) The school district or regional superintendent shall  | 
further perform a check of the Statewide Murderer and Violent  | 
Offender Against Youth Database, as authorized by the Murderer  | 
and Violent Offender Against Youth Community Notification Law,  | 
for each applicant. The check of the Murderer and Violent  | 
Offender Against Youth Database must be conducted by the  | 
school district or regional superintendent once for every 5  | 
years that an applicant remains employed by the school  | 
district.  | 
 (b)
Any information
concerning the record of convictions  | 
obtained by the president of the
school board or the regional  | 
superintendent shall be confidential and may
only be  | 
 | 
transmitted to the superintendent of the school district or  | 
his
designee, the appropriate regional superintendent if
the  | 
check was
requested by the school district, the presidents of  | 
the appropriate school
boards if
the check was requested from  | 
the Illinois State
Police by the regional superintendent, the  | 
State Board of Education and a school district as authorized  | 
under subsection (b-5), the State Superintendent of
Education,  | 
the State Educator Preparation and Licensure Board, any other  | 
person
necessary to the decision of hiring the applicant for  | 
employment, or for clarification purposes the Illinois State  | 
Police or Statewide Sex Offender Database, or both. A copy
of  | 
the record of convictions obtained from the Illinois State  | 
Police
shall be provided to the applicant for employment. Upon  | 
the check of the Statewide Sex Offender Database or Statewide  | 
Murderer and Violent Offender Against Youth Database, the  | 
school district or regional superintendent shall notify an  | 
applicant as to whether or not the applicant has been  | 
identified in the Database. If a check of
an applicant for  | 
employment as a substitute or concurrent part-time teacher
or  | 
concurrent educational support personnel employee in more than  | 
one
school district was requested by the regional  | 
superintendent, and the Illinois
State Police upon a check  | 
ascertains that the applicant
has not been convicted of any of  | 
the enumerated criminal or drug offenses
in subsection (c) of  | 
this Section
or has not been convicted, within 7 years of the
 | 
application for
employment with the
school district, of any  | 
 | 
other felony under the laws of this State or of any
offense  | 
committed or attempted in any other state or against the laws  | 
of
the United States that, if committed or attempted in this  | 
State, would
have been punishable as a felony under the laws of  | 
this State
and so notifies the regional
superintendent and if  | 
the regional superintendent upon a check ascertains that the  | 
applicant has not been identified in the Sex Offender Database  | 
or Statewide Murderer and Violent Offender Against Youth  | 
Database, then the
regional superintendent shall issue to the  | 
applicant a certificate
evidencing that as of the date  | 
specified by the Illinois State Police
the applicant has not  | 
been convicted of any of the enumerated criminal or
drug  | 
offenses in subsection (c) of this Section
or has not been
 | 
convicted, within 7 years of the application for employment  | 
with the
school district, of any other felony under the laws of  | 
this State or of any
offense committed or attempted in any  | 
other state or against the laws of
the United States that, if  | 
committed or attempted in this State, would
have been  | 
punishable as a felony under the laws of this State and  | 
evidencing that as of the date that the regional  | 
superintendent conducted a check of the Statewide Sex Offender  | 
Database or Statewide Murderer and Violent Offender Against  | 
Youth Database, the applicant has not been identified in the  | 
Database. The school
board of
any
school district
may rely on  | 
the
certificate issued by any regional superintendent to that  | 
substitute teacher, concurrent part-time teacher, or  | 
 | 
concurrent educational support personnel employee or may
 | 
initiate its own criminal history records check of the  | 
applicant through the Illinois
State Police and its own check  | 
of the Statewide Sex Offender Database or Statewide Murderer  | 
and Violent Offender Against Youth Database as provided in  | 
this Section. Any unauthorized release of confidential  | 
information may be a violation of Section 7 of the Criminal  | 
Identification Act.
 | 
 (b-5) If a criminal history records check or check of the  | 
Statewide Sex Offender Database or Statewide Murderer and  | 
Violent Offender Against Youth Database is performed by a  | 
regional superintendent for an applicant seeking employment as  | 
a substitute teacher with a school district, the regional  | 
superintendent may disclose to the State Board of Education  | 
whether the applicant has been issued a certificate under  | 
subsection (b) based on those checks. If the State Board  | 
receives information on an applicant under this subsection,  | 
then it must indicate in the Educator Licensure Information  | 
System for a 90-day period that the applicant has been issued  | 
or has not been issued a certificate.  | 
 (c) No school board shall knowingly employ a person who  | 
has been
convicted of any offense that would subject him or her  | 
to license suspension or revocation pursuant to Section 21B-80  | 
of this Code, except as provided under subsection (b) of  | 
Section 21B-80.
Further, no school board shall knowingly  | 
employ a person who has been found
to be the perpetrator of  | 
 | 
sexual or physical abuse of any minor under 18 years
of age  | 
pursuant to proceedings under Article II of the Juvenile Court  | 
Act of
1987. As a condition of employment, each school board  | 
must consider the status of a person who has been issued an  | 
indicated finding of abuse or neglect of a child by the  | 
Department of Children and Family Services under the Abused  | 
and Neglected Child Reporting Act or by a child welfare agency  | 
of another jurisdiction. 
 | 
 (d) No school board shall knowingly employ a person for  | 
whom a criminal
history records check and a Statewide Sex  | 
Offender Database check have not been initiated.
 | 
 (e) Within 10 days after a superintendent, regional office  | 
of education, or entity that provides background checks of  | 
license holders to public schools receives information of a  | 
pending criminal charge against a license holder for an  | 
offense set forth in Section 21B-80 of this Code, the  | 
superintendent, regional office of education, or entity must  | 
notify the State Superintendent of Education of the pending  | 
criminal charge.  | 
 If permissible by federal or State law, no later than 15  | 
business days after receipt of a record of conviction or of  | 
checking the Statewide Murderer and Violent Offender Against  | 
Youth Database or the Statewide Sex Offender Database and  | 
finding a registration, the superintendent of the employing  | 
school board or the applicable regional superintendent shall,  | 
in writing, notify the State Superintendent of Education of  | 
 | 
any license holder who has been convicted of a crime set forth  | 
in Section 21B-80 of this Code. Upon receipt of the record of a  | 
conviction of or a finding of child
abuse by a holder of any  | 
license
issued pursuant to Article 21B or Section 34-8.1 or  | 
34-83 of the
School Code, the
State Superintendent of  | 
Education may initiate licensure suspension
and revocation  | 
proceedings as authorized by law. If the receipt of the record  | 
of conviction or finding of child abuse is received within 6  | 
months after the initial grant of or renewal of a license, the  | 
State Superintendent of Education may rescind the license  | 
holder's license. 
 | 
 (e-5) The superintendent of the employing school board  | 
shall, in writing, notify the State Superintendent of  | 
Education and the applicable regional superintendent of  | 
schools of any license holder whom he or she has reasonable  | 
cause to believe has committed an intentional act of abuse or  | 
neglect with the result of making a child an abused child or a  | 
neglected child, as defined in Section 3 of the Abused and  | 
Neglected Child Reporting Act, and that act resulted in the  | 
license holder's dismissal or resignation from the school  | 
district. This notification must be submitted within 30 days  | 
after the dismissal or resignation and must include the  | 
Illinois Educator Identification Number (IEIN) of the license  | 
holder and a brief description of the misconduct alleged. The  | 
license holder must also be contemporaneously sent a copy of  | 
the notice by the superintendent. All correspondence,  | 
 | 
documentation, and other information so received by the  | 
regional superintendent of schools, the State Superintendent  | 
of Education, the State Board of Education, or the State  | 
Educator Preparation and Licensure Board under this subsection  | 
(e-5) is confidential and must not be disclosed to third  | 
parties, except (i) as necessary for the State Superintendent  | 
of Education or his or her designee to investigate and  | 
prosecute pursuant to Article 21B of this Code, (ii) pursuant  | 
to a court order, (iii) for disclosure to the license holder or  | 
his or her representative, or (iv) as otherwise provided in  | 
this Article and provided that any such information admitted  | 
into evidence in a hearing is exempt from this confidentiality  | 
and non-disclosure requirement. Except for an act of willful  | 
or wanton misconduct, any superintendent who provides  | 
notification as required in this subsection (e-5) shall have  | 
immunity from any liability, whether civil or criminal or that  | 
otherwise might result by reason of such action. | 
 (f) After January 1, 1990 the provisions of this Section  | 
shall apply
to all employees of persons or firms holding  | 
contracts with any school
district including, but not limited  | 
to, food service workers, school bus
drivers and other  | 
transportation employees, who have direct, daily contact
with  | 
the pupils of any school in such district. For purposes of  | 
criminal
history records checks and checks of the Statewide  | 
Sex Offender Database on employees of persons or firms holding
 | 
contracts with more than one school district and assigned to  | 
 | 
more than one
school district, the regional superintendent of  | 
the educational service
region in which the contracting school  | 
districts are located may, at the
request of any such school  | 
district, be responsible for receiving the
authorization for
a  | 
criminal history records check prepared by each such employee  | 
and
submitting the same to the Illinois State Police and for  | 
conducting a check of the Statewide Sex Offender Database for  | 
each employee. Any information
concerning the record of  | 
conviction and identification as a sex offender of any such  | 
employee obtained by the
regional superintendent shall be  | 
promptly reported to the president of the
appropriate school  | 
board or school boards.
 | 
 (f-5) Upon request of a school or school district, any  | 
information obtained by a school district pursuant to  | 
subsection (f) of this Section within the last year must be  | 
made available to the requesting school or school district. | 
 (g) Prior to the commencement of any student teaching  | 
experience or required internship (which is referred to as  | 
student teaching in this Section) in the public schools, a  | 
student teacher is required to authorize a fingerprint-based  | 
criminal history records check. Authorization for and payment  | 
of the costs of the check must be furnished by the student  | 
teacher to the school district where the student teaching is  | 
to be completed. Upon receipt of this authorization and  | 
payment, the school district shall submit the student  | 
teacher's name, sex, race, date of birth, social security  | 
 | 
number, fingerprint images, and other identifiers, as  | 
prescribed by the Illinois State Police, to the Illinois State  | 
Police. The Illinois State Police and the Federal Bureau of  | 
Investigation shall furnish, pursuant to a fingerprint-based  | 
criminal history records check, records of convictions,  | 
forever and hereinafter, until expunged, to the president of  | 
the school board for the school district that requested the  | 
check. The Illinois State Police shall charge the school  | 
district a fee for conducting the check, which fee must not  | 
exceed the cost of the inquiry and must be deposited into the  | 
State Police Services Fund. The school district shall further  | 
perform a check of the Statewide Sex Offender Database, as  | 
authorized by the Sex Offender Community Notification Law, and  | 
of the Statewide Murderer and Violent Offender Against Youth  | 
Database, as authorized by the Murderer and Violent Offender  | 
Against Youth Registration Act, for each student teacher. No  | 
school board may knowingly allow a person to student teach for  | 
whom a criminal history records check, a Statewide Sex  | 
Offender Database check, and a Statewide Murderer and Violent  | 
Offender Against Youth Database check have not been completed  | 
and reviewed by the district. | 
 A copy of the record of convictions obtained from the  | 
Illinois State Police must be provided to the student teacher.  | 
Any information concerning the record of convictions obtained  | 
by the president of the school board is confidential and may  | 
only be transmitted to the superintendent of the school  | 
 | 
district or his or her designee, the State Superintendent of  | 
Education, the State Educator Preparation and Licensure Board,  | 
or, for clarification purposes, the Illinois State Police or  | 
the Statewide Sex Offender Database or Statewide Murderer and  | 
Violent Offender Against Youth Database. Any unauthorized  | 
release of confidential information may be a violation of  | 
Section 7 of the Criminal Identification Act. | 
 No school board shall knowingly allow a person to student  | 
teach who has been convicted of any offense that would subject  | 
him or her to license suspension or revocation pursuant to  | 
subsection (c) of Section 21B-80 of this Code, except as  | 
provided under subsection (b) of Section 21B-80. Further, no  | 
school board shall allow a person to student teach if he or she  | 
has been found to be the perpetrator of sexual or physical  | 
abuse of a minor under 18 years of age pursuant to proceedings  | 
under Article II of the Juvenile Court Act of 1987. Each school  | 
board must consider the status of a person to student teach who  | 
has been issued an indicated finding of abuse or neglect of a  | 
child by the Department of Children and Family Services under  | 
the Abused and Neglected Child Reporting Act or by a child  | 
welfare agency of another jurisdiction.  | 
 (h) (Blank). | 
(Source: P.A. 101-72, eff. 7-12-19; 101-531, eff. 8-23-19;  | 
101-643, eff. 6-18-20; 102-538, eff. 8-20-21; 102-552, eff.  | 
1-1-22; revised 10-6-21.)
 | 
 | 
 (105 ILCS 5/10-22.3f)
 | 
 Sec. 10-22.3f. Required health benefits.  Insurance  | 
protection and
benefits
for employees shall provide the  | 
post-mastectomy care benefits required to be
covered by a  | 
policy of accident and health insurance under Section 356t and  | 
the
coverage required under Sections 356g, 356g.5, 356g.5-1,  | 
356q, 356u, 356w, 356x,
356z.6, 356z.8, 356z.9, 356z.11,  | 
356z.12, 356z.13, 356z.14, 356z.15, 356z.22, 356z.25, 356z.26,  | 
356z.29, 356z.30a, 356z.32, 356z.33, 356z.36, 356z.40,  | 
356z.41, 356z.45, 356z.46, 356z.47, and 356z.51 and 356z.43 of
 | 
the
Illinois Insurance Code.
Insurance policies shall comply  | 
with Section 356z.19 of the Illinois Insurance Code. The  | 
coverage shall comply with Sections 155.22a, 355b, and 370c of
 | 
the Illinois Insurance Code. The Department of Insurance shall  | 
enforce the requirements of this Section. 
 | 
 Rulemaking authority to implement Public Act 95-1045, if  | 
any, is conditioned on the rules being adopted in accordance  | 
with all provisions of the Illinois Administrative Procedure  | 
Act and all rules and procedures of the Joint Committee on  | 
Administrative Rules; any purported rule not so adopted, for  | 
whatever reason, is unauthorized.  | 
(Source: P.A. 101-81, eff. 7-12-19; 101-281, eff. 1-1-20;  | 
101-393, eff. 1-1-20; 101-461, eff. 1-1-20; 101-625, eff.  | 
1-1-21; 102-30, eff. 1-1-22; 102-103, eff. 1-1-22; 102-203,  | 
eff. 1-1-22; 102-306, eff. 1-1-22; 102-642, eff. 1-1-22;  | 
102-665, eff. 10-8-21; revised 10-27-21.)
 | 
 | 
 (105 ILCS 5/10-22.6) (from Ch. 122, par. 10-22.6)
 | 
 (Text of Section before amendment by P.A. 102-466)
 | 
 Sec. 10-22.6. Suspension or expulsion of pupils; school  | 
searches. 
 | 
 (a) To expel pupils guilty of gross disobedience or  | 
misconduct, including gross disobedience or misconduct  | 
perpetuated by electronic means, pursuant to subsection (b-20)  | 
of this Section, and
no action shall lie against them for such  | 
expulsion. Expulsion shall
take place only after the parents  | 
have been requested to appear at a
meeting of the board, or  | 
with a hearing officer appointed by it, to
discuss their  | 
child's behavior. Such request shall be made by registered
or  | 
certified mail and shall state the time, place and purpose of  | 
the
meeting. The board, or a hearing officer appointed by it,  | 
at such
meeting shall state the reasons for dismissal and the  | 
date on which the
expulsion is to become effective. If a  | 
hearing officer is appointed by
the board, he shall report to  | 
the board a written summary of the evidence
heard at the  | 
meeting and the board may take such action thereon as it
finds  | 
appropriate. If the board acts to expel a pupil, the written  | 
expulsion decision shall detail the specific reasons why  | 
removing the pupil from the learning environment is in the  | 
best interest of the school. The expulsion decision shall also  | 
include a rationale as to the specific duration of the  | 
expulsion. An expelled pupil may be immediately transferred to  | 
 | 
an alternative program in the manner provided in Article 13A  | 
or 13B of this Code. A pupil must not be denied transfer  | 
because of the expulsion, except in cases in which such  | 
transfer is deemed to cause a threat to the safety of students  | 
or staff in the alternative program.
 | 
 (b) To suspend or by policy to authorize the  | 
superintendent of
the district or the principal, assistant  | 
principal, or dean of students
of any school to suspend pupils  | 
guilty of gross disobedience or misconduct, or
to suspend  | 
pupils guilty of gross disobedience or misconduct on the  | 
school bus
from riding the school bus, pursuant to subsections  | 
(b-15) and (b-20) of this Section, and no action
shall lie  | 
against them for such suspension. The board may by policy
 | 
authorize the superintendent of the district or the principal,  | 
assistant
principal, or dean of students of any
school to  | 
suspend pupils guilty of such acts for a period not to exceed
 | 
10 school days. If a pupil is suspended due to gross  | 
disobedience or misconduct
on a school bus, the board may  | 
suspend the pupil in excess of 10
school
days for safety  | 
reasons.  | 
 Any suspension shall be reported immediately to the
 | 
parents or guardian of a pupil along with a full statement of  | 
the
reasons for such suspension and a notice of their right to  | 
a review. The school board must be given a summary of the  | 
notice, including the reason for the suspension and the  | 
suspension length. Upon request of the
parents or guardian,  | 
 | 
the school board or a hearing officer appointed by
it shall  | 
review such action of the superintendent or principal,  | 
assistant
principal, or dean of students. At such
review, the  | 
parents or guardian of the pupil may appear and discuss the
 | 
suspension with the board or its hearing officer. If a hearing  | 
officer
is appointed by the board, he shall report to the board  | 
a written summary
of the evidence heard at the meeting. After  | 
its hearing or upon receipt
of the written report of its  | 
hearing officer, the board may take such
action as it finds  | 
appropriate. If a student is suspended pursuant to this  | 
subsection (b), the board shall, in the written suspension  | 
decision, detail the specific act of gross disobedience or  | 
misconduct resulting in the decision to suspend. The  | 
suspension decision shall also include a rationale as to the  | 
specific duration of the suspension. A pupil who is suspended  | 
in excess of 20 school days may be immediately transferred to  | 
an alternative program in the manner provided in Article 13A  | 
or 13B of this Code. A pupil must not be denied transfer  | 
because of the suspension, except in cases in which such  | 
transfer is deemed to cause a threat to the safety of students  | 
or staff in the alternative program.
 | 
 (b-5) Among the many possible disciplinary interventions  | 
and consequences available to school officials, school  | 
exclusions, such as out-of-school suspensions and expulsions,  | 
are the most serious. School officials shall limit the number  | 
and duration of expulsions and suspensions to the greatest  | 
 | 
extent practicable, and it is recommended that they use them  | 
only for legitimate educational purposes. To ensure that  | 
students are not excluded from school unnecessarily, it is  | 
recommended that school officials consider forms of  | 
non-exclusionary discipline prior to using out-of-school  | 
suspensions or expulsions. | 
 (b-10) Unless otherwise required by federal law or this  | 
Code, school boards may not institute zero-tolerance policies  | 
by which school administrators are required to suspend or  | 
expel students for particular behaviors. | 
 (b-15) Out-of-school suspensions of 3 days or less may be  | 
used only if the student's continuing presence in school would  | 
pose a threat to school safety or a disruption to other  | 
students' learning opportunities. For purposes of this  | 
subsection (b-15), "threat to school safety or a disruption to  | 
other students' learning opportunities" shall be determined on  | 
a case-by-case basis by the school board or its designee.  | 
School officials shall make all reasonable efforts to resolve  | 
such threats, address such disruptions, and minimize the  | 
length of suspensions to the greatest extent practicable. | 
 (b-20) Unless otherwise required by this Code,  | 
out-of-school suspensions of longer than 3 days, expulsions,  | 
and disciplinary removals to alternative schools may be used  | 
only if other appropriate and available behavioral and  | 
disciplinary interventions have been exhausted and the  | 
student's continuing presence in school would either (i) pose  | 
 | 
a
threat to the safety of other students, staff, or members of
 | 
the school community or (ii) substantially disrupt, impede, or
 | 
interfere with the operation of the school. For purposes of  | 
this subsection (b-20), "threat to the safety of other  | 
students, staff, or members of the school community" and  | 
"substantially disrupt, impede, or interfere with the  | 
operation of the school" shall be determined on a case-by-case  | 
basis by school officials. For purposes of this subsection  | 
(b-20), the determination of whether "appropriate and  | 
available behavioral and disciplinary interventions have been  | 
exhausted" shall be made by school officials. School officials  | 
shall make all reasonable efforts to resolve such threats,  | 
address such disruptions, and minimize the length of student  | 
exclusions to the greatest extent practicable. Within the  | 
suspension decision described in subsection (b) of this  | 
Section or the expulsion decision described in subsection (a)  | 
of this Section, it shall be documented whether other  | 
interventions were attempted or whether it was determined that  | 
there were no other appropriate and available interventions. | 
 (b-25) Students who are suspended out-of-school for longer  | 
than 4 school days shall be provided appropriate and available  | 
support services during the period of their suspension. For  | 
purposes of this subsection (b-25), "appropriate and available  | 
support services" shall be determined by school authorities.  | 
Within the suspension decision described in subsection (b) of  | 
this Section, it shall be documented whether such services are  | 
 | 
to be provided or whether it was determined that there are no  | 
such appropriate and available services. | 
 A school district may refer students who are expelled to  | 
appropriate and available support services. | 
 A school district shall create a policy to facilitate the  | 
re-engagement of students who are suspended out-of-school,  | 
expelled, or returning from an alternative school setting. | 
 (b-30) A school district shall create a policy by which  | 
suspended pupils, including those pupils suspended from the  | 
school bus who do not have alternate transportation to school,  | 
shall have the opportunity to make up work for equivalent  | 
academic credit. It shall be the responsibility of a pupil's  | 
parent or guardian to notify school officials that a pupil  | 
suspended from the school bus does not have alternate  | 
transportation to school.  | 
 (c) A school board must invite a representative from a  | 
local mental health agency to consult with the board at the  | 
meeting whenever there is evidence that mental illness may be  | 
the cause of a student's expulsion or suspension.
 | 
 (c-5) School districts shall make reasonable efforts to  | 
provide ongoing professional development to teachers,  | 
administrators, school board members, school resource  | 
officers, and staff on the adverse consequences of school  | 
exclusion and justice-system involvement, effective classroom  | 
management strategies, culturally responsive discipline, the  | 
appropriate and available supportive services for the  | 
 | 
promotion of student attendance and engagement, and  | 
developmentally appropriate disciplinary methods that promote  | 
positive and healthy school climates.  | 
 (d) The board may expel a student for a definite period of  | 
time not to
exceed 2 calendar years, as determined on a  | 
case-by-case basis.
A student who
is determined to have  | 
brought one of the following objects to school, any  | 
school-sponsored activity
or event, or any activity or event  | 
that bears a reasonable relationship to school shall be  | 
expelled for a period of not less than
one year: | 
  (1) A firearm. For the purposes of this Section,  | 
 "firearm" means any gun, rifle, shotgun, weapon as defined  | 
 by Section 921 of Title 18 of the United States Code,  | 
 firearm as defined in Section 1.1 of the Firearm Owners  | 
 Identification Card Act, or firearm as defined in Section  | 
 24-1 of the Criminal Code of 2012. The expulsion period  | 
 under this subdivision (1) may be modified by the  | 
 superintendent, and the superintendent's determination may  | 
 be modified by the board on a case-by-case basis. | 
  (2) A knife, brass knuckles or other knuckle weapon  | 
 regardless of its composition, a billy club, or any other  | 
 object if used or attempted to be used to cause bodily  | 
 harm, including "look alikes" of any firearm as defined in  | 
 subdivision (1) of this subsection (d). The expulsion  | 
 requirement under this subdivision (2) may be modified by  | 
 the superintendent, and the superintendent's determination  | 
 | 
 may be modified by the board on a case-by-case basis.  | 
Expulsion
or suspension
shall be construed in a
manner  | 
consistent with the federal Individuals with Disabilities  | 
Education
Act. A student who is subject to suspension or  | 
expulsion as provided in this
Section may be eligible for a  | 
transfer to an alternative school program in
accordance with  | 
Article 13A of the School Code.
 | 
 (d-5) The board may suspend or by regulation
authorize the  | 
superintendent of the district or the principal, assistant
 | 
principal, or dean of students of any
school to suspend a  | 
student for a period not to exceed
10 school days or may expel  | 
a student for a definite period of time not to
exceed 2  | 
calendar years, as determined on a case-by-case basis, if (i)  | 
that student has been determined to have made an explicit  | 
threat on an Internet website against a school employee, a  | 
student, or any school-related personnel, (ii) the Internet  | 
website through which the threat was made is a site that was  | 
accessible within the school at the time the threat was made or  | 
was available to third parties who worked or studied within  | 
the school grounds at the time the threat was made, and (iii)  | 
the threat could be reasonably interpreted as threatening to  | 
the safety and security of the threatened individual because  | 
of his or her duties or employment status or status as a  | 
student inside the school.
 | 
 (e) To maintain order and security in the schools, school  | 
authorities may
inspect and search places and areas such as  | 
 | 
lockers, desks, parking lots, and
other school property and  | 
equipment owned or controlled by the school, as well
as  | 
personal effects left in those places and areas by students,  | 
without notice
to or the consent of the student, and without a  | 
search warrant. As a matter of
public policy, the General  | 
Assembly finds that students have no reasonable
expectation of  | 
privacy in these places and areas or in their personal effects
 | 
left in these places and areas. School authorities may request  | 
the assistance
of law enforcement officials for the purpose of  | 
conducting inspections and
searches of lockers, desks, parking  | 
lots, and other school property and
equipment owned or  | 
controlled by the school for illegal drugs, weapons, or
other
 | 
illegal or dangerous substances or materials, including  | 
searches conducted
through the use of specially trained dogs.  | 
If a search conducted in accordance
with this Section produces  | 
evidence that the student has violated or is
violating either  | 
the law, local ordinance, or the school's policies or rules,
 | 
such evidence may be seized by school authorities, and  | 
disciplinary action may
be taken. School authorities may also  | 
turn over such evidence to law
enforcement authorities.
 | 
 (f) Suspension or expulsion may include suspension or  | 
expulsion from
school and all school activities and a  | 
prohibition from being present on school
grounds.
 | 
 (g) A school district may adopt a policy providing that if  | 
a student
is suspended or expelled for any reason from any  | 
public or private school
in this or any other state, the  | 
 | 
student must complete the entire term of
the suspension or  | 
expulsion in an alternative school program under Article 13A  | 
of this Code or an alternative learning opportunities program  | 
under Article 13B of this Code before being admitted into the  | 
school
district if there is no threat to the safety of students  | 
or staff in the alternative program.
 | 
 (h) School officials shall not advise or encourage  | 
students to drop out voluntarily due to behavioral or academic  | 
difficulties. | 
 (i) A student may not be issued a monetary fine or fee as a  | 
disciplinary consequence, though this shall not preclude  | 
requiring a student to provide restitution for lost, stolen,  | 
or damaged property. | 
 (j) Subsections (a) through (i) of this Section shall  | 
apply to elementary and secondary schools, charter schools,  | 
special charter districts, and school districts organized  | 
under Article 34 of this Code.  | 
 (k) The expulsion of children enrolled in programs funded  | 
under Section 1C-2 of this Code is subject to the requirements  | 
under paragraph (7) of subsection (a) of Section 2-3.71 of  | 
this Code. | 
 (l) Beginning with the 2018-2019 school year, an in-school  | 
suspension program provided by a school district for any  | 
students in kindergarten through grade 12 may focus on  | 
promoting non-violent conflict resolution and positive  | 
interaction with other students and school personnel. A school  | 
 | 
district may employ a school social worker or a licensed  | 
mental health professional to oversee an in-school suspension  | 
program in kindergarten through grade 12.  | 
(Source: P.A. 101-81, eff. 7-12-19; 102-539, eff. 8-20-21.)
 | 
 (Text of Section after amendment by P.A. 102-466)
 | 
 Sec. 10-22.6. Suspension or expulsion of pupils; school  | 
searches. 
 | 
 (a) To expel pupils guilty of gross disobedience or  | 
misconduct, including gross disobedience or misconduct  | 
perpetuated by electronic means, pursuant to subsection (b-20)  | 
of this Section, and
no action shall lie against them for such  | 
expulsion. Expulsion shall
take place only after the parents  | 
or guardians have been requested to appear at a
meeting of the  | 
board, or with a hearing officer appointed by it, to
discuss  | 
their child's behavior. Such request shall be made by  | 
registered
or certified mail and shall state the time, place  | 
and purpose of the
meeting. The board, or a hearing officer  | 
appointed by it, at such
meeting shall state the reasons for  | 
dismissal and the date on which the
expulsion is to become  | 
effective. If a hearing officer is appointed by
the board, he  | 
shall report to the board a written summary of the evidence
 | 
heard at the meeting and the board may take such action thereon  | 
as it
finds appropriate. If the board acts to expel a pupil,  | 
the written expulsion decision shall detail the specific  | 
reasons why removing the pupil from the learning environment  | 
 | 
is in the best interest of the school. The expulsion decision  | 
shall also include a rationale as to the specific duration of  | 
the expulsion. An expelled pupil may be immediately  | 
transferred to an alternative program in the manner provided  | 
in Article 13A or 13B of this Code. A pupil must not be denied  | 
transfer because of the expulsion, except in cases in which  | 
such transfer is deemed to cause a threat to the safety of  | 
students or staff in the alternative program.
 | 
 (b) To suspend or by policy to authorize the  | 
superintendent of
the district or the principal, assistant  | 
principal, or dean of students
of any school to suspend pupils  | 
guilty of gross disobedience or misconduct, or
to suspend  | 
pupils guilty of gross disobedience or misconduct on the  | 
school bus
from riding the school bus, pursuant to subsections  | 
(b-15) and (b-20) of this Section, and no action
shall lie  | 
against them for such suspension. The board may by policy
 | 
authorize the superintendent of the district or the principal,  | 
assistant
principal, or dean of students of any
school to  | 
suspend pupils guilty of such acts for a period not to exceed
 | 
10 school days. If a pupil is suspended due to gross  | 
disobedience or misconduct
on a school bus, the board may  | 
suspend the pupil in excess of 10
school
days for safety  | 
reasons.  | 
 Any suspension shall be reported immediately to the
 | 
parents or guardians of a pupil along with a full statement of  | 
the
reasons for such suspension and a notice of their right to  | 
 | 
a review. The school board must be given a summary of the  | 
notice, including the reason for the suspension and the  | 
suspension length. Upon request of the
parents or guardians,  | 
the school board or a hearing officer appointed by
it shall  | 
review such action of the superintendent or principal,  | 
assistant
principal, or dean of students. At such
review, the  | 
parents or guardians of the pupil may appear and discuss the
 | 
suspension with the board or its hearing officer. If a hearing  | 
officer
is appointed by the board, he shall report to the board  | 
a written summary
of the evidence heard at the meeting. After  | 
its hearing or upon receipt
of the written report of its  | 
hearing officer, the board may take such
action as it finds  | 
appropriate. If a student is suspended pursuant to this  | 
subsection (b), the board shall, in the written suspension  | 
decision, detail the specific act of gross disobedience or  | 
misconduct resulting in the decision to suspend. The  | 
suspension decision shall also include a rationale as to the  | 
specific duration of the suspension. A pupil who is suspended  | 
in excess of 20 school days may be immediately transferred to  | 
an alternative program in the manner provided in Article 13A  | 
or 13B of this Code. A pupil must not be denied transfer  | 
because of the suspension, except in cases in which such  | 
transfer is deemed to cause a threat to the safety of students  | 
or staff in the alternative program.
 | 
 (b-5) Among the many possible disciplinary interventions  | 
and consequences available to school officials, school  | 
 | 
exclusions, such as out-of-school suspensions and expulsions,  | 
are the most serious. School officials shall limit the number  | 
and duration of expulsions and suspensions to the greatest  | 
extent practicable, and it is recommended that they use them  | 
only for legitimate educational purposes. To ensure that  | 
students are not excluded from school unnecessarily, it is  | 
recommended that school officials consider forms of  | 
non-exclusionary discipline prior to using out-of-school  | 
suspensions or expulsions. | 
 (b-10) Unless otherwise required by federal law or this  | 
Code, school boards may not institute zero-tolerance policies  | 
by which school administrators are required to suspend or  | 
expel students for particular behaviors. | 
 (b-15) Out-of-school suspensions of 3 days or less may be  | 
used only if the student's continuing presence in school would  | 
pose a threat to school safety or a disruption to other  | 
students' learning opportunities. For purposes of this  | 
subsection (b-15), "threat to school safety or a disruption to  | 
other students' learning opportunities" shall be determined on  | 
a case-by-case basis by the school board or its designee.  | 
School officials shall make all reasonable efforts to resolve  | 
such threats, address such disruptions, and minimize the  | 
length of suspensions to the greatest extent practicable. | 
 (b-20) Unless otherwise required by this Code,  | 
out-of-school suspensions of longer than 3 days, expulsions,  | 
and disciplinary removals to alternative schools may be used  | 
 | 
only if other appropriate and available behavioral and  | 
disciplinary interventions have been exhausted and the  | 
student's continuing presence in school would either (i) pose  | 
a
threat to the safety of other students, staff, or members of
 | 
the school community or (ii) substantially disrupt, impede, or
 | 
interfere with the operation of the school. For purposes of  | 
this subsection (b-20), "threat to the safety of other  | 
students, staff, or members of the school community" and  | 
"substantially disrupt, impede, or interfere with the  | 
operation of the school" shall be determined on a case-by-case  | 
basis by school officials. For purposes of this subsection  | 
(b-20), the determination of whether "appropriate and  | 
available behavioral and disciplinary interventions have been  | 
exhausted" shall be made by school officials. School officials  | 
shall make all reasonable efforts to resolve such threats,  | 
address such disruptions, and minimize the length of student  | 
exclusions to the greatest extent practicable. Within the  | 
suspension decision described in subsection (b) of this  | 
Section or the expulsion decision described in subsection (a)  | 
of this Section, it shall be documented whether other  | 
interventions were attempted or whether it was determined that  | 
there were no other appropriate and available interventions. | 
 (b-25) Students who are suspended out-of-school for longer  | 
than 4 school days shall be provided appropriate and available  | 
support services during the period of their suspension. For  | 
purposes of this subsection (b-25), "appropriate and available  | 
 | 
support services" shall be determined by school authorities.  | 
Within the suspension decision described in subsection (b) of  | 
this Section, it shall be documented whether such services are  | 
to be provided or whether it was determined that there are no  | 
such appropriate and available services. | 
 A school district may refer students who are expelled to  | 
appropriate and available support services. | 
 A school district shall create a policy to facilitate the  | 
re-engagement of students who are suspended out-of-school,  | 
expelled, or returning from an alternative school setting. | 
 (b-30) A school district shall create a policy by which  | 
suspended pupils, including those pupils suspended from the  | 
school bus who do not have alternate transportation to school,  | 
shall have the opportunity to make up work for equivalent  | 
academic credit. It shall be the responsibility of a pupil's  | 
parents or guardians to notify school officials that a pupil  | 
suspended from the school bus does not have alternate  | 
transportation to school.  | 
 (b-35) In all suspension review hearings conducted
under  | 
subsection (b) or expulsion hearings conducted
under  | 
subsection (a), a student may disclose any factor to be  | 
considered in mitigation, including his or her status as
a  | 
parent, expectant parent, or victim of domestic or sexual  | 
violence, as defined in Article 26A. A representative of the
 | 
parent's or guardian's choice, or of the student's choice if  | 
emancipated, must be permitted to represent
the student  | 
 | 
throughout the proceedings and to address the school board or  | 
its appointed hearing officer. With the
approval of the  | 
student's parent or guardian, or of the student if  | 
emancipated, a support person
must be permitted to accompany  | 
the student to any disciplinary
hearings or proceedings. The  | 
representative or support person must comply with any rules of  | 
the school district's hearing process. If the representative  | 
or support person violates the rules or engages in behavior or  | 
advocacy that harasses, abuses, or intimidates either party, a  | 
witness, or anyone else in attendance at the hearing, the  | 
representative or support person may be prohibited from  | 
further participation in the hearing or proceeding. A  | 
suspension or expulsion proceeding
under this subsection  | 
(b-35) must be conducted independently
from any ongoing  | 
criminal investigation or proceeding, and an absence of  | 
pending or possible criminal charges, criminal investigations,  | 
or proceedings may not be a factor in school
disciplinary  | 
decisions. | 
 (b-40) During a suspension review hearing conducted
under  | 
subsection (b) or an expulsion hearing conducted
under  | 
subsection (a) that involves allegations of sexual
violence by  | 
the student who is subject to discipline, neither
the student  | 
nor his or her representative shall directly
question nor have  | 
direct contact with the alleged victim. The
student who is  | 
subject to discipline or his or her
representative may, at the  | 
discretion and direction of the
school board or its appointed  | 
 | 
hearing officer, suggest
questions to be posed by the school  | 
board or its appointed
hearing officer to the alleged victim.  | 
 (c) A school board must invite a representative from a  | 
local mental health agency to consult with the board at the  | 
meeting whenever there is evidence that mental illness may be  | 
the cause of a student's expulsion or suspension.
 | 
 (c-5) School districts shall make reasonable efforts to  | 
provide ongoing professional development to teachers,  | 
administrators, school board members, school resource  | 
officers, and staff on the adverse consequences of school  | 
exclusion and justice-system involvement, effective classroom  | 
management strategies, culturally responsive discipline, the  | 
appropriate and available supportive services for the  | 
promotion of student attendance and engagement, and  | 
developmentally appropriate disciplinary methods that promote  | 
positive and healthy school climates.  | 
 (d) The board may expel a student for a definite period of  | 
time not to
exceed 2 calendar years, as determined on a  | 
case-by-case basis.
A student who
is determined to have  | 
brought one of the following objects to school, any  | 
school-sponsored activity
or event, or any activity or event  | 
that bears a reasonable relationship to school shall be  | 
expelled for a period of not less than
one year: | 
  (1) A firearm. For the purposes of this Section,  | 
 "firearm" means any gun, rifle, shotgun, weapon as defined  | 
 by Section 921 of Title 18 of the United States Code,  | 
 | 
 firearm as defined in Section 1.1 of the Firearm Owners  | 
 Identification Card Act, or firearm as defined in Section  | 
 24-1 of the Criminal Code of 2012. The expulsion period  | 
 under this subdivision (1) may be modified by the  | 
 superintendent, and the superintendent's determination may  | 
 be modified by the board on a case-by-case basis. | 
  (2) A knife, brass knuckles or other knuckle weapon  | 
 regardless of its composition, a billy club, or any other  | 
 object if used or attempted to be used to cause bodily  | 
 harm, including "look alikes" of any firearm as defined in  | 
 subdivision (1) of this subsection (d). The expulsion  | 
 requirement under this subdivision (2) may be modified by  | 
 the superintendent, and the superintendent's determination  | 
 may be modified by the board on a case-by-case basis.  | 
Expulsion
or suspension
shall be construed in a
manner  | 
consistent with the federal Individuals with Disabilities  | 
Education
Act. A student who is subject to suspension or  | 
expulsion as provided in this
Section may be eligible for a  | 
transfer to an alternative school program in
accordance with  | 
Article 13A of the School Code.
 | 
 (d-5) The board may suspend or by regulation
authorize the  | 
superintendent of the district or the principal, assistant
 | 
principal, or dean of students of any
school to suspend a  | 
student for a period not to exceed
10 school days or may expel  | 
a student for a definite period of time not to
exceed 2  | 
calendar years, as determined on a case-by-case basis, if (i)  | 
 | 
that student has been determined to have made an explicit  | 
threat on an Internet website against a school employee, a  | 
student, or any school-related personnel, (ii) the Internet  | 
website through which the threat was made is a site that was  | 
accessible within the school at the time the threat was made or  | 
was available to third parties who worked or studied within  | 
the school grounds at the time the threat was made, and (iii)  | 
the threat could be reasonably interpreted as threatening to  | 
the safety and security of the threatened individual because  | 
of his or her duties or employment status or status as a  | 
student inside the school.
 | 
 (e) To maintain order and security in the schools, school  | 
authorities may
inspect and search places and areas such as  | 
lockers, desks, parking lots, and
other school property and  | 
equipment owned or controlled by the school, as well
as  | 
personal effects left in those places and areas by students,  | 
without notice
to or the consent of the student, and without a  | 
search warrant. As a matter of
public policy, the General  | 
Assembly finds that students have no reasonable
expectation of  | 
privacy in these places and areas or in their personal effects
 | 
left in these places and areas. School authorities may request  | 
the assistance
of law enforcement officials for the purpose of  | 
conducting inspections and
searches of lockers, desks, parking  | 
lots, and other school property and
equipment owned or  | 
controlled by the school for illegal drugs, weapons, or
other
 | 
illegal or dangerous substances or materials, including  | 
 | 
searches conducted
through the use of specially trained dogs.  | 
If a search conducted in accordance
with this Section produces  | 
evidence that the student has violated or is
violating either  | 
the law, local ordinance, or the school's policies or rules,
 | 
such evidence may be seized by school authorities, and  | 
disciplinary action may
be taken. School authorities may also  | 
turn over such evidence to law
enforcement authorities.
 | 
 (f) Suspension or expulsion may include suspension or  | 
expulsion from
school and all school activities and a  | 
prohibition from being present on school
grounds.
 | 
 (g) A school district may adopt a policy providing that if  | 
a student
is suspended or expelled for any reason from any  | 
public or private school
in this or any other state, the  | 
student must complete the entire term of
the suspension or  | 
expulsion in an alternative school program under Article 13A  | 
of this Code or an alternative learning opportunities program  | 
under Article 13B of this Code before being admitted into the  | 
school
district if there is no threat to the safety of students  | 
or staff in the alternative program. A school district that  | 
adopts a policy under this subsection (g) must include a  | 
provision allowing for consideration of any mitigating  | 
factors, including, but not limited to, a student's status as  | 
a parent, expectant parent, or victim of domestic or sexual  | 
violence, as defined in Article 26A. 
 | 
 (h) School officials shall not advise or encourage  | 
students to drop out voluntarily due to behavioral or academic  | 
 | 
difficulties. | 
 (i) A student may not be issued a monetary fine or fee as a  | 
disciplinary consequence, though this shall not preclude  | 
requiring a student to provide restitution for lost, stolen,  | 
or damaged property. | 
 (j) Subsections (a) through (i) of this Section shall  | 
apply to elementary and secondary schools, charter schools,  | 
special charter districts, and school districts organized  | 
under Article 34 of this Code.  | 
 (k) The expulsion of children enrolled in programs funded  | 
under Section 1C-2 of this Code is subject to the requirements  | 
under paragraph (7) of subsection (a) of Section 2-3.71 of  | 
this Code. | 
 (l) Beginning with the 2018-2019 school year, an in-school  | 
suspension program provided by a school district for any  | 
students in kindergarten through grade 12 may focus on  | 
promoting non-violent conflict resolution and positive  | 
interaction with other students and school personnel. A school  | 
district may employ a school social worker or a licensed  | 
mental health professional to oversee an in-school suspension  | 
program in kindergarten through grade 12.  | 
(Source: P.A. 101-81, eff. 7-12-19; 102-466, eff. 7-1-25;  | 
102-539, eff. 8-20-21; revised 9-23-21.)
 | 
 (105 ILCS 5/10-22.39)
 | 
 (Text of Section before amendment by P.A. 102-638) | 
 | 
 Sec. 10-22.39. In-service training programs.  | 
 (a) To conduct in-service training programs for teachers. | 
 (b) In addition to
other topics at in-service training
 | 
programs, at least once every 2 years, licensed school  | 
personnel and administrators who work with pupils in  | 
kindergarten through grade 12 shall be
trained to identify the  | 
warning signs of mental illness and suicidal behavior in youth  | 
and shall be taught appropriate intervention and referral  | 
techniques. A school district may utilize the Illinois Mental  | 
Health First Aid training program, established under the  | 
Illinois Mental Health First Aid Training Act and administered  | 
by certified instructors trained by a national association  | 
recognized as an authority in behavioral health, to provide  | 
the training and meet the requirements under this subsection.  | 
If licensed school personnel or an administrator obtains  | 
mental health first aid training outside of an in-service  | 
training program, he or she may present a certificate of  | 
successful completion of the training to the school district  | 
to satisfy the requirements of this subsection. 
 | 
 (c) School counselors, nurses, teachers and other school  | 
personnel
who work with pupils may be trained to have a basic  | 
knowledge of matters
relating to acquired immunodeficiency  | 
syndrome (AIDS), including the nature
of the disease, its  | 
causes and effects, the means of detecting it and
preventing  | 
its transmission, and the availability of appropriate sources  | 
of
counseling and referral, and any other information that may  | 
 | 
be appropriate
considering the age and grade level of such  | 
pupils. The School Board shall
supervise such training. The  | 
State Board of Education and the Department
of Public Health  | 
shall jointly develop standards for such training.
 | 
 (d) In this subsection (d): | 
 "Domestic violence" means abuse by a family or household  | 
member, as "abuse" and "family or household members" are  | 
defined in Section 103 of the Illinois Domestic Violence Act  | 
of 1986. | 
 "Sexual violence" means sexual assault, abuse, or stalking  | 
of an adult or minor child proscribed in the Criminal Code of  | 
1961 or the Criminal Code of 2012 in Sections 11-1.20,  | 
11-1.30, 11-1.40, 11-1.50, 11-1.60, 12-7.3, 12-7.4, 12-7.5,  | 
12-12, 12-13, 12-14, 12-14.1, 12-15, and 12-16, including  | 
sexual violence committed by perpetrators who are strangers to  | 
the victim and sexual violence committed by perpetrators who  | 
are known or related by blood or marriage to the victim. | 
 At least once every 2 years, an in-service training  | 
program for school personnel who work with pupils, including,  | 
but not limited to, school and school district administrators,  | 
teachers, school social workers, school counselors, school  | 
psychologists, and school nurses, must be conducted by persons  | 
with expertise in domestic and sexual violence and the needs  | 
of expectant and parenting youth and shall include training  | 
concerning (i) communicating with and listening to youth  | 
victims of domestic or sexual violence and expectant and  | 
 | 
parenting youth, (ii) connecting youth victims of domestic or  | 
sexual violence and expectant and parenting youth to  | 
appropriate in-school services and other agencies, programs,  | 
and services as needed, and (iii) implementing the school  | 
district's policies, procedures, and protocols with regard to  | 
such youth, including confidentiality. At a minimum, school  | 
personnel must be trained to understand, provide information  | 
and referrals, and address issues pertaining to youth who are  | 
parents, expectant parents, or victims of domestic or sexual  | 
violence.
 | 
 (e) At least every 2 years, an in-service training program  | 
for school personnel who work with pupils must be conducted by  | 
persons with expertise in anaphylactic reactions and  | 
management. 
 | 
 (f) At least once every 2 years, a school board shall  | 
conduct in-service training on educator ethics,  | 
teacher-student conduct, and school employee-student conduct  | 
for all personnel.  | 
(Source: P.A. 101-350, eff. 1-1-20; 102-197, eff. 7-30-21.)
 | 
 (Text of Section after amendment by P.A. 102-638)
 | 
 Sec. 10-22.39. In-service training programs.  | 
 (a) To conduct in-service training programs for teachers. | 
 (b) In addition to
other topics at in-service training
 | 
programs, at least once every 2 years, licensed school  | 
personnel and administrators who work with pupils in  | 
 | 
kindergarten through grade 12 shall be
trained to identify the  | 
warning signs of mental illness, trauma, and suicidal behavior  | 
in youth and shall be taught appropriate intervention and  | 
referral techniques. A school district may utilize the  | 
Illinois Mental Health First Aid training program, established  | 
under the Illinois Mental Health First Aid Training Act and  | 
administered by certified instructors trained by a national  | 
association recognized as an authority in behavioral health,  | 
to provide the training and meet the requirements under this  | 
subsection. If licensed school personnel or an administrator  | 
obtains mental health first aid training outside of an  | 
in-service training program, he or she may present a  | 
certificate of successful completion of the training to the  | 
school district to satisfy the requirements of this  | 
subsection. 
 | 
 Training regarding the implementation of trauma-informed  | 
practices satisfies the requirements
of this subsection (b). | 
 A course of instruction as described in this subsection  | 
(b) may provide information that is relevant to
and within the  | 
scope of the duties of licensed school personnel or school  | 
administrators. Such information may include,
but is not  | 
limited to: | 
  (1) the recognition of and care for trauma in students  | 
 and staff; | 
  (2) the relationship between educator wellness and  | 
 student learning; | 
 | 
  (3) the effect of trauma on student behavior and  | 
 learning; | 
  (4) the prevalence of trauma among students, including  | 
 the prevalence of trauma among student
populations at  | 
 higher risk of experiencing trauma; | 
  (5) the effects of implicit or explicit bias on  | 
 recognizing trauma among various student groups in  | 
 connection with race, ethnicity, gender identity, sexual  | 
 orientation, socio-economic status, and other relevant  | 
 factors; and | 
  (6) effective district practices that are shown to: | 
   (A) prevent and mitigate the negative effect of  | 
 trauma on student behavior and learning; and | 
   (B) support the emotional wellness of staff.  | 
 (c) School counselors, nurses, teachers and other school  | 
personnel
who work with pupils may be trained to have a basic  | 
knowledge of matters
relating to acquired immunodeficiency  | 
syndrome (AIDS), including the nature
of the disease, its  | 
causes and effects, the means of detecting it and
preventing  | 
its transmission, and the availability of appropriate sources  | 
of
counseling and referral, and any other information that may  | 
be appropriate
considering the age and grade level of such  | 
pupils. The School Board shall
supervise such training. The  | 
State Board of Education and the Department
of Public Health  | 
shall jointly develop standards for such training.
 | 
 (d) In this subsection (d): | 
 | 
 "Domestic violence" means abuse by a family or household  | 
member, as "abuse" and "family or household members" are  | 
defined in Section 103 of the Illinois Domestic Violence Act  | 
of 1986. | 
 "Sexual violence" means sexual assault, abuse, or stalking  | 
of an adult or minor child proscribed in the Criminal Code of  | 
1961 or the Criminal Code of 2012 in Sections 11-1.20,  | 
11-1.30, 11-1.40, 11-1.50, 11-1.60, 12-7.3, 12-7.4, 12-7.5,  | 
12-12, 12-13, 12-14, 12-14.1, 12-15, and 12-16, including  | 
sexual violence committed by perpetrators who are strangers to  | 
the victim and sexual violence committed by perpetrators who  | 
are known or related by blood or marriage to the victim. | 
 At least once every 2 years, an in-service training  | 
program for school personnel who work with pupils, including,  | 
but not limited to, school and school district administrators,  | 
teachers, school social workers, school counselors, school  | 
psychologists, and school nurses, must be conducted by persons  | 
with expertise in domestic and sexual violence and the needs  | 
of expectant and parenting youth and shall include training  | 
concerning (i) communicating with and listening to youth  | 
victims of domestic or sexual violence and expectant and  | 
parenting youth, (ii) connecting youth victims of domestic or  | 
sexual violence and expectant and parenting youth to  | 
appropriate in-school services and other agencies, programs,  | 
and services as needed, and (iii) implementing the school  | 
district's policies, procedures, and protocols with regard to  | 
 | 
such youth, including confidentiality. At a minimum, school  | 
personnel must be trained to understand, provide information  | 
and referrals, and address issues pertaining to youth who are  | 
parents, expectant parents, or victims of domestic or sexual  | 
violence.
 | 
 (e) At least every 2 years, an in-service training program  | 
for school personnel who work with pupils must be conducted by  | 
persons with expertise in anaphylactic reactions and  | 
management. 
 | 
 (f) At least once every 2 years, a school board shall  | 
conduct in-service training on educator ethics,  | 
teacher-student conduct, and school employee-student conduct  | 
for all personnel.  | 
(Source: P.A. 101-350, eff. 1-1-20; 102-197, eff. 7-30-21;  | 
102-638, eff. 1-1-23; revised 10-15-21.)
 | 
 (105 ILCS 5/10-27.1A)
 | 
 Sec. 10-27.1A. Firearms in schools. 
 | 
 (a) All school officials, including teachers, school  | 
counselors, and
support staff, shall immediately notify the  | 
office of the principal in the
event that they observe any  | 
person in possession of a firearm on school
grounds; provided  | 
that taking such immediate action to notify the office of the
 | 
principal would not immediately endanger the health, safety,  | 
or welfare of
students who are under the direct supervision of  | 
the school official or the
school official. If the health,  | 
 | 
safety, or welfare of students under the
direct supervision of  | 
the school official or of the school official is
immediately  | 
endangered, the school official shall notify the office of the
 | 
principal as soon as the students under his or her supervision  | 
and he or she
are no longer under immediate danger. A report is  | 
not required by this Section
when the school official knows  | 
that the person in possession of the firearm is
a law  | 
enforcement official engaged in the conduct of his or her  | 
official
duties. Any school official acting in good faith who  | 
makes such a report under
this Section shall have immunity  | 
from any civil or criminal liability that
might otherwise be  | 
incurred as a result of making the report. The identity of
the  | 
school official making such report shall not be disclosed  | 
except as
expressly and specifically authorized by law.  | 
Knowingly and willfully failing
to comply with this Section is  | 
a petty offense. A second or subsequent offense
is a Class C  | 
misdemeanor.
 | 
 (b) Upon receiving a report from any school official  | 
pursuant to this
Section, or from any other person, the  | 
principal or his or her designee shall
immediately notify a  | 
local law enforcement agency. If the person found to be
in  | 
possession of a firearm on school grounds is a student, the  | 
principal or
his or her designee shall also immediately notify  | 
that student's parent or
guardian. Any principal or his or her  | 
designee acting in good faith who makes
such reports under  | 
this Section shall have immunity from any civil or criminal
 | 
 | 
liability that might otherwise be incurred or imposed as a  | 
result of making
the reports. Knowingly and willfully failing  | 
to comply with this Section is a
petty offense. A second or  | 
subsequent offense is a Class C misdemeanor. If
the person  | 
found to be in possession of the firearm on school grounds is a
 | 
minor, the law enforcement agency shall detain that minor  | 
until such time as
the agency makes a determination pursuant  | 
to clause (a) of subsection (1) of
Section 5-401 of the  | 
Juvenile Court Act of 1987, as to whether the agency
 | 
reasonably believes that the minor is delinquent. If the law  | 
enforcement
agency determines that probable cause exists to  | 
believe that the minor
committed a violation of item (4) of  | 
subsection (a) of Section 24-1 of the
Criminal Code of 2012  | 
while on school grounds, the agency shall detain the
minor for  | 
processing pursuant to Section 5-407 of the Juvenile Court Act  | 
of
1987.
 | 
 (c) On or after January 1, 1997, upon receipt of any  | 
written,
electronic, or verbal report from any school  | 
personnel regarding a verified
incident involving a firearm in  | 
a school or on school owned or leased property,
including any  | 
conveyance owned,
leased, or used by the school for the  | 
transport of students or school
personnel, the superintendent  | 
or his or her designee shall report all such
firearm-related  | 
incidents occurring in a school or on school property to the
 | 
local law enforcement authorities immediately and to the  | 
Illinois State Police in a form, manner, and frequency as  | 
 | 
prescribed by the Illinois State Police.
 | 
 The State Board of Education shall receive an annual  | 
statistical compilation
and related data associated with  | 
incidents involving firearms in schools from
the Illinois  | 
State Police. The State Board of Education shall compile
this  | 
information by school district and make it available to the  | 
public.
 | 
 (d) As used in this Section, the term "firearm" shall have  | 
the meaning
ascribed to it in Section 1.1 of the Firearm Owners  | 
Identification Card Act.
 | 
 As used in this Section, the term "school" means any  | 
public or private
elementary or secondary school.
 | 
 As used in this Section, the term "school grounds"  | 
includes the real property
comprising any school, any  | 
conveyance owned, leased, or contracted by a school
to  | 
transport students to or from school or a school-related  | 
activity, or any
public way within 1,000 feet of the real  | 
property comprising any school.
 | 
(Source: P.A. 102-197, eff. 7-30-21; 102-538, eff. 8-20-21;  | 
revised 10-6-21.)
 | 
 (105 ILCS 5/14-8.02) (from Ch. 122, par. 14-8.02)
 | 
 (Text of Section before amendment by P.A. 102-199) | 
 Sec. 14-8.02. Identification, evaluation, and placement of  | 
children. 
 | 
 (a) The State Board of Education shall make rules under  | 
 | 
which local school
boards shall determine the eligibility of  | 
children to receive special
education. Such rules shall ensure  | 
that a free appropriate public
education be available to all  | 
children with disabilities as
defined in
Section 14-1.02. The  | 
State Board of Education shall require local school
districts  | 
to administer non-discriminatory procedures or tests to
 | 
English learners coming from homes in which a language
other  | 
than English is used to determine their eligibility to receive  | 
special
education. The placement of low English proficiency  | 
students in special
education programs and facilities shall be  | 
made in accordance with the test
results reflecting the  | 
student's linguistic, cultural and special education
needs.  | 
For purposes of determining the eligibility of children the  | 
State
Board of Education shall include in the rules  | 
definitions of "case study",
"staff conference",  | 
"individualized educational program", and "qualified
 | 
specialist" appropriate to each category of children with
 | 
disabilities as defined in
this Article. For purposes of  | 
determining the eligibility of children from
homes in which a  | 
language other than English is used, the State Board of
 | 
Education shall include in the rules
definitions for  | 
"qualified bilingual specialists" and "linguistically and
 | 
culturally appropriate individualized educational programs".  | 
For purposes of this
Section, as well as Sections 14-8.02a,  | 
14-8.02b, and 14-8.02c of this Code,
"parent" means a parent  | 
as defined in the federal Individuals with Disabilities  | 
 | 
Education Act (20 U.S.C. 1401(23)). 
 | 
 (b) No child shall be eligible for special education  | 
facilities except
with a carefully completed case study fully  | 
reviewed by professional
personnel in a multidisciplinary  | 
staff conference and only upon the
recommendation of qualified  | 
specialists or a qualified bilingual specialist, if
available.  | 
At the conclusion of the multidisciplinary staff conference,  | 
the
parent of the child shall be given a copy of the  | 
multidisciplinary
conference summary report and  | 
recommendations, which includes options
considered, and be  | 
informed of his or her right to obtain an independent  | 
educational
evaluation if he or she disagrees with the  | 
evaluation findings conducted or obtained
by the school  | 
district. If the school district's evaluation is shown to be
 | 
inappropriate, the school district shall reimburse the parent  | 
for the cost of
the independent evaluation. The State Board of  | 
Education shall, with advice
from the State Advisory Council  | 
on Education of Children with
Disabilities on the
inclusion of  | 
specific independent educational evaluators, prepare a list of
 | 
suggested independent educational evaluators. The State Board  | 
of Education
shall include on the list clinical psychologists  | 
licensed pursuant to the
Clinical Psychologist Licensing Act.  | 
Such psychologists shall not be paid fees
in excess of the  | 
amount that would be received by a school psychologist for
 | 
performing the same services. The State Board of Education  | 
shall supply school
districts with such list and make the list  | 
 | 
available to parents at their
request. School districts shall  | 
make the list available to parents at the time
they are  | 
informed of their right to obtain an independent educational
 | 
evaluation. However, the school district may initiate an  | 
impartial
due process hearing under this Section within 5 days  | 
of any written parent
request for an independent educational  | 
evaluation to show that
its evaluation is appropriate. If the  | 
final decision is that the evaluation
is appropriate, the  | 
parent still has a right to an independent educational
 | 
evaluation, but not at public expense. An independent  | 
educational
evaluation at public expense must be completed  | 
within 30 days of a parent
written request unless the school  | 
district initiates an
impartial due process hearing or the  | 
parent or school district
offers reasonable grounds to show  | 
that such 30-day time period should be
extended. If the due  | 
process hearing decision indicates that the parent is entitled  | 
to an independent educational evaluation, it must be
completed  | 
within 30 days of the decision unless the parent or
the school  | 
district offers reasonable grounds to show that such 30-day
 | 
period should be extended. If a parent disagrees with the  | 
summary report or
recommendations of the multidisciplinary  | 
conference or the findings of any
educational evaluation which  | 
results therefrom, the school
district shall not proceed with  | 
a placement based upon such evaluation and
the child shall  | 
remain in his or her regular classroom setting.
No child shall  | 
be eligible for admission to a
special class for children with  | 
 | 
a mental disability who are educable or for children with a  | 
mental disability who are trainable except with a  | 
psychological evaluation
and
recommendation by a school  | 
psychologist. Consent shall be obtained from
the parent of a  | 
child before any evaluation is conducted.
If consent is not  | 
given by the parent or if the parent disagrees with the  | 
findings of the evaluation, then the school
district may  | 
initiate an impartial due process hearing under this Section.
 | 
The school district may evaluate the child if that is the  | 
decision
resulting from the impartial due process hearing and  | 
the decision is not
appealed or if the decision is affirmed on  | 
appeal.
The determination of eligibility shall be made and the  | 
IEP meeting shall be completed within 60 school days
from the  | 
date of written parental consent. In those instances when  | 
written parental consent is obtained with fewer than 60 pupil  | 
attendance days left in the school year,
the eligibility  | 
determination shall be made and the IEP meeting shall be  | 
completed prior to the first day of the
following school year.  | 
Special education and related services must be provided in  | 
accordance with the student's IEP no later than 10 school  | 
attendance days after notice is provided to the parents  | 
pursuant to Section 300.503 of Title 34 of the Code of Federal  | 
Regulations and implementing rules adopted by the State Board  | 
of Education. The appropriate
program pursuant to the  | 
individualized educational program of students
whose native  | 
tongue is a language other than English shall reflect the
 | 
 | 
special education, cultural and linguistic needs. No later  | 
than September
1, 1993, the State Board of Education shall  | 
establish standards for the
development, implementation and  | 
monitoring of appropriate bilingual special
individualized  | 
educational programs. The State Board of Education shall
 | 
further incorporate appropriate monitoring procedures to  | 
verify implementation
of these standards. The district shall  | 
indicate to the parent and
the State Board of Education the  | 
nature of the services the child will receive
for the regular  | 
school term while awaiting waiting placement in the  | 
appropriate special
education class. At the child's initial  | 
IEP meeting and at each annual review meeting, the child's IEP  | 
team shall provide the child's parent or guardian with a  | 
written notification that informs the parent or guardian that  | 
the IEP team is required to consider whether the child  | 
requires assistive technology in order to receive free,  | 
appropriate public education. The notification must also  | 
include a toll-free telephone number and internet address for  | 
the State's assistive technology program. 
 | 
 If the child is deaf, hard of hearing, blind, or visually  | 
impaired or has an orthopedic impairment or physical  | 
disability and
he or she might be eligible to receive services  | 
from the Illinois School for
the Deaf, the Illinois School for  | 
the Visually Impaired, or the Illinois Center for  | 
Rehabilitation and Education-Roosevelt, the school
district  | 
shall notify the parents, in writing, of the existence of
 | 
 | 
these schools
and the services
they provide and shall make a  | 
reasonable effort to inform the parents of the existence of  | 
other, local schools that provide similar services and the  | 
services that these other schools provide. This notification
 | 
shall
include without limitation information on school  | 
services, school
admissions criteria, and school contact  | 
information.
 | 
 In the development of the individualized education program  | 
for a student who has a disability on the autism spectrum  | 
(which includes autistic disorder, Asperger's disorder,  | 
pervasive developmental disorder not otherwise specified,  | 
childhood disintegrative disorder, and Rett Syndrome, as  | 
defined in the Diagnostic and Statistical Manual of Mental  | 
Disorders, fourth edition (DSM-IV, 2000)), the IEP team shall  | 
consider all of the following factors: | 
  (1) The verbal and nonverbal communication needs of  | 
 the child. | 
  (2) The need to develop social interaction skills and  | 
 proficiencies. | 
  (3) The needs resulting from the child's unusual  | 
 responses to sensory experiences. | 
  (4) The needs resulting from resistance to  | 
 environmental change or change in daily routines. | 
  (5) The needs resulting from engagement in repetitive  | 
 activities and stereotyped movements. | 
  (6) The need for any positive behavioral  | 
 | 
 interventions, strategies, and supports to address any  | 
 behavioral difficulties resulting from autism spectrum  | 
 disorder. | 
  (7) Other needs resulting from the child's disability  | 
 that impact progress in the general curriculum, including  | 
 social and emotional development. | 
Public Act 95-257
does not create any new entitlement to a  | 
service, program, or benefit, but must not affect any  | 
entitlement to a service, program, or benefit created by any  | 
other law.
 | 
 If the student may be eligible to participate in the  | 
Home-Based Support
Services Program for Adults with Mental  | 
Disabilities authorized under the
Developmental Disability and  | 
Mental Disability Services Act upon becoming an
adult, the  | 
student's individualized education program shall include plans  | 
for
(i) determining the student's eligibility for those  | 
home-based services, (ii)
enrolling the student in the program  | 
of home-based services, and (iii)
developing a plan for the  | 
student's most effective use of the home-based
services after  | 
the student becomes an adult and no longer receives special
 | 
educational services under this Article. The plans developed  | 
under this
paragraph shall include specific actions to be  | 
taken by specified individuals,
agencies, or officials.
 | 
 (c) In the development of the individualized education  | 
program for a
student who is functionally blind, it shall be  | 
presumed that proficiency in
Braille reading and writing is  | 
 | 
essential for the student's satisfactory
educational progress.  | 
For purposes of this subsection, the State Board of
Education  | 
shall determine the criteria for a student to be classified as
 | 
functionally blind. Students who are not currently identified  | 
as
functionally blind who are also entitled to Braille  | 
instruction include:
(i) those whose vision loss is so severe  | 
that they are unable to read and
write at a level comparable to  | 
their peers solely through the use of
vision, and (ii) those  | 
who show evidence of progressive vision loss that
may result  | 
in functional blindness. Each student who is functionally  | 
blind
shall be entitled to Braille reading and writing  | 
instruction that is
sufficient to enable the student to  | 
communicate with the same level of
proficiency as other  | 
students of comparable ability. Instruction should be
provided  | 
to the extent that the student is physically and cognitively  | 
able
to use Braille. Braille instruction may be used in  | 
combination with other
special education services appropriate  | 
to the student's educational needs.
The assessment of each  | 
student who is functionally blind for the purpose of
 | 
developing the student's individualized education program  | 
shall include
documentation of the student's strengths and  | 
weaknesses in Braille skills.
Each person assisting in the  | 
development of the individualized education
program for a  | 
student who is functionally blind shall receive information
 | 
describing the benefits of Braille instruction. The  | 
individualized
education program for each student who is  | 
 | 
functionally blind shall
specify the appropriate learning  | 
medium or media based on the assessment
report.
 | 
 (d) To the maximum extent appropriate, the placement shall  | 
provide the
child with the opportunity to be educated with  | 
children who do not have a disability; provided that children  | 
with
disabilities who are recommended to be
placed into  | 
regular education classrooms are provided with supplementary
 | 
services to assist the children with disabilities to benefit
 | 
from the regular
classroom instruction and are included on the  | 
teacher's regular education class
register. Subject to the  | 
limitation of the preceding sentence, placement in
special  | 
classes, separate schools or other removal of the child with a  | 
disability
from the regular educational environment shall  | 
occur only when the nature of
the severity of the disability is  | 
such that education in the
regular classes with
the use of  | 
supplementary aids and services cannot be achieved  | 
satisfactorily.
The placement of English learners with  | 
disabilities shall
be in non-restrictive environments which  | 
provide for integration with
peers who do not have  | 
disabilities in bilingual classrooms. Annually, each January,  | 
school districts shall report data on students from  | 
non-English
speaking backgrounds receiving special education  | 
and related services in
public and private facilities as  | 
prescribed in Section 2-3.30. If there
is a disagreement  | 
between parties involved regarding the special education
 | 
placement of any child, either in-state or out-of-state, the  | 
 | 
placement is
subject to impartial due process procedures  | 
described in Article 10 of the
Rules and Regulations to Govern  | 
the Administration and Operation of Special
Education.
 | 
 (e) No child who comes from a home in which a language  | 
other than English
is the principal language used may be  | 
assigned to any class or program
under this Article until he  | 
has been given, in the principal language
used by the child and  | 
used in his home, tests reasonably related to his
cultural  | 
environment. All testing and evaluation materials and  | 
procedures
utilized for evaluation and placement shall not be  | 
linguistically, racially or
culturally discriminatory.
 | 
 (f) Nothing in this Article shall be construed to require  | 
any child to
undergo any physical examination or medical  | 
treatment whose parents object thereto on the grounds that  | 
such examination or
treatment conflicts with his religious  | 
beliefs.
 | 
 (g) School boards or their designee shall provide to the  | 
parents of a child prior written notice of any decision (a)  | 
proposing
to initiate or change, or (b) refusing to initiate  | 
or change, the
identification, evaluation, or educational  | 
placement of the child or the
provision of a free appropriate  | 
public education to their child, and the
reasons therefor.  | 
Such written notification shall also inform the
parent of the  | 
opportunity to present complaints with respect
to any matter  | 
relating to the educational placement of the student, or
the  | 
provision of a free appropriate public education and to have  | 
 | 
an
impartial due process hearing on the complaint. The notice  | 
shall inform
the parents in the parents' native language,
 | 
unless it is clearly not feasible to do so, of their rights and  | 
all
procedures available pursuant to this Act and the federal  | 
Individuals with Disabilities Education Improvement Act of  | 
2004 (Public Law 108-446); it
shall be the responsibility of  | 
the State Superintendent to develop
uniform notices setting  | 
forth the procedures available under this Act
and the federal  | 
Individuals with Disabilities Education Improvement Act of  | 
2004 (Public Law 108-446) to be used by all school boards. The  | 
notice
shall also inform the parents of the availability upon
 | 
request of a list of free or low-cost legal and other relevant  | 
services
available locally to assist parents in initiating an
 | 
impartial due process hearing. The State Superintendent shall  | 
revise the uniform notices required by this subsection (g) to  | 
reflect current law and procedures at least once every 2  | 
years. Any parent who is deaf, or
does not normally  | 
communicate using spoken English, who participates in
a  | 
meeting with a representative of a local educational agency  | 
for the
purposes of developing an individualized educational  | 
program shall be
entitled to the services of an interpreter.  | 
The State Board of Education must adopt rules to establish the  | 
criteria, standards, and competencies for a bilingual language  | 
interpreter who attends an individualized education program  | 
meeting under this subsection to assist a parent who has  | 
limited English proficiency. 
 | 
 | 
 (g-5) For purposes of this subsection (g-5), "qualified  | 
professional" means an individual who holds credentials to  | 
evaluate the child in the domain or domains for which an  | 
evaluation is sought or an intern working under the direct  | 
supervision of a qualified professional, including a master's  | 
or doctoral degree candidate. | 
 To ensure that a parent can participate fully and  | 
effectively with school personnel in the development of  | 
appropriate educational and related services for his or her  | 
child, the parent, an independent educational evaluator, or a  | 
qualified professional retained by or on behalf of a parent or  | 
child must be afforded reasonable access to educational  | 
facilities, personnel, classrooms, and buildings and to the  | 
child as provided in this subsection (g-5). The requirements  | 
of this subsection (g-5) apply to any public school facility,  | 
building, or program and to any facility, building, or program  | 
supported in whole or in part by public funds. Prior to  | 
visiting a school, school building, or school facility, the  | 
parent, independent educational evaluator, or qualified  | 
professional may be required by the school district to inform  | 
the building principal or supervisor in writing of the  | 
proposed visit, the purpose of the visit, and the approximate  | 
duration of the visit. The visitor and the school district  | 
shall arrange the visit or visits at times that are mutually  | 
agreeable. Visitors shall comply with school safety, security,  | 
and visitation policies at all times. School district  | 
 | 
visitation policies must not conflict with this subsection  | 
(g-5). Visitors shall be required to comply with the  | 
requirements of applicable privacy laws, including those laws  | 
protecting the confidentiality of education records such as  | 
the federal Family Educational Rights and Privacy Act and the  | 
Illinois School Student Records Act. The visitor shall not  | 
disrupt the educational process. | 
  (1) A parent must be afforded reasonable access of  | 
 sufficient duration and scope for the purpose of observing  | 
 his or her child in the child's current educational  | 
 placement, services, or program or for the purpose of  | 
 visiting an educational placement or program proposed for  | 
 the child. | 
  (2) An independent educational evaluator or a  | 
 qualified professional retained by or on behalf of a  | 
 parent or child must be afforded reasonable access of  | 
 sufficient duration and scope for the purpose of  | 
 conducting an evaluation of the child, the child's  | 
 performance, the child's current educational program,  | 
 placement, services, or environment, or any educational  | 
 program, placement, services, or environment proposed for  | 
 the child, including interviews of educational personnel,  | 
 child observations, assessments, tests or assessments of  | 
 the child's educational program, services, or placement or  | 
 of any proposed educational program, services, or  | 
 placement. If one or more interviews of school personnel  | 
 | 
 are part of the evaluation, the interviews must be  | 
 conducted at a mutually agreed upon time, date, and place  | 
 that do not interfere with the school employee's school  | 
 duties. The school district may limit interviews to  | 
 personnel having information relevant to the child's  | 
 current educational services, program, or placement or to  | 
 a proposed educational service, program, or placement.
 | 
(Source: P.A. 101-124, eff. 1-1-20; 102-264, eff. 8-6-21;  | 
102-558, eff. 8-20-21.)
 | 
 (Text of Section after amendment by P.A. 102-199)
 | 
 Sec. 14-8.02. Identification, evaluation, and placement of  | 
children. 
 | 
 (a) The State Board of Education shall make rules under  | 
which local school
boards shall determine the eligibility of  | 
children to receive special
education. Such rules shall ensure  | 
that a free appropriate public
education be available to all  | 
children with disabilities as
defined in
Section 14-1.02. The  | 
State Board of Education shall require local school
districts  | 
to administer non-discriminatory procedures or tests to
 | 
English learners coming from homes in which a language
other  | 
than English is used to determine their eligibility to receive  | 
special
education. The placement of low English proficiency  | 
students in special
education programs and facilities shall be  | 
made in accordance with the test
results reflecting the  | 
student's linguistic, cultural and special education
needs.  | 
 | 
For purposes of determining the eligibility of children the  | 
State
Board of Education shall include in the rules  | 
definitions of "case study",
"staff conference",  | 
"individualized educational program", and "qualified
 | 
specialist" appropriate to each category of children with
 | 
disabilities as defined in
this Article. For purposes of  | 
determining the eligibility of children from
homes in which a  | 
language other than English is used, the State Board of
 | 
Education shall include in the rules
definitions for  | 
"qualified bilingual specialists" and "linguistically and
 | 
culturally appropriate individualized educational programs".  | 
For purposes of this
Section, as well as Sections 14-8.02a,  | 
14-8.02b, and 14-8.02c of this Code,
"parent" means a parent  | 
as defined in the federal Individuals with Disabilities  | 
Education Act (20 U.S.C. 1401(23)). 
 | 
 (b) No child shall be eligible for special education  | 
facilities except
with a carefully completed case study fully  | 
reviewed by professional
personnel in a multidisciplinary  | 
staff conference and only upon the
recommendation of qualified  | 
specialists or a qualified bilingual specialist, if
available.  | 
At the conclusion of the multidisciplinary staff conference,  | 
the
parent of the child and, if the child is in the legal  | 
custody of the Department of Children and Family Services, the  | 
Department's Office of Education and Transition Services shall  | 
be given a copy of the multidisciplinary
conference summary  | 
report and recommendations, which includes options
considered,  | 
 | 
and, in the case of the parent, be informed of his or her right  | 
to obtain an independent educational
evaluation if he or she  | 
disagrees with the evaluation findings conducted or obtained
 | 
by the school district. If the school district's evaluation is  | 
shown to be
inappropriate, the school district shall reimburse  | 
the parent for the cost of
the independent evaluation. The  | 
State Board of Education shall, with advice
from the State  | 
Advisory Council on Education of Children with
Disabilities on  | 
the
inclusion of specific independent educational evaluators,  | 
prepare a list of
suggested independent educational  | 
evaluators. The State Board of Education
shall include on the  | 
list clinical psychologists licensed pursuant to the
Clinical  | 
Psychologist Licensing Act. Such psychologists shall not be  | 
paid fees
in excess of the amount that would be received by a  | 
school psychologist for
performing the same services. The  | 
State Board of Education shall supply school
districts with  | 
such list and make the list available to parents at their
 | 
request. School districts shall make the list available to  | 
parents at the time
they are informed of their right to obtain  | 
an independent educational
evaluation. However, the school  | 
district may initiate an impartial
due process hearing under  | 
this Section within 5 days of any written parent
request for an  | 
independent educational evaluation to show that
its evaluation  | 
is appropriate. If the final decision is that the evaluation
 | 
is appropriate, the parent still has a right to an independent  | 
educational
evaluation, but not at public expense. An  | 
 | 
independent educational
evaluation at public expense must be  | 
completed within 30 days of a parent
written request unless  | 
the school district initiates an
impartial due process hearing  | 
or the parent or school district
offers reasonable grounds to  | 
show that such 30-day time period should be
extended. If the  | 
due process hearing decision indicates that the parent is  | 
entitled to an independent educational evaluation, it must be
 | 
completed within 30 days of the decision unless the parent or
 | 
the school district offers reasonable grounds to show that  | 
such 30-day
period should be extended. If a parent disagrees  | 
with the summary report or
recommendations of the  | 
multidisciplinary conference or the findings of any
 | 
educational evaluation which results therefrom, the school
 | 
district shall not proceed with a placement based upon such  | 
evaluation and
the child shall remain in his or her regular  | 
classroom setting.
No child shall be eligible for admission to  | 
a
special class for children with a mental disability who are  | 
educable or for children with a mental disability who are  | 
trainable except with a psychological evaluation
and
 | 
recommendation by a school psychologist. Consent shall be  | 
obtained from
the parent of a child before any evaluation is  | 
conducted.
If consent is not given by the parent or if the  | 
parent disagrees with the findings of the evaluation, then the  | 
school
district may initiate an impartial due process hearing  | 
under this Section.
The school district may evaluate the child  | 
if that is the decision
resulting from the impartial due  | 
 | 
process hearing and the decision is not
appealed or if the  | 
decision is affirmed on appeal.
The determination of  | 
eligibility shall be made and the IEP meeting shall be  | 
completed within 60 school days
from the date of written  | 
parental consent. In those instances when written parental  | 
consent is obtained with fewer than 60 pupil attendance days  | 
left in the school year,
the eligibility determination shall  | 
be made and the IEP meeting shall be completed prior to the  | 
first day of the
following school year. Special education and  | 
related services must be provided in accordance with the  | 
student's IEP no later than 10 school attendance days after  | 
notice is provided to the parents pursuant to Section 300.503  | 
of Title 34 of the Code of Federal Regulations and  | 
implementing rules adopted by the State Board of Education.  | 
The appropriate
program pursuant to the individualized  | 
educational program of students
whose native tongue is a  | 
language other than English shall reflect the
special  | 
education, cultural and linguistic needs. No later than  | 
September
1, 1993, the State Board of Education shall  | 
establish standards for the
development, implementation and  | 
monitoring of appropriate bilingual special
individualized  | 
educational programs. The State Board of Education shall
 | 
further incorporate appropriate monitoring procedures to  | 
verify implementation
of these standards. The district shall  | 
indicate to the parent, the State Board of Education, and, if  | 
applicable, the Department's Office of Education and  | 
 | 
Transition Services the nature of the services the child will  | 
receive
for the regular school term while awaiting waiting  | 
placement in the appropriate special
education class. At the  | 
child's initial IEP meeting and at each annual review meeting,  | 
the child's IEP team shall provide the child's parent or  | 
guardian and, if applicable, the Department's Office of  | 
Education and Transition Services with a written notification  | 
that informs the parent or guardian or the Department's Office  | 
of Education and Transition Services that the IEP team is  | 
required to consider whether the child requires assistive  | 
technology in order to receive free, appropriate public  | 
education. The notification must also include a toll-free  | 
telephone number and internet address for the State's  | 
assistive technology program. 
 | 
 If the child is deaf, hard of hearing, blind, or visually  | 
impaired or has an orthopedic impairment or physical  | 
disability and
he or she might be eligible to receive services  | 
from the Illinois School for
the Deaf, the Illinois School for  | 
the Visually Impaired, or the Illinois Center for  | 
Rehabilitation and Education-Roosevelt, the school
district  | 
shall notify the parents, in writing, of the existence of
 | 
these schools
and the services
they provide and shall make a  | 
reasonable effort to inform the parents of the existence of  | 
other, local schools that provide similar services and the  | 
services that these other schools provide. This notification
 | 
shall
include without limitation information on school  | 
 | 
services, school
admissions criteria, and school contact  | 
information.
 | 
 In the development of the individualized education program  | 
for a student who has a disability on the autism spectrum  | 
(which includes autistic disorder, Asperger's disorder,  | 
pervasive developmental disorder not otherwise specified,  | 
childhood disintegrative disorder, and Rett Syndrome, as  | 
defined in the Diagnostic and Statistical Manual of Mental  | 
Disorders, fourth edition (DSM-IV, 2000)), the IEP team shall  | 
consider all of the following factors: | 
  (1) The verbal and nonverbal communication needs of  | 
 the child. | 
  (2) The need to develop social interaction skills and  | 
 proficiencies. | 
  (3) The needs resulting from the child's unusual  | 
 responses to sensory experiences. | 
  (4) The needs resulting from resistance to  | 
 environmental change or change in daily routines. | 
  (5) The needs resulting from engagement in repetitive  | 
 activities and stereotyped movements. | 
  (6) The need for any positive behavioral  | 
 interventions, strategies, and supports to address any  | 
 behavioral difficulties resulting from autism spectrum  | 
 disorder. | 
  (7) Other needs resulting from the child's disability  | 
 that impact progress in the general curriculum, including  | 
 | 
 social and emotional development. | 
Public Act 95-257
does not create any new entitlement to a  | 
service, program, or benefit, but must not affect any  | 
entitlement to a service, program, or benefit created by any  | 
other law.
 | 
 If the student may be eligible to participate in the  | 
Home-Based Support
Services Program for Adults with Mental  | 
Disabilities authorized under the
Developmental Disability and  | 
Mental Disability Services Act upon becoming an
adult, the  | 
student's individualized education program shall include plans  | 
for
(i) determining the student's eligibility for those  | 
home-based services, (ii)
enrolling the student in the program  | 
of home-based services, and (iii)
developing a plan for the  | 
student's most effective use of the home-based
services after  | 
the student becomes an adult and no longer receives special
 | 
educational services under this Article. The plans developed  | 
under this
paragraph shall include specific actions to be  | 
taken by specified individuals,
agencies, or officials.
 | 
 (c) In the development of the individualized education  | 
program for a
student who is functionally blind, it shall be  | 
presumed that proficiency in
Braille reading and writing is  | 
essential for the student's satisfactory
educational progress.  | 
For purposes of this subsection, the State Board of
Education  | 
shall determine the criteria for a student to be classified as
 | 
functionally blind. Students who are not currently identified  | 
as
functionally blind who are also entitled to Braille  | 
 | 
instruction include:
(i) those whose vision loss is so severe  | 
that they are unable to read and
write at a level comparable to  | 
their peers solely through the use of
vision, and (ii) those  | 
who show evidence of progressive vision loss that
may result  | 
in functional blindness. Each student who is functionally  | 
blind
shall be entitled to Braille reading and writing  | 
instruction that is
sufficient to enable the student to  | 
communicate with the same level of
proficiency as other  | 
students of comparable ability. Instruction should be
provided  | 
to the extent that the student is physically and cognitively  | 
able
to use Braille. Braille instruction may be used in  | 
combination with other
special education services appropriate  | 
to the student's educational needs.
The assessment of each  | 
student who is functionally blind for the purpose of
 | 
developing the student's individualized education program  | 
shall include
documentation of the student's strengths and  | 
weaknesses in Braille skills.
Each person assisting in the  | 
development of the individualized education
program for a  | 
student who is functionally blind shall receive information
 | 
describing the benefits of Braille instruction. The  | 
individualized
education program for each student who is  | 
functionally blind shall
specify the appropriate learning  | 
medium or media based on the assessment
report.
 | 
 (d) To the maximum extent appropriate, the placement shall  | 
provide the
child with the opportunity to be educated with  | 
children who do not have a disability; provided that children  | 
 | 
with
disabilities who are recommended to be
placed into  | 
regular education classrooms are provided with supplementary
 | 
services to assist the children with disabilities to benefit
 | 
from the regular
classroom instruction and are included on the  | 
teacher's regular education class
register. Subject to the  | 
limitation of the preceding sentence, placement in
special  | 
classes, separate schools or other removal of the child with a  | 
disability
from the regular educational environment shall  | 
occur only when the nature of
the severity of the disability is  | 
such that education in the
regular classes with
the use of  | 
supplementary aids and services cannot be achieved  | 
satisfactorily.
The placement of English learners with  | 
disabilities shall
be in non-restrictive environments which  | 
provide for integration with
peers who do not have  | 
disabilities in bilingual classrooms. Annually, each January,  | 
school districts shall report data on students from  | 
non-English
speaking backgrounds receiving special education  | 
and related services in
public and private facilities as  | 
prescribed in Section 2-3.30. If there
is a disagreement  | 
between parties involved regarding the special education
 | 
placement of any child, either in-state or out-of-state, the  | 
placement is
subject to impartial due process procedures  | 
described in Article 10 of the
Rules and Regulations to Govern  | 
the Administration and Operation of Special
Education.
 | 
 (e) No child who comes from a home in which a language  | 
other than English
is the principal language used may be  | 
 | 
assigned to any class or program
under this Article until he  | 
has been given, in the principal language
used by the child and  | 
used in his home, tests reasonably related to his
cultural  | 
environment. All testing and evaluation materials and  | 
procedures
utilized for evaluation and placement shall not be  | 
linguistically, racially or
culturally discriminatory.
 | 
 (f) Nothing in this Article shall be construed to require  | 
any child to
undergo any physical examination or medical  | 
treatment whose parents object thereto on the grounds that  | 
such examination or
treatment conflicts with his religious  | 
beliefs.
 | 
 (g) School boards or their designee shall provide to the  | 
parents of a child or, if applicable, the Department of  | 
Children and Family Services' Office of Education and  | 
Transition Services prior written notice of any decision (a)  | 
proposing
to initiate or change, or (b) refusing to initiate  | 
or change, the
identification, evaluation, or educational  | 
placement of the child or the
provision of a free appropriate  | 
public education to their child, and the
reasons therefor. For  | 
a parent, such written notification shall also inform the
 | 
parent of the opportunity to present complaints with respect
 | 
to any matter relating to the educational placement of the  | 
student, or
the provision of a free appropriate public  | 
education and to have an
impartial due process hearing on the  | 
complaint. The notice shall inform
the parents in the parents'  | 
native language,
unless it is clearly not feasible to do so, of  | 
 | 
their rights and all
procedures available pursuant to this Act  | 
and the federal Individuals with Disabilities Education  | 
Improvement Act of 2004 (Public Law 108-446); it
shall be the  | 
responsibility of the State Superintendent to develop
uniform  | 
notices setting forth the procedures available under this Act
 | 
and the federal Individuals with Disabilities Education  | 
Improvement Act of 2004 (Public Law 108-446) to be used by all  | 
school boards. The notice
shall also inform the parents of the  | 
availability upon
request of a list of free or low-cost legal  | 
and other relevant services
available locally to assist  | 
parents in initiating an
impartial due process hearing. The  | 
State Superintendent shall revise the uniform notices required  | 
by this subsection (g) to reflect current law and procedures  | 
at least once every 2 years. Any parent who is deaf, or
does  | 
not normally communicate using spoken English, who  | 
participates in
a meeting with a representative of a local  | 
educational agency for the
purposes of developing an  | 
individualized educational program shall be
entitled to the  | 
services of an interpreter. The State Board of Education must  | 
adopt rules to establish the criteria, standards, and  | 
competencies for a bilingual language interpreter who attends  | 
an individualized education program meeting under this  | 
subsection to assist a parent who has limited English  | 
proficiency. 
 | 
 (g-5) For purposes of this subsection (g-5), "qualified  | 
professional" means an individual who holds credentials to  | 
 | 
evaluate the child in the domain or domains for which an  | 
evaluation is sought or an intern working under the direct  | 
supervision of a qualified professional, including a master's  | 
or doctoral degree candidate. | 
 To ensure that a parent can participate fully and  | 
effectively with school personnel in the development of  | 
appropriate educational and related services for his or her  | 
child, the parent, an independent educational evaluator, or a  | 
qualified professional retained by or on behalf of a parent or  | 
child must be afforded reasonable access to educational  | 
facilities, personnel, classrooms, and buildings and to the  | 
child as provided in this subsection (g-5). The requirements  | 
of this subsection (g-5) apply to any public school facility,  | 
building, or program and to any facility, building, or program  | 
supported in whole or in part by public funds. Prior to  | 
visiting a school, school building, or school facility, the  | 
parent, independent educational evaluator, or qualified  | 
professional may be required by the school district to inform  | 
the building principal or supervisor in writing of the  | 
proposed visit, the purpose of the visit, and the approximate  | 
duration of the visit. The visitor and the school district  | 
shall arrange the visit or visits at times that are mutually  | 
agreeable. Visitors shall comply with school safety, security,  | 
and visitation policies at all times. School district  | 
visitation policies must not conflict with this subsection  | 
(g-5). Visitors shall be required to comply with the  | 
 | 
requirements of applicable privacy laws, including those laws  | 
protecting the confidentiality of education records such as  | 
the federal Family Educational Rights and Privacy Act and the  | 
Illinois School Student Records Act. The visitor shall not  | 
disrupt the educational process. | 
  (1) A parent must be afforded reasonable access of  | 
 sufficient duration and scope for the purpose of observing  | 
 his or her child in the child's current educational  | 
 placement, services, or program or for the purpose of  | 
 visiting an educational placement or program proposed for  | 
 the child. | 
  (2) An independent educational evaluator or a  | 
 qualified professional retained by or on behalf of a  | 
 parent or child must be afforded reasonable access of  | 
 sufficient duration and scope for the purpose of  | 
 conducting an evaluation of the child, the child's  | 
 performance, the child's current educational program,  | 
 placement, services, or environment, or any educational  | 
 program, placement, services, or environment proposed for  | 
 the child, including interviews of educational personnel,  | 
 child observations, assessments, tests or assessments of  | 
 the child's educational program, services, or placement or  | 
 of any proposed educational program, services, or  | 
 placement. If one or more interviews of school personnel  | 
 are part of the evaluation, the interviews must be  | 
 conducted at a mutually agreed upon time, date, and place  | 
 | 
 that do not interfere with the school employee's school  | 
 duties. The school district may limit interviews to  | 
 personnel having information relevant to the child's  | 
 current educational services, program, or placement or to  | 
 a proposed educational service, program, or placement.
 | 
(Source: P.A. 101-124, eff. 1-1-20; 102-199, eff. 7-1-22;  | 
102-264, eff. 8-6-21; 102-558, eff. 8-20-21; revised  | 
10-14-21.)
 | 
 (105 ILCS 5/14-17) | 
 (Section scheduled to be repealed on December 31, 2022) | 
 Sec. 14-17. High-Cost Special Education Funding  | 
Commission. | 
 (a) The High-Cost Special Education Funding Commission is  | 
created for the purpose of making recommendations to the  | 
Governor and the General Assembly for an alternative funding  | 
structure in this State for high-cost special education  | 
students that is aligned to the principles of the  | 
evidence-based funding formula in Section 18-8.15 in which  | 
school districts furthest away from adequacy receive the  | 
greatest amount of funding. | 
 (b) The Commission shall consist of all of the following  | 
members: | 
  (1) One representative appointed by the Speaker of the  | 
 House of Representatives, who shall serve as  | 
 co-chairperson. | 
 | 
  (2) One representative appointed by the Minority  | 
 Leader of the House of Representatives. | 
  (3) One senator appointed by the President of the  | 
 Senate, who shall serve as co-chairperson. | 
  (4) One senator appointed by the Minority Leader of  | 
 the Senate. | 
  (5) The State Superintendent of Education or a  | 
 designee. | 
  (6) The Director of the Governor's Office of  | 
 Management and Budget or a designee. | 
  (7) The Chairperson of the Advisory Council on the  | 
 Education of Children with Disabilities or a designee.  | 
 Additionally, within 60 days after July 23, 2021 (the  | 
effective date of Public Act 102-150) this amendatory Act of  | 
the 102nd General Assembly, the State Superintendent of  | 
Education shall appoint all of the following individuals to  | 
the Commission: | 
  (A) One representative of a statewide association that  | 
 represents private special education schools. | 
  (B) One representative of a statewide association that  | 
 represents special education cooperatives. | 
  (C) One educator from a special education cooperative,  | 
 recommended by a statewide association that represents  | 
 teachers. | 
  (D) One educator from a special education cooperative  | 
 that is not a member district of a special education  | 
 | 
 cooperative, recommended by a different statewide  | 
 association that represents teachers. | 
  (E) One educator or administrator from a nonpublic  | 
 special education school. | 
  (F) One representative of a statewide association that  | 
 represents school administrators. | 
  (G) One representative of a statewide association
that  | 
 represents school business officials. | 
  (H) One representative of a statewide association that  | 
 represents private special education schools in rural  | 
 school districts.  | 
  (I) One representative from a residential program.  | 
 Members appointed to the Commission must reflect the  | 
racial, ethnic, and geographic diversity of this State. | 
 (c) Members of the Commission shall serve without  | 
compensation, but may be reimbursed for their reasonable and  | 
necessary expenses from funds appropriated to the State Board  | 
of Education for that purpose. | 
 (d) The State Board of Education shall provide  | 
administrative support to the Commission. | 
 (e) To ensure that high-quality services are provided to  | 
ensure equitable outcomes for high-cost special education  | 
students, the Commission shall do all the following: | 
  (1) Review the current system of funding high-cost  | 
 special education students in this State. | 
  (2) Review the needs of high-cost special education  | 
 | 
 students in this State and the associated costs to ensure  | 
 high-quality services are provided to these students. | 
  (3) Review how other states fund high-cost special  | 
 education students. | 
  (4) If available, review other proposals and best  | 
 practices for funding high-cost special education  | 
 students.  | 
 (f) On or before November 30, 2021, the Commission shall  | 
report its recommendations to the Governor and the General  | 
Assembly. | 
 (g) This Section is repealed on December 31, 2022. 
 | 
(Source: P.A. 102-150, eff. 7-23-21; revised 11-9-21.)
 | 
 (105 ILCS 5/14-18)
 | 
 Sec. 14-18 14-17. COVID-19 recovery post-secondary  | 
transition recovery eligibility. | 
 (a) If a student with an individualized education program  | 
(IEP) reaches the age of 22 during the time in which the  | 
student's in-person instruction, services, or activities are  | 
suspended for a period of 3 months or more during the school  | 
year as a result of the COVID-19 pandemic, the student is  | 
eligible for such services up to the end of the regular  | 
2021-2022 school year. | 
 (b) This Section does not apply to any student who is no  | 
longer a resident of the school district that was responsible  | 
for the student's IEP at the time the student reached the  | 
 | 
student's 22nd birthday. | 
 (c) The IEP goals in effect when the student reached the  | 
student's 22nd birthday shall be resumed unless there is an  | 
agreement that the goals should be revised to appropriately  | 
meet the student's current transition needs. | 
 (d) If a student was in a private therapeutic day or  | 
residential program when the student reached the student's  | 
22nd birthday, the school district is not required to resume  | 
that program for the student if the student has aged out of the  | 
program or the funding for supporting the student's placement  | 
in the facility is no longer available. | 
 (e) Within 30 days after July 28, 2021 (the effective date  | 
of Public Act 102-173) this amendatory Act of the 102nd  | 
General Assembly, each school district shall provide  | 
notification of the availability of services under this  | 
Section to each student covered by this Section by regular  | 
mail sent to the last known address of the student or the  | 
student's parent or guardian.
 | 
(Source: P.A. 102-173, eff. 7-28-21; revised 11-9-21.)
 | 
 (105 ILCS 5/18-8.15) | 
 Sec. 18-8.15. Evidence-Based Funding for student success  | 
for the 2017-2018 and subsequent school years.  | 
 (a) General provisions.  | 
  (1) The purpose of this Section is to ensure that, by  | 
 June 30, 2027 and beyond, this State has a kindergarten  | 
 | 
 through grade 12 public education system with the capacity  | 
 to ensure the educational development of all persons to  | 
 the limits of their capacities in accordance with Section  | 
 1 of Article X of the Constitution of the State of  | 
 Illinois. To accomplish that objective, this Section  | 
 creates a method of funding public education that is  | 
 evidence-based; is sufficient to ensure every student  | 
 receives a meaningful opportunity to learn irrespective of  | 
 race, ethnicity, sexual orientation, gender, or  | 
 community-income level; and is sustainable and  | 
 predictable. When fully funded under this Section, every  | 
 school shall have the resources, based on what the  | 
 evidence indicates is needed, to:  | 
   (A) provide all students with a high quality  | 
 education that offers the academic, enrichment, social  | 
 and emotional support, technical, and career-focused  | 
 programs that will allow them to become competitive  | 
 workers, responsible parents, productive citizens of  | 
 this State, and active members of our national  | 
 democracy; | 
   (B) ensure all students receive the education they  | 
 need to graduate from high school with the skills  | 
 required to pursue post-secondary education and  | 
 training for a rewarding career; | 
   (C) reduce, with a goal of eliminating, the  | 
 achievement gap between at-risk and non-at-risk  | 
 | 
 students by raising the performance of at-risk  | 
 students and not by reducing standards; and | 
   (D) ensure this State satisfies its obligation to  | 
 assume the primary responsibility to fund public  | 
 education and simultaneously relieve the  | 
 disproportionate burden placed on local property taxes  | 
 to fund schools.  | 
  (2) The Evidence-Based Funding formula under this  | 
 Section shall be applied to all Organizational Units in  | 
 this State. The Evidence-Based Funding formula outlined in  | 
 this Act is based on the formula outlined in Senate Bill 1  | 
 of the 100th General Assembly, as passed by both  | 
 legislative chambers. As further defined and described in  | 
 this Section, there are 4 major components of the  | 
 Evidence-Based Funding model:  | 
   (A) First, the model calculates a unique Adequacy  | 
 Target for each Organizational Unit in this State that  | 
 considers the costs to implement research-based  | 
 activities, the unit's student demographics, and  | 
 regional wage differences. | 
   (B) Second, the model calculates each  | 
 Organizational Unit's Local Capacity, or the amount  | 
 each Organizational Unit is assumed to contribute  | 
 toward its Adequacy Target from local resources. | 
   (C) Third, the model calculates how much funding  | 
 the State currently contributes to the Organizational  | 
 | 
 Unit and adds that to the unit's Local Capacity to  | 
 determine the unit's overall current adequacy of  | 
 funding. | 
   (D) Finally, the model's distribution method  | 
 allocates new State funding to those Organizational  | 
 Units that are least well-funded, considering both  | 
 Local Capacity and State funding, in relation to their  | 
 Adequacy Target.  | 
  (3) An Organizational Unit receiving any funding under  | 
 this Section may apply those funds to any fund so received  | 
 for which that Organizational Unit is authorized to make  | 
 expenditures by law. | 
  (4) As used in this Section, the following terms shall  | 
 have the meanings ascribed in this paragraph (4):  | 
  "Adequacy Target" is defined in paragraph (1) of  | 
 subsection (b) of this Section. | 
  "Adjusted EAV" is defined in paragraph (4) of  | 
 subsection (d) of this Section.  | 
  "Adjusted Local Capacity Target" is defined in  | 
 paragraph (3) of subsection (c) of this Section. | 
  "Adjusted Operating Tax Rate" means a tax rate for all  | 
 Organizational Units, for which the State Superintendent  | 
 shall calculate and subtract for the Operating Tax Rate a  | 
 transportation rate based on total expenses for  | 
 transportation services under this Code, as reported on  | 
 the most recent Annual Financial Report in Pupil  | 
 | 
 Transportation Services, function 2550 in both the  | 
 Education and Transportation funds and functions 4110 and  | 
 4120 in the Transportation fund, less any corresponding  | 
 fiscal year State of Illinois scheduled payments excluding  | 
 net adjustments for prior years for regular, vocational,  | 
 or special education transportation reimbursement pursuant  | 
 to Section 29-5 or subsection (b) of Section 14-13.01 of  | 
 this Code divided by the Adjusted EAV. If an  | 
 Organizational Unit's corresponding fiscal year State of  | 
 Illinois scheduled payments excluding net adjustments for  | 
 prior years for regular, vocational, or special education  | 
 transportation reimbursement pursuant to Section 29-5 or  | 
 subsection (b) of Section 14-13.01 of this Code exceed the  | 
 total transportation expenses, as defined in this  | 
 paragraph, no transportation rate shall be subtracted from  | 
 the Operating Tax Rate.  | 
  "Allocation Rate" is defined in paragraph (3) of  | 
 subsection (g) of this Section. | 
  "Alternative School" means a public school that is  | 
 created and operated by a regional superintendent of  | 
 schools and approved by the State Board. | 
  "Applicable Tax Rate" is defined in paragraph (1) of  | 
 subsection (d) of this Section. | 
  "Assessment" means any of those benchmark, progress  | 
 monitoring, formative, diagnostic, and other assessments,  | 
 in addition to the State accountability assessment, that  | 
 | 
 assist teachers' needs in understanding the skills and  | 
 meeting the needs of the students they serve. | 
  "Assistant principal" means a school administrator  | 
 duly endorsed to be employed as an assistant principal in  | 
 this State. | 
  "At-risk student" means a student who is at risk of  | 
 not meeting the Illinois Learning Standards or not  | 
 graduating from elementary or high school and who  | 
 demonstrates a need for vocational support or social  | 
 services beyond that provided by the regular school  | 
 program. All students included in an Organizational Unit's  | 
 Low-Income Count, as well as all English learner and  | 
 disabled students attending the Organizational Unit, shall  | 
 be considered at-risk students under this Section. | 
  "Average Student Enrollment" or "ASE" for fiscal year  | 
 2018 means, for an Organizational Unit, the greater of the  | 
 average number of students (grades K through 12) reported  | 
 to the State Board as enrolled in the Organizational Unit  | 
 on October 1 in the immediately preceding school year,  | 
 plus the pre-kindergarten students who receive special  | 
 education services of 2 or more hours a day as reported to  | 
 the State Board on December 1 in the immediately preceding  | 
 school year, or the average number of students (grades K  | 
 through 12) reported to the State Board as enrolled in the  | 
 Organizational Unit on October 1, plus the  | 
 pre-kindergarten students who receive special education  | 
 | 
 services of 2 or more hours a day as reported to the State  | 
 Board on December 1, for each of the immediately preceding  | 
 3 school years. For fiscal year 2019 and each subsequent  | 
 fiscal year, "Average Student Enrollment" or "ASE" means,  | 
 for an Organizational Unit, the greater of the average  | 
 number of students (grades K through 12) reported to the  | 
 State Board as enrolled in the Organizational Unit on  | 
 October 1 and March 1 in the immediately preceding school  | 
 year, plus the pre-kindergarten students who receive  | 
 special education services as reported to the State Board  | 
 on October 1 and March 1 in the immediately preceding  | 
 school year, or the average number of students (grades K  | 
 through 12) reported to the State Board as enrolled in the  | 
 Organizational Unit on October 1 and March 1, plus the  | 
 pre-kindergarten students who receive special education  | 
 services as reported to the State Board on October 1 and  | 
 March 1, for each of the immediately preceding 3 school  | 
 years. For the purposes of this definition, "enrolled in  | 
 the Organizational Unit" means the number of students  | 
 reported to the State Board who are enrolled in schools  | 
 within the Organizational Unit that the student attends or  | 
 would attend if not placed or transferred to another  | 
 school or program to receive needed services. For the  | 
 purposes of calculating "ASE", all students, grades K  | 
 through 12, excluding those attending kindergarten for a  | 
 half day and students attending an alternative education  | 
 | 
 program operated by a regional office of education or  | 
 intermediate service center, shall be counted as 1.0. All  | 
 students attending kindergarten for a half day shall be  | 
 counted as 0.5, unless in 2017 by June 15 or by March 1 in  | 
 subsequent years, the school district reports to the State  | 
 Board of Education the intent to implement full-day  | 
 kindergarten district-wide for all students, then all  | 
 students attending kindergarten shall be counted as 1.0.  | 
 Special education pre-kindergarten students shall be  | 
 counted as 0.5 each. If the State Board does not collect or  | 
 has not collected both an October 1 and March 1 enrollment  | 
 count by grade or a December 1 collection of special  | 
 education pre-kindergarten students as of August 31, 2017  | 
 (the effective date of Public Act 100-465), it shall  | 
 establish such collection for all future years. For any  | 
 year in which a count by grade level was collected only  | 
 once, that count shall be used as the single count  | 
 available for computing a 3-year average ASE. Funding for  | 
 programs operated by a regional office of education or an  | 
 intermediate service center must be calculated using the  | 
 Evidence-Based Funding formula under this Section for the  | 
 2019-2020 school year and each subsequent school year  | 
 until separate adequacy formulas are developed and adopted  | 
 for each type of program. ASE for a program operated by a  | 
 regional office of education or an intermediate service  | 
 center must be determined by the March 1 enrollment for  | 
 | 
 the program. For the 2019-2020 school year, the ASE used  | 
 in the calculation must be the first-year ASE and, in that  | 
 year only, the assignment of students served by a regional  | 
 office of education or intermediate service center shall  | 
 not result in a reduction of the March enrollment for any  | 
 school district. For the 2020-2021 school year, the ASE  | 
 must be the greater of the current-year ASE or the 2-year  | 
 average ASE. Beginning with the 2021-2022 school year, the  | 
 ASE must be the greater of the current-year ASE or the  | 
 3-year average ASE. School districts shall submit the data  | 
 for the ASE calculation to the State Board within 45 days  | 
 of the dates required in this Section for submission of  | 
 enrollment data in order for it to be included in the ASE  | 
 calculation. For fiscal year 2018 only, the ASE  | 
 calculation shall include only enrollment taken on October  | 
 1. In recognition of the impact of COVID-19, the  | 
 definition of "Average Student Enrollment" or "ASE" shall  | 
 be adjusted for calculations under this Section for fiscal  | 
 years 2022 through 2024. For fiscal years 2022 through  | 
 2024, the enrollment used in the calculation of ASE  | 
 representing the 2020-2021 school year shall be the  | 
 greater of the enrollment for the 2020-2021 school year or  | 
 the 2019-2020 school year. | 
  "Base Funding Guarantee" is defined in paragraph (10)  | 
 of subsection (g) of this Section.  | 
  "Base Funding Minimum" is defined in subsection (e) of  | 
 | 
 this Section. | 
  "Base Tax Year" means the property tax levy year used  | 
 to calculate the Budget Year allocation of primary State  | 
 aid. | 
  "Base Tax Year's Extension" means the product of the  | 
 equalized assessed valuation utilized by the county clerk  | 
 in the Base Tax Year multiplied by the limiting rate as  | 
 calculated by the county clerk and defined in PTELL. | 
  "Bilingual Education Allocation" means the amount of  | 
 an Organizational Unit's final Adequacy Target  | 
 attributable to bilingual education divided by the  | 
 Organizational Unit's final Adequacy Target, the product  | 
 of which shall be multiplied by the amount of new funding  | 
 received pursuant to this Section. An Organizational  | 
 Unit's final Adequacy Target attributable to bilingual  | 
 education shall include all additional investments in  | 
 English learner students' adequacy elements. | 
  "Budget Year" means the school year for which primary  | 
 State aid is calculated and awarded under this Section.  | 
  "Central office" means individual administrators and  | 
 support service personnel charged with managing the  | 
 instructional programs, business and operations, and  | 
 security of the Organizational Unit. | 
  "Comparable Wage Index" or "CWI" means a regional cost  | 
 differentiation metric that measures systemic, regional  | 
 variations in the salaries of college graduates who are  | 
 | 
 not educators. The CWI utilized for this Section shall,  | 
 for the first 3 years of Evidence-Based Funding  | 
 implementation, be the CWI initially developed by the  | 
 National Center for Education Statistics, as most recently  | 
 updated by Texas A & M University. In the fourth and  | 
 subsequent years of Evidence-Based Funding implementation,  | 
 the State Superintendent shall re-determine the CWI using  | 
 a similar methodology to that identified in the Texas A & M  | 
 University study, with adjustments made no less frequently  | 
 than once every 5 years. | 
  "Computer technology and equipment" means computers  | 
 servers, notebooks, network equipment, copiers, printers,  | 
 instructional software, security software, curriculum  | 
 management courseware, and other similar materials and  | 
 equipment.  | 
  "Computer technology and equipment investment  | 
 allocation" means the final Adequacy Target amount of an  | 
 Organizational Unit assigned to Tier 1 or Tier 2 in the  | 
 prior school year attributable to the additional $285.50  | 
 per student computer technology and equipment investment  | 
 grant divided by the Organizational Unit's final Adequacy  | 
 Target, the result of which shall be multiplied by the  | 
 amount of new funding received pursuant to this Section.  | 
 An Organizational Unit assigned to a Tier 1 or Tier 2 final  | 
 Adequacy Target attributable to the received computer  | 
 technology and equipment investment grant shall include  | 
 | 
 all additional investments in computer technology and  | 
 equipment adequacy elements.  | 
  "Core subject" means mathematics; science; reading,  | 
 English, writing, and language arts; history and social  | 
 studies; world languages; and subjects taught as Advanced  | 
 Placement in high schools. | 
  "Core teacher" means a regular classroom teacher in  | 
 elementary schools and teachers of a core subject in  | 
 middle and high schools. | 
  "Core Intervention teacher (tutor)" means a licensed  | 
 teacher providing one-on-one or small group tutoring to  | 
 students struggling to meet proficiency in core subjects. | 
  "CPPRT" means corporate personal property replacement  | 
 tax funds paid to an Organizational Unit during the  | 
 calendar year one year before the calendar year in which a  | 
 school year begins, pursuant to "An Act in relation to the  | 
 abolition of ad valorem personal property tax and the  | 
 replacement of revenues lost thereby, and amending and  | 
 repealing certain Acts and parts of Acts in connection  | 
 therewith", certified August 14, 1979, as amended (Public  | 
 Act 81-1st S.S.-1). | 
  "EAV" means equalized assessed valuation as defined in  | 
 paragraph (2) of subsection (d) of this Section and  | 
 calculated in accordance with paragraph (3) of subsection  | 
 (d) of this Section. | 
  "ECI" means the Bureau of Labor Statistics' national  | 
 | 
 employment cost index for civilian workers in educational  | 
 services in elementary and secondary schools on a  | 
 cumulative basis for the 12-month calendar year preceding  | 
 the fiscal year of the Evidence-Based Funding calculation. | 
  "EIS Data" means the employment information system  | 
 data maintained by the State Board on educators within  | 
 Organizational Units. | 
  "Employee benefits" means health, dental, and vision  | 
 insurance offered to employees of an Organizational Unit,  | 
 the costs associated with the statutorily required payment  | 
 of the normal cost of the Organizational Unit's teacher  | 
 pensions, Social Security employer contributions, and  | 
 Illinois Municipal Retirement Fund employer contributions. | 
  "English learner" or "EL" means a child included in  | 
 the definition of "English learners" under Section 14C-2  | 
 of this Code participating in a program of transitional  | 
 bilingual education or a transitional program of  | 
 instruction meeting the requirements and program  | 
 application procedures of Article 14C of this Code. For  | 
 the purposes of collecting the number of EL students  | 
 enrolled, the same collection and calculation methodology  | 
 as defined above for "ASE" shall apply to English  | 
 learners, with the exception that EL student enrollment  | 
 shall include students in grades pre-kindergarten through  | 
 12. | 
  "Essential Elements" means those elements, resources,  | 
 | 
 and educational programs that have been identified through  | 
 academic research as necessary to improve student success,  | 
 improve academic performance, close achievement gaps, and  | 
 provide for other per student costs related to the  | 
 delivery and leadership of the Organizational Unit, as  | 
 well as the maintenance and operations of the unit, and  | 
 which are specified in paragraph (2) of subsection (b) of  | 
 this Section. | 
  "Evidence-Based Funding" means State funding provided  | 
 to an Organizational Unit pursuant to this Section. | 
  "Extended day" means academic and enrichment programs  | 
 provided to students outside the regular school day before  | 
 and after school or during non-instructional times during  | 
 the school day. | 
  "Extension Limitation Ratio" means a numerical ratio  | 
 in which the numerator is the Base Tax Year's Extension  | 
 and the denominator is the Preceding Tax Year's Extension. | 
  "Final Percent of Adequacy" is defined in paragraph  | 
 (4) of subsection (f) of this Section. | 
  "Final Resources" is defined in paragraph (3) of  | 
 subsection (f) of this Section. | 
  "Full-time equivalent" or "FTE" means the full-time  | 
 equivalency compensation for staffing the relevant  | 
 position at an Organizational Unit. | 
  "Funding Gap" is defined in paragraph (1) of  | 
 subsection (g). | 
 | 
  "Hybrid District" means a partial elementary unit  | 
 district created pursuant to Article 11E of this Code. | 
  "Instructional assistant" means a core or special  | 
 education, non-licensed employee who assists a teacher in  | 
 the classroom and provides academic support to students.  | 
  "Instructional facilitator" means a qualified teacher  | 
 or licensed teacher leader who facilitates and coaches  | 
 continuous improvement in classroom instruction; provides  | 
 instructional support to teachers in the elements of  | 
 research-based instruction or demonstrates the alignment  | 
 of instruction with curriculum standards and assessment  | 
 tools; develops or coordinates instructional programs or  | 
 strategies; develops and implements training; chooses  | 
 standards-based instructional materials; provides  | 
 teachers with an understanding of current research; serves  | 
 as a mentor, site coach, curriculum specialist, or lead  | 
 teacher; or otherwise works with fellow teachers, in  | 
 collaboration, to use data to improve instructional  | 
 practice or develop model lessons. | 
  "Instructional materials" means relevant  | 
 instructional materials for student instruction,  | 
 including, but not limited to, textbooks, consumable  | 
 workbooks, laboratory equipment, library books, and other  | 
 similar materials. | 
  "Laboratory School" means a public school that is  | 
 created and operated by a public university and approved  | 
 | 
 by the State Board. | 
  "Librarian" means a teacher with an endorsement as a  | 
 library information specialist or another individual whose  | 
 primary responsibility is overseeing library resources  | 
 within an Organizational Unit. | 
  "Limiting rate for Hybrid Districts" means the  | 
 combined elementary school and high school limiting rates.  | 
  "Local Capacity" is defined in paragraph (1) of  | 
 subsection (c) of this Section. | 
  "Local Capacity Percentage" is defined in subparagraph  | 
 (A) of paragraph (2) of subsection (c) of this Section. | 
  "Local Capacity Ratio" is defined in subparagraph (B)  | 
 of paragraph (2) of subsection (c) of this Section. | 
  "Local Capacity Target" is defined in paragraph (2) of  | 
 subsection (c) of this Section. | 
  "Low-Income Count" means, for an Organizational Unit  | 
 in a fiscal year, the higher of the average number of  | 
 students for the prior school year or the immediately  | 
 preceding 3 school years who, as of July 1 of the  | 
 immediately preceding fiscal year (as determined by the  | 
 Department of Human Services), are eligible for at least  | 
 one of the following low-income programs: Medicaid, the  | 
 Children's Health Insurance Program, Temporary Assistance  | 
 for Needy Families (TANF), or the Supplemental Nutrition  | 
 Assistance Program, excluding pupils who are eligible for  | 
 services provided by the Department of Children and Family  | 
 | 
 Services. Until such time that grade level low-income  | 
 populations become available, grade level low-income  | 
 populations shall be determined by applying the low-income  | 
 percentage to total student enrollments by grade level.  | 
 The low-income percentage is determined by dividing the  | 
 Low-Income Count by the Average Student Enrollment. The  | 
 low-income percentage for programs operated by a regional  | 
 office of education or an intermediate service center must  | 
 be set to the weighted average of the low-income  | 
 percentages of all of the school districts in the service  | 
 region. The weighted low-income percentage is the result  | 
 of multiplying the low-income percentage of each school  | 
 district served by the regional office of education or  | 
 intermediate service center by each school district's  | 
 Average Student Enrollment, summarizing those products and  | 
 dividing the total by the total Average Student Enrollment  | 
 for the service region. | 
  "Maintenance and operations" means custodial services,  | 
 facility and ground maintenance, facility operations,  | 
 facility security, routine facility repairs, and other  | 
 similar services and functions. | 
  "Minimum Funding Level" is defined in paragraph (9) of  | 
 subsection (g) of this Section. | 
  "New Property Tax Relief Pool Funds" means, for any  | 
 given fiscal year, all State funds appropriated under  | 
 Section 2-3.170 of this Code.  | 
 | 
  "New State Funds" means, for a given school year, all  | 
 State funds appropriated for Evidence-Based Funding in  | 
 excess of the amount needed to fund the Base Funding  | 
 Minimum for all Organizational Units in that school year. | 
  "Net State Contribution Target" means, for a given  | 
 school year, the amount of State funds that would be  | 
 necessary to fully meet the Adequacy Target of an  | 
 Operational Unit minus the Preliminary Resources available  | 
 to each unit. | 
  "Nurse" means an individual licensed as a certified  | 
 school nurse, in accordance with the rules established for  | 
 nursing services by the State Board, who is an employee of  | 
 and is available to provide health care-related services  | 
 for students of an Organizational Unit. | 
  "Operating Tax Rate" means the rate utilized in the  | 
 previous year to extend property taxes for all purposes,  | 
 except Bond and Interest, Summer School, Rent, Capital  | 
 Improvement, and Vocational Education Building purposes.  | 
 For Hybrid Districts, the Operating Tax Rate shall be the  | 
 combined elementary and high school rates utilized in the  | 
 previous year to extend property taxes for all purposes,  | 
 except Bond and Interest, Summer School, Rent, Capital  | 
 Improvement, and Vocational Education Building purposes.  | 
  "Organizational Unit" means a Laboratory School or any  | 
 public school district that is recognized as such by the  | 
 State Board and that contains elementary schools typically  | 
 | 
 serving kindergarten through 5th grades, middle schools  | 
 typically serving 6th through 8th grades, high schools  | 
 typically serving 9th through 12th grades, a program  | 
 established under Section 2-3.66 or 2-3.41, or a program  | 
 operated by a regional office of education or an  | 
 intermediate service center under Article 13A or 13B. The  | 
 General Assembly acknowledges that the actual grade levels  | 
 served by a particular Organizational Unit may vary  | 
 slightly from what is typical. | 
  "Organizational Unit CWI" is determined by calculating  | 
 the CWI in the region and original county in which an  | 
 Organizational Unit's primary administrative office is  | 
 located as set forth in this paragraph, provided that if  | 
 the Organizational Unit CWI as calculated in accordance  | 
 with this paragraph is less than 0.9, the Organizational  | 
 Unit CWI shall be increased to 0.9. Each county's current  | 
 CWI value shall be adjusted based on the CWI value of that  | 
 county's neighboring Illinois counties, to create a  | 
 "weighted adjusted index value". This shall be calculated  | 
 by summing the CWI values of all of a county's adjacent  | 
 Illinois counties and dividing by the number of adjacent  | 
 Illinois counties, then taking the weighted value of the  | 
 original county's CWI value and the adjacent Illinois  | 
 county average. To calculate this weighted value, if the  | 
 number of adjacent Illinois counties is greater than 2,  | 
 the original county's CWI value will be weighted at 0.25  | 
 | 
 and the adjacent Illinois county average will be weighted  | 
 at 0.75. If the number of adjacent Illinois counties is 2,  | 
 the original county's CWI value will be weighted at 0.33  | 
 and the adjacent Illinois county average will be weighted  | 
 at 0.66. The greater of the county's current CWI value and  | 
 its weighted adjusted index value shall be used as the  | 
 Organizational Unit CWI. | 
  "Preceding Tax Year" means the property tax levy year  | 
 immediately preceding the Base Tax Year. | 
  "Preceding Tax Year's Extension" means the product of  | 
 the equalized assessed valuation utilized by the county  | 
 clerk in the Preceding Tax Year multiplied by the  | 
 Operating Tax Rate.  | 
  "Preliminary Percent of Adequacy" is defined in  | 
 paragraph (2) of subsection (f) of this Section. | 
  "Preliminary Resources" is defined in paragraph (2) of  | 
 subsection (f) of this Section. | 
  "Principal" means a school administrator duly endorsed  | 
 to be employed as a principal in this State. | 
  "Professional development" means training programs for  | 
 licensed staff in schools, including, but not limited to,  | 
 programs that assist in implementing new curriculum  | 
 programs, provide data focused or academic assessment data  | 
 training to help staff identify a student's weaknesses and  | 
 strengths, target interventions, improve instruction,  | 
 encompass instructional strategies for English learner,  | 
 | 
 gifted, or at-risk students, address inclusivity, cultural  | 
 sensitivity, or implicit bias, or otherwise provide  | 
 professional support for licensed staff. | 
  "Prototypical" means 450 special education  | 
 pre-kindergarten and kindergarten through grade 5 students  | 
 for an elementary school, 450 grade 6 through 8 students  | 
 for a middle school, and 600 grade 9 through 12 students  | 
 for a high school. | 
  "PTELL" means the Property Tax Extension Limitation  | 
 Law. | 
  "PTELL EAV" is defined in paragraph (4) of subsection  | 
 (d) of this Section. | 
  "Pupil support staff" means a nurse, psychologist,  | 
 social worker, family liaison personnel, or other staff  | 
 member who provides support to at-risk or struggling  | 
 students. | 
  "Real Receipts" is defined in paragraph (1) of  | 
 subsection (d) of this Section. | 
  "Regionalization Factor" means, for a particular  | 
 Organizational Unit, the figure derived by dividing the  | 
 Organizational Unit CWI by the Statewide Weighted CWI. | 
  "School counselor" means a licensed school counselor  | 
 who provides guidance and counseling support for students  | 
 within an Organizational Unit. | 
  "School site staff" means the primary school secretary  | 
 and any additional clerical personnel assigned to a  | 
 | 
 school. | 
  "Special education" means special educational  | 
 facilities and services, as defined in Section 14-1.08 of  | 
 this Code. | 
  "Special Education Allocation" means the amount of an  | 
 Organizational Unit's final Adequacy Target attributable  | 
 to special education divided by the Organizational Unit's  | 
 final Adequacy Target, the product of which shall be  | 
 multiplied by the amount of new funding received pursuant  | 
 to this Section. An Organizational Unit's final Adequacy  | 
 Target attributable to special education shall include all  | 
 special education investment adequacy elements.  | 
  "Specialist teacher" means a teacher who provides  | 
 instruction in subject areas not included in core  | 
 subjects, including, but not limited to, art, music,  | 
 physical education, health, driver education,  | 
 career-technical education, and such other subject areas  | 
 as may be mandated by State law or provided by an  | 
 Organizational Unit. | 
  "Specially Funded Unit" means an Alternative School,  | 
 safe school, Department of Juvenile Justice school,  | 
 special education cooperative or entity recognized by the  | 
 State Board as a special education cooperative,  | 
 State-approved charter school, or alternative learning  | 
 opportunities program that received direct funding from  | 
 the State Board during the 2016-2017 school year through  | 
 | 
 any of the funding sources included within the calculation  | 
 of the Base Funding Minimum or Glenwood Academy. | 
  "Supplemental Grant Funding" means supplemental  | 
 general State aid funding received by an Organizational  | 
 Unit during the 2016-2017 school year pursuant to  | 
 subsection (H) of Section 18-8.05 of this Code (now  | 
 repealed).  | 
  "State Adequacy Level" is the sum of the Adequacy  | 
 Targets of all Organizational Units. | 
  "State Board" means the State Board of Education. | 
  "State Superintendent" means the State Superintendent  | 
 of Education. | 
  "Statewide Weighted CWI" means a figure determined by  | 
 multiplying each Organizational Unit CWI times the ASE for  | 
 that Organizational Unit creating a weighted value,  | 
 summing all Organizational Units' weighted values, and  | 
 dividing by the total ASE of all Organizational Units,  | 
 thereby creating an average weighted index. | 
  "Student activities" means non-credit producing  | 
 after-school programs, including, but not limited to,  | 
 clubs, bands, sports, and other activities authorized by  | 
 the school board of the Organizational Unit. | 
  "Substitute teacher" means an individual teacher or  | 
 teaching assistant who is employed by an Organizational  | 
 Unit and is temporarily serving the Organizational Unit on  | 
 a per diem or per period-assignment basis to replace  | 
 | 
 another staff member. | 
  "Summer school" means academic and enrichment programs  | 
 provided to students during the summer months outside of  | 
 the regular school year. | 
  "Supervisory aide" means a non-licensed staff member  | 
 who helps in supervising students of an Organizational  | 
 Unit, but does so outside of the classroom, in situations  | 
 such as, but not limited to, monitoring hallways and  | 
 playgrounds, supervising lunchrooms, or supervising  | 
 students when being transported in buses serving the  | 
 Organizational Unit. | 
  "Target Ratio" is defined in paragraph (4) of  | 
 subsection (g). | 
  "Tier 1", "Tier 2", "Tier 3", and "Tier 4" are defined  | 
 in paragraph (3) of subsection (g). | 
  "Tier 1 Aggregate Funding", "Tier 2 Aggregate  | 
 Funding", "Tier 3 Aggregate Funding", and "Tier 4  | 
 Aggregate Funding" are defined in paragraph (1) of  | 
 subsection (g).  | 
 (b) Adequacy Target calculation.  | 
  (1) Each Organizational Unit's Adequacy Target is the  | 
 sum of the Organizational Unit's cost of providing  | 
 Essential Elements, as calculated in accordance with this  | 
 subsection (b), with the salary amounts in the Essential  | 
 Elements multiplied by a Regionalization Factor calculated  | 
 pursuant to paragraph (3) of this subsection (b). | 
 | 
  (2) The Essential Elements are attributable on a pro  | 
 rata basis related to defined subgroups of the ASE of each  | 
 Organizational Unit as specified in this paragraph (2),  | 
 with investments and FTE positions pro rata funded based  | 
 on ASE counts in excess of or less than the thresholds set  | 
 forth in this paragraph (2). The method for calculating  | 
 attributable pro rata costs and the defined subgroups  | 
 thereto are as follows:  | 
   (A) Core class size investments. Each  | 
 Organizational Unit shall receive the funding required  | 
 to support that number of FTE core teacher positions  | 
 as is needed to keep the respective class sizes of the  | 
 Organizational Unit to the following maximum numbers: | 
    (i) For grades kindergarten through 3, the  | 
 Organizational Unit shall receive funding required  | 
 to support one FTE core teacher position for every  | 
 15 Low-Income Count students in those grades and  | 
 one FTE core teacher position for every 20  | 
 non-Low-Income Count students in those grades. | 
    (ii) For grades 4 through 12, the  | 
 Organizational Unit shall receive funding required  | 
 to support one FTE core teacher position for every  | 
 20 Low-Income Count students in those grades and  | 
 one FTE core teacher position for every 25  | 
 non-Low-Income Count students in those grades. | 
   The number of non-Low-Income Count students in a  | 
 | 
 grade shall be determined by subtracting the  | 
 Low-Income students in that grade from the ASE of the  | 
 Organizational Unit for that grade. | 
   (B) Specialist teacher investments. Each  | 
 Organizational Unit shall receive the funding needed  | 
 to cover that number of FTE specialist teacher  | 
 positions that correspond to the following  | 
 percentages:  | 
    (i) if the Organizational Unit operates an  | 
 elementary or middle school, then 20.00% of the  | 
 number of the Organizational Unit's core teachers,  | 
 as determined under subparagraph (A) of this  | 
 paragraph (2); and | 
    (ii) if such Organizational Unit operates a  | 
 high school, then 33.33% of the number of the  | 
 Organizational Unit's core teachers.  | 
   (C) Instructional facilitator investments. Each  | 
 Organizational Unit shall receive the funding needed  | 
 to cover one FTE instructional facilitator position  | 
 for every 200 combined ASE of pre-kindergarten  | 
 children with disabilities and all kindergarten  | 
 through grade 12 students of the Organizational Unit. | 
   (D) Core intervention teacher (tutor) investments.  | 
 Each Organizational Unit shall receive the funding  | 
 needed to cover one FTE teacher position for each  | 
 prototypical elementary, middle, and high school. | 
 | 
   (E) Substitute teacher investments. Each  | 
 Organizational Unit shall receive the funding needed  | 
 to cover substitute teacher costs that is equal to  | 
 5.70% of the minimum pupil attendance days required  | 
 under Section 10-19 of this Code for all full-time  | 
 equivalent core, specialist, and intervention  | 
 teachers, school nurses, special education teachers  | 
 and instructional assistants, instructional  | 
 facilitators, and summer school and extended day  | 
 teacher positions, as determined under this paragraph  | 
 (2), at a salary rate of 33.33% of the average salary  | 
 for grade K through 12 teachers and 33.33% of the  | 
 average salary of each instructional assistant  | 
 position. | 
   (F) Core school counselor investments. Each  | 
 Organizational Unit shall receive the funding needed  | 
 to cover one FTE school counselor for each 450  | 
 combined ASE of pre-kindergarten children with  | 
 disabilities and all kindergarten through grade 5  | 
 students, plus one FTE school counselor for each 250  | 
 grades 6 through 8 ASE middle school students, plus  | 
 one FTE school counselor for each 250 grades 9 through  | 
 12 ASE high school students. | 
   (G) Nurse investments. Each Organizational Unit  | 
 shall receive the funding needed to cover one FTE  | 
 nurse for each 750 combined ASE of pre-kindergarten  | 
 | 
 children with disabilities and all kindergarten  | 
 through grade 12 students across all grade levels it  | 
 serves. | 
   (H) Supervisory aide investments. Each  | 
 Organizational Unit shall receive the funding needed  | 
 to cover one FTE for each 225 combined ASE of  | 
 pre-kindergarten children with disabilities and all  | 
 kindergarten through grade 5 students, plus one FTE  | 
 for each 225 ASE middle school students, plus one FTE  | 
 for each 200 ASE high school students. | 
   (I) Librarian investments. Each Organizational  | 
 Unit shall receive the funding needed to cover one FTE  | 
 librarian for each prototypical elementary school,  | 
 middle school, and high school and one FTE aide or  | 
 media technician for every 300 combined ASE of  | 
 pre-kindergarten children with disabilities and all  | 
 kindergarten through grade 12 students. | 
   (J) Principal investments. Each Organizational  | 
 Unit shall receive the funding needed to cover one FTE  | 
 principal position for each prototypical elementary  | 
 school, plus one FTE principal position for each  | 
 prototypical middle school, plus one FTE principal  | 
 position for each prototypical high school. | 
   (K) Assistant principal investments. Each  | 
 Organizational Unit shall receive the funding needed  | 
 to cover one FTE assistant principal position for each  | 
 | 
 prototypical elementary school, plus one FTE assistant  | 
 principal position for each prototypical middle  | 
 school, plus one FTE assistant principal position for  | 
 each prototypical high school. | 
   (L) School site staff investments. Each  | 
 Organizational Unit shall receive the funding needed  | 
 for one FTE position for each 225 ASE of  | 
 pre-kindergarten children with disabilities and all  | 
 kindergarten through grade 5 students, plus one FTE  | 
 position for each 225 ASE middle school students, plus  | 
 one FTE position for each 200 ASE high school  | 
 students. | 
   (M) Gifted investments. Each Organizational Unit  | 
 shall receive $40 per kindergarten through grade 12  | 
 ASE. | 
   (N) Professional development investments. Each  | 
 Organizational Unit shall receive $125 per student of  | 
 the combined ASE of pre-kindergarten children with  | 
 disabilities and all kindergarten through grade 12  | 
 students for trainers and other professional  | 
 development-related expenses for supplies and  | 
 materials. | 
   (O) Instructional material investments. Each  | 
 Organizational Unit shall receive $190 per student of  | 
 the combined ASE of pre-kindergarten children with  | 
 disabilities and all kindergarten through grade 12  | 
 | 
 students to cover instructional material costs. | 
   (P) Assessment investments. Each Organizational  | 
 Unit shall receive $25 per student of the combined ASE  | 
 of pre-kindergarten children with disabilities and all  | 
 kindergarten through grade 12 students to cover  | 
 assessment costs. | 
   (Q) Computer technology and equipment investments.  | 
 Each Organizational Unit shall receive $285.50 per  | 
 student of the combined ASE of pre-kindergarten  | 
 children with disabilities and all kindergarten  | 
 through grade 12 students to cover computer technology  | 
 and equipment costs. For the 2018-2019 school year and  | 
 subsequent school years, Organizational Units assigned  | 
 to Tier 1 and Tier 2 in the prior school year shall  | 
 receive an additional $285.50 per student of the  | 
 combined ASE of pre-kindergarten children with  | 
 disabilities and all kindergarten through grade 12  | 
 students to cover computer technology and equipment  | 
 costs in the Organizational Unit's Adequacy Target.  | 
 The State Board may establish additional requirements  | 
 for Organizational Unit expenditures of funds received  | 
 pursuant to this subparagraph (Q), including a  | 
 requirement that funds received pursuant to this  | 
 subparagraph (Q) may be used only for serving the  | 
 technology needs of the district. It is the intent of  | 
 Public Act 100-465 that all Tier 1 and Tier 2 districts  | 
 | 
 receive the addition to their Adequacy Target in the  | 
 following year, subject to compliance with the  | 
 requirements of the State Board. | 
   (R) Student activities investments. Each  | 
 Organizational Unit shall receive the following  | 
 funding amounts to cover student activities: $100 per  | 
 kindergarten through grade 5 ASE student in elementary  | 
 school, plus $200 per ASE student in middle school,  | 
 plus $675 per ASE student in high school. | 
   (S) Maintenance and operations investments. Each  | 
 Organizational Unit shall receive $1,038 per student  | 
 of the combined ASE of pre-kindergarten children with  | 
 disabilities and all kindergarten through grade 12  | 
 students for day-to-day maintenance and operations  | 
 expenditures, including salary, supplies, and  | 
 materials, as well as purchased services, but  | 
 excluding employee benefits. The proportion of salary  | 
 for the application of a Regionalization Factor and  | 
 the calculation of benefits is equal to $352.92. | 
   (T) Central office investments. Each  | 
 Organizational Unit shall receive $742 per student of  | 
 the combined ASE of pre-kindergarten children with  | 
 disabilities and all kindergarten through grade 12  | 
 students to cover central office operations, including  | 
 administrators and classified personnel charged with  | 
 managing the instructional programs, business and  | 
 | 
 operations of the school district, and security  | 
 personnel. The proportion of salary for the  | 
 application of a Regionalization Factor and the  | 
 calculation of benefits is equal to $368.48. | 
   (U) Employee benefit investments. Each  | 
 Organizational Unit shall receive 30% of the total of  | 
 all salary-calculated elements of the Adequacy Target,  | 
 excluding substitute teachers and student activities  | 
 investments, to cover benefit costs. For central  | 
 office and maintenance and operations investments, the  | 
 benefit calculation shall be based upon the salary  | 
 proportion of each investment. If at any time the  | 
 responsibility for funding the employer normal cost of  | 
 teacher pensions is assigned to school districts, then  | 
 that amount certified by the Teachers' Retirement  | 
 System of the State of Illinois to be paid by the  | 
 Organizational Unit for the preceding school year  | 
 shall be added to the benefit investment. For any  | 
 fiscal year in which a school district organized under  | 
 Article 34 of this Code is responsible for paying the  | 
 employer normal cost of teacher pensions, then that  | 
 amount of its employer normal cost plus the amount for  | 
 retiree health insurance as certified by the Public  | 
 School Teachers' Pension and Retirement Fund of  | 
 Chicago to be paid by the school district for the  | 
 preceding school year that is statutorily required to  | 
 | 
 cover employer normal costs and the amount for retiree  | 
 health insurance shall be added to the 30% specified  | 
 in this subparagraph (U). The Teachers' Retirement  | 
 System of the State of Illinois and the Public School  | 
 Teachers' Pension and Retirement Fund of Chicago shall  | 
 submit such information as the State Superintendent  | 
 may require for the calculations set forth in this  | 
 subparagraph (U).  | 
   (V) Additional investments in low-income students.  | 
 In addition to and not in lieu of all other funding  | 
 under this paragraph (2), each Organizational Unit  | 
 shall receive funding based on the average teacher  | 
 salary for grades K through 12 to cover the costs of: | 
    (i) one FTE intervention teacher (tutor)  | 
 position for every 125 Low-Income Count students; | 
    (ii) one FTE pupil support staff position for  | 
 every 125 Low-Income Count students; | 
    (iii) one FTE extended day teacher position  | 
 for every 120 Low-Income Count students; and | 
    (iv) one FTE summer school teacher position  | 
 for every 120 Low-Income Count students. | 
   (W) Additional investments in English learner  | 
 students. In addition to and not in lieu of all other  | 
 funding under this paragraph (2), each Organizational  | 
 Unit shall receive funding based on the average  | 
 teacher salary for grades K through 12 to cover the  | 
 | 
 costs of:  | 
    (i) one FTE intervention teacher (tutor)  | 
 position for every 125 English learner students; | 
    (ii) one FTE pupil support staff position for  | 
 every 125 English learner students; | 
    (iii) one FTE extended day teacher position  | 
 for every 120 English learner students; | 
    (iv) one FTE summer school teacher position  | 
 for every 120 English learner students; and | 
    (v) one FTE core teacher position for every  | 
 100 English learner students.  | 
   (X) Special education investments. Each  | 
 Organizational Unit shall receive funding based on the  | 
 average teacher salary for grades K through 12 to  | 
 cover special education as follows:  | 
    (i) one FTE teacher position for every 141  | 
 combined ASE of pre-kindergarten children with  | 
 disabilities and all kindergarten through grade 12  | 
 students; | 
    (ii) one FTE instructional assistant for every  | 
 141 combined ASE of pre-kindergarten children with  | 
 disabilities and all kindergarten through grade 12  | 
 students; and | 
    (iii) one FTE psychologist position for every  | 
 1,000 combined ASE of pre-kindergarten children  | 
 with disabilities and all kindergarten through  | 
 | 
 grade 12 students.  | 
  (3) For calculating the salaries included within the  | 
 Essential Elements, the State Superintendent shall  | 
 annually calculate average salaries to the nearest dollar  | 
 using the employment information system data maintained by  | 
 the State Board, limited to public schools only and  | 
 excluding special education and vocational cooperatives,  | 
 schools operated by the Department of Juvenile Justice,  | 
 and charter schools, for the following positions:  | 
   (A) Teacher for grades K through 8. | 
   (B) Teacher for grades 9 through 12. | 
   (C) Teacher for grades K through 12. | 
   (D) School counselor for grades K through 8. | 
   (E) School counselor for grades 9 through 12. | 
   (F) School counselor for grades K through 12. | 
   (G) Social worker. | 
   (H) Psychologist. | 
   (I) Librarian. | 
   (J) Nurse. | 
   (K) Principal. | 
   (L) Assistant principal.  | 
  For the purposes of this paragraph (3), "teacher"  | 
 includes core teachers, specialist and elective teachers,  | 
 instructional facilitators, tutors, special education  | 
 teachers, pupil support staff teachers, English learner  | 
 teachers, extended day teachers, and summer school  | 
 | 
 teachers. Where specific grade data is not required for  | 
 the Essential Elements, the average salary for  | 
 corresponding positions shall apply. For substitute  | 
 teachers, the average teacher salary for grades K through  | 
 12 shall apply.  | 
  For calculating the salaries included within the  | 
 Essential Elements for positions not included within EIS  | 
 Data, the following salaries shall be used in the first  | 
 year of implementation of Evidence-Based Funding:  | 
   (i) school site staff, $30,000; and | 
   (ii) non-instructional assistant, instructional  | 
 assistant, library aide, library media tech, or  | 
 supervisory aide: $25,000.  | 
  In the second and subsequent years of implementation  | 
 of Evidence-Based Funding, the amounts in items (i) and  | 
 (ii) of this paragraph (3) shall annually increase by the  | 
 ECI.  | 
  The salary amounts for the Essential Elements  | 
 determined pursuant to subparagraphs (A) through (L), (S)  | 
 and (T), and (V) through (X) of paragraph (2) of  | 
 subsection (b) of this Section shall be multiplied by a  | 
 Regionalization Factor.  | 
 (c) Local Capacity calculation.  | 
  (1) Each Organizational Unit's Local Capacity  | 
 represents an amount of funding it is assumed to  | 
 contribute toward its Adequacy Target for purposes of the  | 
 | 
 Evidence-Based Funding formula calculation. "Local  | 
 Capacity" means either (i) the Organizational Unit's Local  | 
 Capacity Target as calculated in accordance with paragraph  | 
 (2) of this subsection (c) if its Real Receipts are equal  | 
 to or less than its Local Capacity Target or (ii) the  | 
 Organizational Unit's Adjusted Local Capacity, as  | 
 calculated in accordance with paragraph (3) of this  | 
 subsection (c) if Real Receipts are more than its Local  | 
 Capacity Target. | 
  (2) "Local Capacity Target" means, for an  | 
 Organizational Unit, that dollar amount that is obtained  | 
 by multiplying its Adequacy Target by its Local Capacity  | 
 Ratio.  | 
   (A) An Organizational Unit's Local Capacity  | 
 Percentage is the conversion of the Organizational  | 
 Unit's Local Capacity Ratio, as such ratio is  | 
 determined in accordance with subparagraph (B) of this  | 
 paragraph (2), into a cumulative distribution  | 
 resulting in a percentile ranking to determine each  | 
 Organizational Unit's relative position to all other  | 
 Organizational Units in this State. The calculation of  | 
 Local Capacity Percentage is described in subparagraph  | 
 (C) of this paragraph (2). | 
   (B) An Organizational Unit's Local Capacity Ratio  | 
 in a given year is the percentage obtained by dividing  | 
 its Adjusted EAV or PTELL EAV, whichever is less, by  | 
 | 
 its Adequacy Target, with the resulting ratio further  | 
 adjusted as follows:  | 
    (i) for Organizational Units serving grades  | 
 kindergarten through 12 and Hybrid Districts, no  | 
 further adjustments shall be made; | 
    (ii) for Organizational Units serving grades  | 
 kindergarten through 8, the ratio shall be  | 
 multiplied by 9/13; | 
    (iii) for Organizational Units serving grades  | 
 9 through 12, the Local Capacity Ratio shall be  | 
 multiplied by 4/13; and | 
    (iv) for an Organizational Unit with a  | 
 different grade configuration than those specified  | 
 in items (i) through (iii) of this subparagraph  | 
 (B), the State Superintendent shall determine a  | 
 comparable adjustment based on the grades served.  | 
   (C) The Local Capacity Percentage is equal to the  | 
 percentile ranking of the district. Local Capacity  | 
 Percentage converts each Organizational Unit's Local  | 
 Capacity Ratio to a cumulative distribution resulting  | 
 in a percentile ranking to determine each  | 
 Organizational Unit's relative position to all other  | 
 Organizational Units in this State. The Local Capacity  | 
 Percentage cumulative distribution resulting in a  | 
 percentile ranking for each Organizational Unit shall  | 
 be calculated using the standard normal distribution  | 
 | 
 of the score in relation to the weighted mean and  | 
 weighted standard deviation and Local Capacity Ratios  | 
 of all Organizational Units. If the value assigned to  | 
 any Organizational Unit is in excess of 90%, the value  | 
 shall be adjusted to 90%. For Laboratory Schools, the  | 
 Local Capacity Percentage shall be set at 10% in
 | 
 recognition of the absence of EAV and resources from  | 
 the public university that are allocated to
the  | 
 Laboratory School. For programs operated by a regional  | 
 office of education or an intermediate service center,  | 
 the Local Capacity Percentage must be set at 10% in  | 
 recognition of the absence of EAV and resources from  | 
 school districts that are allocated to the regional  | 
 office of education or intermediate service center.  | 
 The weighted mean for the Local Capacity Percentage  | 
 shall be determined by multiplying each Organizational  | 
 Unit's Local Capacity Ratio times the ASE for the unit  | 
 creating a weighted value, summing the weighted values  | 
 of all Organizational Units, and dividing by the total  | 
 ASE of all Organizational Units. The weighted standard  | 
 deviation shall be determined by taking the square  | 
 root of the weighted variance of all Organizational  | 
 Units' Local Capacity Ratio, where the variance is  | 
 calculated by squaring the difference between each  | 
 unit's Local Capacity Ratio and the weighted mean,  | 
 then multiplying the variance for each unit times the  | 
 | 
 ASE for the unit to create a weighted variance for each  | 
 unit, then summing all units' weighted variance and  | 
 dividing by the total ASE of all units. | 
   (D) For any Organizational Unit, the  | 
 Organizational Unit's Adjusted Local Capacity Target  | 
 shall be reduced by either (i) the school board's  | 
 remaining contribution pursuant to paragraph (ii) of  | 
 subsection (b-4) of Section 16-158 of the Illinois  | 
 Pension Code in a given year or (ii) the board of  | 
 education's remaining contribution pursuant to  | 
 paragraph (iv) of subsection (b) of Section 17-129 of  | 
 the Illinois Pension Code absent the employer normal  | 
 cost portion of the required contribution and amount  | 
 allowed pursuant to subdivision (3) of Section  | 
 17-142.1 of the Illinois Pension Code in a given year.  | 
 In the preceding sentence, item (i) shall be certified  | 
 to the State Board of Education by the Teachers'  | 
 Retirement System of the State of Illinois and item  | 
 (ii) shall be certified to the State Board of  | 
 Education by the Public School Teachers' Pension and  | 
 Retirement Fund of the City of Chicago.  | 
  (3) If an Organizational Unit's Real Receipts are more  | 
 than its Local Capacity Target, then its Local Capacity  | 
 shall equal an Adjusted Local Capacity Target as  | 
 calculated in accordance with this paragraph (3). The  | 
 Adjusted Local Capacity Target is calculated as the sum of  | 
 | 
 the Organizational Unit's Local Capacity Target and its  | 
 Real Receipts Adjustment. The Real Receipts Adjustment  | 
 equals the Organizational Unit's Real Receipts less its  | 
 Local Capacity Target, with the resulting figure  | 
 multiplied by the Local Capacity Percentage. | 
  As used in this paragraph (3), "Real Percent of  | 
 Adequacy" means the sum of an Organizational Unit's Real  | 
 Receipts, CPPRT, and Base Funding Minimum, with the  | 
 resulting figure divided by the Organizational Unit's  | 
 Adequacy Target.  | 
 (d) Calculation of Real Receipts, EAV, and Adjusted EAV  | 
for purposes of the Local Capacity calculation.  | 
  (1) An Organizational Unit's Real Receipts are the  | 
 product of its Applicable Tax Rate and its Adjusted EAV.  | 
 An Organizational Unit's Applicable Tax Rate is its  | 
 Adjusted Operating Tax Rate for property within the  | 
 Organizational Unit. | 
  (2) The State Superintendent shall calculate the  | 
 equalized assessed valuation, or EAV, of all taxable  | 
 property of each Organizational Unit as of September 30 of  | 
 the previous year in accordance with paragraph (3) of this  | 
 subsection (d). The State Superintendent shall then  | 
 determine the Adjusted EAV of each Organizational Unit in  | 
 accordance with paragraph (4) of this subsection (d),  | 
 which Adjusted EAV figure shall be used for the purposes  | 
 of calculating Local Capacity. | 
 | 
  (3) To calculate Real Receipts and EAV, the Department  | 
 of Revenue shall supply to the State Superintendent the  | 
 value as equalized or assessed by the Department of  | 
 Revenue of all taxable property of every Organizational  | 
 Unit, together with (i) the applicable tax rate used in  | 
 extending taxes for the funds of the Organizational Unit  | 
 as of September 30 of the previous year and (ii) the  | 
 limiting rate for all Organizational Units subject to  | 
 property tax extension limitations as imposed under PTELL.  | 
   (A) The Department of Revenue shall add to the  | 
 equalized assessed value of all taxable property of  | 
 each Organizational Unit situated entirely or  | 
 partially within a county that is or was subject to the  | 
 provisions of Section 15-176 or 15-177 of the Property  | 
 Tax Code (i) an amount equal to the total amount by  | 
 which the homestead exemption allowed under Section  | 
 15-176 or 15-177 of the Property Tax Code for real  | 
 property situated in that Organizational Unit exceeds  | 
 the total amount that would have been allowed in that  | 
 Organizational Unit if the maximum reduction under  | 
 Section 15-176 was (I) $4,500 in Cook County or $3,500  | 
 in all other counties in tax year 2003 or (II) $5,000  | 
 in all counties in tax year 2004 and thereafter and  | 
 (ii) an amount equal to the aggregate amount for the  | 
 taxable year of all additional exemptions under  | 
 Section 15-175 of the Property Tax Code for owners  | 
 | 
 with a household income of $30,000 or less. The county  | 
 clerk of any county that is or was subject to the  | 
 provisions of Section 15-176 or 15-177 of the Property  | 
 Tax Code shall annually calculate and certify to the  | 
 Department of Revenue for each Organizational Unit all  | 
 homestead exemption amounts under Section 15-176 or  | 
 15-177 of the Property Tax Code and all amounts of  | 
 additional exemptions under Section 15-175 of the  | 
 Property Tax Code for owners with a household income  | 
 of $30,000 or less. It is the intent of this  | 
 subparagraph (A) that if the general homestead  | 
 exemption for a parcel of property is determined under  | 
 Section 15-176 or 15-177 of the Property Tax Code  | 
 rather than Section 15-175, then the calculation of  | 
 EAV shall not be affected by the difference, if any,  | 
 between the amount of the general homestead exemption  | 
 allowed for that parcel of property under Section  | 
 15-176 or 15-177 of the Property Tax Code and the  | 
 amount that would have been allowed had the general  | 
 homestead exemption for that parcel of property been  | 
 determined under Section 15-175 of the Property Tax  | 
 Code. It is further the intent of this subparagraph  | 
 (A) that if additional exemptions are allowed under  | 
 Section 15-175 of the Property Tax Code for owners  | 
 with a household income of less than $30,000, then the  | 
 calculation of EAV shall not be affected by the  | 
 | 
 difference, if any, because of those additional  | 
 exemptions. | 
   (B) With respect to any part of an Organizational  | 
 Unit within a redevelopment project area in respect to  | 
 which a municipality has adopted tax increment  | 
 allocation financing pursuant to the Tax Increment  | 
 Allocation Redevelopment Act, Division 74.4 of Article  | 
 11 of the Illinois Municipal Code, or the Industrial  | 
 Jobs Recovery Law, Division 74.6 of Article 11 of the  | 
 Illinois Municipal Code, no part of the current EAV of  | 
 real property located in any such project area that is  | 
 attributable to an increase above the total initial  | 
 EAV of such property shall be used as part of the EAV  | 
 of the Organizational Unit, until such time as all  | 
 redevelopment project costs have been paid, as  | 
 provided in Section 11-74.4-8 of the Tax Increment  | 
 Allocation Redevelopment Act or in Section 11-74.6-35  | 
 of the Industrial Jobs Recovery Law. For the purpose  | 
 of the EAV of the Organizational Unit, the total  | 
 initial EAV or the current EAV, whichever is lower,  | 
 shall be used until such time as all redevelopment  | 
 project costs have been paid. | 
   (B-5) The real property equalized assessed  | 
 valuation for a school district shall be adjusted by  | 
 subtracting from the real property value, as equalized  | 
 or assessed by the Department of Revenue, for the  | 
 | 
 district an amount computed by dividing the amount of  | 
 any abatement of taxes under Section 18-170 of the  | 
 Property Tax Code by 3.00% for a district maintaining  | 
 grades kindergarten through 12, by 2.30% for a  | 
 district maintaining grades kindergarten through 8, or  | 
 by 1.05% for a district maintaining grades 9 through  | 
 12 and adjusted by an amount computed by dividing the  | 
 amount of any abatement of taxes under subsection (a)  | 
 of Section 18-165 of the Property Tax Code by the same  | 
 percentage rates for district type as specified in  | 
 this subparagraph (B-5).  | 
   (C) For Organizational Units that are Hybrid  | 
 Districts, the State Superintendent shall use the  | 
 lesser of the adjusted equalized assessed valuation  | 
 for property within the partial elementary unit  | 
 district for elementary purposes, as defined in  | 
 Article 11E of this Code, or the adjusted equalized  | 
 assessed valuation for property within the partial  | 
 elementary unit district for high school purposes, as  | 
 defined in Article 11E of this Code.  | 
  (4) An Organizational Unit's Adjusted EAV shall be the  | 
 average of its EAV over the immediately preceding 3 years  | 
 or its EAV in the immediately preceding year if the EAV in  | 
 the immediately preceding year has declined by 10% or more  | 
 compared to the 3-year average. In the event of  | 
 Organizational Unit reorganization, consolidation, or  | 
 | 
 annexation, the Organizational Unit's Adjusted EAV for the  | 
 first 3 years after such change shall be as follows: the  | 
 most current EAV shall be used in the first year, the  | 
 average of a 2-year EAV or its EAV in the immediately  | 
 preceding year if the EAV declines by 10% or more compared  | 
 to the 2-year average for the second year, and a 3-year  | 
 average EAV or its EAV in the immediately preceding year  | 
 if the Adjusted EAV declines by 10% or more compared to the  | 
 3-year average for the third year. For any school district  | 
 whose EAV in the immediately preceding year is used in  | 
 calculations, in the following year, the Adjusted EAV  | 
 shall be the average of its EAV over the immediately  | 
 preceding 2 years or the immediately preceding year if  | 
 that year represents a decline of 10% or more compared to  | 
 the 2-year average.  | 
  "PTELL EAV" means a figure calculated by the State  | 
 Board for Organizational Units subject to PTELL as  | 
 described in this paragraph (4) for the purposes of  | 
 calculating an Organizational Unit's Local Capacity Ratio.  | 
 Except as otherwise provided in this paragraph (4), the  | 
 PTELL EAV of an Organizational Unit shall be equal to the  | 
 product of the equalized assessed valuation last used in  | 
 the calculation of general State aid under Section 18-8.05  | 
 of this Code (now repealed) or Evidence-Based Funding  | 
 under this Section and the Organizational Unit's Extension  | 
 Limitation Ratio. If an Organizational Unit has approved  | 
 | 
 or does approve an increase in its limiting rate, pursuant  | 
 to Section 18-190 of the Property Tax Code, affecting the  | 
 Base Tax Year, the PTELL EAV shall be equal to the product  | 
 of the equalized assessed valuation last used in the  | 
 calculation of general State aid under Section 18-8.05 of  | 
 this Code (now repealed) or Evidence-Based Funding under  | 
 this Section multiplied by an amount equal to one plus the  | 
 percentage increase, if any, in the Consumer Price Index  | 
 for All Urban Consumers for all items published by the  | 
 United States Department of Labor for the 12-month  | 
 calendar year preceding the Base Tax Year, plus the  | 
 equalized assessed valuation of new property, annexed  | 
 property, and recovered tax increment value and minus the  | 
 equalized assessed valuation of disconnected property. | 
  As used in this paragraph (4), "new property" and  | 
 "recovered tax increment value" shall have the meanings  | 
 set forth in the Property Tax Extension Limitation Law. | 
 (e) Base Funding Minimum calculation.  | 
  (1) For the 2017-2018 school year, the Base Funding  | 
 Minimum of an Organizational Unit or a Specially Funded  | 
 Unit shall be the amount of State funds distributed to the  | 
 Organizational Unit or Specially Funded Unit during the  | 
 2016-2017 school year prior to any adjustments and  | 
 specified appropriation amounts described in this  | 
 paragraph (1) from the following Sections, as calculated  | 
 by the State Superintendent: Section 18-8.05 of this Code  | 
 | 
 (now repealed); Section 5 of Article 224 of Public Act  | 
 99-524 (equity grants); Section 14-7.02b of this Code  | 
 (funding for children requiring special education  | 
 services); Section 14-13.01 of this Code (special  | 
 education facilities and staffing), except for  | 
 reimbursement of the cost of transportation pursuant to  | 
 Section 14-13.01; Section 14C-12 of this Code (English  | 
 learners); and Section 18-4.3 of this Code (summer  | 
 school), based on an appropriation level of $13,121,600.  | 
 For a school district organized under Article 34 of this  | 
 Code, the Base Funding Minimum also includes (i) the funds  | 
 allocated to the school district pursuant to Section 1D-1  | 
 of this Code attributable to funding programs authorized  | 
 by the Sections of this Code listed in the preceding  | 
 sentence and (ii) the difference between (I) the funds  | 
 allocated to the school district pursuant to Section 1D-1  | 
 of this Code attributable to the funding programs  | 
 authorized by Section 14-7.02 (non-public special  | 
 education reimbursement), subsection (b) of Section  | 
 14-13.01 (special education transportation), Section 29-5  | 
 (transportation), Section 2-3.80 (agricultural  | 
 education), Section 2-3.66 (truants' alternative  | 
 education), Section 2-3.62 (educational service centers),  | 
 and Section 14-7.03 (special education - orphanage) of  | 
 this Code and Section 15 of the Childhood Hunger Relief  | 
 Act (free breakfast program) and (II) the school  | 
 | 
 district's actual expenditures for its non-public special  | 
 education, special education transportation,  | 
 transportation programs, agricultural education, truants'  | 
 alternative education, services that would otherwise be  | 
 performed by a regional office of education, special  | 
 education orphanage expenditures, and free breakfast, as  | 
 most recently calculated and reported pursuant to  | 
 subsection (f) of Section 1D-1 of this Code. The Base  | 
 Funding Minimum for Glenwood Academy shall be $625,500.  | 
 For programs operated by a regional office of education or  | 
 an intermediate service center, the Base Funding Minimum  | 
 must be the total amount of State funds allocated to those  | 
 programs in the 2018-2019 school year and amounts provided  | 
 pursuant to Article 34 of Public Act 100-586 and Section  | 
 3-16 of this Code. All programs established after June 5,  | 
 2019 (the effective date of Public Act 101-10) and  | 
 administered by a regional office of education or an  | 
 intermediate service center must have an initial Base  | 
 Funding Minimum set to an amount equal to the first-year  | 
 ASE multiplied by the amount of per pupil funding received  | 
 in the previous school year by the lowest funded similar  | 
 existing program type. If the enrollment for a program  | 
 operated by a regional office of education or an  | 
 intermediate service center is zero, then it may not  | 
 receive Base Funding Minimum funds for that program in the  | 
 next fiscal year, and those funds must be distributed to  | 
 | 
 Organizational Units under subsection (g). | 
  (2) For the 2018-2019 and subsequent school years, the  | 
 Base Funding Minimum of Organizational Units and Specially  | 
 Funded Units shall be the sum of (i) the amount of  | 
 Evidence-Based Funding for the prior school year, (ii) the  | 
 Base Funding Minimum for the prior school year, and (iii)  | 
 any amount received by a school district pursuant to  | 
 Section 7 of Article 97 of Public Act 100-21.  | 
  (3) Subject to approval by the General Assembly as  | 
 provided in this paragraph (3), an Organizational Unit  | 
 that meets all of the following criteria, as determined by  | 
 the State Board, shall have District Intervention Money  | 
 added to its Base Funding Minimum at the time the Base  | 
 Funding Minimum is calculated by the State Board:  | 
   (A) The Organizational Unit is operating under an  | 
 Independent Authority under Section 2-3.25f-5 of this  | 
 Code for a minimum of 4 school years or is subject to  | 
 the control of the State Board pursuant to a court  | 
 order for a minimum of 4 school years. | 
   (B) The Organizational Unit was designated as a  | 
 Tier 1 or Tier 2 Organizational Unit in the previous  | 
 school year under paragraph (3) of subsection (g) of  | 
 this Section. | 
   (C) The Organizational Unit demonstrates  | 
 sustainability through a 5-year financial and  | 
 strategic plan. | 
 | 
   (D) The Organizational Unit has made sufficient  | 
 progress and achieved sufficient stability in the  | 
 areas of governance, academic growth, and finances.  | 
  As part of its determination under this paragraph (3),  | 
 the State Board may consider the Organizational Unit's  | 
 summative designation, any accreditations of the  | 
 Organizational Unit, or the Organizational Unit's  | 
 financial profile, as calculated by the State Board. | 
  If the State Board determines that an Organizational  | 
 Unit has met the criteria set forth in this paragraph (3),  | 
 it must submit a report to the General Assembly, no later  | 
 than January 2 of the fiscal year in which the State Board  | 
 makes it determination, on the amount of District  | 
 Intervention Money to add to the Organizational Unit's  | 
 Base Funding Minimum. The General Assembly must review the  | 
 State Board's report and may approve or disapprove, by  | 
 joint resolution, the addition of District Intervention  | 
 Money. If the General Assembly fails to act on the report  | 
 within 40 calendar days from the receipt of the report,  | 
 the addition of District Intervention Money is deemed  | 
 approved. If the General Assembly approves the amount of  | 
 District Intervention Money to be added to the  | 
 Organizational Unit's Base Funding Minimum, the District  | 
 Intervention Money must be added to the Base Funding  | 
 Minimum annually thereafter. | 
  For the first 4 years following the initial year that  | 
 | 
 the State Board determines that an Organizational Unit has  | 
 met the criteria set forth in this paragraph (3) and has  | 
 received funding under this Section, the Organizational  | 
 Unit must annually submit to the State Board, on or before  | 
 November 30, a progress report regarding its financial and  | 
 strategic plan under subparagraph (C) of this paragraph  | 
 (3). The plan shall include the financial data from the  | 
 past 4 annual financial reports or financial audits that  | 
 must be presented to the State Board by November 15 of each  | 
 year and the approved budget financial data for the  | 
 current year. The plan shall be developed according to the  | 
 guidelines presented to the Organizational Unit by the  | 
 State Board. The plan shall further include financial  | 
 projections for the next 3 fiscal years and include a  | 
 discussion and financial summary of the Organizational  | 
 Unit's facility needs. If the Organizational Unit does not  | 
 demonstrate sufficient progress toward its 5-year plan or  | 
 if it has failed to file an annual financial report, an  | 
 annual budget, a financial plan, a deficit reduction plan,  | 
 or other financial information as required by law, the  | 
 State Board may establish a Financial Oversight Panel  | 
 under Article 1H of this Code. However, if the  | 
 Organizational Unit already has a Financial Oversight  | 
 Panel, the State Board may extend the duration of the  | 
 Panel.  | 
 (f) Percent of Adequacy and Final Resources calculation.  | 
 | 
  (1) The Evidence-Based Funding formula establishes a  | 
 Percent of Adequacy for each Organizational Unit in order  | 
 to place such units into tiers for the purposes of the  | 
 funding distribution system described in subsection (g) of  | 
 this Section. Initially, an Organizational Unit's  | 
 Preliminary Resources and Preliminary Percent of Adequacy  | 
 are calculated pursuant to paragraph (2) of this  | 
 subsection (f). Then, an Organizational Unit's Final  | 
 Resources and Final Percent of Adequacy are calculated to  | 
 account for the Organizational Unit's poverty  | 
 concentration levels pursuant to paragraphs (3) and (4) of  | 
 this subsection (f). | 
  (2) An Organizational Unit's Preliminary Resources are  | 
 equal to the sum of its Local Capacity Target, CPPRT, and  | 
 Base Funding Minimum. An Organizational Unit's Preliminary  | 
 Percent of Adequacy is the lesser of (i) its Preliminary  | 
 Resources divided by its Adequacy Target or (ii) 100%. | 
  (3) Except for Specially Funded Units, an  | 
 Organizational Unit's Final Resources are equal to the sum  | 
 of its Local Capacity, CPPRT, and Adjusted Base Funding  | 
 Minimum. The Base Funding Minimum of each Specially Funded  | 
 Unit shall serve as its Final Resources, except that the  | 
 Base Funding Minimum for State-approved charter schools  | 
 shall not include any portion of general State aid  | 
 allocated in the prior year based on the per capita  | 
 tuition charge times the charter school enrollment. | 
 | 
  (4) An Organizational Unit's Final Percent of Adequacy  | 
 is its Final Resources divided by its Adequacy Target. An  | 
 Organizational Unit's Adjusted Base Funding Minimum is  | 
 equal to its Base Funding Minimum less its Supplemental  | 
 Grant Funding, with the resulting figure added to the  | 
 product of its Supplemental Grant Funding and Preliminary  | 
 Percent of Adequacy.  | 
 (g) Evidence-Based Funding formula distribution system.  | 
  (1) In each school year under the Evidence-Based  | 
 Funding formula, each Organizational Unit receives funding  | 
 equal to the sum of its Base Funding Minimum and the unit's  | 
 allocation of New State Funds determined pursuant to this  | 
 subsection (g). To allocate New State Funds, the  | 
 Evidence-Based Funding formula distribution system first  | 
 places all Organizational Units into one of 4 tiers in  | 
 accordance with paragraph (3) of this subsection (g),  | 
 based on the Organizational Unit's Final Percent of  | 
 Adequacy. New State Funds are allocated to each of the 4  | 
 tiers as follows: Tier 1 Aggregate Funding equals 50% of  | 
 all New State Funds, Tier 2 Aggregate Funding equals 49%  | 
 of all New State Funds, Tier 3 Aggregate Funding equals  | 
 0.9% of all New State Funds, and Tier 4 Aggregate Funding  | 
 equals 0.1% of all New State Funds. Each Organizational  | 
 Unit within Tier 1 or Tier 2 receives an allocation of New  | 
 State Funds equal to its tier Funding Gap, as defined in  | 
 the following sentence, multiplied by the tier's  | 
 | 
 Allocation Rate determined pursuant to paragraph (4) of  | 
 this subsection (g). For Tier 1, an Organizational Unit's  | 
 Funding Gap equals the tier's Target Ratio, as specified  | 
 in paragraph (5) of this subsection (g), multiplied by the  | 
 Organizational Unit's Adequacy Target, with the resulting  | 
 amount reduced by the Organizational Unit's Final  | 
 Resources. For Tier 2, an Organizational Unit's Funding  | 
 Gap equals the tier's Target Ratio, as described in  | 
 paragraph (5) of this subsection (g), multiplied by the  | 
 Organizational Unit's Adequacy Target, with the resulting  | 
 amount reduced by the Organizational Unit's Final  | 
 Resources and its Tier 1 funding allocation. To determine  | 
 the Organizational Unit's Funding Gap, the resulting  | 
 amount is then multiplied by a factor equal to one minus  | 
 the Organizational Unit's Local Capacity Target  | 
 percentage. Each Organizational Unit within Tier 3 or Tier  | 
 4 receives an allocation of New State Funds equal to the  | 
 product of its Adequacy Target and the tier's Allocation  | 
 Rate, as specified in paragraph (4) of this subsection  | 
 (g). | 
  (2) To ensure equitable distribution of dollars for  | 
 all Tier 2 Organizational Units, no Tier 2 Organizational  | 
 Unit shall receive fewer dollars per ASE than any Tier 3  | 
 Organizational Unit. Each Tier 2 and Tier 3 Organizational  | 
 Unit shall have its funding allocation divided by its ASE.  | 
 Any Tier 2 Organizational Unit with a funding allocation  | 
 | 
 per ASE below the greatest Tier 3 allocation per ASE shall  | 
 get a funding allocation equal to the greatest Tier 3  | 
 funding allocation per ASE multiplied by the  | 
 Organizational Unit's ASE. Each Tier 2 Organizational  | 
 Unit's Tier 2 funding allocation shall be multiplied by  | 
 the percentage calculated by dividing the original Tier 2  | 
 Aggregate Funding by the sum of all Tier 2 Organizational  | 
 Units' Tier 2 funding allocation after adjusting  | 
 districts' funding below Tier 3 levels.  | 
  (3) Organizational Units are placed into one of 4  | 
 tiers as follows:  | 
   (A) Tier 1 consists of all Organizational Units,  | 
 except for Specially Funded Units, with a Percent of  | 
 Adequacy less than the Tier 1 Target Ratio. The Tier 1  | 
 Target Ratio is the ratio level that allows for Tier 1  | 
 Aggregate Funding to be distributed, with the Tier 1  | 
 Allocation Rate determined pursuant to paragraph (4)  | 
 of this subsection (g). | 
   (B) Tier 2 consists of all Tier 1 Units and all  | 
 other Organizational Units, except for Specially  | 
 Funded Units, with a Percent of Adequacy of less than  | 
 0.90. | 
   (C) Tier 3 consists of all Organizational Units,  | 
 except for Specially Funded Units, with a Percent of  | 
 Adequacy of at least 0.90 and less than 1.0. | 
   (D) Tier 4 consists of all Organizational Units  | 
 | 
 with a Percent of Adequacy of at least 1.0.  | 
  (4) The Allocation Rates for Tiers 1 through 4 are  | 
 determined as follows:  | 
   (A) The Tier 1 Allocation Rate is 30%. | 
   (B) The Tier 2 Allocation Rate is the result of the  | 
 following equation: Tier 2 Aggregate Funding, divided  | 
 by the sum of the Funding Gaps for all Tier 2  | 
 Organizational Units, unless the result of such  | 
 equation is higher than 1.0. If the result of such  | 
 equation is higher than 1.0, then the Tier 2  | 
 Allocation Rate is 1.0.  | 
   (C) The Tier 3 Allocation Rate is the result of the  | 
 following equation: Tier 3
Aggregate Funding, divided  | 
 by the sum of the Adequacy Targets of all Tier 3  | 
 Organizational
Units. | 
   (D) The Tier 4 Allocation Rate is the result of the  | 
 following equation: Tier 4
Aggregate Funding, divided  | 
 by the sum of the Adequacy Targets of all Tier 4  | 
 Organizational
Units.  | 
  (5) A tier's Target Ratio is determined as follows:  | 
   (A) The Tier 1 Target Ratio is the ratio level that  | 
 allows for Tier 1 Aggregate Funding to be distributed  | 
 with the Tier 1 Allocation Rate. | 
   (B) The Tier 2 Target Ratio is 0.90. | 
   (C) The Tier 3 Target Ratio is 1.0. | 
  (6) If, at any point, the Tier 1 Target Ratio is  | 
 | 
 greater than 90%, then all Tier 1 funding shall be  | 
 allocated to Tier 2 and no Tier 1 Organizational Unit's  | 
 funding may be identified. | 
  (7) In the event that all Tier 2 Organizational Units  | 
 receive funding at the Tier 2 Target Ratio level, any  | 
 remaining New State Funds shall be allocated to Tier 3 and  | 
 Tier 4 Organizational Units.  | 
  (8) If any Specially Funded Units, excluding Glenwood  | 
 Academy, recognized by the State Board do not qualify for  | 
 direct funding following the implementation of Public Act  | 
 100-465 from any of the funding sources included within  | 
 the definition of Base Funding Minimum, the unqualified  | 
 portion of the Base Funding Minimum shall be transferred  | 
 to one or more appropriate Organizational Units as  | 
 determined by the State Superintendent based on the prior  | 
 year ASE of the Organizational Units. | 
  (8.5) If a school district withdraws from a special  | 
 education cooperative, the portion of the Base Funding  | 
 Minimum that is attributable to the school district may be  | 
 redistributed to the school district upon withdrawal. The  | 
 school district and the cooperative must include the  | 
 amount of the Base Funding Minimum that is to be  | 
 reapportioned in their withdrawal agreement and notify the  | 
 State Board of the change with a copy of the agreement upon  | 
 withdrawal.  | 
  (9) The Minimum Funding Level is intended to establish  | 
 | 
 a target for State funding that will keep pace with  | 
 inflation and continue to advance equity through the  | 
 Evidence-Based Funding formula. The target for State  | 
 funding of New Property Tax Relief Pool Funds is  | 
 $50,000,000 for State fiscal year 2019 and subsequent  | 
 State fiscal years. The Minimum Funding Level is equal to  | 
 $350,000,000. In addition to any New State Funds, no more  | 
 than $50,000,000 New Property Tax Relief Pool Funds may be  | 
 counted toward the Minimum Funding Level. If the sum of  | 
 New State Funds and applicable New Property Tax Relief  | 
 Pool Funds are less than the Minimum Funding Level, than  | 
 funding for tiers shall be reduced in the following  | 
 manner: | 
   (A) First, Tier 4 funding shall be reduced by an  | 
 amount equal to the difference between the Minimum  | 
 Funding Level and New State Funds until such time as  | 
 Tier 4 funding is exhausted. | 
   (B) Next, Tier 3 funding shall be reduced by an  | 
 amount equal to the difference between the Minimum  | 
 Funding Level and New State Funds and the reduction in  | 
 Tier 4 funding until such time as Tier 3 funding is  | 
 exhausted. | 
   (C) Next, Tier 2 funding shall be reduced by an  | 
 amount equal to the difference between the Minimum  | 
 Funding Level and New State Funds and the reduction in  | 
 Tier 4 and Tier 3. | 
 | 
   (D) Finally, Tier 1 funding shall be reduced by an  | 
 amount equal to the difference between the Minimum  | 
 Funding level and New State Funds and the reduction in  | 
 Tier 2, 3, and 4 funding. In addition, the Allocation  | 
 Rate for Tier 1 shall be reduced to a percentage equal  | 
 to the Tier 1 Allocation Rate set by paragraph (4) of  | 
 this subsection (g), multiplied by the result of New  | 
 State Funds divided by the Minimum Funding Level. | 
  (9.5) For State fiscal year 2019 and subsequent State  | 
 fiscal years, if New State Funds exceed $300,000,000, then  | 
 any amount in excess of $300,000,000 shall be dedicated  | 
 for purposes of Section 2-3.170 of this Code up to a  | 
 maximum of $50,000,000.  | 
  (10) In the event of a decrease in the amount of the  | 
 appropriation for this Section in any fiscal year after  | 
 implementation of this Section, the Organizational Units  | 
 receiving Tier 1 and Tier 2 funding, as determined under  | 
 paragraph (3) of this subsection (g), shall be held  | 
 harmless by establishing a Base Funding Guarantee equal to  | 
 the per pupil kindergarten through grade 12 funding  | 
 received in accordance with this Section in the prior  | 
 fiscal year. Reductions shall be
made to the Base Funding  | 
 Minimum of Organizational Units in Tier 3 and Tier 4 on a
 | 
 per pupil basis equivalent to the total number of the ASE  | 
 in Tier 3-funded and Tier 4-funded Organizational Units  | 
 divided by the total reduction in State funding. The Base
 | 
 | 
 Funding Minimum as reduced shall continue to be applied to  | 
 Tier 3 and Tier 4
Organizational Units and adjusted by the  | 
 relative formula when increases in
appropriations for this  | 
 Section resume. In no event may State funding reductions  | 
 to
Organizational Units in Tier 3 or Tier 4 exceed an  | 
 amount that would be less than the
Base Funding Minimum  | 
 established in the first year of implementation of this
 | 
 Section. If additional reductions are required, all school  | 
 districts shall receive a
reduction by a per pupil amount  | 
 equal to the aggregate additional appropriation
reduction  | 
 divided by the total ASE of all Organizational Units.  | 
  (11) The State Superintendent shall make minor  | 
 adjustments to the distribution formula set forth in this  | 
 subsection (g) to account for the rounding of percentages  | 
 to the nearest tenth of a percentage and dollar amounts to  | 
 the nearest whole dollar.  | 
 (h) State Superintendent administration of funding and  | 
district submission requirements.  | 
  (1) The State Superintendent shall, in accordance with  | 
 appropriations made by the General Assembly, meet the  | 
 funding obligations created under this Section. | 
  (2) The State Superintendent shall calculate the  | 
 Adequacy Target for each Organizational Unit and Net State  | 
 Contribution Target for each Organizational Unit under  | 
 this Section. No Evidence-Based Funding shall be  | 
 distributed within an Organizational Unit without the  | 
 | 
 approval of the unit's school board. | 
  (3) Annually, the State Superintendent shall calculate  | 
 and report to each Organizational Unit the unit's  | 
 aggregate financial adequacy amount, which shall be the  | 
 sum of the Adequacy Target for each Organizational Unit.  | 
 The State Superintendent shall calculate and report  | 
 separately for each Organizational Unit the unit's total  | 
 State funds allocated for its students with disabilities.  | 
 The State Superintendent shall calculate and report  | 
 separately for each Organizational Unit the amount of  | 
 funding and applicable FTE calculated for each Essential  | 
 Element of the unit's Adequacy Target. | 
  (4) Annually, the State Superintendent shall calculate  | 
 and report to each Organizational Unit the amount the unit  | 
 must expend on special education and bilingual education  | 
 and computer technology and equipment for Organizational  | 
 Units assigned to Tier 1 or Tier 2 that received an  | 
 additional $285.50 per student computer technology and  | 
 equipment investment grant to their Adequacy Target  | 
 pursuant to the unit's Base Funding Minimum, Special  | 
 Education Allocation, Bilingual Education Allocation, and  | 
 computer technology and equipment investment allocation. | 
  (5) Moneys distributed under this Section shall be  | 
 calculated on a school year basis, but paid on a fiscal  | 
 year basis, with payments beginning in August and  | 
 extending through June. Unless otherwise provided, the  | 
 | 
 moneys appropriated for each fiscal year shall be  | 
 distributed in 22 equal payments at least 2 times monthly  | 
 to each Organizational Unit. If moneys appropriated for  | 
 any fiscal year are distributed other than monthly, the  | 
 distribution shall be on the same basis for each  | 
 Organizational Unit. | 
  (6) Any school district that fails, for any given  | 
 school year, to maintain school as required by law or to  | 
 maintain a recognized school is not eligible to receive  | 
 Evidence-Based Funding. In case of non-recognition of one  | 
 or more attendance centers in a school district otherwise  | 
 operating recognized schools, the claim of the district  | 
 shall be reduced in the proportion that the enrollment in  | 
 the attendance center or centers bears to the enrollment  | 
 of the school district. "Recognized school" means any  | 
 public school that meets the standards for recognition by  | 
 the State Board. A school district or attendance center  | 
 not having recognition status at the end of a school term  | 
 is entitled to receive State aid payments due upon a legal  | 
 claim that was filed while it was recognized. | 
  (7) School district claims filed under this Section  | 
 are subject to Sections 18-9 and 18-12 of this Code,  | 
 except as otherwise provided in this Section. | 
  (8) Each fiscal year, the State Superintendent shall  | 
 calculate for each Organizational Unit an amount of its  | 
 Base Funding Minimum and Evidence-Based Funding that shall  | 
 | 
 be deemed attributable to the provision of special  | 
 educational facilities and services, as defined in Section  | 
 14-1.08 of this Code, in a manner that ensures compliance  | 
 with maintenance of State financial support requirements  | 
 under the federal Individuals with Disabilities Education  | 
 Act. An Organizational Unit must use such funds only for  | 
 the provision of special educational facilities and  | 
 services, as defined in Section 14-1.08 of this Code, and  | 
 must comply with any expenditure verification procedures  | 
 adopted by the State Board. | 
  (9) All Organizational Units in this State must submit  | 
 annual spending plans by the end of September of each year  | 
 to the State Board as part of the annual budget process,  | 
 which shall describe how each Organizational Unit will  | 
 utilize the Base Funding Minimum and Evidence-Based  | 
 Funding it receives from this State under this Section  | 
 with specific identification of the intended utilization  | 
 of Low-Income, English learner, and special education  | 
 resources. Additionally, the annual spending plans of each  | 
 Organizational Unit shall describe how the Organizational  | 
 Unit expects to achieve student growth and how the  | 
 Organizational Unit will achieve State education goals, as  | 
 defined by the State Board. The State Superintendent may,  | 
 from time to time, identify additional requisites for  | 
 Organizational Units to satisfy when compiling the annual  | 
 spending plans required under this subsection (h). The  | 
 | 
 format and scope of annual spending plans shall be  | 
 developed by the State Superintendent and the State Board  | 
 of Education. School districts that serve students under  | 
 Article 14C of this Code shall continue to submit  | 
 information as required under Section 14C-12 of this Code.  | 
  (10) No later than January 1, 2018, the State  | 
 Superintendent shall develop a 5-year strategic plan for  | 
 all Organizational Units to help in planning for adequacy  | 
 funding under this Section. The State Superintendent shall  | 
 submit the plan to the Governor and the General Assembly,  | 
 as provided in Section 3.1 of the General Assembly  | 
 Organization Act. The plan shall include recommendations  | 
 for:  | 
   (A) a framework for collaborative, professional,  | 
 innovative, and 21st century learning environments  | 
 using the Evidence-Based Funding model; | 
   (B) ways to prepare and support this State's  | 
 educators for successful instructional careers; | 
   (C) application and enhancement of the current  | 
 financial accountability measures, the approved State  | 
 plan to comply with the federal Every Student Succeeds  | 
 Act, and the Illinois Balanced Accountability Measures  | 
 in relation to student growth and elements of the  | 
 Evidence-Based Funding model; and | 
   (D) implementation of an effective school adequacy  | 
 funding system based on projected and recommended  | 
 | 
 funding levels from the General Assembly.  | 
  (11) On an annual basis, the State Superintendent
must  | 
 recalibrate all of the following per pupil elements of the  | 
 Adequacy Target and applied to the formulas, based on the  | 
 study of average expenses and as reported in the most  | 
 recent annual financial report: | 
   (A) Gifted under subparagraph (M) of paragraph
(2)  | 
 of subsection (b). | 
   (B) Instructional materials under subparagraph
(O)  | 
 of paragraph (2) of subsection (b). | 
   (C) Assessment under subparagraph (P) of
paragraph  | 
 (2) of subsection (b). | 
   (D) Student activities under subparagraph (R) of
 | 
 paragraph (2) of subsection (b). | 
   (E) Maintenance and operations under subparagraph
 | 
 (S) of paragraph (2) of subsection (b). | 
   (F) Central office under subparagraph (T) of
 | 
 paragraph (2) of subsection (b).  | 
 (i) Professional Review Panel.  | 
  (1) A Professional Review Panel is created to study  | 
 and review topics related to the implementation and effect  | 
 of Evidence-Based Funding, as assigned by a joint  | 
 resolution or Public Act of the General Assembly or a  | 
 motion passed by the State Board of Education. The Panel  | 
 must provide recommendations to and serve the Governor,  | 
 the General Assembly, and the State Board. The State  | 
 | 
 Superintendent or his or her designee must serve as a  | 
 voting member and chairperson of the Panel. The State  | 
 Superintendent must appoint a vice chairperson from the  | 
 membership of the Panel. The Panel must advance  | 
 recommendations based on a three-fifths majority vote of  | 
 Panel members present and voting. A minority opinion may  | 
 also accompany any recommendation of the Panel. The Panel  | 
 shall be appointed by the State Superintendent, except as  | 
 otherwise provided in paragraph (2) of this subsection (i)  | 
 and include the following members:  | 
   (A) Two appointees that represent district  | 
 superintendents, recommended by a statewide  | 
 organization that represents district superintendents. | 
   (B) Two appointees that represent school boards,  | 
 recommended by a statewide organization that  | 
 represents school boards. | 
   (C) Two appointees from districts that represent  | 
 school business officials, recommended by a statewide  | 
 organization that represents school business  | 
 officials. | 
   (D) Two appointees that represent school  | 
 principals, recommended by a statewide organization  | 
 that represents school principals. | 
   (E) Two appointees that represent teachers,  | 
 recommended by a statewide organization that  | 
 represents teachers. | 
 | 
   (F) Two appointees that represent teachers,  | 
 recommended by another statewide organization that  | 
 represents teachers. | 
   (G) Two appointees that represent regional  | 
 superintendents of schools, recommended by  | 
 organizations that represent regional superintendents. | 
   (H) Two independent experts selected solely by the  | 
 State Superintendent. | 
   (I) Two independent experts recommended by public  | 
 universities in this State. | 
   (J) One member recommended by a statewide  | 
 organization that represents parents. | 
   (K) Two representatives recommended by collective  | 
 impact organizations that represent major metropolitan  | 
 areas or geographic areas in Illinois. | 
   (L) One member from a statewide organization  | 
 focused on research-based education policy to support  | 
 a school system that prepares all students for  | 
 college, a career, and democratic citizenship.  | 
   (M) One representative from a school district  | 
 organized under Article 34 of this Code.  | 
  The State Superintendent shall ensure that the  | 
 membership of the Panel includes representatives from  | 
 school districts and communities reflecting the  | 
 geographic, socio-economic, racial, and ethnic diversity  | 
 of this State. The State Superintendent shall additionally  | 
 | 
 ensure that the membership of the Panel includes  | 
 representatives with expertise in bilingual education and  | 
 special education. Staff from the State Board shall staff  | 
 the Panel.  | 
  (2) In addition to those Panel members appointed by  | 
 the State Superintendent, 4 members of the General  | 
 Assembly shall be appointed as follows: one member of the  | 
 House of Representatives appointed by the Speaker of the  | 
 House of Representatives, one member of the Senate  | 
 appointed by the President of the Senate, one member of  | 
 the House of Representatives appointed by the Minority  | 
 Leader of the House of Representatives, and one member of  | 
 the Senate appointed by the Minority Leader of the Senate.  | 
 There shall be one additional member appointed by the  | 
 Governor. All members appointed by legislative leaders or  | 
 the Governor shall be non-voting, ex officio members. | 
  (3) The Panel must study topics at the direction of  | 
 the General Assembly or State Board of Education, as  | 
 provided under paragraph (1). The Panel may also study the  | 
 following topics at the direction of the chairperson:  | 
   (A) The format and scope of annual spending plans  | 
 referenced in paragraph (9) of subsection (h) of this  | 
 Section. | 
   (B) The Comparable Wage Index under this Section. | 
   (C) Maintenance and operations, including capital  | 
 maintenance and construction costs. | 
 | 
   (D) "At-risk student" definition. | 
   (E) Benefits. | 
   (F) Technology. | 
   (G) Local Capacity Target. | 
   (H) Funding for Alternative Schools, Laboratory  | 
 Schools, safe schools, and alternative learning  | 
 opportunities programs. | 
   (I) Funding for college and career acceleration  | 
 strategies. | 
   (J) Special education investments.  | 
   (K) Early childhood investments, in collaboration  | 
 with the Illinois Early Learning Council. | 
  (4) (Blank).  | 
  (5) Within 5 years after the implementation of this  | 
 Section, and every 5 years thereafter, the Panel shall  | 
 complete an evaluative study of the entire Evidence-Based  | 
 Funding model, including an assessment of whether or not  | 
 the formula is achieving State goals. The Panel shall  | 
 report to the State Board, the General Assembly, and the  | 
 Governor on the findings of the study. | 
  (6) (Blank).  | 
  (7) To ensure that (i) the Adequacy Target calculation  | 
 under subsection (b) accurately reflects the needs of  | 
 students living in poverty or attending schools located in  | 
 areas of high poverty, (ii) racial equity within the  | 
 Evidence-Based Funding formula is explicitly explored and  | 
 | 
 advanced, and (iii) the funding goals of the formula  | 
 distribution system established under this Section are  | 
 sufficient to provide adequate funding for every student  | 
 and to fully fund every school in this State, the Panel  | 
 shall review the Essential Elements under paragraph (2) of  | 
 subsection (b). The Panel shall consider all of the  | 
 following in its review: | 
   (A) The financial ability of school districts to  | 
 provide instruction in a foreign language to every  | 
 student and whether an additional Essential Element  | 
 should be added to the formula to ensure that every  | 
 student has access to instruction in a foreign  | 
 language. | 
   (B) The adult-to-student ratio for each Essential  | 
 Element in which a ratio is identified. The Panel  | 
 shall consider whether the ratio accurately reflects  | 
 the staffing needed to support students living in  | 
 poverty or who have traumatic backgrounds. | 
   (C) Changes to the Essential Elements that may be  | 
 required to better promote racial equity and eliminate  | 
 structural racism within schools. | 
   (D) The impact of investing $350,000,000 in  | 
 additional funds each year under this Section and an  | 
 estimate of when the school system will become fully  | 
 funded under this level of appropriation. | 
   (E) Provide an overview of alternative funding  | 
 | 
 structures that would enable the State to become fully  | 
 funded at an earlier date. | 
   (F) The potential to increase efficiency and to  | 
 find cost savings within the school system to expedite  | 
 the journey to a fully funded system. | 
   (G) The appropriate levels for reenrolling and  | 
 graduating high-risk high school students who have  | 
 been previously out of school. These outcomes shall  | 
 include enrollment, attendance, skill gains, credit  | 
 gains, graduation or promotion to the next grade  | 
 level, and the transition to college, training, or  | 
 employment, with an emphasis on progressively  | 
 increasing the overall attendance. | 
   (H) The evidence-based or research-based practices  | 
 that are shown to reduce the gaps and disparities  | 
 experienced by African American students in academic  | 
 achievement and educational performance, including  | 
 practices that have been shown to reduce disparities  | 
 parities in disciplinary rates, drop-out rates,  | 
 graduation rates, college matriculation rates, and  | 
 college completion rates.  | 
  On or before December 31, 2021, the Panel shall report  | 
 to the State Board, the General Assembly, and the Governor  | 
 on the findings of its review. This paragraph (7) is  | 
 inoperative on and after July 1, 2022. | 
 (j) References. Beginning July 1, 2017, references in  | 
 | 
other laws to general State aid funds or calculations under  | 
Section 18-8.05 of this Code (now repealed) shall be deemed to  | 
be references to evidence-based model formula funds or  | 
calculations under this Section. 
 | 
(Source: P.A. 101-10, eff. 6-5-19; 101-17, eff. 6-14-19;  | 
101-643, eff. 6-18-20; 101-654, eff. 3-8-21; 102-33, eff.  | 
6-25-21; 102-197, eff. 7-30-21; 102-558, eff. 8-20-21; revised  | 
10-12-21.)
 | 
 (105 ILCS 5/21A-25.5) | 
 Sec. 21A-25.5. Teaching Induction and Mentoring Advisory  | 
Group. | 
 (a) The State Board of Education shall create a Teaching  | 
Induction and Mentoring Advisory Group. Members of the  | 
Advisory Group must represent the diversity of this State and  | 
possess the expertise needed to perform the work required to  | 
meet the goals of the programs set forth under Section 21A-20. | 
 (b) The members of the Advisory Group shall be by  | 
appointed by the State Superintendent of Education and shall  | 
include all of the following members: | 
  (1) Four members representing teachers recommended by  | 
 a statewide professional teachers' organization. | 
  (2) Four members representing teachers recommended by  | 
 a different statewide professional teachers' organization. | 
  (3) Two members representing principals recommended by  | 
 a statewide organization that represents principals. | 
 | 
  (4) One member representing district superintendents  | 
 recommended by a statewide organization that represents  | 
 district superintendents. | 
  (5) One member representing regional superintendents  | 
 of schools recommended by a statewide association that  | 
 represents regional superintendents of schools. | 
  (6) One member representing a State-approved educator  | 
 preparation program at an Illinois institution of higher  | 
 education recommended by the institution of higher  | 
 education. | 
 The majority of the membership of the Advisory Group shall  | 
consist of practicing teachers.  | 
 (c) The Advisory Group is responsible for approving any  | 
changes made to the standards established under Section  | 
21A-20.5. 
 | 
(Source: P.A. 102-521, eff. 8-20-21; revised 11-29-21.)
 | 
 (105 ILCS 5/22-30)
 | 
 Sec. 22-30. Self-administration and self-carry of asthma  | 
medication and epinephrine injectors; administration of  | 
undesignated epinephrine injectors; administration of an  | 
opioid antagonist; administration of undesignated asthma  | 
medication; asthma episode emergency response protocol.
 | 
 (a) For the purpose of this Section only, the following  | 
terms shall have the meanings set forth below:
 | 
 "Asthma action plan" means a written plan developed with a  | 
 | 
pupil's medical provider to help control the pupil's asthma.  | 
The goal of an asthma action plan is to reduce or prevent  | 
flare-ups and emergency department visits through day-to-day  | 
management and to serve as a student-specific document to be  | 
referenced in the event of an asthma episode. | 
 "Asthma episode emergency response protocol" means a  | 
procedure to provide assistance to a pupil experiencing  | 
symptoms of wheezing, coughing, shortness of breath, chest  | 
tightness, or breathing difficulty. | 
 "Epinephrine injector" includes an auto-injector approved  | 
by the United States Food and Drug Administration for the  | 
administration of epinephrine and a pre-filled syringe  | 
approved by the United States Food and Drug Administration and  | 
used for the administration of epinephrine that contains a  | 
pre-measured dose of epinephrine that is equivalent to the  | 
dosages used in an auto-injector.  | 
 "Asthma medication" means quick-relief asthma medication,  | 
including albuterol or other short-acting bronchodilators,  | 
that is approved by the United States Food and Drug  | 
Administration for the treatment of respiratory distress.  | 
"Asthma medication" includes medication delivered through a  | 
device, including a metered dose inhaler with a reusable or  | 
disposable spacer or a nebulizer with a mouthpiece or mask.
 | 
 "Opioid antagonist" means a drug that binds to opioid  | 
receptors and blocks or inhibits the effect of opioids acting  | 
on those receptors, including, but not limited to, naloxone  | 
 | 
hydrochloride or any other similarly acting drug approved by  | 
the U.S. Food and Drug Administration.  | 
 "Respiratory distress" means the perceived or actual  | 
presence of wheezing, coughing, shortness of breath, chest  | 
tightness, breathing difficulty, or any other symptoms  | 
consistent with asthma. Respiratory distress may be  | 
categorized as "mild-to-moderate" or "severe".  | 
 "School nurse" means a registered nurse working in a  | 
school with or without licensure endorsed in school nursing.  | 
 "Self-administration" means a pupil's discretionary use of  | 
his or
her prescribed asthma medication or epinephrine  | 
injector.
 | 
 "Self-carry" means a pupil's ability to carry his or her  | 
prescribed asthma medication or epinephrine injector. | 
 "Standing protocol" may be issued by (i) a physician  | 
licensed to practice medicine in all its branches, (ii) a  | 
licensed physician assistant with prescriptive authority, or  | 
(iii) a licensed advanced practice registered nurse with  | 
prescriptive authority.  | 
 "Trained personnel" means any school employee or volunteer  | 
personnel authorized in Sections 10-22.34, 10-22.34a, and  | 
10-22.34b of this Code who has completed training under  | 
subsection (g) of this Section to recognize and respond to  | 
anaphylaxis, an opioid overdose, or respiratory distress. | 
 "Undesignated asthma medication" means asthma medication  | 
prescribed in the name of a school district, public school,  | 
 | 
charter school, or nonpublic school. | 
 "Undesignated epinephrine injector" means an epinephrine  | 
injector prescribed in the name of a school district, public  | 
school, charter school, or nonpublic school.  | 
 (b) A school, whether public, charter, or nonpublic, must  | 
permit the
self-administration and self-carry of asthma
 | 
medication by a pupil with asthma or the self-administration  | 
and self-carry of an epinephrine injector by a pupil, provided  | 
that:
 | 
  (1) the parents or
guardians of the pupil provide to  | 
 the school (i) written
authorization from the parents or  | 
 guardians for (A) the self-administration and self-carry  | 
 of asthma medication or (B) the self-carry of asthma  | 
 medication or (ii) for (A) the self-administration and  | 
 self-carry of an epinephrine injector or (B) the  | 
 self-carry of an epinephrine injector, written  | 
 authorization from the pupil's physician, physician  | 
 assistant, or advanced practice registered nurse; and
 | 
  (2) the
parents or guardians of the pupil provide to  | 
 the school (i) the prescription label, which must contain  | 
 the name of the asthma medication, the prescribed dosage,  | 
 and the time at which or circumstances under which the  | 
 asthma medication is to be administered, or (ii) for the  | 
 self-administration or self-carry of an epinephrine  | 
 injector, a
written
statement from the pupil's physician,  | 
 physician assistant, or advanced practice registered
nurse  | 
 | 
 containing
the following information:
 | 
   (A) the name and purpose of the epinephrine  | 
 injector;
 | 
   (B) the prescribed dosage; and
 | 
   (C) the time or times at which or the special  | 
 circumstances
under which the epinephrine injector is  | 
 to be administered.
 | 
The information provided shall be kept on file in the office of  | 
the school
nurse or,
in the absence of a school nurse, the  | 
school's administrator.
 | 
 (b-5) A school district, public school, charter school, or  | 
nonpublic school may authorize the provision of a  | 
student-specific or undesignated epinephrine injector to a  | 
student or any personnel authorized under a student's  | 
Individual Health Care Action Plan, Illinois Food Allergy  | 
Emergency Action Plan and Treatment Authorization Form, or  | 
plan pursuant to Section 504 of the federal Rehabilitation Act  | 
of 1973 to administer an epinephrine injector to the student,  | 
that meets the student's prescription on file. | 
 (b-10) The school district, public school, charter school,  | 
or nonpublic school may authorize a school nurse or trained  | 
personnel to do the following: (i) provide an undesignated  | 
epinephrine injector to a student for self-administration only  | 
or any personnel authorized under a student's Individual  | 
Health Care Action Plan, Illinois Food Allergy Emergency  | 
Action Plan and Treatment Authorization Form, plan pursuant to  | 
 | 
Section 504 of the federal Rehabilitation Act of 1973, or  | 
individualized education program plan to administer to the  | 
student that meets the student's prescription on file; (ii)  | 
administer an undesignated epinephrine injector that meets the  | 
prescription on file to any student who has an Individual  | 
Health Care Action Plan, Illinois Food Allergy Emergency  | 
Action Plan and Treatment Authorization Form, plan pursuant to  | 
Section 504 of the federal Rehabilitation Act of 1973, or  | 
individualized education program plan that authorizes the use  | 
of an epinephrine injector; (iii) administer an undesignated  | 
epinephrine injector to any person that the school nurse or  | 
trained personnel in good faith believes is having an  | 
anaphylactic reaction; (iv) administer an opioid antagonist to  | 
any person that the school nurse or trained personnel in good  | 
faith believes is having an opioid overdose; (v) provide  | 
undesignated asthma medication to a student for  | 
self-administration only or to any personnel authorized under  | 
a student's Individual Health Care Action Plan or asthma  | 
action plan, plan pursuant to Section 504 of the federal  | 
Rehabilitation Act of 1973, or individualized education  | 
program plan to administer to the student that meets the  | 
student's prescription on file; (vi) administer undesignated  | 
asthma medication that meets the prescription on file to any  | 
student who has an Individual Health Care Action Plan or  | 
asthma action plan, plan pursuant to Section 504 of the  | 
federal Rehabilitation Act of 1973, or individualized  | 
 | 
education program plan that authorizes the use of asthma  | 
medication; and (vii) administer undesignated asthma  | 
medication to any person that the school nurse or trained  | 
personnel believes in good faith is having respiratory  | 
distress.  | 
 (c) The school district, public school, charter school, or  | 
nonpublic school must inform the parents or
guardians of the
 | 
pupil, in writing, that the school district, public school,  | 
charter school, or nonpublic school and its
employees and
 | 
agents, including a physician, physician assistant, or  | 
advanced practice registered nurse providing standing protocol  | 
and a prescription for school epinephrine injectors, an opioid  | 
antagonist, or undesignated asthma medication,
are to incur no  | 
liability or professional discipline, except for willful and  | 
wanton conduct, as a result
of any injury arising from the
 | 
administration of asthma medication, an epinephrine injector,  | 
or an opioid antagonist regardless of whether authorization  | 
was given by the pupil's parents or guardians or by the pupil's  | 
physician, physician assistant, or advanced practice  | 
registered nurse. The parents or guardians
of the pupil must  | 
sign a statement acknowledging that the school district,  | 
public school, charter school,
or nonpublic school and its  | 
employees and agents are to incur no liability, except for  | 
willful and wanton
conduct, as a result of any injury arising
 | 
from the
administration of asthma medication, an epinephrine  | 
injector, or an opioid antagonist regardless of whether  | 
 | 
authorization was given by the pupil's parents or guardians or  | 
by the pupil's physician, physician assistant, or advanced  | 
practice registered nurse and that the parents or
guardians  | 
must indemnify and hold harmless the school district, public  | 
school, charter school, or nonpublic
school and
its
employees  | 
and agents against any claims, except a claim based on willful  | 
and
wanton conduct, arising out of the
administration of  | 
asthma medication, an epinephrine injector, or an opioid  | 
antagonist regardless of whether authorization was given by  | 
the pupil's parents or guardians or by the pupil's physician,  | 
physician assistant, or advanced practice registered nurse. | 
 (c-5) When a school nurse or trained personnel administers  | 
an undesignated epinephrine injector to a person whom the  | 
school nurse or trained personnel in good faith believes is  | 
having an anaphylactic reaction, administers an opioid  | 
antagonist to a person whom the school nurse or trained  | 
personnel in good faith believes is having an opioid overdose,  | 
or administers undesignated asthma medication to a person whom  | 
the school nurse or trained personnel in good faith believes  | 
is having respiratory distress, notwithstanding the lack of  | 
notice to the parents or guardians of the pupil or the absence  | 
of the parents or guardians signed statement acknowledging no  | 
liability, except for willful and wanton conduct, the school  | 
district, public school, charter school, or nonpublic school  | 
and its employees and agents, and a physician, a physician  | 
assistant, or an advanced practice registered nurse providing  | 
 | 
standing protocol and a prescription for undesignated  | 
epinephrine injectors, an opioid antagonist, or undesignated  | 
asthma medication, are to incur no liability or professional  | 
discipline, except for willful and wanton conduct, as a result  | 
of any injury arising from the use of an undesignated  | 
epinephrine injector, the use of an opioid antagonist, or the  | 
use of undesignated asthma medication, regardless of whether  | 
authorization was given by the pupil's parents or guardians or  | 
by the pupil's physician, physician assistant, or advanced  | 
practice registered nurse.
 | 
 (d) The permission for self-administration and self-carry  | 
of asthma medication or the self-administration and self-carry  | 
of an epinephrine injector is effective
for the school year  | 
for which it is granted and shall be renewed each
subsequent  | 
school year upon fulfillment of the requirements of this
 | 
Section.
 | 
 (e) Provided that the requirements of this Section are  | 
fulfilled, a
pupil with asthma may self-administer and  | 
self-carry his or her asthma medication or a pupil may  | 
self-administer and self-carry an epinephrine injector (i)  | 
while in
school, (ii) while at a school-sponsored activity,  | 
(iii) while under the
supervision of
school personnel, or (iv)  | 
before or after normal school activities, such
as while in  | 
before-school or after-school care on school-operated
property  | 
or while being transported on a school bus.
 | 
 (e-5) Provided that the requirements of this Section are  | 
 | 
fulfilled, a school nurse or trained personnel may administer  | 
an undesignated epinephrine injector to any person whom the  | 
school nurse or trained personnel in good faith believes to be  | 
having an anaphylactic reaction (i) while in school, (ii)  | 
while at a school-sponsored activity, (iii) while under the  | 
supervision of school personnel, or (iv) before or after  | 
normal school activities, such
as while in before-school or  | 
after-school care on school-operated property or while being  | 
transported on a school bus. A school nurse or trained  | 
personnel may carry undesignated epinephrine injectors on his  | 
or her person while in school or at a school-sponsored  | 
activity.  | 
 (e-10) Provided that the requirements of this Section are  | 
fulfilled, a school nurse or trained personnel may administer  | 
an opioid antagonist to any person whom the school nurse or  | 
trained personnel in good faith believes to be having an  | 
opioid overdose (i) while in school, (ii) while at a  | 
school-sponsored activity, (iii) while under the supervision  | 
of school personnel, or (iv) before or after normal school  | 
activities, such as while in before-school or after-school  | 
care on school-operated property. A school nurse or trained  | 
personnel may carry an opioid antagonist on his or her person  | 
while in school or at a school-sponsored activity.  | 
 (e-15) If the requirements of this Section are met, a  | 
school nurse or trained personnel may administer undesignated  | 
asthma medication to any person whom the school nurse or  | 
 | 
trained personnel in good faith believes to be experiencing  | 
respiratory distress (i) while in school, (ii) while at a  | 
school-sponsored activity, (iii) while under the supervision  | 
of school personnel, or (iv) before or after normal school  | 
activities, including before-school or after-school care on  | 
school-operated property. A school nurse or trained personnel  | 
may carry undesignated asthma medication on his or her person  | 
while in school or at a school-sponsored activity.  | 
 (f) The school district, public school, charter school, or  | 
nonpublic school may maintain a supply of undesignated  | 
epinephrine injectors in any secure location that is  | 
accessible before, during, and after school where an allergic  | 
person is most at risk, including, but not limited to,  | 
classrooms and lunchrooms. A physician, a physician assistant  | 
who has prescriptive authority in accordance with Section 7.5  | 
of the Physician Assistant Practice Act of 1987, or an  | 
advanced practice registered nurse who has prescriptive  | 
authority in accordance with Section 65-40 of the Nurse  | 
Practice Act may prescribe undesignated epinephrine injectors  | 
in the name of the school district, public school, charter  | 
school, or nonpublic school to be maintained for use when  | 
necessary. Any supply of epinephrine injectors shall be  | 
maintained in accordance with the manufacturer's instructions. | 
 The school district, public school, charter school, or  | 
nonpublic school may maintain a supply of an opioid antagonist  | 
in any secure location where an individual may have an opioid  | 
 | 
overdose. A health care professional who has been delegated  | 
prescriptive authority for opioid antagonists in accordance  | 
with Section 5-23 of the Substance Use Disorder Act may  | 
prescribe opioid antagonists in the name of the school  | 
district, public school, charter school, or nonpublic school,  | 
to be maintained for use when necessary. Any supply of opioid  | 
antagonists shall be maintained in accordance with the  | 
manufacturer's instructions.  | 
 The school district, public school, charter school, or  | 
nonpublic school may maintain a supply of asthma medication in  | 
any secure location that is accessible before, during, or  | 
after school where a person is most at risk, including, but not  | 
limited to, a classroom or the nurse's office. A physician, a  | 
physician assistant who has prescriptive authority under  | 
Section 7.5 of the Physician Assistant Practice Act of 1987,  | 
or an advanced practice registered nurse who has prescriptive  | 
authority under Section 65-40 of the Nurse Practice Act may  | 
prescribe undesignated asthma medication in the name of the  | 
school district, public school, charter school, or nonpublic  | 
school to be maintained for use when necessary. Any supply of  | 
undesignated asthma medication must be maintained in  | 
accordance with the manufacturer's instructions.  | 
 (f-3) Whichever entity initiates the process of obtaining  | 
undesignated epinephrine injectors and providing training to  | 
personnel for carrying and administering undesignated  | 
epinephrine injectors shall pay for the costs of the  | 
 | 
undesignated epinephrine injectors. | 
 (f-5) Upon any administration of an epinephrine injector,  | 
a school district, public school, charter school, or nonpublic  | 
school must immediately activate the EMS system and notify the  | 
student's parent, guardian, or emergency contact, if known. | 
 Upon any administration of an opioid antagonist, a school  | 
district, public school, charter school, or nonpublic school  | 
must immediately activate the EMS system and notify the  | 
student's parent, guardian, or emergency contact, if known.  | 
 (f-10) Within 24 hours of the administration of an  | 
undesignated epinephrine injector, a school district, public  | 
school, charter school, or nonpublic school must notify the  | 
physician, physician assistant, or advanced practice  | 
registered nurse who provided the standing protocol and a  | 
prescription for the undesignated epinephrine injector of its  | 
use.  | 
 Within 24 hours after the administration of an opioid  | 
antagonist, a school district, public school, charter school,  | 
or nonpublic school must notify the health care professional  | 
who provided the prescription for the opioid antagonist of its  | 
use.  | 
 Within 24 hours after the administration of undesignated  | 
asthma medication, a school district, public school, charter  | 
school, or nonpublic school must notify the student's parent  | 
or guardian or emergency contact, if known, and the physician,  | 
physician assistant, or advanced practice registered nurse who  | 
 | 
provided the standing protocol and a prescription for the  | 
undesignated asthma medication of its use. The district or  | 
school must follow up with the school nurse, if available, and  | 
may, with the consent of the child's parent or guardian,  | 
notify the child's health care provider of record, as  | 
determined under this Section, of its use.  | 
 (g) Prior to the administration of an undesignated  | 
epinephrine injector, trained personnel must submit to the  | 
school's administration proof of completion of a training  | 
curriculum to recognize and respond to anaphylaxis that meets  | 
the requirements of subsection (h) of this Section. Training  | 
must be completed annually. The school district, public  | 
school, charter school, or nonpublic school must maintain  | 
records related to the training curriculum and trained  | 
personnel. | 
 Prior to the administration of an opioid antagonist,  | 
trained personnel must submit to the school's administration  | 
proof of completion of a training curriculum to recognize and  | 
respond to an opioid overdose, which curriculum must meet the  | 
requirements of subsection (h-5) of this Section. Training  | 
must be completed annually. Trained personnel must also submit  | 
to the school's administration proof of cardiopulmonary  | 
resuscitation and automated external defibrillator  | 
certification. The school district, public school, charter  | 
school, or nonpublic school must maintain records relating to  | 
the training curriculum and the trained personnel.  | 
 | 
 Prior to the administration of undesignated asthma  | 
medication, trained personnel must submit to the school's  | 
administration proof of completion of a training curriculum to  | 
recognize and respond to respiratory distress, which must meet  | 
the requirements of subsection (h-10) of this Section.  | 
Training must be completed annually, and the school district,  | 
public school, charter school, or nonpublic school must  | 
maintain records relating to the training curriculum and the  | 
trained personnel.  | 
 (h) A training curriculum to recognize and respond to  | 
anaphylaxis, including the administration of an undesignated  | 
epinephrine injector, may be conducted online or in person. | 
 Training shall include, but is not limited to: | 
  (1) how to recognize signs and symptoms of an allergic  | 
 reaction, including anaphylaxis; | 
  (2) how to administer an epinephrine injector; and | 
  (3) a test demonstrating competency of the knowledge  | 
 required to recognize anaphylaxis and administer an  | 
 epinephrine injector. | 
 Training may also include, but is not limited to: | 
  (A) a review of high-risk areas within a school and  | 
 its related facilities; | 
  (B) steps to take to prevent exposure to allergens; | 
  (C) emergency follow-up procedures, including the  | 
 importance of calling 9-1-1 or, if 9-1-1 is not available,  | 
 other local emergency medical services; | 
 | 
  (D) how to respond to a student with a known allergy,  | 
 as well as a student with a previously unknown allergy; | 
  (E) other criteria as determined in rules adopted  | 
 pursuant to this Section; and | 
  (F) any policy developed by the State Board of  | 
 Education under Section 2-3.190 2-3.182. | 
 In consultation with statewide professional organizations  | 
representing physicians licensed to practice medicine in all  | 
of its branches, registered nurses, and school nurses, the  | 
State Board of Education shall make available resource  | 
materials consistent with criteria in this subsection (h) for  | 
educating trained personnel to recognize and respond to  | 
anaphylaxis. The State Board may take into consideration the  | 
curriculum on this subject developed by other states, as well  | 
as any other curricular materials suggested by medical experts  | 
and other groups that work on life-threatening allergy issues.  | 
The State Board is not required to create new resource  | 
materials. The State Board shall make these resource materials  | 
available on its Internet website. | 
 (h-5) A training curriculum to recognize and respond to an  | 
opioid overdose, including the administration of an opioid  | 
antagonist, may be conducted online or in person. The training  | 
must comply with any training requirements under Section 5-23  | 
of the Substance Use Disorder Act and the corresponding rules.  | 
It must include, but is not limited to: | 
  (1) how to recognize symptoms of an opioid overdose; | 
 | 
  (2) information on drug overdose prevention and  | 
 recognition; | 
  (3) how to perform rescue breathing and resuscitation; | 
  (4) how to respond to an emergency involving an opioid  | 
 overdose; | 
  (5) opioid antagonist dosage and administration; | 
  (6) the importance of calling 9-1-1 or, if 9-1-1 is  | 
 not available, other local emergency medical services; | 
  (7) care for the overdose victim after administration  | 
 of the overdose antagonist; | 
  (8) a test demonstrating competency of the knowledge  | 
 required to recognize an opioid overdose and administer a  | 
 dose of an opioid antagonist; and | 
  (9) other criteria as determined in rules adopted  | 
 pursuant to this Section.  | 
 (h-10) A training curriculum to recognize and respond to  | 
respiratory distress, including the administration of  | 
undesignated asthma medication, may be conducted online or in  | 
person. The training must include, but is not limited to: | 
  (1) how to recognize symptoms of respiratory distress  | 
 and how to distinguish respiratory distress from  | 
 anaphylaxis; | 
  (2) how to respond to an emergency involving  | 
 respiratory distress; | 
  (3) asthma medication dosage and administration; | 
  (4) the importance of calling 9-1-1 or, if 9-1-1 is  | 
 | 
 not available, other local emergency medical services; | 
  (5) a test demonstrating competency of the knowledge  | 
 required to recognize respiratory distress and administer  | 
 asthma medication; and | 
  (6) other criteria as determined in rules adopted  | 
 under this Section.  | 
 (i) Within 3 days after the administration of an  | 
undesignated epinephrine injector by a school nurse, trained  | 
personnel, or a student at a school or school-sponsored  | 
activity, the school must report to the State Board of  | 
Education in a form and manner prescribed by the State Board  | 
the following information: | 
  (1) age and type of person receiving epinephrine  | 
 (student, staff, visitor); | 
  (2) any previously known diagnosis of a severe  | 
 allergy; | 
  (3) trigger that precipitated allergic episode; | 
  (4) location where symptoms developed; | 
  (5) number of doses administered; | 
  (6) type of person administering epinephrine (school  | 
 nurse, trained personnel, student); and | 
  (7) any other information required by the State Board. | 
 If a school district, public school, charter school, or  | 
nonpublic school maintains or has an independent contractor  | 
providing transportation to students who maintains a supply of  | 
undesignated epinephrine injectors, then the school district,  | 
 | 
public school, charter school, or nonpublic school must report  | 
that information to the State Board of Education upon adoption  | 
or change of the policy of the school district, public school,  | 
charter school, nonpublic school, or independent contractor,  | 
in a manner as prescribed by the State Board. The report must  | 
include the number of undesignated epinephrine injectors in  | 
supply. | 
 (i-5) Within 3 days after the administration of an opioid  | 
antagonist by a school nurse or trained personnel, the school  | 
must report to the State Board of Education, in a form and  | 
manner prescribed by the State Board, the following  | 
information: | 
  (1) the age and type of person receiving the opioid  | 
 antagonist (student, staff, or visitor); | 
  (2) the location where symptoms developed; | 
  (3) the type of person administering the opioid  | 
 antagonist (school nurse or trained personnel); and | 
  (4) any other information required by the State Board.  | 
 (i-10) Within 3 days after the administration of  | 
undesignated asthma medication by a school nurse, trained  | 
personnel, or a student at a school or school-sponsored  | 
activity, the school must report to the State Board of  | 
Education, on a form and in a manner prescribed by the State  | 
Board of Education, the following information: | 
  (1) the age and type of person receiving the asthma  | 
 medication (student, staff, or visitor); | 
 | 
  (2) any previously known diagnosis of asthma for the  | 
 person; | 
  (3) the trigger that precipitated respiratory  | 
 distress, if identifiable; | 
  (4) the location of where the symptoms developed; | 
  (5) the number of doses administered; | 
  (6) the type of person administering the asthma  | 
 medication (school nurse, trained personnel, or student); | 
  (7) the outcome of the asthma medication  | 
 administration; and | 
  (8)
any other information required by the State Board.  | 
 (j) By October 1, 2015 and every year thereafter, the  | 
State Board of Education shall submit a report to the General  | 
Assembly identifying the frequency and circumstances of  | 
undesignated epinephrine and undesignated asthma medication  | 
administration during the preceding academic year. Beginning  | 
with the 2017 report, the report shall also contain  | 
information on which school districts, public schools, charter  | 
schools, and nonpublic schools maintain or have independent  | 
contractors providing transportation to students who maintain  | 
a supply of undesignated epinephrine injectors. This report  | 
shall be published on the State Board's Internet website on  | 
the date the report is delivered to the General Assembly. | 
 (j-5) Annually, each school district, public school,  | 
charter school, or nonpublic school shall request an asthma  | 
action plan from the parents or guardians of a pupil with  | 
 | 
asthma. If provided, the asthma action plan must be kept on  | 
file in the office of the school nurse or, in the absence of a  | 
school nurse, the school administrator. Copies of the asthma  | 
action plan may be distributed to appropriate school staff who  | 
interact with the pupil on a regular basis, and, if  | 
applicable, may be attached to the pupil's federal Section 504  | 
plan or individualized education program plan. | 
 (j-10) To assist schools with emergency response  | 
procedures for asthma, the State Board of Education, in  | 
consultation with statewide professional organizations with  | 
expertise in asthma management and a statewide organization  | 
representing school administrators, shall develop a model  | 
asthma episode emergency response protocol before September 1,  | 
2016. Each school district, charter school, and nonpublic  | 
school shall adopt an asthma episode emergency response  | 
protocol before January 1, 2017 that includes all of the  | 
components of the State Board's model protocol. | 
 (j-15) Every 2 years, school personnel who work with  | 
pupils shall complete an in-person or online training program  | 
on the management of asthma, the prevention of asthma  | 
symptoms, and emergency response in the school setting. In  | 
consultation with statewide professional organizations with  | 
expertise in asthma management, the State Board of Education  | 
shall make available resource materials for educating school  | 
personnel about asthma and emergency response in the school  | 
setting. | 
 | 
 (j-20) On or before October 1, 2016 and every year  | 
thereafter, the State Board of Education shall submit a report  | 
to the General Assembly and the Department of Public Health  | 
identifying the frequency and circumstances of opioid  | 
antagonist administration during the preceding academic year.  | 
This report shall be published on the State Board's Internet  | 
website on the date the report is delivered to the General  | 
Assembly.  | 
 (k) The State Board of Education may adopt rules necessary  | 
to implement this Section.  | 
 (l) Nothing in this Section shall limit the amount of  | 
epinephrine injectors that any type of school or student may  | 
carry or maintain a supply of. | 
(Source: P.A. 101-81, eff. 7-12-19; 102-413, eff. 8-20-21;  | 
revised 11-9-21.)
 | 
 (105 ILCS 5/22-90) | 
 (Section scheduled to be repealed on February 1, 2023) | 
 Sec. 22-90. Whole Child Task Force. | 
 (a) The General Assembly makes all of the following  | 
findings:  | 
  (1) The COVID-19 pandemic has exposed systemic  | 
 inequities in American society. Students, educators, and  | 
 families throughout this State have been deeply affected  | 
 by the pandemic, and the impact of the pandemic will be  | 
 felt for years to come. The negative consequences of the  | 
 | 
 pandemic have impacted students and communities  | 
 differently along the lines of race, income, language, and  | 
 special needs. However, students in this State faced  | 
 significant unmet physical health, mental health, and  | 
 social and emotional needs even prior to the pandemic.  | 
  (2) The path to recovery requires a commitment from  | 
 adults in this State to address our students cultural,  | 
 physical, emotional, and mental health needs and to  | 
 provide them with stronger and increased systemic support  | 
 and intervention. | 
  (3) It is well documented that trauma and toxic stress  | 
 diminish a child's ability to thrive. Forms of childhood  | 
 trauma and toxic stress include adverse childhood  | 
 experiences, systemic racism, poverty, food and housing  | 
 insecurity, and gender-based violence. The COVID-19  | 
 pandemic has exacerbated these issues and brought them  | 
 into focus. | 
  (4) It is estimated that, overall, approximately 40%  | 
 of children in this State have experienced at least one  | 
 adverse childhood experience and approximately 10% have  | 
 experienced 3 or more adverse childhood experiences.  | 
 However, the number of adverse childhood experiences is  | 
 higher for Black and Hispanic children who are growing up  | 
 in poverty. The COVID-19 pandemic has amplified the number  | 
 of students who have experienced childhood trauma. Also,  | 
 the COVID-19 pandemic has highlighted preexisting  | 
 | 
 inequities in school disciplinary practices that  | 
 disproportionately impact Black and Brown students.  | 
 Research shows, for example, that girls of color are  | 
 disproportionately impacted by trauma, adversity, and  | 
 abuse, and instead of receiving the care and  | 
 trauma-informed support they may need, many Black girls in  | 
 particular face disproportionately harsh disciplinary  | 
 measures. | 
  (5) The cumulative effects of trauma and toxic stress  | 
 adversely impact the physical health of students, as well  | 
 as their ability to learn, form relationships, and  | 
 self-regulate. If left unaddressed, these effects increase  | 
 a student's risk for depression, alcoholism, anxiety,  | 
 asthma, smoking, and suicide, all of which are risks that  | 
 disproportionately affect Black youth and may lead to a  | 
 host of medical diseases as an adult. Access to infant and  | 
 early childhood mental health services is critical to  | 
 ensure the social and emotional well-being of this State's  | 
 youngest children, particularly those children who have  | 
 experienced trauma. | 
  (6) Although this State enacted measures through  | 
 Public Act 100-105 to address the high rate of early care  | 
 and preschool expulsions of infants, toddlers, and  | 
 preschoolers and the disproportionately higher rate of  | 
 expulsion for Black and Hispanic children, a recent study  | 
 found a wide variation in the awareness, understanding,  | 
 | 
 and compliance with the law by providers of early  | 
 childhood care. Further work is needed to implement the  | 
 law, which includes providing training to early childhood  | 
 care providers to increase their understanding of the law,  | 
 increasing the availability and access to infant and early  | 
 childhood mental health services, and building aligned  | 
 data collection systems to better understand expulsion  | 
 rates and to allow for accurate reporting as required by  | 
 the law.  | 
  (7) Many educators and schools in this State have  | 
 embraced and implemented evidenced-based restorative  | 
 justice and trauma-responsive and culturally relevant  | 
 practices and interventions. However, the use of these  | 
 interventions on students is often isolated or is  | 
 implemented occasionally and only if the school has the  | 
 appropriate leadership, resources, and partners available  | 
 to engage seriously in this work. It would be malpractice  | 
 to deny our students access to these practices and  | 
 interventions, especially in the aftermath of a  | 
 once-in-a-century pandemic. | 
 (b) The Whole Child Task Force is created for the purpose  | 
of establishing an equitable, inclusive, safe, and supportive  | 
environment in all schools for every student in this State.  | 
The task force shall have all of the following goals, which  | 
means key steps have to be taken to ensure that every child in  | 
every school in this State has access to teachers, social  | 
 | 
workers, school leaders, support personnel, and others who  | 
have been trained in evidenced-based interventions and  | 
restorative practices:  | 
  (1) To create a common definition of a  | 
 trauma-responsive school, a trauma-responsive district,  | 
 and a trauma-responsive community. | 
  (2) To outline the training and resources required to  | 
 create and sustain a system of support for  | 
 trauma-responsive schools, districts, and communities and  | 
 to identify this State's role in that work, including  | 
 recommendations concerning options for redirecting  | 
 resources from school resource officers to classroom-based  | 
 support. | 
  (3) To identify or develop a process to conduct an  | 
 analysis of the organizations that provide training in  | 
 restorative practices, implicit bias, anti-racism, and  | 
 trauma-responsive systems, mental health services, and  | 
 social and emotional services to schools. | 
  (4) To provide recommendations concerning the key data  | 
 to be collected and reported to ensure that this State has  | 
 a full and accurate understanding of the progress toward  | 
 ensuring that all schools, including programs and  | 
 providers of care to pre-kindergarten children, employ  | 
 restorative, anti-racist, and trauma-responsive  | 
 strategies and practices. The data collected must include  | 
 information relating to the availability of trauma  | 
 | 
 responsive support structures in schools as well as  | 
 disciplinary practices employed on students in person or  | 
 through other means, including during remote or blended  | 
 learning. It should also include information on the use  | 
 of, and funding for, school resource officers and other  | 
 similar police personnel in school programs. | 
  (5) To recommend an implementation timeline, including  | 
 the key roles, responsibilities, and resources to advance  | 
 this State toward a system in which every school,  | 
 district, and community is progressing toward becoming  | 
 trauma-responsive. | 
  (6) To seek input and feedback from stakeholders,  | 
 including parents, students, and educators, who reflect  | 
 the diversity of this State.  | 
  (7) To recommend legislation, policies, and practices  | 
 to prevent learning loss in students during periods of  | 
 suspension and expulsion, including, but not limited to,  | 
 remote instruction. | 
 (c) Members of the Whole Child Task Force shall be  | 
appointed by the State Superintendent of Education. Members of  | 
this task force must represent the diversity of this State and  | 
possess the expertise needed to perform the work required to  | 
meet the goals of the task force set forth under subsection  | 
(a). Members of the task force shall include all of the  | 
following:  | 
  (1) One member of a statewide professional teachers'  | 
 | 
 organization. | 
  (2) One member of another statewide professional  | 
 teachers' organization. | 
  (3) One member who represents a school district  | 
 serving a community with a population of 500,000 or more. | 
  (4) One member of a statewide organization  | 
 representing social workers. | 
  (5) One member of an organization that has specific  | 
 expertise in trauma-responsive school practices and  | 
 experience in supporting schools in developing  | 
 trauma-responsive and restorative practices. | 
  (6) One member of another organization that has  | 
 specific expertise in trauma-responsive school practices  | 
 and experience in supporting schools in developing  | 
 trauma-responsive and restorative practices. | 
  (7) One member of a statewide organization that  | 
 represents school administrators. | 
  (8) One member of a statewide policy organization that  | 
 works to build a healthy public education system that  | 
 prepares all students for a successful college, career,  | 
 and civic life. | 
  (9) One member of a statewide organization that brings
 | 
 teachers together to identify and address issues
critical  | 
 to student success. | 
  (10) One member of the General Assembly recommended by  | 
 the President of the Senate. | 
 | 
  (11) One member of the General Assembly recommended by  | 
 the Speaker of the House of
Representatives. | 
  (12) One member of the General Assembly recommended by  | 
 the Minority Leader of the Senate. | 
  (13) One member of the General Assembly recommended by  | 
 the Minority Leader of the House of Representatives. | 
  (14) One member of a civil rights organization that  | 
 works actively on issues regarding student support. | 
  (15) One administrator from a school district that has  | 
 actively worked to develop a system of student support  | 
 that uses a trauma-informed lens. | 
  (16) One educator from a school district that has  | 
 actively worked to develop a system of student support  | 
 that uses a trauma-informed lens. | 
  (17) One member of a youth-led organization. | 
  (18) One member of an organization that has  | 
 demonstrated expertise in restorative practices.  | 
  (19) One member of a coalition of mental health and  | 
 school practitioners who assist schools in developing and  | 
 implementing trauma-informed and restorative strategies  | 
 and systems. | 
  (20) One member of an organization whose mission is to  | 
 promote the safety, health, and economic success of  | 
 children, youth, and families in this State. | 
  (21) One member who works or has worked as a  | 
 restorative justice coach or disciplinarian. | 
 | 
  (22) One member who works or has worked as a social  | 
 worker. | 
  (23) One member of the State Board of Education. | 
  (24) One member who represents a statewide principals'  | 
 organization. | 
  (25) One member who represents a statewide  | 
 organization of school boards.  | 
  (26) One member who has expertise in pre-kindergarten  | 
 education.  | 
  (27) One member who represents a school social worker  | 
 association.  | 
  (28) One member who represents an organization that  | 
 represents school districts in the south suburbs.  | 
  (29) One member who is a licensed clinical  | 
 psychologist who (A) has a doctor of philosophy in the  | 
 field of clinical psychology and has an appointment at an  | 
 independent free-standing children's hospital located in  | 
 Chicago, (B) serves as associate professor at a medical  | 
 school located in Chicago, and (C) serves as the clinical  | 
 director of a coalition of voluntary collaboration of  | 
 organizations that are committed to applying a trauma lens  | 
 to their efforts on behalf of families and children in the  | 
 State.  | 
  (30) One member who represents a west suburban school  | 
 district.  | 
  (31) One member from a governmental agency who has  | 
 | 
 expertise in child development and who is responsible for  | 
 coordinating early childhood mental health programs and  | 
 services. | 
  (32) One member who has significant expertise in early  | 
 childhood mental health and childhood trauma.  | 
  (33) One member who represents an organization that  | 
 represents school districts in the collar counties.  | 
  (34) (31) One member who represents an organization  | 
 representing regional offices of education.  | 
 (d) The Whole Child Task Force shall meet at the call of  | 
the State Superintendent of Education or his or her designee,  | 
who shall serve as the chairperson. The State Board of  | 
Education shall provide administrative and other support to  | 
the task force. Members of the task force shall serve without  | 
compensation. | 
 (e) The Whole Child Task Force shall submit a report of its  | 
findings and recommendations to the General Assembly, the  | 
Illinois Legislative Black Caucus, the State Board of  | 
Education, and the Governor on or before March 15, 2022. Upon  | 
submitting its report, the task force is dissolved.  | 
 (f) This Section is repealed on February 1, 2023. 
 | 
(Source: P.A. 101-654, eff. 3-8-21; 102-209, eff. 11-30-21  | 
(See Section 5 of P.A. 102-671 for effective date of P.A.  | 
102-209); 102-635, eff. 11-30-21 (See Section 10 of P.A.  | 
102-671 for effective date of P.A. 102-635); 102-671, eff.  | 
11-30-21; revised 1-5-22.)
 | 
 | 
 (105 ILCS 5/22-91)
 | 
 Sec. 22-91 22-90. Modification of athletic or team  | 
uniform; nonpublic schools. | 
 (a) A nonpublic school recognized by the State Board of  | 
Education must allow a student athlete to modify his or her  | 
athletic or team uniform for the purpose of modesty in  | 
clothing or attire that is in accordance with the requirements  | 
of his or her religion or his or her cultural values or modesty  | 
preferences. The modification of the athletic or team uniform  | 
may include, but is not limited to, the wearing of a hijab, an  | 
undershirt, or leggings. If a student chooses to modify his or  | 
her athletic or team uniform the student is responsible for  | 
all costs associated with the modification of the uniform and  | 
the student shall not be required to receive prior approval  | 
from the school for such modification. However, nothing in  | 
this Section prohibits a school from providing the  | 
modification to the student. | 
 (b) At a minimum, any modification of the athletic or team  | 
uniform must not interfere with the movement of the student or  | 
pose a safety hazard to the student or to other athletes or  | 
players. The modification of headgear is permitted if the  | 
headgear: | 
  (1) is black, white, the predominant predominate color  | 
 of the uniform, or the same color for all players on the  | 
 team; | 
 | 
  (2) does not cover any part of the face; | 
  (3) is not dangerous to the player or to the other  | 
 players; | 
  (4) has no opening or closing elements around the face  | 
 and neck; and | 
  (5) has no parts extruding from its surface. 
 | 
(Source: P.A. 102-51, eff. 7-9-21; revised 11-9-21.)
 | 
 (105 ILCS 5/22-92)
 | 
 (This Section may contain text from a Public Act with a  | 
delayed effective date) | 
 Sec. 22-92 22-90. Absenteeism and truancy policy. | 
 (a) Each school district, charter school, or alternative  | 
school or any school receiving public funds shall develop and  | 
communicate to its students and their parent or guardian, on  | 
an annual basis, an absenteeism and truancy policy, including  | 
at least the following elements:  | 
  (1) A definition of a valid cause for absence in  | 
 accordance with Section 26-2a of this Code.  | 
  (2) A description of diagnostic procedures to be used  | 
 for identifying the causes of unexcused student  | 
 absenteeism, which shall, at a minimum, include interviews  | 
 with the student, his or her parent or guardian, and any  | 
 school officials who may have information about the  | 
 reasons for the student's attendance problem.  | 
  (3) The identification of supportive services to be  | 
 | 
 made available to truant or chronically truant students.  | 
 These services shall include, but need not be limited to,  | 
 parent conferences, student counseling, family counseling,  | 
 and information about existing community services that are  | 
 available to truant and chronically truant students and  | 
 relevant to their needs.  | 
  (4) Incorporation of the provisions relating to  | 
 chronic absenteeism in accordance with Section 26-18 of  | 
 this Code.  | 
 (b) The absenteeism and truancy policy must be updated  | 
every 2 years and filed with the State Board of Education and  | 
the regional superintendent of schools. 
 | 
(Source: P.A. 102-157, eff. 7-1-22; revised 11-9-21.)
 | 
 (105 ILCS 5/22-93)
 | 
 Sec. 22-93 22-90. School guidance counselor; gift ban. | 
 (a) In this Section: | 
 "Guidance counselor" means a person employed by a school  | 
district and working in a high school to offer students advice  | 
and assistance in making career or college plans. | 
 "Prohibited source" means any person who is employed by an  | 
institution of higher education or is an agent or spouse of or  | 
an immediate family member living with a person employed by an  | 
institution of higher education. | 
 "Relative" means an individual related to another as  | 
father, mother, son, daughter, brother, sister, uncle, aunt,  | 
 | 
great-aunt, great-uncle, first cousin, nephew, niece, husband,  | 
wife, grandfather, grandmother, grandson, granddaughter,  | 
father-in-law, mother-in-law, son-in-law, daughter-in-law,  | 
brother-in-law, sister-in-law, stepfather, stepmother,  | 
stepson, stepdaughter, stepbrother, stepsister, half brother,  | 
or half sister or the father, mother, grandfather, or  | 
grandmother of the individual's spouse or the individual's  | 
fiance or fiancee. | 
 (b) A guidance counselor may not intentionally solicit or  | 
accept any gift from a prohibited source or solicit or accept a  | 
gift that would be in violation of any federal or State statute  | 
or rule. A prohibited source may not intentionally offer or  | 
make a gift that violates this Section. | 
 (c) The prohibition in subsection (b) does not apply to  | 
any of the following: | 
  (1) Opportunities, benefits, and services that are  | 
 available on the same conditions as for the general  | 
 public. | 
  (2) Anything for which the guidance counselor pays the  | 
 market value. | 
  (3) A gift from a relative. | 
  (4) Anything provided by an individual on the basis of  | 
 a personal friendship, unless the guidance counselor has  | 
 reason to believe that, under the circumstances, the gift  | 
 was provided because of the official position or  | 
 employment of the guidance counselor and not because of  | 
 | 
 the personal friendship. In determining whether a gift is  | 
 provided on the basis of personal friendship, the guidance  | 
 counselor must consider the circumstances in which the  | 
 gift was offered, including any of the following: | 
   (A) The history of the relationship between the  | 
 individual giving the gift and the guidance counselor,  | 
 including any previous exchange of gifts between those  | 
 individuals. | 
   (B) Whether, to the actual knowledge of the  | 
 guidance counselor, the individual who gave the gift  | 
 personally paid for the gift or sought a tax deduction  | 
 or business reimbursement for the gift. | 
   (C) Whether, to the actual knowledge of the  | 
 guidance counselor, the individual who gave the gift  | 
 also, at the same time, gave the same or a similar gift  | 
 to other school district employees. | 
  (5) Bequests, inheritances, or other transfers at  | 
 death. | 
  (6) Any item or items from any one prohibited source  | 
 during any calendar year having a cumulative total value  | 
 of less than $100. | 
  (7) Promotional materials, including, but not limited  | 
 to, pens, pencils, banners, posters, and pennants.  | 
 Each exception listed under this subsection is mutually  | 
exclusive and independent of one another. | 
 (d) A guidance counselor is not in violation of this  | 
 | 
Section if he or she promptly takes reasonable action to  | 
return the gift to the prohibited source or donates the gift or  | 
an amount equal to its value to an appropriate charity that is  | 
exempt from income taxation under Section 501(c)(3) of the  | 
Internal Revenue Code of 1986. | 
 A guidance counselor or prohibited source who  | 
intentionally violates this Section is guilty of a business  | 
offense and is subject to a fine of at least $1,001 and up to  | 
$5,000. 
 | 
(Source: P.A. 102-327, eff. 1-1-22; revised 11-9-21.)
 | 
 (105 ILCS 5/24-2) (from Ch. 122, par. 24-2)
 | 
 Sec. 24-2. Holidays.  | 
 (a) Teachers shall not be required
to teach on Saturdays,  | 
nor, except as provided in subsection (b) of this Section,  | 
shall teachers or other school
employees, other than  | 
noncertificated school employees whose presence is
necessary  | 
because of an emergency or for the continued operation and
 | 
maintenance of school facilities or property, be
required to  | 
work on legal school
holidays, which are January 1, New Year's  | 
Day; the third Monday in
January, the Birthday of Dr. Martin  | 
Luther King, Jr.; February 12, the
Birthday of President  | 
Abraham Lincoln; the
first Monday in March (to be known as  | 
Casimir Pulaski's birthday); Good
Friday; the day designated  | 
as Memorial Day by federal law; June 19, Juneteenth National  | 
Freedom Day; July 4,
Independence Day; the first Monday in  | 
 | 
September, Labor Day; the second Monday
in October, Columbus  | 
Day; November 11, Veterans' Day; the Thursday in
November  | 
commonly called Thanksgiving Day; and December 25, Christmas  | 
Day.
School boards may grant special holidays whenever in  | 
their judgment such
action is advisable. No deduction shall
be  | 
made from the time or
compensation of a school employee on  | 
account of any legal
or special holiday.
 | 
 (b) A school board or other entity eligible to apply for  | 
waivers and modifications under Section 2-3.25g of this Code  | 
is authorized to hold school or schedule teachers' institutes,  | 
parent-teacher conferences, or staff development on the third  | 
Monday in January (the Birthday of Dr. Martin Luther King,  | 
Jr.); February 12 (the Birthday of President Abraham Lincoln);  | 
the first Monday in March (known as Casimir Pulaski's  | 
birthday); the second Monday in October (Columbus Day); and  | 
November 11 (Veterans' Day), provided that: | 
  (1) the person or persons honored by the holiday are  | 
 recognized through instructional activities conducted on  | 
 that day or, if the day is not used for student attendance,  | 
 on the first school day preceding or following that day;  | 
 and | 
  (2) the entity that chooses to exercise this authority  | 
 first holds a public hearing about the proposal. The  | 
 entity shall provide notice preceding the public hearing  | 
 to both educators and parents. The notice shall set forth  | 
 the time, date, and place of the hearing, describe the  | 
 | 
 proposal, and indicate that the entity will take testimony  | 
 from educators and parents about the proposal.
 | 
 (c) Commemorative holidays, which recognize specified  | 
patriotic, civic,
cultural or historical persons, activities,  | 
or events, are regular school
days. Commemorative
holidays  | 
are: January 17 (the birthday of Muhammad Ali), January 28 (to  | 
be known as Christa McAuliffe Day and
observed as a  | 
commemoration of space exploration), February 15 (the
birthday  | 
of Susan B. Anthony), March 29 (Viet Nam War Veterans' Day),
 | 
September 11 (September 11th Day of Remembrance), the school  | 
day
immediately preceding Veterans' Day (Korean War Veterans'
 | 
Day), October 1 (Recycling Day), October 7 (Iraq and  | 
Afghanistan Veterans Remembrance Day), December 7 (Pearl  | 
Harbor Veterans' Day), and
any day so appointed by the  | 
President or
Governor. School boards may establish  | 
commemorative holidays whenever in
their judgment such action  | 
is advisable.
School boards shall include instruction relative  | 
to commemorated persons,
activities, or
events on the  | 
commemorative holiday or at any other time during the school
 | 
year and at any point in the curriculum when such instruction  | 
may be deemed
appropriate. The State Board of Education shall  | 
prepare and make available
to school boards instructional  | 
materials relative to commemorated persons,
activities,
or  | 
events which may be used by school boards in conjunction with  | 
any
instruction provided pursuant to this paragraph.
 | 
 (d) City of Chicago School District 299 shall observe  | 
 | 
March 4 of each year as
a commemorative holiday. This holiday  | 
shall be known as Mayors' Day which
shall be a day to  | 
commemorate and be reminded of the past Chief Executive
 | 
Officers of the City of Chicago, and in particular the late  | 
Mayor Richard
J. Daley and the late Mayor Harold Washington.  | 
If March 4 falls on a
Saturday or Sunday, Mayors' Day shall be  | 
observed on the following Monday. | 
 (e) Notwithstanding any other provision of State law to  | 
the contrary, November 3, 2020 shall be a State holiday known  | 
as 2020 General Election Day and shall be observed throughout  | 
the State pursuant to this amendatory Act of the 101st General  | 
Assembly. All government offices, with the exception of  | 
election authorities, shall be closed unless authorized to be  | 
used as a location for election day services or as a polling  | 
place.  | 
 Notwithstanding any other provision of State law to the  | 
contrary, November 8, 2022 shall be a State holiday known as  | 
2022 General Election Day and shall be observed throughout the  | 
State under Public Act 102-15 this amendatory Act of the 102nd  | 
General Assembly. 
 | 
(Source: P.A. 101-642, eff. 6-16-20; 102-14, eff. 1-1-22;  | 
102-15, eff. 6-17-21; 102-334, eff. 8-9-21; 102-411, eff.  | 
1-1-22; revised 10-4-21.)
 | 
 (105 ILCS 5/26-1) (from Ch. 122, par. 26-1)
 | 
 Sec. 26-1. Compulsory school age; exemptions. Whoever has  | 
 | 
custody or control of any child (i) between the ages of 7 and  | 
17
years (unless the child has already graduated from high  | 
school) for school years before the 2014-2015 school year or  | 
(ii) between the ages
of 6 (on or before September 1) and 17  | 
years (unless the child has already graduated from high  | 
school) beginning with the 2014-2015 school year
shall cause  | 
such child to attend some public school in the district
 | 
wherein the child resides the entire time it is in session  | 
during the
regular school term, except as provided in Section  | 
10-19.1, and during a
required summer school program  | 
established under Section 10-22.33B; provided,
that
the  | 
following children shall not be required to attend the public  | 
schools:
 | 
  1. Any child attending a private or a parochial school  | 
 where children
are taught the branches of education taught  | 
 to children of corresponding
age and grade in the public  | 
 schools, and where the instruction of the child
in the  | 
 branches of education is in the English language;
 | 
  2. Any child who is physically or mentally unable to  | 
 attend school, such
disability being certified to the  | 
 county or district truant officer by a
competent physician  | 
 licensed in Illinois to practice medicine and surgery in  | 
 all its branches, a chiropractic physician licensed under  | 
 the Medical Practice Act of 1987, a licensed advanced  | 
 practice registered nurse, a licensed physician assistant,  | 
 or a Christian Science practitioner residing in this
State  | 
 | 
 and listed in the Christian Science Journal; or who is  | 
 excused for
temporary absence for cause by
the principal  | 
 or teacher of the school which the child attends, with  | 
 absence for cause by illness being required to include the  | 
 mental or behavioral health of the child for up to 5 days  | 
 for which the child need not provide a medical note, in  | 
 which case the child shall be given the opportunity to  | 
 make up any school work missed during the mental or  | 
 behavioral health absence and, after the second mental  | 
 health day used, may be referred to the appropriate school  | 
 support personnel; the exemptions
in this paragraph (2) do  | 
 not apply to any female who is pregnant or the
mother of  | 
 one or more children, except where a female is unable to  | 
 attend
school due to a complication arising from her  | 
 pregnancy and the existence
of such complication is  | 
 certified to the county or district truant officer
by a  | 
 competent physician;
 | 
  3. Any child necessarily and lawfully employed  | 
 according to the
provisions of the law regulating child  | 
 labor may be excused from attendance
at school by the  | 
 county superintendent of schools or the superintendent of
 | 
 the public school which the child should be attending, on  | 
 certification of
the facts by and the recommendation of  | 
 the school board of the public
school district in which  | 
 the child resides. In districts having part-time
 | 
 continuation schools, children so excused shall attend  | 
 | 
 such schools at
least 8 hours each week;
 | 
  4. Any child over 12 and under 14 years of age while in  | 
 attendance at
confirmation classes;
 | 
  5. Any child absent from a public school on a  | 
 particular day or days
or at a particular time of day for  | 
 the reason that he is unable to attend
classes or to  | 
 participate in any examination, study, or work  | 
 requirements on
a particular day or days or at a  | 
 particular time of day because of religious reasons,  | 
 including the observance of a religious holiday or  | 
 participation in religious instruction, or because the  | 
 tenets
of his religion forbid secular activity on a  | 
 particular day or days or at a
particular time of day. A  | 
 school
board may require the parent or guardian of a child  | 
 who is to be excused
from attending school because of  | 
 religious reasons to give
notice, not exceeding 5 days, of  | 
 the child's absence to the school
principal or other  | 
 school personnel. Any child excused from attending
school  | 
 under this paragraph 5 shall not be required to submit a  | 
 written
excuse for such absence after returning to school.  | 
 A district superintendent shall develop and distribute to  | 
 schools appropriate procedures regarding a student's  | 
 absence for religious reasons, how schools are notified of  | 
 a student's impending absence for religious reasons, and  | 
 the requirements of Section 26-2b of this Code; | 
  6. Any child 16 years of age or older who (i) submits  | 
 | 
 to a school district evidence of necessary and lawful  | 
 employment pursuant to paragraph 3 of this Section and  | 
 (ii) is enrolled in a graduation incentives program  | 
 pursuant to Section 26-16 of this Code or an alternative  | 
 learning opportunities program established pursuant to  | 
 Article 13B of this Code;
 | 
  7. A child in any of grades 6 through 12 absent from a  | 
 public school on a particular day or days or at a  | 
 particular time of day for the purpose of sounding "Taps"  | 
 at a military honors funeral held in this State for a  | 
 deceased veteran. In order to be excused under this  | 
 paragraph 7, the student shall notify the school's  | 
 administration at least 2 days prior to the date of the  | 
 absence and shall provide the school's administration with  | 
 the date, time, and location of the military
honors  | 
 funeral. The school's administration may waive this 2-day  | 
 notification requirement if the student did not receive at  | 
 least 2 days advance notice, but the student shall notify  | 
 the school's administration as soon as possible of the  | 
 absence. A student whose absence is excused under this  | 
 paragraph 7 shall be counted as if the student attended  | 
 school for purposes of calculating the average daily  | 
 attendance of students in the school district. A student  | 
 whose absence is excused under this paragraph 7 must be  | 
 allowed a reasonable time to make up school work missed  | 
 during the absence. If the student satisfactorily  | 
 | 
 completes the school work, the day of absence shall be  | 
 counted as a day of compulsory attendance and he or she may  | 
 not be penalized for that absence; and | 
  8. Any child absent from a public school on a  | 
 particular day or days or at a particular time of day for  | 
 the reason that his or her parent or legal guardian is an  | 
 active duty member of the uniformed services and has been  | 
 called to duty for, is on leave from, or has immediately  | 
 returned from deployment to a combat zone or  | 
 combat-support postings. Such a student shall be granted 5  | 
 days of excused absences in any school year and, at the  | 
 discretion of the school board, additional excused  | 
 absences to visit the student's parent or legal guardian  | 
 relative to such leave or deployment of the parent or  | 
 legal guardian. In the case of excused absences pursuant  | 
 to this paragraph 8, the student and parent or legal  | 
 guardian shall be responsible for obtaining assignments  | 
 from the student's teacher prior to any period of excused  | 
 absence and for ensuring that such assignments are  | 
 completed by the student prior to his or her return to  | 
 school from such period of excused absence.  | 
(Source: P.A. 102-266, eff. 1-1-22; 102-321, eff. 1-1-22;  | 
102-406, eff. 8-19-21; revised 9-28-21.)
 | 
 (105 ILCS 5/26-2a) (from Ch. 122, par. 26-2a) | 
 (Text of Section before amendment by P.A. 102-466) | 
 | 
 Sec. 26-2a. A "truant" is defined as a child who is subject  | 
to compulsory school
attendance and who is absent without  | 
valid cause, as defined under this Section, from such  | 
attendance for more than 1% but less than 5% of the past 180  | 
school days. | 
 "Valid cause" for absence shall be illness, including the  | 
mental or behavioral health of the student, observance of a  | 
religious
holiday, death in the immediate family,
or family  | 
emergency and shall include such other situations beyond the  | 
control
of the student, as determined by the board of  | 
education in each district,
or such other circumstances which  | 
cause reasonable concern to the parent
for the mental,  | 
emotional, or physical health or safety of the student. | 
 "Chronic or habitual truant" shall be defined as a child  | 
who is subject to compulsory
school attendance and who is  | 
absent without valid cause from such attendance
for 5% or more  | 
of the previous 180 regular attendance days. | 
 "Truant minor" is defined as a chronic truant to whom  | 
supportive
services, including prevention, diagnostic,  | 
intervention and remedial
services, alternative programs and  | 
other school and community resources
have been provided and  | 
have failed to result in the cessation of chronic
truancy, or  | 
have been offered and refused. | 
 A "dropout" is defined as any child enrolled in grades 9  | 
through 12 whose
name has been removed from the district  | 
enrollment roster for any reason
other than the student's  | 
 | 
death, extended illness, removal for medical non-compliance,  | 
expulsion, aging out, graduation, or completion of a
program  | 
of studies and who has not transferred to another public or  | 
private school and is not known to be home-schooled by his or  | 
her parents or guardians or continuing school in another  | 
country. | 
 "Religion" for the purposes of this Article, includes all  | 
aspects of
religious observance and practice, as well as  | 
belief. | 
(Source: P.A. 101-81, eff. 7-12-19; 102-266, eff. 1-1-22;  | 
102-321, eff. 1-1-22.)
 | 
 (Text of Section after amendment by P.A. 102-466)
 | 
 Sec. 26-2a. A "truant" is defined as a child who is subject  | 
to compulsory school
attendance and who is absent without  | 
valid cause, as defined under this Section, from such  | 
attendance for more than 1% but less than 5% of the past 180  | 
school days. | 
 "Valid cause" for absence shall be illness, including the  | 
mental or behavioral health of the student, attendance at a  | 
verified medical or therapeutic appointment, appointment with  | 
a victim services provider, observance of a religious
holiday,  | 
death in the immediate family,
or family emergency and shall  | 
include such other situations beyond the control
of the  | 
student, as determined by the board of education in each  | 
district,
or such other circumstances which cause reasonable  | 
 | 
concern to the parent
for the mental, emotional, or physical  | 
health or safety of the student. For purposes of a student who  | 
is an expectant parent, or parent, or victim of domestic or  | 
sexual violence, "valid cause" for absence includes (i) the  | 
fulfillment of a parenting responsibility, including, but not  | 
limited to, arranging and providing child care, caring for a  | 
sick child, attending prenatal or other medical appointments  | 
for the expectant student, and attending medical appointments  | 
for a child, and (ii) addressing circumstances resulting from  | 
domestic or sexual violence, including, but not limited to,  | 
experiencing domestic or sexual violence, recovering from  | 
physical or psychological injuries, seeking medical attention,  | 
seeking services from a domestic or sexual violence  | 
organization, as defined in Article 26A, seeking psychological  | 
or other counseling, participating in safety planning,  | 
temporarily or permanently relocating, seeking legal  | 
assistance or remedies, or taking any other action to increase  | 
the safety or health of the student or to protect the student  | 
from future domestic or sexual violence. A school district may  | 
require a student to verify his or her claim of domestic or  | 
sexual violence under Section 26A-45 prior to the district  | 
approving a valid cause for an absence of 3 or more consecutive  | 
days that is related to domestic or sexual violence.  | 
 "Chronic or habitual truant" shall be defined as a child  | 
who is subject to compulsory
school attendance and who is  | 
absent without valid cause from such attendance
for 5% or more  | 
 | 
of the previous 180 regular attendance days. | 
 "Truant minor" is defined as a chronic truant to whom  | 
supportive
services, including prevention, diagnostic,  | 
intervention and remedial
services, alternative programs and  | 
other school and community resources
have been provided and  | 
have failed to result in the cessation of chronic
truancy, or  | 
have been offered and refused. | 
 A "dropout" is defined as any child enrolled in grades 9  | 
through 12 whose
name has been removed from the district  | 
enrollment roster for any reason
other than the student's  | 
death, extended illness, removal for medical non-compliance,  | 
expulsion, aging out, graduation, or completion of a
program  | 
of studies and who has not transferred to another public or  | 
private school and is not known to be home-schooled by his or  | 
her parents or guardians or continuing school in another  | 
country. | 
 "Religion" for the purposes of this Article, includes all  | 
aspects of
religious observance and practice, as well as  | 
belief. | 
(Source: P.A. 101-81, eff. 7-12-19; 102-266, eff. 1-1-22;  | 
102-321, eff. 1-1-22; 102-466, eff. 7-1-25; revised 9-23-21.)
 | 
 (105 ILCS 5/26-13) (from Ch. 122, par. 26-13)
 | 
 (Text of Section before amendment by P.A. 102-157)
 | 
 Sec. 26-13. Absenteeism and truancy policies. School  | 
districts shall
adopt policies, consistent with rules adopted  | 
 | 
by the State Board of
Education, which identify the  | 
appropriate supportive services and available
resources which  | 
are provided for truants and chronic truants.
 | 
(Source: P.A. 84-1420.)
 | 
 (Text of Section after amendment by P.A. 102-157)
 | 
 Sec. 26-13. Absenteeism and truancy policies. School  | 
districts shall
adopt policies, consistent with rules adopted  | 
by the State Board of
Education and Section 22-92 22-90, which  | 
identify the appropriate supportive services and available
 | 
resources which are provided for truants and chronic truants.
 | 
(Source: P.A. 102-157, eff. 7-1-22; revised 11-9-21.)
 | 
 (105 ILCS 5/27-23.7) | 
 Sec. 27-23.7. Bullying prevention. | 
 (a) The General Assembly finds that a safe and civil  | 
school environment is necessary for students to learn and  | 
achieve and that bullying causes physical, psychological, and  | 
emotional harm to students and interferes with students'  | 
ability to learn and participate in school activities. The  | 
General Assembly further finds that bullying has been linked  | 
to other forms of antisocial behavior, such as vandalism,  | 
shoplifting, skipping and dropping out of school, fighting,  | 
using drugs and alcohol, sexual harassment, and sexual  | 
violence. Because of the negative outcomes associated with  | 
bullying in schools, the General Assembly finds that school  | 
 | 
districts, charter schools, and non-public, non-sectarian  | 
elementary and secondary schools should educate students,  | 
parents, and school district, charter school, or non-public,  | 
non-sectarian elementary or secondary school personnel about  | 
what behaviors constitute prohibited bullying. | 
 Bullying on the basis of actual or perceived race, color,  | 
religion, sex, national origin, ancestry, age, marital status,  | 
physical or mental disability, military status, sexual  | 
orientation, gender-related identity or expression,  | 
unfavorable discharge from military service, association with  | 
a person or group with one or more of the aforementioned actual  | 
or perceived characteristics, or any other distinguishing  | 
characteristic is prohibited in all school districts, charter  | 
schools, and non-public, non-sectarian elementary and  | 
secondary schools.
No student shall be subjected to bullying: | 
  (1) during any school-sponsored education program or  | 
 activity; | 
  (2) while in school, on school property, on school  | 
 buses or other school vehicles, at designated school bus  | 
 stops waiting for the school bus, or at school-sponsored  | 
 or school-sanctioned events or activities; | 
  (3) through the transmission of information from a  | 
 school computer, a school computer network, or other  | 
 similar electronic school equipment; or  | 
  (4) through the transmission of information from a  | 
 computer that is accessed at a nonschool-related location,  | 
 | 
 activity, function, or program or from the use of  | 
 technology or an electronic device that is not owned,  | 
 leased, or used by a school district or school if the  | 
 bullying causes a substantial disruption to the  | 
 educational process or orderly operation of a school. This  | 
 item (4) applies only in cases in which a school  | 
 administrator or teacher receives a report that bullying  | 
 through this means has occurred and does not require a  | 
 district or school to staff or monitor any  | 
 nonschool-related activity, function, or program.  | 
 (a-5) Nothing in this Section is intended to infringe upon  | 
any right to exercise free expression or the free exercise of  | 
religion or religiously based views protected under the First  | 
Amendment to the United States Constitution or under Section 3  | 
of Article I of the Illinois Constitution.  | 
 (b) In this Section:
 | 
 "Bullying" includes "cyber-bullying" and means any severe  | 
or pervasive physical or verbal act or conduct, including  | 
communications made in writing or electronically, directed  | 
toward a student or students that has or can be reasonably  | 
predicted to have the effect of one or more of the following: | 
  (1) placing the student or students in reasonable fear  | 
 of harm to the student's or students' person or property; | 
  (2) causing a substantially detrimental effect on the  | 
 student's or students' physical or mental health; | 
  (3) substantially interfering with the student's or  | 
 | 
 students' academic performance; or | 
  (4) substantially interfering with the student's or  | 
 students' ability to participate in or benefit from the  | 
 services, activities, or privileges provided by a school. | 
 Bullying, as defined in this subsection (b), may take  | 
various forms, including without limitation one or more of the  | 
following: harassment, threats, intimidation, stalking,  | 
physical violence, sexual harassment, sexual violence, theft,  | 
public humiliation, destruction of property, or retaliation  | 
for asserting or alleging an act of bullying. This list is  | 
meant to be illustrative and non-exhaustive. | 
 "Cyber-bullying" means bullying through the use of  | 
technology or any electronic communication, including without  | 
limitation any transfer of signs, signals, writing, images,  | 
sounds, data, or intelligence of any nature transmitted in  | 
whole or in part by a wire, radio, electromagnetic system,  | 
photoelectronic system, or photooptical system, including  | 
without limitation electronic mail, Internet communications,  | 
instant messages, or facsimile communications.  | 
"Cyber-bullying" includes the creation of a webpage or weblog  | 
in which the creator assumes the identity of another person or  | 
the knowing impersonation of another person as the author of  | 
posted content or messages if the creation or impersonation  | 
creates any of the effects enumerated in the definition of  | 
bullying in this Section. "Cyber-bullying" also includes the  | 
distribution by electronic means of a communication to more  | 
 | 
than one person or the posting of material on an electronic  | 
medium that may be accessed by one or more persons if the  | 
distribution or posting creates any of the effects enumerated  | 
in the definition of bullying in this Section.  | 
 "Policy on bullying" means a bullying prevention policy  | 
that meets the following criteria: | 
  (1) Includes the bullying definition provided in this  | 
 Section. | 
  (2) Includes a statement that bullying is contrary to  | 
 State law and the policy of the school district, charter  | 
 school, or non-public, non-sectarian elementary or  | 
 secondary school and is consistent with subsection (a-5)  | 
 of this Section. | 
  (3) Includes procedures for promptly reporting  | 
 bullying, including, but not limited to, identifying and  | 
 providing the school e-mail address (if applicable) and  | 
 school telephone number for the staff person or persons  | 
 responsible for receiving such reports and a procedure for  | 
 anonymous reporting; however, this shall not be construed  | 
 to permit formal disciplinary action solely on the basis  | 
 of an anonymous report. | 
  (4) Consistent with federal and State laws and rules  | 
 governing student privacy rights, includes procedures for  | 
 promptly informing parents or guardians of all students  | 
 involved in the alleged incident of bullying and  | 
 discussing, as appropriate, the availability of social  | 
 | 
 work services, counseling, school psychological services,  | 
 other interventions, and restorative measures. | 
  (5) Contains procedures for promptly investigating and  | 
 addressing reports of bullying, including the following: | 
   (A) Making all reasonable efforts to complete the  | 
 investigation within 10 school days after the date the  | 
 report of the incident of bullying was received and  | 
 taking into consideration additional relevant  | 
 information received during the course of the  | 
 investigation about the reported incident of bullying. | 
   (B) Involving appropriate school support personnel  | 
 and other staff persons with knowledge, experience,  | 
 and training on bullying prevention, as deemed  | 
 appropriate, in the investigation process. | 
   (C) Notifying the principal or school  | 
 administrator or his or her designee of the report of  | 
 the incident of bullying as soon as possible after the  | 
 report is received. | 
   (D) Consistent with federal and State laws and  | 
 rules governing student privacy rights, providing  | 
 parents and guardians of the students who are parties  | 
 to the investigation information about the  | 
 investigation and an opportunity to meet with the  | 
 principal or school administrator or his or her  | 
 designee to discuss the investigation, the findings of  | 
 the investigation, and the actions taken to address  | 
 | 
 the reported incident of bullying. | 
  (6) Includes the interventions that can be taken to  | 
 address bullying, which may include, but are not limited  | 
 to, school social work services, restorative measures,  | 
 social-emotional skill building, counseling, school  | 
 psychological services, and community-based services. | 
  (7) Includes a statement prohibiting reprisal or  | 
 retaliation against any person who reports an act of  | 
 bullying and the consequences and appropriate remedial  | 
 actions for a person who engages in reprisal or  | 
 retaliation. | 
  (8) Includes consequences and appropriate remedial  | 
 actions for a person found to have falsely accused another  | 
 of bullying as a means of retaliation or as a means of  | 
 bullying. | 
  (9) Is based on the engagement of a range of school  | 
 stakeholders, including students and parents or guardians. | 
  (10) Is posted on the school district's, charter
 | 
 school's, or non-public, non-sectarian elementary or
 | 
 secondary school's existing Internet website, is
included  | 
 in the student handbook, and, where applicable,
posted  | 
 where other policies, rules, and standards of
conduct are  | 
 currently posted in the school and provided periodically  | 
 throughout the school year to students and faculty, and is
 | 
 distributed annually to parents, guardians, students, and
 | 
 school personnel, including new employees when hired. | 
 | 
  (11) As part of the process of reviewing and  | 
 re-evaluating the policy under subsection (d) of this  | 
 Section, contains a policy evaluation process to assess  | 
 the outcomes and effectiveness of the policy that  | 
 includes, but is not limited to, factors such as the  | 
 frequency of victimization; student, staff, and family  | 
 observations of safety at a school; identification of  | 
 areas of a school where bullying occurs; the types of  | 
 bullying utilized; and bystander intervention or  | 
 participation. The school district, charter school, or  | 
 non-public, non-sectarian elementary or secondary school  | 
 may use relevant data and information it already collects  | 
 for other purposes in the policy evaluation. The  | 
 information developed as a result of the policy evaluation  | 
 must be made available on the Internet website of the  | 
 school district, charter school, or non-public,  | 
 non-sectarian elementary or secondary school. If an  | 
 Internet website is not available, the information must be  | 
 provided to school administrators, school board members,  | 
 school personnel, parents, guardians, and students. | 
  (12) Is consistent with the policies of the school  | 
 board, charter school, or non-public, non-sectarian  | 
 elementary or secondary school. | 
 "Restorative measures" means a continuum of school-based  | 
alternatives to exclusionary discipline, such as suspensions  | 
and expulsions, that: (i) are adapted to the particular needs  | 
 | 
of the school and community, (ii) contribute to maintaining  | 
school safety, (iii) protect the integrity of a positive and  | 
productive learning climate, (iv) teach students the personal  | 
and interpersonal skills they will need to be successful in  | 
school and society, (v) serve to build and restore  | 
relationships among students, families, schools, and  | 
communities, (vi) reduce the likelihood of future disruption  | 
by balancing accountability with an understanding of students'  | 
behavioral health needs in order to keep students in school,  | 
and (vii) increase student accountability if the incident of  | 
bullying is based on religion, race, ethnicity, or any other  | 
category that is identified in the Illinois Human Rights Act.  | 
 "School personnel" means persons employed by, on contract  | 
with, or who volunteer in a school district, charter school,  | 
or non-public, non-sectarian elementary or secondary school,  | 
including without limitation school and school district  | 
administrators, teachers, school social workers, school  | 
counselors, school psychologists, school nurses, cafeteria  | 
workers, custodians, bus drivers, school resource officers,  | 
and security guards.  | 
 (c) (Blank).
 | 
 (d) Each school district, charter school, and non-public,  | 
non-sectarian elementary or secondary school shall create,  | 
maintain, and implement a policy on bullying, which policy  | 
must be filed with the State Board of Education. The policy or  | 
implementing procedure shall include a process to investigate  | 
 | 
whether a reported act of bullying is within the permissible  | 
scope of the district's or school's jurisdiction and shall  | 
require that the district or school provide the victim with  | 
information regarding services that are available within the  | 
district and community, such as counseling, support services,  | 
and other programs. School personnel available for help with a  | 
bully or to make a report about bullying shall be made known to  | 
parents or legal guardians, students, and school personnel.  | 
Every 2 years, each school district, charter school, and  | 
non-public, non-sectarian elementary or secondary school shall  | 
conduct a review and re-evaluation of its policy and make any  | 
necessary and appropriate revisions. The policy must be filed  | 
with the State Board of Education after being updated. The  | 
State Board of Education shall monitor and provide technical  | 
support for the implementation of policies created under this  | 
subsection (d). | 
 (e) This Section shall not be interpreted to prevent a  | 
victim from seeking redress under any other available civil or  | 
criminal law.
 | 
(Source: P.A. 102-197, eff. 7-30-21; 102-241, eff. 8-3-21;  | 
revised 10-18-21.)
 | 
 (105 ILCS 5/27-23.15) | 
 Sec. 27-23.15. Computer science. | 
 (a) In this Section, "computer science" means the study of  | 
computers and algorithms, including their principles, their  | 
 | 
hardware and software designs, their implementation, and their  | 
impact on society. "Computer science" does not include the  | 
study of everyday uses of computers and computer applications,  | 
such as keyboarding or accessing the Internet.  | 
 (b) Beginning with the 2023-2024 school year, the school  | 
board of a school district that maintains any of grades 9  | 
through 12 shall provide an opportunity for every high school  | 
student to take at least one computer science course aligned  | 
to rigorous learning standards of the State Board of  | 
Education.
 | 
(Source: P.A. 101-654, eff. 3-8-21.)
 | 
 (105 ILCS 5/27-23.16)
 | 
 Sec. 27-23.16 27-23.15. Study of the process of  | 
naturalization. Every public high school may include in its  | 
curriculum a unit of instruction about the process of  | 
naturalization by which a foreign citizen or foreign national  | 
becomes a U.S. citizen. The course of instruction shall  | 
include content from the components of the naturalization test  | 
administered by the U.S. Citizenship and Immigration Services.  | 
Each school board shall determine the minimum amount of  | 
instructional time under this Section.
 | 
(Source: P.A. 102-472, eff. 8-20-21; revised 11-9-21.)
 | 
 (105 ILCS 5/27A-5)
 | 
 (Text of Section before amendment by P.A. 102-157 and P.A.  | 
 | 
102-466) | 
 Sec. 27A-5. Charter school; legal entity; requirements. 
 | 
 (a) A charter school shall be a public, nonsectarian,  | 
nonreligious, non-home
based, and non-profit school. A charter  | 
school shall be organized and operated
as a nonprofit  | 
corporation or other discrete, legal, nonprofit entity
 | 
authorized under the laws of the State of Illinois.
 | 
 (b) A charter school may be established under this Article  | 
by creating a new
school or by converting an existing public  | 
school or attendance center to
charter
school status.
 | 
Beginning on April 16, 2003 (the effective date of Public Act  | 
93-3), in all new
applications to establish
a charter
school  | 
in a city having a population exceeding 500,000, operation of  | 
the
charter
school shall be limited to one campus. The changes  | 
made to this Section by Public Act 93-3 do not apply to charter  | 
schools existing or approved on or before April 16, 2003 (the
 | 
effective date of Public Act 93-3). | 
 (b-5) In this subsection (b-5), "virtual-schooling" means  | 
a cyber school where students engage in online curriculum and  | 
instruction via the Internet and electronic communication with  | 
their teachers at remote locations and with students  | 
participating at different times.  | 
 From April 1, 2013 through December 31, 2016, there is a  | 
moratorium on the establishment of charter schools with  | 
virtual-schooling components in school districts other than a  | 
school district organized under Article 34 of this Code. This  | 
 | 
moratorium does not apply to a charter school with  | 
virtual-schooling components existing or approved prior to  | 
April 1, 2013 or to the renewal of the charter of a charter  | 
school with virtual-schooling components already approved  | 
prior to April 1, 2013.
 | 
 (c) A charter school shall be administered and governed by  | 
its board of
directors or other governing body
in the manner  | 
provided in its charter. The governing body of a charter  | 
school
shall be subject to the Freedom of Information Act and  | 
the Open Meetings Act. No later than January 1, 2021 (one year  | 
after the effective date of Public Act 101-291), a charter  | 
school's board of directors or other governing body must  | 
include at least one parent or guardian of a pupil currently  | 
enrolled in the charter school who may be selected through the  | 
charter school or a charter network election, appointment by  | 
the charter school's board of directors or other governing  | 
body, or by the charter school's Parent Teacher Organization  | 
or its equivalent.  | 
 (c-5) No later than January 1, 2021 (one year after the  | 
effective date of Public Act 101-291) or within the first year  | 
of his or her first term, every voting member of a charter  | 
school's board of directors or other governing body shall  | 
complete a minimum of 4 hours of professional development  | 
leadership training to ensure that each member has sufficient  | 
familiarity with the board's or governing body's role and  | 
responsibilities, including financial oversight and  | 
 | 
accountability of the school, evaluating the principal's and  | 
school's performance, adherence to the Freedom of Information  | 
Act and the Open Meetings Act, and compliance with education  | 
and labor law. In each subsequent year of his or her term, a  | 
voting member of a charter school's board of directors or  | 
other governing body shall complete a minimum of 2 hours of  | 
professional development training in these same areas. The  | 
training under this subsection may be provided or certified by  | 
a statewide charter school membership association or may be  | 
provided or certified by other qualified providers approved by  | 
the State Board of Education. 
 | 
 (d) For purposes of this subsection (d), "non-curricular  | 
health and safety requirement" means any health and safety  | 
requirement created by statute or rule to provide, maintain,  | 
preserve, or safeguard safe or healthful conditions for  | 
students and school personnel or to eliminate, reduce, or  | 
prevent threats to the health and safety of students and  | 
school personnel. "Non-curricular health and safety  | 
requirement" does not include any course of study or  | 
specialized instructional requirement for which the State  | 
Board has established goals and learning standards or which is  | 
designed primarily to impart knowledge and skills for students  | 
to master and apply as an outcome of their education. | 
 A charter school shall comply with all non-curricular  | 
health and safety
requirements applicable to public schools  | 
under the laws of the State of
Illinois. On or before September  | 
 | 
1, 2015, the State Board shall promulgate and post on its  | 
Internet website a list of non-curricular health and safety  | 
requirements that a charter school must meet. The list shall  | 
be updated annually no later than September 1. Any charter  | 
contract between a charter school and its authorizer must  | 
contain a provision that requires the charter school to follow  | 
the list of all non-curricular health and safety requirements  | 
promulgated by the State Board and any non-curricular health  | 
and safety requirements added by the State Board to such list  | 
during the term of the charter. Nothing in this subsection (d)  | 
precludes an authorizer from including non-curricular health  | 
and safety requirements in a charter school contract that are  | 
not contained in the list promulgated by the State Board,  | 
including non-curricular health and safety requirements of the  | 
authorizing local school board. 
 | 
 (e) Except as otherwise provided in the School Code, a  | 
charter school shall
not charge tuition; provided that a  | 
charter school may charge reasonable fees
for textbooks,  | 
instructional materials, and student activities.
 | 
 (f) A charter school shall be responsible for the  | 
management and operation
of its fiscal affairs, including,
but  | 
not limited to, the preparation of its budget. An audit of each  | 
charter
school's finances shall be conducted annually by an  | 
outside, independent
contractor retained by the charter  | 
school. The contractor shall not be an employee of the charter  | 
school or affiliated with the charter school or its authorizer  | 
 | 
in any way, other than to audit the charter school's finances.  | 
To ensure financial accountability for the use of public  | 
funds, on or before December 1 of every year of operation, each  | 
charter school shall submit to its authorizer and the State  | 
Board a copy of its audit and a copy of the Form 990 the  | 
charter school filed that year with the federal Internal  | 
Revenue Service. In addition, if deemed necessary for proper  | 
financial oversight of the charter school, an authorizer may  | 
require quarterly financial statements from each charter  | 
school. 
 | 
 (g) A charter school shall comply with all provisions of  | 
this Article, the Illinois Educational Labor Relations Act,  | 
all federal and State laws and rules applicable to public  | 
schools that pertain to special education and the instruction  | 
of English learners, and
its charter. A charter
school is  | 
exempt from all other State laws and regulations in this Code
 | 
governing public
schools and local school board policies;  | 
however, a charter school is not exempt from the following:
 | 
  (1) Sections 10-21.9 and 34-18.5 of this Code  | 
 regarding criminal
history records checks and checks of  | 
 the Statewide Sex Offender Database and Statewide Murderer  | 
 and Violent Offender Against Youth Database of applicants  | 
 for employment;
 | 
  (2) Sections 10-20.14, 10-22.6, 24-24, 34-19, and  | 
 34-84a of this Code regarding discipline of
students;
 | 
  (3) the Local Governmental and Governmental Employees  | 
 | 
 Tort Immunity Act;
 | 
  (4) Section 108.75 of the General Not For Profit  | 
 Corporation Act of 1986
regarding indemnification of  | 
 officers, directors, employees, and agents;
 | 
  (5) the Abused and Neglected Child Reporting Act;
 | 
  (5.5) subsection (b) of Section 10-23.12 and  | 
 subsection (b) of Section 34-18.6 of this Code; | 
  (6) the Illinois School Student Records Act;
 | 
  (7) Section 10-17a of this Code regarding school  | 
 report cards;
 | 
  (8) the P-20 Longitudinal Education Data System Act; | 
  (9) Section 27-23.7 of this Code regarding bullying  | 
 prevention; | 
  (10) Section 2-3.162 of this Code regarding student  | 
 discipline reporting; | 
  (11) Sections 22-80 and 27-8.1 of this Code; | 
  (12) Sections 10-20.60 and 34-18.53 of this Code; | 
  (13) Sections 10-20.63 and 34-18.56 of this Code; | 
  (14) Section 26-18 of this Code; | 
  (15) Section 22-30 of this Code;  | 
  (16) Sections 24-12 and 34-85 of this Code; and | 
  (17) the Seizure Smart School Act; | 
  (18) Section 2-3.64a-10 of this Code; and | 
  (19) (18) Sections 10-20.73 and 34-21.9 of this Code; . | 
  (20) (19) Section 10-22.25b of this Code; . | 
  (21) (19) Section 27-9.1a of this Code; | 
 | 
  (22) (20) Section 27-9.1b of this Code; and  | 
  (23) (21) Section 34-18.8 of this Code; .  | 
  (25) (19) Section 2-3.188 of this Code; and | 
  (26) (20) Section 22-85.5 of this Code.  | 
 The change made by Public Act 96-104 to this subsection  | 
(g) is declaratory of existing law. | 
 (h) A charter school may negotiate and contract with a  | 
school district, the
governing body of a State college or  | 
university or public community college, or
any other public or  | 
for-profit or nonprofit private entity for: (i) the use
of a  | 
school building and grounds or any other real property or  | 
facilities that
the charter school desires to use or convert  | 
for use as a charter school site,
(ii) the operation and  | 
maintenance thereof, and
(iii) the provision of any service,  | 
activity, or undertaking that the charter
school is required  | 
to perform in order to carry out the terms of its charter.
 | 
However, a charter school
that is established on
or
after  | 
April 16, 2003 (the effective date of Public Act 93-3) and that  | 
operates
in a city having a population exceeding
500,000 may  | 
not contract with a for-profit entity to
manage or operate the  | 
school during the period that commences on April 16, 2003 (the
 | 
effective date of Public Act 93-3) and
concludes at the end of  | 
the 2004-2005 school year.
Except as provided in subsection  | 
(i) of this Section, a school district may
charge a charter  | 
school reasonable rent for the use of the district's
 | 
buildings, grounds, and facilities. Any services for which a  | 
 | 
charter school
contracts
with a school district shall be  | 
provided by the district at cost. Any services
for which a  | 
charter school contracts with a local school board or with the
 | 
governing body of a State college or university or public  | 
community college
shall be provided by the public entity at  | 
cost.
 | 
 (i) In no event shall a charter school that is established  | 
by converting an
existing school or attendance center to  | 
charter school status be required to
pay rent for space
that is  | 
deemed available, as negotiated and provided in the charter  | 
agreement,
in school district
facilities. However, all other  | 
costs for the operation and maintenance of
school district  | 
facilities that are used by the charter school shall be  | 
subject
to negotiation between
the charter school and the  | 
local school board and shall be set forth in the
charter.
 | 
 (j) A charter school may limit student enrollment by age  | 
or grade level.
 | 
 (k) If the charter school is approved by the State Board or  | 
Commission, then the charter school is its own local education  | 
agency.  | 
(Source: P.A. 101-50, eff. 7-1-20; 101-81, eff. 7-12-19;  | 
101-291, eff. 1-1-20; 101-531, eff. 8-23-19; 101-543, eff.  | 
8-23-19; 101-654, eff. 3-8-21; 102-51, eff. 7-9-21; 102-360,  | 
eff. 1-1-22; 102-445, eff. 8-20-21; 102-522, eff. 8-20-21;  | 
102-558, eff. 8-20-21; 102-676, eff. 12-3-21; revised  | 
12-21-21.)
 | 
 | 
 (Text of Section after amendment by P.A. 102-157 but  | 
before amendment by P.A. 102-466)
 | 
 Sec. 27A-5. Charter school; legal entity; requirements. 
 | 
 (a) A charter school shall be a public, nonsectarian,  | 
nonreligious, non-home
based, and non-profit school. A charter  | 
school shall be organized and operated
as a nonprofit  | 
corporation or other discrete, legal, nonprofit entity
 | 
authorized under the laws of the State of Illinois.
 | 
 (b) A charter school may be established under this Article  | 
by creating a new
school or by converting an existing public  | 
school or attendance center to
charter
school status.
 | 
Beginning on April 16, 2003 (the effective date of Public Act  | 
93-3), in all new
applications to establish
a charter
school  | 
in a city having a population exceeding 500,000, operation of  | 
the
charter
school shall be limited to one campus. The changes  | 
made to this Section by Public Act 93-3 do not apply to charter  | 
schools existing or approved on or before April 16, 2003 (the
 | 
effective date of Public Act 93-3). | 
 (b-5) In this subsection (b-5), "virtual-schooling" means  | 
a cyber school where students engage in online curriculum and  | 
instruction via the Internet and electronic communication with  | 
their teachers at remote locations and with students  | 
participating at different times.  | 
 From April 1, 2013 through December 31, 2016, there is a  | 
moratorium on the establishment of charter schools with  | 
 | 
virtual-schooling components in school districts other than a  | 
school district organized under Article 34 of this Code. This  | 
moratorium does not apply to a charter school with  | 
virtual-schooling components existing or approved prior to  | 
April 1, 2013 or to the renewal of the charter of a charter  | 
school with virtual-schooling components already approved  | 
prior to April 1, 2013.
 | 
 (c) A charter school shall be administered and governed by  | 
its board of
directors or other governing body
in the manner  | 
provided in its charter. The governing body of a charter  | 
school
shall be subject to the Freedom of Information Act and  | 
the Open Meetings Act. No later than January 1, 2021 (one year  | 
after the effective date of Public Act 101-291), a charter  | 
school's board of directors or other governing body must  | 
include at least one parent or guardian of a pupil currently  | 
enrolled in the charter school who may be selected through the  | 
charter school or a charter network election, appointment by  | 
the charter school's board of directors or other governing  | 
body, or by the charter school's Parent Teacher Organization  | 
or its equivalent.  | 
 (c-5) No later than January 1, 2021 (one year after the  | 
effective date of Public Act 101-291) or within the first year  | 
of his or her first term, every voting member of a charter  | 
school's board of directors or other governing body shall  | 
complete a minimum of 4 hours of professional development  | 
leadership training to ensure that each member has sufficient  | 
 | 
familiarity with the board's or governing body's role and  | 
responsibilities, including financial oversight and  | 
accountability of the school, evaluating the principal's and  | 
school's performance, adherence to the Freedom of Information  | 
Act and the Open Meetings Act, and compliance with education  | 
and labor law. In each subsequent year of his or her term, a  | 
voting member of a charter school's board of directors or  | 
other governing body shall complete a minimum of 2 hours of  | 
professional development training in these same areas. The  | 
training under this subsection may be provided or certified by  | 
a statewide charter school membership association or may be  | 
provided or certified by other qualified providers approved by  | 
the State Board of Education. 
 | 
 (d) For purposes of this subsection (d), "non-curricular  | 
health and safety requirement" means any health and safety  | 
requirement created by statute or rule to provide, maintain,  | 
preserve, or safeguard safe or healthful conditions for  | 
students and school personnel or to eliminate, reduce, or  | 
prevent threats to the health and safety of students and  | 
school personnel. "Non-curricular health and safety  | 
requirement" does not include any course of study or  | 
specialized instructional requirement for which the State  | 
Board has established goals and learning standards or which is  | 
designed primarily to impart knowledge and skills for students  | 
to master and apply as an outcome of their education. | 
 A charter school shall comply with all non-curricular  | 
 | 
health and safety
requirements applicable to public schools  | 
under the laws of the State of
Illinois. On or before September  | 
1, 2015, the State Board shall promulgate and post on its  | 
Internet website a list of non-curricular health and safety  | 
requirements that a charter school must meet. The list shall  | 
be updated annually no later than September 1. Any charter  | 
contract between a charter school and its authorizer must  | 
contain a provision that requires the charter school to follow  | 
the list of all non-curricular health and safety requirements  | 
promulgated by the State Board and any non-curricular health  | 
and safety requirements added by the State Board to such list  | 
during the term of the charter. Nothing in this subsection (d)  | 
precludes an authorizer from including non-curricular health  | 
and safety requirements in a charter school contract that are  | 
not contained in the list promulgated by the State Board,  | 
including non-curricular health and safety requirements of the  | 
authorizing local school board. 
 | 
 (e) Except as otherwise provided in the School Code, a  | 
charter school shall
not charge tuition; provided that a  | 
charter school may charge reasonable fees
for textbooks,  | 
instructional materials, and student activities.
 | 
 (f) A charter school shall be responsible for the  | 
management and operation
of its fiscal affairs, including,
but  | 
not limited to, the preparation of its budget. An audit of each  | 
charter
school's finances shall be conducted annually by an  | 
outside, independent
contractor retained by the charter  | 
 | 
school. The contractor shall not be an employee of the charter  | 
school or affiliated with the charter school or its authorizer  | 
in any way, other than to audit the charter school's finances.  | 
To ensure financial accountability for the use of public  | 
funds, on or before December 1 of every year of operation, each  | 
charter school shall submit to its authorizer and the State  | 
Board a copy of its audit and a copy of the Form 990 the  | 
charter school filed that year with the federal Internal  | 
Revenue Service. In addition, if deemed necessary for proper  | 
financial oversight of the charter school, an authorizer may  | 
require quarterly financial statements from each charter  | 
school. 
 | 
 (g) A charter school shall comply with all provisions of  | 
this Article, the Illinois Educational Labor Relations Act,  | 
all federal and State laws and rules applicable to public  | 
schools that pertain to special education and the instruction  | 
of English learners, and
its charter. A charter
school is  | 
exempt from all other State laws and regulations in this Code
 | 
governing public
schools and local school board policies;  | 
however, a charter school is not exempt from the following:
 | 
  (1) Sections 10-21.9 and 34-18.5 of this Code  | 
 regarding criminal
history records checks and checks of  | 
 the Statewide Sex Offender Database and Statewide Murderer  | 
 and Violent Offender Against Youth Database of applicants  | 
 for employment;
 | 
  (2) Sections 10-20.14, 10-22.6, 24-24, 34-19, and  | 
 | 
 34-84a of this Code regarding discipline of
students;
 | 
  (3) the Local Governmental and Governmental Employees  | 
 Tort Immunity Act;
 | 
  (4) Section 108.75 of the General Not For Profit  | 
 Corporation Act of 1986
regarding indemnification of  | 
 officers, directors, employees, and agents;
 | 
  (5) the Abused and Neglected Child Reporting Act;
 | 
  (5.5) subsection (b) of Section 10-23.12 and  | 
 subsection (b) of Section 34-18.6 of this Code; | 
  (6) the Illinois School Student Records Act;
 | 
  (7) Section 10-17a of this Code regarding school  | 
 report cards;
 | 
  (8) the P-20 Longitudinal Education Data System Act; | 
  (9) Section 27-23.7 of this Code regarding bullying  | 
 prevention; | 
  (10) Section 2-3.162 of this Code regarding student  | 
 discipline reporting; | 
  (11) Sections 22-80 and 27-8.1 of this Code; | 
  (12) Sections 10-20.60 and 34-18.53 of this Code; | 
  (13) Sections 10-20.63 and 34-18.56 of this Code; | 
  (14) Sections 22-90 and 26-18 of this Code; | 
  (15) Section 22-30 of this Code;  | 
  (16) Sections 24-12 and 34-85 of this Code; and | 
  (17) the Seizure Smart School Act; | 
  (18) Section 2-3.64a-10 of this Code; and | 
  (19) (18) Sections 10-20.73 and 34-21.9 of this Code; . | 
 | 
  (20) (19) Section 10-22.25b of this Code; . | 
  (21) (19) Section 27-9.1a of this Code; | 
  (22) (20) Section 27-9.1b of this Code; and  | 
  (23) (21) Section 34-18.8 of this Code; .  | 
  (25) (19) Section 2-3.188 of this Code; and | 
  (26) (20) Section 22-85.5 of this Code.  | 
 The change made by Public Act 96-104 to this subsection  | 
(g) is declaratory of existing law. | 
 (h) A charter school may negotiate and contract with a  | 
school district, the
governing body of a State college or  | 
university or public community college, or
any other public or  | 
for-profit or nonprofit private entity for: (i) the use
of a  | 
school building and grounds or any other real property or  | 
facilities that
the charter school desires to use or convert  | 
for use as a charter school site,
(ii) the operation and  | 
maintenance thereof, and
(iii) the provision of any service,  | 
activity, or undertaking that the charter
school is required  | 
to perform in order to carry out the terms of its charter.
 | 
However, a charter school
that is established on
or
after  | 
April 16, 2003 (the effective date of Public Act 93-3) and that  | 
operates
in a city having a population exceeding
500,000 may  | 
not contract with a for-profit entity to
manage or operate the  | 
school during the period that commences on April 16, 2003 (the
 | 
effective date of Public Act 93-3) and
concludes at the end of  | 
the 2004-2005 school year.
Except as provided in subsection  | 
(i) of this Section, a school district may
charge a charter  | 
 | 
school reasonable rent for the use of the district's
 | 
buildings, grounds, and facilities. Any services for which a  | 
charter school
contracts
with a school district shall be  | 
provided by the district at cost. Any services
for which a  | 
charter school contracts with a local school board or with the
 | 
governing body of a State college or university or public  | 
community college
shall be provided by the public entity at  | 
cost.
 | 
 (i) In no event shall a charter school that is established  | 
by converting an
existing school or attendance center to  | 
charter school status be required to
pay rent for space
that is  | 
deemed available, as negotiated and provided in the charter  | 
agreement,
in school district
facilities. However, all other  | 
costs for the operation and maintenance of
school district  | 
facilities that are used by the charter school shall be  | 
subject
to negotiation between
the charter school and the  | 
local school board and shall be set forth in the
charter.
 | 
 (j) A charter school may limit student enrollment by age  | 
or grade level.
 | 
 (k) If the charter school is approved by the State Board or  | 
Commission, then the charter school is its own local education  | 
agency.  | 
(Source: P.A. 101-50, eff. 7-1-20; 101-81, eff. 7-12-19;  | 
101-291, eff. 1-1-20; 101-531, eff. 8-23-19; 101-543, eff.  | 
8-23-19; 101-654, eff. 3-8-21; 102-51, eff. 7-9-21; 102-157,  | 
eff. 7-1-22; 102-360, eff. 1-1-22; 102-445, eff. 8-20-21;  | 
 | 
102-522, eff. 8-20-21; 102-558, eff. 8-20-21; 102-676, eff.  | 
12-3-21; revised 12-21-21.)
 | 
 (Text of Section after amendment by P.A. 102-466) | 
 Sec. 27A-5. Charter school; legal entity; requirements. 
 | 
 (a) A charter school shall be a public, nonsectarian,  | 
nonreligious, non-home
based, and non-profit school. A charter  | 
school shall be organized and operated
as a nonprofit  | 
corporation or other discrete, legal, nonprofit entity
 | 
authorized under the laws of the State of Illinois.
 | 
 (b) A charter school may be established under this Article  | 
by creating a new
school or by converting an existing public  | 
school or attendance center to
charter
school status.
 | 
Beginning on April 16, 2003 (the effective date of Public Act  | 
93-3), in all new
applications to establish
a charter
school  | 
in a city having a population exceeding 500,000, operation of  | 
the
charter
school shall be limited to one campus. The changes  | 
made to this Section by Public Act 93-3 do not apply to charter  | 
schools existing or approved on or before April 16, 2003 (the
 | 
effective date of Public Act 93-3). | 
 (b-5) In this subsection (b-5), "virtual-schooling" means  | 
a cyber school where students engage in online curriculum and  | 
instruction via the Internet and electronic communication with  | 
their teachers at remote locations and with students  | 
participating at different times.  | 
 From April 1, 2013 through December 31, 2016, there is a  | 
 | 
moratorium on the establishment of charter schools with  | 
virtual-schooling components in school districts other than a  | 
school district organized under Article 34 of this Code. This  | 
moratorium does not apply to a charter school with  | 
virtual-schooling components existing or approved prior to  | 
April 1, 2013 or to the renewal of the charter of a charter  | 
school with virtual-schooling components already approved  | 
prior to April 1, 2013.
 | 
 (c) A charter school shall be administered and governed by  | 
its board of
directors or other governing body
in the manner  | 
provided in its charter. The governing body of a charter  | 
school
shall be subject to the Freedom of Information Act and  | 
the Open Meetings Act. No later than January 1, 2021 (one year  | 
after the effective date of Public Act 101-291), a charter  | 
school's board of directors or other governing body must  | 
include at least one parent or guardian of a pupil currently  | 
enrolled in the charter school who may be selected through the  | 
charter school or a charter network election, appointment by  | 
the charter school's board of directors or other governing  | 
body, or by the charter school's Parent Teacher Organization  | 
or its equivalent.  | 
 (c-5) No later than January 1, 2021 (one year after the  | 
effective date of Public Act 101-291) or within the first year  | 
of his or her first term, every voting member of a charter  | 
school's board of directors or other governing body shall  | 
complete a minimum of 4 hours of professional development  | 
 | 
leadership training to ensure that each member has sufficient  | 
familiarity with the board's or governing body's role and  | 
responsibilities, including financial oversight and  | 
accountability of the school, evaluating the principal's and  | 
school's performance, adherence to the Freedom of Information  | 
Act and the Open Meetings Act, and compliance with education  | 
and labor law. In each subsequent year of his or her term, a  | 
voting member of a charter school's board of directors or  | 
other governing body shall complete a minimum of 2 hours of  | 
professional development training in these same areas. The  | 
training under this subsection may be provided or certified by  | 
a statewide charter school membership association or may be  | 
provided or certified by other qualified providers approved by  | 
the State Board of Education. 
 | 
 (d) For purposes of this subsection (d), "non-curricular  | 
health and safety requirement" means any health and safety  | 
requirement created by statute or rule to provide, maintain,  | 
preserve, or safeguard safe or healthful conditions for  | 
students and school personnel or to eliminate, reduce, or  | 
prevent threats to the health and safety of students and  | 
school personnel. "Non-curricular health and safety  | 
requirement" does not include any course of study or  | 
specialized instructional requirement for which the State  | 
Board has established goals and learning standards or which is  | 
designed primarily to impart knowledge and skills for students  | 
to master and apply as an outcome of their education. | 
 | 
 A charter school shall comply with all non-curricular  | 
health and safety
requirements applicable to public schools  | 
under the laws of the State of
Illinois. On or before September  | 
1, 2015, the State Board shall promulgate and post on its  | 
Internet website a list of non-curricular health and safety  | 
requirements that a charter school must meet. The list shall  | 
be updated annually no later than September 1. Any charter  | 
contract between a charter school and its authorizer must  | 
contain a provision that requires the charter school to follow  | 
the list of all non-curricular health and safety requirements  | 
promulgated by the State Board and any non-curricular health  | 
and safety requirements added by the State Board to such list  | 
during the term of the charter. Nothing in this subsection (d)  | 
precludes an authorizer from including non-curricular health  | 
and safety requirements in a charter school contract that are  | 
not contained in the list promulgated by the State Board,  | 
including non-curricular health and safety requirements of the  | 
authorizing local school board. 
 | 
 (e) Except as otherwise provided in the School Code, a  | 
charter school shall
not charge tuition; provided that a  | 
charter school may charge reasonable fees
for textbooks,  | 
instructional materials, and student activities.
 | 
 (f) A charter school shall be responsible for the  | 
management and operation
of its fiscal affairs, including,
but  | 
not limited to, the preparation of its budget. An audit of each  | 
charter
school's finances shall be conducted annually by an  | 
 | 
outside, independent
contractor retained by the charter  | 
school. The contractor shall not be an employee of the charter  | 
school or affiliated with the charter school or its authorizer  | 
in any way, other than to audit the charter school's finances.  | 
To ensure financial accountability for the use of public  | 
funds, on or before December 1 of every year of operation, each  | 
charter school shall submit to its authorizer and the State  | 
Board a copy of its audit and a copy of the Form 990 the  | 
charter school filed that year with the federal Internal  | 
Revenue Service. In addition, if deemed necessary for proper  | 
financial oversight of the charter school, an authorizer may  | 
require quarterly financial statements from each charter  | 
school. 
 | 
 (g) A charter school shall comply with all provisions of  | 
this Article, the Illinois Educational Labor Relations Act,  | 
all federal and State laws and rules applicable to public  | 
schools that pertain to special education and the instruction  | 
of English learners, and
its charter. A charter
school is  | 
exempt from all other State laws and regulations in this Code
 | 
governing public
schools and local school board policies;  | 
however, a charter school is not exempt from the following:
 | 
  (1) Sections 10-21.9 and 34-18.5 of this Code  | 
 regarding criminal
history records checks and checks of  | 
 the Statewide Sex Offender Database and Statewide Murderer  | 
 and Violent Offender Against Youth Database of applicants  | 
 for employment;
 | 
 | 
  (2) Sections 10-20.14, 10-22.6, 24-24, 34-19, and  | 
 34-84a of this Code regarding discipline of
students;
 | 
  (3) the Local Governmental and Governmental Employees  | 
 Tort Immunity Act;
 | 
  (4) Section 108.75 of the General Not For Profit  | 
 Corporation Act of 1986
regarding indemnification of  | 
 officers, directors, employees, and agents;
 | 
  (5) the Abused and Neglected Child Reporting Act;
 | 
  (5.5) subsection (b) of Section 10-23.12 and  | 
 subsection (b) of Section 34-18.6 of this Code; | 
  (6) the Illinois School Student Records Act;
 | 
  (7) Section 10-17a of this Code regarding school  | 
 report cards;
 | 
  (8) the P-20 Longitudinal Education Data System Act; | 
  (9) Section 27-23.7 of this Code regarding bullying  | 
 prevention; | 
  (10) Section 2-3.162 of this Code regarding student  | 
 discipline reporting; | 
  (11) Sections 22-80 and 27-8.1 of this Code; | 
  (12) Sections 10-20.60 and 34-18.53 of this Code; | 
  (13) Sections 10-20.63 and 34-18.56 of this Code; | 
  (14) Sections 22-90 and 26-18 of this Code; | 
  (15) Section 22-30 of this Code;  | 
  (16) Sections 24-12 and 34-85 of this Code; and | 
  (17) the Seizure Smart School Act; | 
  (18) Section 2-3.64a-10 of this Code; and | 
 | 
  (19) (18) Sections 10-20.73 and 34-21.9 of this Code; . | 
  (20) (19) Section 10-22.25b of this Code; . | 
  (21) (19) Section 27-9.1a of this Code; | 
  (22) (20) Section 27-9.1b of this Code; and  | 
  (23) (21) Section 34-18.8 of this Code; .  | 
  (24) (19) Article 26A of this Code; .  | 
  (25) (19) Section 2-3.188 of this Code; and | 
  (26) (20) Section 22-85.5 of this Code.  | 
 The change made by Public Act 96-104 to this subsection  | 
(g) is declaratory of existing law. | 
 (h) A charter school may negotiate and contract with a  | 
school district, the
governing body of a State college or  | 
university or public community college, or
any other public or  | 
for-profit or nonprofit private entity for: (i) the use
of a  | 
school building and grounds or any other real property or  | 
facilities that
the charter school desires to use or convert  | 
for use as a charter school site,
(ii) the operation and  | 
maintenance thereof, and
(iii) the provision of any service,  | 
activity, or undertaking that the charter
school is required  | 
to perform in order to carry out the terms of its charter.
 | 
However, a charter school
that is established on
or
after  | 
April 16, 2003 (the effective date of Public Act 93-3) and that  | 
operates
in a city having a population exceeding
500,000 may  | 
not contract with a for-profit entity to
manage or operate the  | 
school during the period that commences on April 16, 2003 (the
 | 
effective date of Public Act 93-3) and
concludes at the end of  | 
 | 
the 2004-2005 school year.
Except as provided in subsection  | 
(i) of this Section, a school district may
charge a charter  | 
school reasonable rent for the use of the district's
 | 
buildings, grounds, and facilities. Any services for which a  | 
charter school
contracts
with a school district shall be  | 
provided by the district at cost. Any services
for which a  | 
charter school contracts with a local school board or with the
 | 
governing body of a State college or university or public  | 
community college
shall be provided by the public entity at  | 
cost.
 | 
 (i) In no event shall a charter school that is established  | 
by converting an
existing school or attendance center to  | 
charter school status be required to
pay rent for space
that is  | 
deemed available, as negotiated and provided in the charter  | 
agreement,
in school district
facilities. However, all other  | 
costs for the operation and maintenance of
school district  | 
facilities that are used by the charter school shall be  | 
subject
to negotiation between
the charter school and the  | 
local school board and shall be set forth in the
charter.
 | 
 (j) A charter school may limit student enrollment by age  | 
or grade level.
 | 
 (k) If the charter school is approved by the State Board or  | 
Commission, then the charter school is its own local education  | 
agency.  | 
(Source: P.A. 101-50, eff. 7-1-20; 101-81, eff. 7-12-19;  | 
101-291, eff. 1-1-20; 101-531, eff. 8-23-19; 101-543, eff.  | 
 | 
8-23-19; 101-654, eff. 3-8-21; 102-51, eff. 7-9-21; 102-157,  | 
eff. 7-1-22; 102-360, eff. 1-1-22; 102-445, eff. 8-20-21;  | 
102-466, eff. 7-1-25; 102-522, eff. 8-20-21; 102-558, eff.  | 
8-20-21; 102-676, eff. 12-3-21; revised 12-21-21.)
 | 
 (105 ILCS 5/29-5) (from Ch. 122, par. 29-5) | 
 Sec. 29-5. Reimbursement by State for transportation. Any  | 
school
district, maintaining a school, transporting resident  | 
pupils to another
school district's vocational program,  | 
offered through a joint agreement
approved by the State Board  | 
of Education, as provided in Section
10-22.22 or transporting  | 
its resident pupils to a school which meets the
standards for  | 
recognition as established by the State Board of Education
 | 
which provides transportation meeting the standards of safety,  | 
comfort,
convenience, efficiency and operation prescribed by  | 
the State Board of
Education for resident pupils in  | 
kindergarten or any of grades 1 through
12 who: (a) reside at  | 
least 1 1/2 miles as measured by the customary route of
travel,  | 
from the school attended; or (b) reside in areas where  | 
conditions are
such that walking constitutes a hazard to the  | 
safety of the child when
determined under Section 29-3; and  | 
(c) are transported to the school attended
from pick-up points  | 
at the beginning of the school day and back again at the
close  | 
of the school day or transported to and from their assigned  | 
attendance
centers during the school day, shall be reimbursed  | 
by the State as hereinafter
provided in this Section.
 | 
 | 
 The State will pay the prorated allowable cost of  | 
transporting eligible pupils less the real equalized assessed  | 
valuation as computed under paragraph (3) of subsection (d) of  | 
Section 18-8.15 in a dual school district maintaining  | 
secondary
grades 9 to 12 inclusive times a qualifying rate of  | 
.05%; in elementary
school districts maintaining grades K to 8  | 
times a qualifying rate of
.06%; and in unit districts  | 
maintaining grades K to 12, including partial elementary unit  | 
districts formed pursuant to Article 11E, times a qualifying
 | 
rate of .07%. To be eligible to receive reimbursement in  | 
excess of 4/5
of the cost to transport eligible pupils, a  | 
school district or partial elementary unit district formed  | 
pursuant to Article 11E shall have a
Transportation Fund tax  | 
rate of at least .12%. The Transportation Fund tax rate for a  | 
partial elementary unit district formed pursuant Article 11E  | 
shall be the combined elementary and high school rates  | 
pursuant to paragraph (4) of subsection (a) of Section  | 
18-8.15. If a school district or partial elementary unit  | 
district formed pursuant to Article 11E
does not have a .12%  | 
Transportation Fund tax rate, the amount of its
claim in  | 
excess of 4/5 of the cost of transporting pupils shall be
 | 
reduced by the sum arrived at by subtracting the  | 
Transportation Fund tax
rate from .12% and multiplying that  | 
amount by the district's real equalized assessed valuation as  | 
computed under paragraph (3) of subsection (d) of Section  | 
18-8.15, provided that in no case shall said reduction
result  | 
 | 
in reimbursement of less than 4/5 of the cost to transport
 | 
eligible pupils.
 | 
 The minimum amount to be received by a district is $16  | 
times the
number of eligible pupils transported.
 | 
 When calculating the reimbursement for transportation  | 
costs, the State Board of Education may not deduct the number  | 
of pupils enrolled in early education programs from the number  | 
of pupils eligible for reimbursement if the pupils enrolled in  | 
the early education programs are transported at the same time  | 
as other eligible pupils.
 | 
 Any such district transporting resident pupils during the  | 
school day
to an area vocational school or another school  | 
district's vocational
program more than 1 1/2 miles from the  | 
school attended, as provided in
Sections 10-22.20a and  | 
10-22.22, shall be reimbursed by the State for 4/5
of the cost  | 
of transporting eligible pupils.
 | 
 School day means that period of time during which the  | 
pupil is required to be
in attendance for instructional  | 
purposes.
 | 
 If a pupil is at a location within the school district  | 
other than his
residence for child care purposes at the time  | 
for transportation to school,
that location may be considered  | 
for purposes of determining the 1 1/2 miles
from the school  | 
attended.
 | 
 Claims for reimbursement that include children who attend  | 
any school
other than a public school shall show the number of  | 
 | 
such children
transported.
 | 
 Claims for reimbursement under this Section shall not be  | 
paid for the
transportation of pupils for whom transportation  | 
costs are claimed for
payment under other Sections of this  | 
Act.
 | 
 The allowable direct cost of transporting pupils for  | 
regular, vocational,
and special education pupil  | 
transportation shall be limited to the sum of
the cost of  | 
physical examinations required for employment as a school bus
 | 
driver; the salaries of full-time or part-time drivers and  | 
school bus maintenance
personnel; employee benefits excluding  | 
Illinois municipal retirement
payments, social security  | 
payments, unemployment insurance payments and
workers'  | 
compensation insurance premiums; expenditures to independent
 | 
carriers who operate school buses; payments to other school  | 
districts for
pupil transportation services; pre-approved  | 
contractual expenditures for
computerized bus scheduling;  | 
expenditures for housing assistance and homeless prevention  | 
under Sections 1-17 and 1-18 of the Education for Homeless  | 
Children Act that are not in excess of the school district's  | 
actual costs for providing transportation services and are not  | 
otherwise claimed in another State or federal grant that  | 
permits those costs to a parent, a legal guardian, any other  | 
person who enrolled a pupil, or a homeless assistance agency  | 
that is part of the federal McKinney-Vento Homeless Assistance  | 
Act's continuum of care for the area in which the district is  | 
 | 
located; the cost of gasoline, oil, tires, and other
supplies  | 
necessary for the operation of school buses; the cost of
 | 
converting buses' gasoline engines to more fuel efficient  | 
engines or to
engines which use alternative energy sources;  | 
the cost of travel to
meetings and workshops conducted by the  | 
regional superintendent or the
State Superintendent of  | 
Education pursuant to the standards established by
the  | 
Secretary of State under Section 6-106 of the Illinois Vehicle  | 
Code to improve the driving skills of
school bus drivers; the  | 
cost of maintenance of school buses including parts
and  | 
materials used; expenditures for leasing transportation  | 
vehicles,
except interest and service charges; the cost of  | 
insurance and licenses for
transportation vehicles;  | 
expenditures for the rental of transportation
equipment; plus  | 
a depreciation allowance of 20% for 5 years for school
buses  | 
and vehicles approved for transporting pupils to and from  | 
school and
a depreciation allowance of 10% for 10 years for  | 
other transportation
equipment so used.
Each school year, if a  | 
school district has made expenditures to the
Regional  | 
Transportation Authority or any of its service boards, a mass
 | 
transit district, or an urban transportation district under an
 | 
intergovernmental agreement with the district to provide for  | 
the
transportation of pupils and if the public transit carrier  | 
received direct
payment for services or passes from a school  | 
district within its service
area during the 2000-2001 school  | 
year, then the allowable direct cost of
transporting pupils  | 
 | 
for regular, vocational, and special education pupil
 | 
transportation shall also include the expenditures that the  | 
district has
made to the public transit carrier.
In addition  | 
to the above allowable costs, school
districts shall also  | 
claim all transportation supervisory salary costs,
including  | 
Illinois municipal retirement payments, and all transportation
 | 
related building and building maintenance costs without  | 
limitation.
 | 
 Special education allowable costs shall also include  | 
expenditures for the
salaries of attendants or aides for that  | 
portion of the time they assist
special education pupils while  | 
in transit and expenditures for parents and
public carriers  | 
for transporting special education pupils when pre-approved
by  | 
the State Superintendent of Education.
 | 
 Indirect costs shall be included in the reimbursement  | 
claim for districts
which own and operate their own school  | 
buses. Such indirect costs shall
include administrative costs,  | 
or any costs attributable to transporting
pupils from their  | 
attendance centers to another school building for
 | 
instructional purposes. No school district which owns and  | 
operates its own
school buses may claim reimbursement for  | 
indirect costs which exceed 5% of
the total allowable direct  | 
costs for pupil transportation.
 | 
 The State Board of Education shall prescribe uniform  | 
regulations for
determining the above standards and shall  | 
prescribe forms of cost
accounting and standards of  | 
 | 
determining reasonable depreciation. Such
depreciation shall  | 
include the cost of equipping school buses with the
safety  | 
features required by law or by the rules, regulations and  | 
standards
promulgated by the State Board of Education, and the  | 
Department of
Transportation for the safety and construction  | 
of school buses provided,
however, any equipment cost  | 
reimbursed by the Department of Transportation
for equipping  | 
school buses with such safety equipment shall be deducted
from  | 
the allowable cost in the computation of reimbursement under  | 
this
Section in the same percentage as the cost of the  | 
equipment is depreciated.
 | 
 On or before August 15, annually, the chief school  | 
administrator for
the district shall certify to the State  | 
Superintendent of Education the
district's claim for  | 
reimbursement for the school year ending on June 30
next  | 
preceding. The State Superintendent of Education shall check  | 
and
approve the claims and prepare the vouchers showing the  | 
amounts due for
district reimbursement claims. Each fiscal  | 
year, the State
Superintendent of Education shall prepare and  | 
transmit the first 3
vouchers to the Comptroller on the 30th  | 
day of September, December and
March, respectively, and the  | 
final voucher, no later than June 20.
 | 
 If the amount appropriated for transportation  | 
reimbursement is insufficient
to fund total claims for any  | 
fiscal year, the State Board of Education shall
reduce each  | 
school district's allowable costs and flat grant amount
 | 
 | 
proportionately to make total adjusted claims equal the total  | 
amount
appropriated.
 | 
 For purposes of calculating claims for reimbursement under  | 
this Section for any school year beginning July 1, 2016, the  | 
equalized assessed valuation for a school district or partial  | 
elementary unit district formed pursuant to Article 11E used  | 
to compute reimbursement shall be the real equalized assessed  | 
valuation as computed under paragraph (3) of subsection (d) of  | 
Section 18-8.15.
 | 
 All reimbursements received from the State shall be  | 
deposited into the
district's transportation fund or into the  | 
fund from which the allowable
expenditures were made.
 | 
 Notwithstanding any other provision of law, any school  | 
district receiving
a payment under this Section or under  | 
Section 14-7.02, 14-7.02b, or
14-13.01 of this Code may  | 
classify all or a portion of the funds that it
receives in a  | 
particular fiscal year or from State aid pursuant to
Section  | 
18-8.15 of this Code
as funds received in connection with any  | 
funding program for which it is
entitled to receive funds from  | 
the State in that fiscal year (including,
without limitation,  | 
any funding program referenced in this Section),
regardless of  | 
the source or timing of the receipt. The district may not
 | 
classify more funds as funds received in connection with the  | 
funding
program than the district is entitled to receive in  | 
that fiscal year for that
program. Any
classification by a  | 
district must be made by a resolution of its board of
 | 
 | 
education. The resolution must identify the amount of any  | 
payments or
general State aid to be classified under this  | 
paragraph and must specify
the funding program to which the  | 
funds are to be treated as received in
connection therewith.  | 
This resolution is controlling as to the
classification of  | 
funds referenced therein. A certified copy of the
resolution  | 
must be sent to the State Superintendent of Education.
The  | 
resolution shall still take effect even though a copy of the  | 
resolution has
not been sent to the State
Superintendent of  | 
Education in a timely manner.
No
classification under this  | 
paragraph by a district shall affect the total amount
or  | 
timing of money the district is entitled to receive under this  | 
Code.
No classification under this paragraph by a district  | 
shall
in any way relieve the district from or affect any
 | 
requirements that otherwise would apply with respect to
that  | 
funding program, including any
accounting of funds by source,  | 
reporting expenditures by
original source and purpose,
 | 
reporting requirements,
or requirements of providing services.
 | 
 Any school district with a population of not more than  | 
500,000
must deposit all funds received under this Article  | 
into the transportation
fund and use those funds for the  | 
provision of transportation services.
 | 
(Source: P.A. 102-539, eff. 8-20-21; revised 11-29-21.)
 | 
 (105 ILCS 5/34-2.1) (from Ch. 122, par. 34-2.1)
 | 
 Sec. 34-2.1. Local school councils; composition; voter  | 
 | 
eligibility; elections; terms. | 
 (a) Beginning with the first local school council election  | 
that occurs after December 3, 2021 (the effective date of  | 
Public Act 102-677) this amendatory Act of the 102nd General  | 
Assembly, a local school council shall be established for each  | 
attendance
center within the school district, including public  | 
small schools within the district. Each local school council  | 
shall
consist of the following 12 voting members: the  | 
principal of the
attendance center, 2 teachers employed and  | 
assigned to perform the
majority of their employment duties at  | 
the attendance center, 6 parents of
students currently  | 
enrolled at the attendance center, one employee of the school  | 
district employed and assigned to perform the majority of his  | 
or her employment duties at the attendance center who is not a  | 
teacher, and 2 community
residents. Neither the parents nor  | 
the community residents who serve as
members of the local  | 
school council shall be employees of the Board of
Education.  | 
In each secondary attendance center, the local school council
 | 
shall consist of 13 voting members through the 2020-2021  | 
school year, the 12 voting members described above
and one  | 
full-time student member, and 15 voting members beginning with  | 
the 2021-2022 school year, the 12 voting members described  | 
above and 3 full-time student members, appointed as provided  | 
in subsection
(m) below. In each attendance center enrolling  | 
students in 7th and 8th grade, one full-time student member  | 
shall be appointed as provided in subsection (m) of this  | 
 | 
Section.
In the event that the chief executive officer of the  | 
Chicago School Reform
Board of Trustees determines that a  | 
local school council is not carrying out
its financial duties  | 
effectively, the chief executive officer is authorized to
 | 
appoint a representative of the business community with  | 
experience in finance
and management
to serve as an advisor to  | 
the local school council for
the purpose of providing advice  | 
and assistance to the local school council on
fiscal matters.
 | 
The advisor shall have access to relevant financial records of  | 
the
local school council. The advisor may attend executive  | 
sessions.
The chief executive officer shall
issue a written  | 
policy defining the circumstances under which a local school
 | 
council is not carrying out its financial duties effectively.
 | 
 (b) Within 7 days of January 11, 1991, the Mayor shall  | 
appoint the
members and officers (a Chairperson who shall be a  | 
parent member and a
Secretary) of each local school council  | 
who shall hold their offices until
their successors shall be  | 
elected and qualified. Members so appointed shall
have all the  | 
powers and duties of local school councils as set forth in
 | 
Public Act 86-1477. The Mayor's appointments shall not require
 | 
approval by the City Council.
 | 
 The membership of each local school council shall be  | 
encouraged to be
reflective of the racial and ethnic  | 
composition of the student population
of the attendance center  | 
served by the local school council.
 | 
 (c) Beginning with the 1995-1996 school year and in every  | 
 | 
even-numbered
year thereafter, the Board shall set second  | 
semester Parent Report Card
Pick-up Day for Local School  | 
Council elections and may schedule elections at
year-round  | 
schools for the same dates as the remainder of the school  | 
system.
Elections shall be
conducted as provided herein by the  | 
Board of Education in consultation with
the local school  | 
council at each attendance center.  | 
 (c-5) Notwithstanding subsection (c), for the local school  | 
council election set for the 2019-2020 school year, the Board  | 
may hold the election on the first semester Parent Report Card  | 
Pick-up Day of the 2020-2021 school year, making any necessary  | 
modifications to the election process or date to comply with  | 
guidance from the Department of Public Health and the federal  | 
Centers for Disease Control and Prevention. The terms of  | 
office of all local school council members eligible to serve  | 
and seated on or after March 23, 2020 through January 10, 2021  | 
are extended through January 10, 2021, provided that the  | 
members continue to meet eligibility requirements for local  | 
school council membership.
 | 
 (d) Beginning with the 1995-96 school year, the following
 | 
procedures shall apply to the election of local school council  | 
members at each
attendance center:
 | 
  (i) The elected members of each local school council  | 
 shall consist of
the 6 parent members and the 2 community  | 
 resident members.
 | 
  (ii) Each elected member shall be elected by the  | 
 | 
 eligible voters of
that attendance center to serve for a  | 
 two-year term
commencing on July 1
immediately following  | 
 the election described in subsection
(c), except that the  | 
 terms of members elected to a local school council under  | 
 subsection (c-5) shall commence on January 11, 2021 and  | 
 end on July 1, 2022. Eligible
voters for each attendance  | 
 center shall consist of the parents and community
 | 
 residents for that attendance center.
 | 
  (iii) Each eligible voter shall be entitled
to cast  | 
 one vote for up to
a total of 5 candidates, irrespective of  | 
 whether such candidates are parent
or community resident  | 
 candidates. 
 | 
  (iv) Each parent voter shall be entitled to vote in  | 
 the local
school
council election at each attendance  | 
 center in which he or she has a child
currently enrolled.  | 
 Each community resident voter shall be entitled to
vote in  | 
 the local school council election at each attendance  | 
 center for
which he or she resides in the applicable  | 
 attendance area or voting
district, as the case may be.
 | 
  (v) Each eligible voter shall be entitled to vote  | 
 once, but
not more
than once, in the local school council  | 
 election at each attendance center
at which the voter is  | 
 eligible to vote.
 | 
  (vi) The 2 teacher members and the non-teacher  | 
 employee member of each local school council
shall be
 | 
 appointed as provided in subsection (l) below each to  | 
 | 
 serve for a
two-year
term coinciding with that of the  | 
 elected parent and community resident
members. From March  | 
 23, 2020 through January 10, 2021, the chief executive  | 
 officer or his or her designee may make accommodations to  | 
 fill the vacancy of a teacher or non-teacher employee  | 
 member of a local school council. 
 | 
  (vii) At secondary attendance centers and attendance  | 
 centers enrolling students in 7th and 8th grade, the  | 
 voting student members
shall
be appointed as provided in  | 
 subsection (m) below to serve
for a one-year term  | 
 coinciding with the beginning of the terms of the elected
 | 
 parent and community members of the local school council.  | 
 For the 2020-2021 school year, the chief executive officer  | 
 or his or her designee may make accommodations to fill the  | 
 vacancy of a student member of a local school council. 
 | 
 (e) The Council shall publicize the date and place of the  | 
election by
posting notices at the attendance center, in  | 
public places within the
attendance boundaries of the  | 
attendance center and by distributing notices
to the pupils at  | 
the attendance center, and shall utilize such other means
as  | 
it deems necessary to maximize the involvement of all eligible  | 
voters.
 | 
 (f) Nomination. The Council shall publicize the opening of  | 
nominations
by posting notices at the attendance center, in  | 
public places within the
attendance boundaries of the  | 
attendance center and by distributing notices
to the pupils at  | 
 | 
the attendance center, and shall utilize such other means
as  | 
it deems necessary to maximize the involvement of all eligible  | 
voters.
Not less than 2 weeks before the election date,  | 
persons eligible to run for
the Council shall submit their  | 
name,
date of birth, social
security number, if
available,
and  | 
some evidence of eligibility
to the Council. The Council shall  | 
encourage nomination of candidates
reflecting the  | 
racial/ethnic population of the students at the attendance
 | 
center. Each person nominated who runs as a candidate shall  | 
disclose, in a
manner determined by the Board, any economic  | 
interest held by such person,
by such person's spouse or  | 
children, or by each business entity in which
such person has  | 
an ownership interest, in any contract with the Board, any
 | 
local school council or any public school in the school
 | 
district.
Each person
nominated who runs as a candidate shall  | 
also disclose, in a manner determined
by the Board, if he or  | 
she ever has been convicted of any of the offenses
specified in  | 
subsection (c) of Section 34-18.5; provided that neither this
 | 
provision nor any other provision of this Section shall be  | 
deemed to require
the disclosure of any information that is  | 
contained in any law enforcement
record or juvenile court  | 
record that is confidential or whose accessibility or
 | 
disclosure is restricted or prohibited under Section 5-901 or
 | 
5-905 of the Juvenile
Court Act of 1987.
Failure to make such  | 
disclosure shall render a person ineligible
for election or to  | 
serve on the local school council. The same
disclosure shall  | 
 | 
be
required of persons under consideration for appointment to  | 
the Council
pursuant to subsections (l) and (m) of this  | 
Section.
 | 
 (f-5) Notwithstanding disclosure, a person who has been  | 
convicted of any
of
the
following offenses at any time shall be  | 
ineligible for election or appointment
to a local
school  | 
council and ineligible for appointment to a local school  | 
council
pursuant to
subsections (l) and (m) of this Section:  | 
(i) those defined in Section 11-1.20, 11-1.30, 11-1.40,  | 
11-1.50, 11-1.60, 11-6,
11-9.1, 11-14.4, 11-16,
11-17.1,  | 
11-19, 11-19.1, 11-19.2, 11-20.1, 11-20.1B, 11-20.3, 12-13,  | 
12-14, 12-14.1, 12-15, or
12-16, or subdivision (a)(2) of  | 
Section 11-14.3, of the
Criminal Code of 1961 or the Criminal  | 
Code of 2012, or (ii) any offense committed or attempted in any  | 
other
state or
against the laws of the United States, which, if  | 
committed or attempted in this
State,
would have been  | 
punishable as one or more of the foregoing offenses.
 | 
Notwithstanding
disclosure, a person who has been convicted of  | 
any of the following offenses
within the
10 years previous to  | 
the date of nomination or appointment shall be ineligible
for  | 
election or
appointment to a local school council:
(i) those  | 
defined in Section 401.1, 405.1, or 405.2 of the Illinois  | 
Controlled
Substances Act or (ii) any
offense committed
or  | 
attempted in any other state or against the laws of the United  | 
States,
which, if
committed or attempted in this State, would  | 
have been punishable as one or more
of the
foregoing offenses.
 | 
 | 
 Immediately upon election or appointment, incoming local  | 
school
council members
shall be
required to undergo a criminal  | 
background investigation, to be completed prior
to the member  | 
taking office,
in order to identify
any criminal convictions  | 
under the offenses enumerated in Section 34-18.5.
The  | 
investigation shall be conducted by the Illinois State Police  | 
in the
same manner as provided for in Section 34-18.5.  | 
However, notwithstanding
Section 34-18.5, the social security  | 
number shall be provided only if
available.
If it is  | 
determined at any time that a local school council member or
 | 
member-elect has been convicted
of any of the offenses  | 
enumerated in this Section or failed to disclose a
conviction  | 
of any of the offenses enumerated in Section 34-18.5, the  | 
general
superintendent shall notify the local school council  | 
member or member-elect of
such
determination and the local  | 
school council member or member-elect shall be
removed from  | 
the
local school council by the Board, subject to a hearing,
 | 
convened pursuant to Board rule, prior to removal.
 | 
 (g) At least one week before the election date, the  | 
Council shall
publicize, in the manner provided in subsection  | 
(e), the names of persons
nominated for election.
 | 
 (h) Voting shall be in person by secret ballot at the  | 
attendance center
between the hours of 6:00 a.m. and 7:00 p.m.
 | 
 (i) Candidates receiving the highest number of votes shall  | 
be declared
elected by the Council. In cases of a tie, the  | 
Council shall determine the
winner by lottery.
 | 
 | 
 (j) The Council shall certify the results of the election  | 
and shall
publish the results in the minutes of the Council.
 | 
 (k) The general superintendent shall resolve any
disputes
 | 
concerning election procedure or results and shall ensure  | 
that, except as
provided in subsections (e) and (g), no  | 
resources of any attendance center
shall be used to endorse or  | 
promote any candidate.
 | 
 (l) Beginning with the first local school council election  | 
that occurs after December 3, 2021 (the effective date of  | 
Public Act 102-677) this amendatory Act of the 102nd General  | 
Assembly, in every
even numbered
year, the Board shall appoint  | 
2 teacher
members to each
local school council. These  | 
appointments shall be made in the following
manner:
 | 
  (i) The Board shall appoint 2 teachers who are
 | 
 employed and assigned to
perform the majority of
their  | 
 employment duties at the attendance center
to serve on the  | 
 local school council of the attendance center for a  | 
 two-year
term coinciding with the terms of the elected  | 
 parent and
community members of that local school council.  | 
 These
appointments shall be made from among those teachers  | 
 who are nominated in
accordance with subsection (f).
 | 
  (ii) A non-binding, advisory poll to ascertain the
 | 
 preferences of the
school staff regarding appointments of  | 
 teachers to the local school council
for that attendance  | 
 center shall be conducted in accordance with the
 | 
 procedures used to elect parent and community Council  | 
 | 
 representatives. At
such poll, each member of the school  | 
 staff shall be entitled to indicate
his or her preference  | 
 for up to 2 candidates from among those who submitted
 | 
 statements of candidacy as described above. These  | 
 preferences shall be
advisory only and the Board shall  | 
 maintain absolute discretion to appoint
teacher members to  | 
 local school councils, irrespective of the preferences
 | 
 expressed in any such poll. Prior to the appointment of  | 
 staff members to local school councils, the Board shall  | 
 make public the vetting process of staff member  | 
 candidates. Any staff member seeking candidacy shall be  | 
 allowed to make an inquiry to the Board to determine if the  | 
 Board may deny the appointment of the staff member. An  | 
 inquiry made to the Board shall be made in writing in  | 
 accordance with Board procedure.
 | 
  (iii) In the event that a teacher representative is  | 
 unable to perform
his or her employment duties at the  | 
 school due to illness, disability, leave of
absence,  | 
 disciplinary action, or any other reason, the Board shall  | 
 declare
a temporary vacancy and appoint a replacement  | 
 teacher representative to serve
on the local school  | 
 council until such time as the teacher member originally
 | 
 appointed pursuant to this subsection (l) resumes service  | 
 at the attendance
center or for the remainder of the term.  | 
 The replacement teacher
representative shall be appointed  | 
 in the same manner and by the same procedures
as teacher  | 
 | 
 representatives are appointed in subdivisions (i) and (ii)  | 
 of this
subsection (l).
 | 
 (m) Beginning with the 1995-1996 school year through the  | 
2020-2021 school year, the Board shall appoint one student  | 
member to each
secondary attendance center. Beginning with the  | 
2021-2022 school year and for every school year thereafter,  | 
the Board shall appoint 3 student members to the local school  | 
council of each secondary attendance center and one student  | 
member to the local school council of each attendance center  | 
enrolling students in 7th and 8th grade. Students enrolled in  | 
grade 6 or above are eligible to be candidates for a local  | 
school council. No attendance center enrolling students in 7th  | 
and 8th grade may have more than one student member, unless the  | 
attendance center enrolls students in grades 7 through 12, in  | 
which case the attendance center may have a total of 3 student  | 
members on the local school council. The Board may establish  | 
criteria for students to be considered eligible to serve as a  | 
student member. These appointments shall be made in the
 | 
following manner:
 | 
  (i) Appointments shall be made from among those  | 
 students who submit
statements of candidacy to the  | 
 principal of the attendance center, such
statements to be  | 
 submitted commencing on the first day of the twentieth
 | 
 week of school and
continuing for 2 weeks thereafter. The  | 
 form and manner of such candidacy
statements shall be  | 
 determined by the Board.
 | 
 | 
  (ii) During the twenty-second week of school in every  | 
 year,
the principal of
each attendance center shall  | 
 conduct a binding election to
ascertain the preferences of  | 
 the school students regarding the appointment
of students  | 
 to the local school council for that attendance center. At
 | 
 such election, each student shall be entitled to indicate  | 
 his or her preference
for up to one candidate from among  | 
 those who submitted statements of
candidacy as described  | 
 above. The Board shall promulgate rules to ensure
that  | 
 these elections are conducted in a fair and
equitable  | 
 manner and maximize the involvement of all school  | 
 students. In the case of a tie vote, the local school  | 
 council shall determine the winner by lottery. The
 | 
 preferences expressed in these elections s shall be
 | 
 transmitted by the principal to the Board. These  | 
 preferences
shall be binding on the Board.
 | 
  (iii) (Blank).
 | 
 (n) The Board may promulgate such other rules and  | 
regulations for
election procedures as may be deemed necessary  | 
to ensure fair elections.
 | 
 (o) In the event that a vacancy occurs during a member's  | 
term, the
Council shall appoint a person eligible to serve on  | 
the Council to fill
the unexpired term created by the vacancy,  | 
except that any teacher or non-teacher staff vacancy
shall be  | 
filled by the Board after considering the preferences of the  | 
school
staff as ascertained through a non-binding advisory  | 
 | 
poll of school staff. In the case of a student vacancy, the  | 
vacancy shall be filled by the preferences of an election poll  | 
of students. 
 | 
 (p) If less than the specified number of persons is  | 
elected within each
candidate category, the newly elected  | 
local school council shall appoint
eligible persons to serve  | 
as members of the Council for 2-year terms, as provided in  | 
subsection (c-5) of Section 34-2.2 of this Code.
 | 
 (q) The Board shall promulgate rules regarding conflicts  | 
of interest
and disclosure of economic interests which shall  | 
apply to local school
council members and which shall require  | 
reports or statements to be filed
by Council members at  | 
regular intervals with the Secretary of the
Board. Failure to  | 
comply with such rules
or intentionally falsifying such  | 
reports shall be grounds for
disqualification from local  | 
school council membership. A vacancy on the
Council for  | 
disqualification may be so declared by the Secretary of the
 | 
Board. Rules regarding conflicts of interest and disclosure of
 | 
economic interests promulgated by the Board shall apply to  | 
local school council
members. No less than 45 days prior to the  | 
deadline, the general
superintendent shall provide notice, by  | 
mail, to each local school council
member of all requirements  | 
and forms for compliance with economic interest
statements.
 | 
 (r) (1) If a parent member of a local school council ceases  | 
to have any
child
enrolled in the attendance center governed  | 
by the Local School Council due to
the graduation or voluntary  | 
 | 
transfer of a child or children from the attendance
center,  | 
the parent's membership on the Local School Council and all  | 
voting
rights are terminated immediately as of the date of the  | 
child's graduation or
voluntary transfer. If the child of a  | 
parent member of a local school council dies during the  | 
member's term in office, the member may continue to serve on  | 
the local school council for the balance of his or her term.  | 
Further,
a local school council member may be removed from the  | 
Council by a
majority vote of the Council as provided in  | 
subsection (c) of Section
34-2.2 if the Council member has  | 
missed 3 consecutive regular meetings, not
including committee  | 
meetings, or 5 regular meetings in a 12-month period,
not  | 
including committee meetings.
If a parent member of a local  | 
school council ceases to be eligible to serve
on the Council  | 
for any other reason, he or she shall be removed by the Board
 | 
subject
to a hearing, convened pursuant to Board rule, prior  | 
to removal.
A vote to remove a Council member by the local  | 
school council shall
only be valid if the Council member has  | 
been notified personally or by
certified mail, mailed to the  | 
person's last known address, of the Council's
intent to vote  | 
on the Council member's removal at least 7 days prior to the
 | 
vote. The Council member in question shall have the right to  | 
explain
his or her actions and shall be eligible to vote on the
 | 
question of his or her removal from the Council. The  | 
provisions of this
subsection shall be contained within the  | 
petitions used to nominate Council
candidates.
 | 
 | 
 (2) A person may continue to serve as a community resident  | 
member of a
local
school council as long as he or she resides  | 
in the attendance area served by
the
school and is not employed  | 
by the Board nor is a parent of a student enrolled
at the  | 
school. If a community resident member ceases to be eligible  | 
to serve
on the Council, he or she shall be removed by the  | 
Board subject to a hearing,
convened pursuant to Board rule,  | 
prior to removal.
 | 
 (3) A person may continue to serve as a staff member of a  | 
local school
council as long as he or she is employed and  | 
assigned to perform a majority of
his or her duties at the  | 
school, provided that if the staff representative
resigns from  | 
employment with the Board or
voluntarily transfers to another  | 
school, the staff member's membership on the local
school  | 
council and all voting rights are terminated immediately as of  | 
the date
of the staff member's resignation or upon the date of  | 
the staff member's voluntary
transfer to another school. If a  | 
staff member of a local school council
ceases to be eligible to  | 
serve on a local school council for any other reason,
that  | 
member shall be removed by the Board subject to a hearing,  | 
convened
pursuant to Board rule, prior to removal. | 
 (s) As used in this Section only, "community resident"  | 
means a person, 17 years of age or older, residing within an  | 
attendance area served by a school, excluding any person who  | 
is a parent of a student enrolled in that school; provided that  | 
with respect to any multi-area school, community resident  | 
 | 
means any person, 17 years of age or older, residing within the  | 
voting district established for that school pursuant to  | 
Section 34-2.1c, excluding any person who is a parent of a  | 
student enrolled in that school. This definition does not  | 
apply to any provisions concerning school boards. 
 | 
(Source: P.A. 101-643, eff. 6-18-20; 102-194, eff. 7-30-21;  | 
102-538, eff. 8-20-21; 102-677, eff. 12-3-21; revised 1-9-22.)
 | 
 (105 ILCS 5/34-4.5)
 | 
 Sec. 34-4.5. Chronic truants. 
 | 
 (a) Socio-emotional focused attendance intervention. The  | 
chief executive officer or the chief executive officer's  | 
designee shall implement a socio-emotional focused attendance  | 
approach that targets the underlying causes of chronic  | 
truancy. For each pupil identified as a chronic truant, as  | 
defined in Section 26-2a of this Code, the board may establish  | 
an individualized student attendance plan to identify and  | 
resolve the underlying cause of the pupil's chronic truancy.
 | 
 (b) Notices. Prior to the implementation of any truancy  | 
intervention services pursuant to subsection (d) of this  | 
Section, the
principal of
the school attended by the pupil or  | 
the principal's designee shall notify the
pupil's parent or  | 
guardian by personal visit, letter, or telephone of each
 | 
unexcused absence of the pupil. After giving the parent or  | 
guardian notice of
the tenth unexcused absence of the pupil,  | 
the principal or the principal's
designee shall send the  | 
 | 
pupil's parent or guardian a letter, by certified mail,
return  | 
receipt requested, notifying the parent or guardian that he or  | 
she is
subjecting himself or herself to truancy intervention  | 
services as provided under
subsection (d) of this Section.
 | 
 (c) (Blank).
 | 
 (d) Truancy intervention services. The chief executive  | 
officer or the chief executive officer's designee may require  | 
the pupil or the pupil's
parent or guardian or both the pupil  | 
and the pupil's parent or guardian to do
any or all of the  | 
following: complete a parenting education program;
obtain  | 
counseling or other supportive services; and comply with an
 | 
individualized
educational plan or service plan as provided by  | 
appropriate school officials.
If the parent or guardian of the  | 
chronic truant shows that he or she
took reasonable steps to  | 
ensure attendance of the pupil at school, he or she
shall not  | 
be required to perform services.
 | 
 (e) Non-compliance with services. Notwithstanding any  | 
other provision of law to the contrary, if a pupil determined  | 
by the chief executive officer or the chief executive  | 
officer's designee to be a chronic truant or the parent or  | 
guardian of the pupil fails to fully participate in the  | 
services offered
under subsection (d)
of this Section, the  | 
chief executive officer or the chief executive officer's  | 
designee may refer the
matter to the Department of Human  | 
Services, the Department of Healthcare and Family Services, or  | 
any other applicable organization or State agency for  | 
 | 
socio-emotional based intervention and prevention services.  | 
Additionally, if the circumstances regarding a pupil  | 
identified as a chronic truant reasonably indicate that the  | 
pupil may be subject to abuse or neglect, apart from truancy,  | 
the chief executive officer or the chief executive officer's  | 
designee must report any findings that support suspected abuse  | 
or neglect to the Department of Children and Family Services  | 
pursuant to the Abused and Neglected Child Reporting Act. A  | 
State agency that receives a referral may enter into a data  | 
sharing agreement with the school district to share applicable  | 
student referral and case data. A State agency that receives a  | 
referral from the school district shall implement an intake  | 
process that may include a consent form that allows the agency  | 
to share information with the school district..
 | 
 (f) Limitation on applicability. Nothing in this Section  | 
shall be construed
to apply to a parent or guardian of a pupil  | 
not required to attend a public
school pursuant to Section  | 
26-1.
 | 
(Source: P.A. 102-456, eff. 1-1-22; revised 10-6-21.)
 | 
 (105 ILCS 5/34-18.5) (from Ch. 122, par. 34-18.5) | 
 Sec. 34-18.5. Criminal history records checks and checks  | 
of the Statewide Sex Offender Database and Statewide Murderer  | 
and Violent Offender Against Youth Database. | 
 (a) Licensed and nonlicensed applicants for
employment  | 
with the school district are required as a condition of
 | 
 | 
employment to authorize a fingerprint-based criminal history  | 
records check to determine if such applicants
have been  | 
convicted of any disqualifying, enumerated criminal or drug  | 
offense in
subsection (c) of this Section or have been
 | 
convicted, within 7 years of the application for employment  | 
with the
school district, of any other felony under the laws of  | 
this State or of any
offense committed or attempted in any  | 
other state or against the laws of
the United States that, if  | 
committed or attempted in this State, would
have been  | 
punishable as a felony under the laws of this State.  | 
Authorization
for
the
check shall
be furnished by the  | 
applicant to the school district, except that if the
applicant  | 
is a substitute teacher seeking employment in more than one
 | 
school district, or a teacher seeking concurrent part-time  | 
employment
positions with more than one school district (as a  | 
reading specialist,
special education teacher or otherwise),  | 
or an educational support
personnel employee seeking  | 
employment positions with more than one
district, any such  | 
district may require the applicant to furnish
authorization  | 
for
the check to the regional superintendent of the
 | 
educational service region in which are located the school  | 
districts in
which the applicant is seeking employment as a  | 
substitute or concurrent
part-time teacher or concurrent  | 
educational support personnel employee.
Upon receipt of this  | 
authorization, the school district or the appropriate
regional  | 
superintendent, as the case may be, shall submit the  | 
 | 
applicant's
name, sex, race, date of birth, social security  | 
number, fingerprint images, and other identifiers, as  | 
prescribed by the Illinois State Police, to the Illinois State  | 
Police. The regional
superintendent submitting the requisite  | 
information to the Illinois
State Police shall promptly notify  | 
the school districts in which the
applicant is seeking  | 
employment as a substitute or concurrent part-time
teacher or  | 
concurrent educational support personnel employee that
the
 | 
check of the applicant has been requested. The Illinois State
 | 
Police and the Federal Bureau of Investigation shall furnish,  | 
pursuant to a fingerprint-based criminal history records  | 
check, records of convictions, forever and hereinafter, until  | 
expunged, to the president of the school board for the school  | 
district that requested the check, or to the regional  | 
superintendent who requested the check. The Illinois State  | 
Police
shall charge
the school district
or the appropriate  | 
regional superintendent a fee for
conducting
such check, which  | 
fee shall be deposited in the State
Police Services Fund and  | 
shall not exceed the cost of the inquiry; and the
applicant  | 
shall not be charged a fee for
such check by the school
 | 
district or by the regional superintendent. Subject to  | 
appropriations for these purposes, the State Superintendent of  | 
Education shall reimburse the school district and regional  | 
superintendent for fees paid to obtain criminal history  | 
records checks under this Section. | 
 (a-5) The school district or regional superintendent shall  | 
 | 
further perform a check of the Statewide Sex Offender  | 
Database, as authorized by the Sex Offender Community  | 
Notification Law, for each applicant. The check of the  | 
Statewide Sex Offender Database must be conducted by the  | 
school district or regional superintendent once for every 5  | 
years that an applicant remains employed by the school  | 
district.  | 
 (a-6) The school district or regional superintendent shall  | 
further perform a check of the Statewide Murderer and Violent  | 
Offender Against Youth Database, as authorized by the Murderer  | 
and Violent Offender Against Youth Community Notification Law,  | 
for each applicant. The check of the Murderer and Violent  | 
Offender Against Youth Database must be conducted by the  | 
school district or regional superintendent once for every 5  | 
years that an applicant remains employed by the school  | 
district.  | 
 (b) Any
information concerning the record of convictions  | 
obtained by the president
of the board of education or the  | 
regional superintendent shall be
confidential and may only be  | 
transmitted to the general superintendent of
the school  | 
district or his designee, the appropriate regional
 | 
superintendent if
the check was requested by the board of  | 
education
for the school district, the presidents of the  | 
appropriate board of
education or school boards if
the check  | 
was requested from the Illinois
State Police by the regional  | 
superintendent, the State Board of Education and the school  | 
 | 
district as authorized under subsection (b-5), the State
 | 
Superintendent of Education, the State Educator Preparation  | 
and Licensure Board or any
other person necessary to the  | 
decision of hiring the applicant for
employment. A copy of the  | 
record of convictions obtained from the Illinois
State Police  | 
shall be provided to the applicant for
employment. Upon the  | 
check of the Statewide Sex Offender Database or Statewide  | 
Murderer and Violent Offender Against Youth Database, the  | 
school district or regional superintendent shall notify an  | 
applicant as to whether or not the applicant has been  | 
identified in the Database. If a check of an applicant for  | 
employment as a
substitute or concurrent part-time teacher or  | 
concurrent educational
support personnel employee in more than  | 
one school district was requested
by the regional  | 
superintendent, and the Illinois State Police upon
a check  | 
ascertains that the applicant has not been convicted of any
of  | 
the enumerated criminal or drug offenses in subsection (c) of  | 
this Section
or has not been
convicted,
within 7 years of the  | 
application for employment with the
school district, of any  | 
other felony under the laws of this State or of any
offense  | 
committed or attempted in any other state or against the laws  | 
of
the United States that, if committed or attempted in this  | 
State, would
have been punishable as a felony under the laws of  | 
this State and so
notifies the regional superintendent and if  | 
the regional superintendent upon a check ascertains that the  | 
applicant has not been identified in the Sex Offender Database  | 
 | 
or Statewide Murderer and Violent Offender Against Youth  | 
Database, then the regional superintendent
shall issue to the  | 
applicant a certificate evidencing that as of the date
 | 
specified by the Illinois State Police the applicant has not  | 
been
convicted of any of the enumerated criminal or drug  | 
offenses in subsection
(c) of this Section
or has not been
 | 
convicted, within 7 years of the application for employment  | 
with the
school district, of any other felony under the laws of  | 
this State or of any
offense committed or attempted in any  | 
other state or against the laws of
the United States that, if  | 
committed or attempted in this State, would
have been  | 
punishable as a felony under the laws of this State and  | 
evidencing that as of the date that the regional  | 
superintendent conducted a check of the Statewide Sex Offender  | 
Database or Statewide Murderer and Violent Offender Against  | 
Youth Database, the applicant has not been identified in the  | 
Database. The school
board of any school district may rely on  | 
the certificate issued by any regional
superintendent to that  | 
substitute teacher, concurrent part-time teacher, or  | 
concurrent educational support personnel employee
or may  | 
initiate its own criminal history records check of
the  | 
applicant through the Illinois State Police and its own check  | 
of the Statewide Sex Offender Database or Statewide Murderer  | 
and Violent Offender Against Youth Database as provided in
 | 
this Section. Any unauthorized release of confidential  | 
information may be a violation of Section 7 of the Criminal  | 
 | 
Identification Act. | 
 (b-5) If a criminal history records check or check of the  | 
Statewide Sex Offender Database or Statewide Murderer and  | 
Violent Offender Against Youth Database is performed by a  | 
regional superintendent for an applicant seeking employment as  | 
a substitute teacher with the school district, the regional  | 
superintendent may disclose to the State Board of Education  | 
whether the applicant has been issued a certificate under  | 
subsection (b) based on those checks. If the State Board  | 
receives information on an applicant under this subsection,  | 
then it must indicate in the Educator Licensure Information  | 
System for a 90-day period that the applicant has been issued  | 
or has not been issued a certificate.  | 
 (c) The board of education shall not knowingly employ a  | 
person who has
been convicted of any offense that would  | 
subject him or her to license suspension or revocation  | 
pursuant to Section 21B-80 of this Code, except as provided  | 
under subsection (b) of 21B-80.
Further, the board of  | 
education shall not knowingly employ a person who has
been  | 
found to be the perpetrator of sexual or physical abuse of any  | 
minor under
18 years of age pursuant to proceedings under  | 
Article II of the Juvenile Court
Act of 1987. As a condition of  | 
employment, the board of education must consider the status of  | 
a person who has been issued an indicated finding of abuse or  | 
neglect of a child by the Department of Children and Family  | 
Services under the Abused and Neglected Child Reporting Act or  | 
 | 
by a child welfare agency of another jurisdiction. | 
 (d) The board of education shall not knowingly employ a  | 
person for whom
a criminal history records check and a  | 
Statewide Sex Offender Database check have not been initiated. | 
 (e) Within 10 days after the general superintendent of  | 
schools, a regional office of education, or an entity that  | 
provides background checks of license holders to public  | 
schools receives information of a pending criminal charge  | 
against a license holder for an offense set forth in Section  | 
21B-80 of this Code, the superintendent, regional office of  | 
education, or entity must notify the State Superintendent of  | 
Education of the pending criminal charge.  | 
 No later than 15 business days after receipt of a record of  | 
conviction or of checking the Statewide Murderer and Violent  | 
Offender Against Youth Database or the Statewide Sex Offender  | 
Database and finding a registration, the general  | 
superintendent of schools or the applicable regional  | 
superintendent shall, in writing, notify the State  | 
Superintendent of Education of any license holder who has been  | 
convicted of a crime set forth in Section 21B-80 of this Code.  | 
Upon receipt of the record of a conviction of or a finding of  | 
child
abuse by a holder of any license
issued pursuant to  | 
Article 21B or Section 34-8.1 or 34-83 of this Code, the State  | 
Superintendent of
Education may initiate licensure suspension  | 
and revocation
proceedings as authorized by law. If the  | 
receipt of the record of conviction or finding of child abuse  | 
 | 
is received within 6 months after the initial grant of or  | 
renewal of a license, the State Superintendent of Education  | 
may rescind the license holder's license. | 
 (e-5) The general superintendent of schools shall, in  | 
writing, notify the State Superintendent of Education of any  | 
license holder whom he or she has reasonable cause to believe  | 
has committed an intentional act of abuse or neglect with the  | 
result of making a child an abused child or a neglected child,  | 
as defined in Section 3 of the Abused and Neglected Child  | 
Reporting Act, and that act resulted in the license holder's  | 
dismissal or resignation from the school district and must  | 
include the Illinois Educator Identification Number (IEIN) of  | 
the license holder and a brief description of the misconduct  | 
alleged. This notification must be submitted within 30 days  | 
after the dismissal or resignation. The license holder must  | 
also be contemporaneously sent a copy of the notice by the  | 
superintendent. All correspondence, documentation, and other  | 
information so received by the State Superintendent of  | 
Education, the State Board of Education, or the State Educator  | 
Preparation and Licensure Board under this subsection (e-5) is  | 
confidential and must not be disclosed to third parties,  | 
except (i) as necessary for the State Superintendent of  | 
Education or his or her designee to investigate and prosecute  | 
pursuant to Article 21B of this Code, (ii) pursuant to a court  | 
order, (iii) for disclosure to the license holder or his or her  | 
representative, or (iv) as otherwise provided in this Article  | 
 | 
and provided that any such information admitted into evidence  | 
in a hearing is exempt from this confidentiality and  | 
non-disclosure requirement. Except for an act of willful or  | 
wanton misconduct, any superintendent who provides  | 
notification as required in this subsection (e-5) shall have  | 
immunity from any liability, whether civil or criminal or that  | 
otherwise might result by reason of such action. | 
 (f) After March 19, 1990, the provisions of this Section  | 
shall apply to
all employees of persons or firms holding  | 
contracts with any school district
including, but not limited  | 
to, food service workers, school bus drivers and
other  | 
transportation employees, who have direct, daily contact with  | 
the
pupils of any school in such district. For purposes of  | 
criminal history records checks and checks of the Statewide  | 
Sex Offender Database on employees of persons or firms holding  | 
contracts with more
than one school district and assigned to  | 
more than one school district, the
regional superintendent of  | 
the educational service region in which the
contracting school  | 
districts are located may, at the request of any such
school  | 
district, be responsible for receiving the authorization for
a  | 
criminal history records check prepared by each such employee  | 
and submitting the same to the Illinois
State Police and for  | 
conducting a check of the Statewide Sex Offender Database for  | 
each employee. Any information concerning the record of
 | 
conviction and identification as a sex offender of any such  | 
employee obtained by the regional superintendent
shall be  | 
 | 
promptly reported to the president of the appropriate school  | 
board
or school boards. | 
 (f-5) Upon request of a school or school district, any  | 
information obtained by the school district pursuant to  | 
subsection (f) of this Section within the last year must be  | 
made available to the requesting school or school district. | 
 (g) Prior to the commencement of any student teaching  | 
experience or required internship (which is referred to as  | 
student teaching in this Section) in the public schools, a  | 
student teacher is required to authorize a fingerprint-based  | 
criminal history records check. Authorization for and payment  | 
of the costs of the check must be furnished by the student  | 
teacher to the school district. Upon receipt of this  | 
authorization and payment, the school district shall submit  | 
the student teacher's name, sex, race, date of birth, social  | 
security number, fingerprint images, and other identifiers, as  | 
prescribed by the Illinois State Police, to the Illinois State  | 
Police. The Illinois State Police and the Federal Bureau of  | 
Investigation shall furnish, pursuant to a fingerprint-based  | 
criminal history records check, records of convictions,  | 
forever and hereinafter, until expunged, to the president of  | 
the board. The Illinois State Police shall charge the school  | 
district a fee for conducting the check, which fee must not  | 
exceed the cost of the inquiry and must be deposited into the  | 
State Police Services Fund. The school district shall further  | 
perform a check of the Statewide Sex Offender Database, as  | 
 | 
authorized by the Sex Offender Community Notification Law, and  | 
of the Statewide Murderer and Violent Offender Against Youth  | 
Database, as authorized by the Murderer and Violent Offender  | 
Against Youth Registration Act, for each student teacher. The  | 
board may not knowingly allow a person to student teach for  | 
whom a criminal history records check, a Statewide Sex  | 
Offender Database check, and a Statewide Murderer and Violent  | 
Offender Against Youth Database check have not been completed  | 
and reviewed by the district. | 
 A copy of the record of convictions obtained from the  | 
Illinois State Police must be provided to the student teacher.  | 
Any information concerning the record of convictions obtained  | 
by the president of the board is confidential and may only be  | 
transmitted to the general superintendent of schools or his or  | 
her designee, the State Superintendent of Education, the State  | 
Educator Preparation and Licensure Board, or, for  | 
clarification purposes, the Illinois State Police or the  | 
Statewide Sex Offender Database or Statewide Murderer and  | 
Violent Offender Against Youth Database. Any unauthorized  | 
release of confidential information may be a violation of  | 
Section 7 of the Criminal Identification Act. | 
 The board may not knowingly allow a person to student  | 
teach who has been convicted of any offense that would subject  | 
him or her to license suspension or revocation pursuant to  | 
subsection (c) of Section 21B-80 of this Code, except as  | 
provided under subsection (b) of Section 21B-80. Further, the  | 
 | 
board may not allow a person to student teach if he or she has  | 
been found to be the perpetrator of sexual or physical abuse of  | 
a minor under 18 years of age pursuant to proceedings under  | 
Article II of the Juvenile Court Act of 1987. The board must  | 
consider the status of a person to student teach who has been  | 
issued an indicated finding of abuse or neglect of a child by  | 
the Department of Children and Family Services under the  | 
Abused and Neglected Child Reporting Act or by a child welfare  | 
agency of another jurisdiction. | 
 (h) (Blank). | 
(Source: P.A. 101-72, eff. 7-12-19; 101-531, eff. 8-23-19;  | 
101-643, eff. 6-18-20; 102-538, eff. 8-20-21; 102-552, eff.  | 
1-1-22; revised 10-18-21.)
 | 
 (105 ILCS 5/34-18.8) (from Ch. 122, par. 34-18.8)
 | 
 Sec. 34-18.8. HIV training. School counselors, nurses,
 | 
teachers, school social workers, and other school personnel  | 
who work with students shall be trained to have a basic  | 
knowledge of matters relating
to human immunodeficiency virus  | 
(HIV), including the nature of the infection, its causes and  | 
effects, the means of detecting it and preventing
its  | 
transmission, the availability of appropriate sources of  | 
counseling and
referral, and any other medically accurate  | 
information that is age and developmentally appropriate for  | 
such students. The Board of Education shall supervise
such  | 
training. The State Board of Education and the Department of  | 
 | 
Public
Health shall jointly develop standards for such  | 
training.
 | 
(Source: P.A. 102-197, eff. 7-30-21; 102-522, eff. 8-20-21;  | 
revised 10-18-21.)
 | 
 (105 ILCS 5/34-18.67) | 
 Sec. 34-18.67. Student identification; suicide prevention  | 
information. The school district shall provide contact  | 
information for the National Suicide Prevention Lifeline and  | 
for the Crisis Text Line on the back of each student  | 
identification card issued by the school district. If the  | 
school district does not issue student identification cards to  | 
its students or to all of its students, the school district  | 
must publish this information on its website.
 | 
(Source: P.A. 102-134, eff. 7-23-21.)
 | 
 (105 ILCS 5/34-18.71)
 | 
 (This Section may contain text from a Public Act with a  | 
delayed effective date) | 
 Sec. 34-18.71 34-18.67. Parent-teacher conference and  | 
other meetings; caseworker. For any student who is in the  | 
legal custody of the Department of Children and Family  | 
Services, the liaison appointed under Section 34-18.52 must  | 
inform the Department's Office of Education and Transition  | 
Services of a parent-teacher conference or any other meeting  | 
concerning the student that would otherwise involve a parent  | 
 | 
and must, at the option of the caseworker, allow the student's  | 
caseworker to attend the conference or meeting.
 | 
(Source: P.A. 102-199, eff. 7-1-22; revised 10-19-21.)
 | 
 (105 ILCS 5/34-18.72)
 | 
 (This Section may contain text from a Public Act with a  | 
delayed effective date) | 
 Sec. 34-18.72 34-18.67. Website accessibility guidelines. | 
 (a) As used in this Section, "Internet website or web  | 
service" means any third party online curriculum that is made  | 
available to enrolled students or the public by the school  | 
district through the Internet. | 
 (b) To ensure that the content available on an Internet  | 
website or web service of the school district is readily  | 
accessible to persons with disabilities, the school district  | 
must require that the Internet website or web service comply  | 
with Level AA of the World Wide Web Consortium's Web Content  | 
Accessibility Guidelines 2.1 or any revised version of those  | 
guidelines. 
 | 
(Source: P.A. 102-238, eff. 8-1-22; revised 10-19-21.)
 | 
 (105 ILCS 5/34-18.73)
 | 
 Sec. 34-18.73 34-18.67. Parental notification of student  | 
discipline. | 
 (a) In this Section, "misconduct" means an incident that  | 
involves offensive touching, a physical altercation, or the  | 
 | 
use of violence. | 
 (b) If a student commits an act or acts of misconduct  | 
involving offensive touching, a physical altercation, or the  | 
use of violence, the student's school shall provide written  | 
notification of that misconduct to the parent or guardian of  | 
the student. | 
 (c) If a student makes a written statement to a school  | 
employee relating to an act or acts of misconduct, whether the  | 
student is engaging in the act or acts or is targeted by the  | 
act or acts, the school shall provide the written statement to  | 
the student's parent or guardian, upon request and in  | 
accordance with federal and State laws and rules governing  | 
school student records. | 
 (d) If the parent or guardian of a student involved in an  | 
act or acts of misconduct, whether the student is engaging in  | 
the act or acts or is targeted by the act or acts, requests a  | 
synopsis of any statement made by the parent's or guardian's  | 
child, the school shall provide any existing records  | 
responsive to that request, in accordance with federal and  | 
State laws and rules governing school student records. | 
 (e) A school shall make reasonable attempts to provide a  | 
copy of any disciplinary report resulting from an  | 
investigation into a student's act or acts of misconduct to  | 
the parent or guardian of the student receiving disciplinary  | 
action, including any and all restorative justice measures,  | 
within 2 school days after the completion of the report. The  | 
 | 
disciplinary report shall include all of the following:  | 
  (1) A description of the student's act or acts of  | 
 misconduct that resulted in disciplinary action. The names  | 
 and any identifying information of any other student or  | 
 students involved must be redacted from or not included in  | 
 the report, in accordance with federal and State student  | 
 privacy laws and rules. | 
  (2) A description of the disciplinary action, if any,  | 
 imposed on the parent's or guardian's child, including the  | 
 duration of the disciplinary action. | 
  (3) The school's justification and rationale for the  | 
 disciplinary action imposed on the parent's or guardian's  | 
 child, including reference to the applicable student  | 
 discipline policies, procedures, or guidelines. | 
  (4) A description of the restorative justice measures,  | 
 if any, used on the parent's or guardian's child. 
 | 
(Source: P.A. 102-251, eff. 8-6-21; revised 10-19-21.)
 | 
 (105 ILCS 5/34-18.74)
 | 
 Sec. 34-18.74 34-18.67. School support personnel  | 
reporting. No later than December 1, 2022 and each December  | 
1st annually thereafter, the school district must report to  | 
the State Board of Education the information with regard to  | 
the school district as of October 1st of each year beginning in  | 
2022 as described in subsection (b) of Section 2-3.182 of this  | 
Code and must make that information available on its website.
 | 
 | 
(Source: P.A. 102-302, eff. 1-1-22; revised 10-19-21.)
 | 
 (105 ILCS 5/34-18.75)
 | 
 (This Section may contain text from a Public Act with a  | 
delayed effective date) | 
 Sec. 34-18.75 34-18.67. Identification cards; suicide  | 
prevention information. If the school district issues an  | 
identification card to pupils in any of grades 6 through 12,  | 
the district shall provide contact information for the  | 
National Suicide Prevention Lifeline (988), the Crisis Text  | 
Line, and either the Safe2Help Illinois helpline or a local  | 
suicide prevention hotline or both on the identification card.  | 
The contact information shall identify each helpline that may  | 
be contacted through text messaging. The contact information  | 
shall be included in the school's student handbook and also  | 
the student planner if a student planner is custom printed by  | 
the school for distribution to pupils in any of grades 6  | 
through 12.
 | 
(Source: P.A. 102-416, eff. 7-1-22; revised 10-19-21.)
 | 
 (105 ILCS 5/34-18.76)
 | 
 Sec. 34-18.76 34-18.67. Student absence; pregnancy. The  | 
board shall adopt written policies related to absences and  | 
missed homework or classwork assignments as a result of or  | 
related to a student's pregnancy.
 | 
(Source: P.A. 102-471, eff. 8-20-21; revised 10-19-21.)
 | 
 | 
 (105 ILCS 5/34-21.9) | 
 Sec. 34-21.9. Modification of athletic or team uniform  | 
permitted. | 
 (a) The board must allow a student athlete to modify his or  | 
her athletic or team uniform due to the observance of modesty  | 
in clothing or attire in accordance with the requirements of  | 
his or her religion or his or her cultural values or modesty  | 
preferences. The modification of the athletic or team uniform  | 
may include, but is not limited to, the wearing of a hijab, an  | 
undershirt, or leggings. If a student chooses to modify his or  | 
her athletic or team uniform, the student is responsible for  | 
all costs associated with the modification of the uniform and  | 
the student shall not be required to receive prior approval  | 
from the board for such modification. However, nothing in this  | 
Section prohibits a school from providing the modification to  | 
the student. | 
 (b) At a minimum, any modification of the athletic or team  | 
uniform must not interfere with the movement of the student or  | 
pose a safety hazard to the student or to other athletes or  | 
players. The modification of headgear is permitted if the  | 
headgear: | 
  (1) is black, white, the predominant predominate color  | 
 of the uniform, or the same color for all players on the  | 
 team; | 
  (2) does not cover any part of the face; | 
 | 
  (3) is not dangerous to the player or to the other  | 
 players; | 
  (4) has no opening or closing elements around the face  | 
 and neck; and | 
  (5) has no parts extruding from its surface. 
 | 
(Source: P.A. 102-51, eff. 7-9-21; revised 10-20-21.)
 | 
 Section 315. The Illinois School Student Records Act is  | 
amended by changing Sections 2 and 6 as follows:
 | 
 (105 ILCS 10/2) (from Ch. 122, par. 50-2)
 | 
 (Text of Section before amendment by P.A. 102-199 and  | 
102-466) | 
 Sec. 2. 
As used in this Act:
 | 
 (a) "Student" means any person enrolled or previously  | 
enrolled in a school.
 | 
 (b) "School" means any public preschool, day care center,
 | 
kindergarten, nursery, elementary or secondary educational  | 
institution,
vocational school, special educational facility  | 
or any other elementary or
secondary educational agency or  | 
institution and any person, agency or
institution which  | 
maintains school student records from more than one school,
 | 
but does not include a private or non-public school.
 | 
 (c) "State Board" means the State Board of Education.
 | 
 (d) "School Student Record" means any writing or
other  | 
recorded information concerning a student
and by which a  | 
 | 
student may be individually identified,
maintained by a school  | 
or at its direction or by an employee of a
school, regardless  | 
of how or where the information is stored.
The following shall  | 
not be deemed school student records under
this Act: writings  | 
or other recorded information maintained by an
employee of a  | 
school or other person at the direction of a school for his or
 | 
her exclusive use; provided that all such writings and other  | 
recorded
information are destroyed not later than the  | 
student's graduation or permanent
withdrawal from the school;  | 
and provided further that no such records or
recorded  | 
information may be released or disclosed to any person except  | 
a person
designated by the school as
a substitute unless they  | 
are first incorporated
in a school student record and made  | 
subject to all of the
provisions of this Act.
School student  | 
records shall not include information maintained by
law  | 
enforcement professionals working in the school.
 | 
 (e) "Student Permanent Record" means the minimum personal
 | 
information necessary to a school in the education of the  | 
student
and contained in a school student record. Such  | 
information
may include the student's name, birth date,  | 
address, grades
and grade level, parents' names and addresses,  | 
attendance
records, and such other entries as the State Board  | 
may
require or authorize.
 | 
 (f) "Student Temporary Record" means all information  | 
contained in
a school student record but not contained in
the  | 
student permanent record. Such information may include
family  | 
 | 
background information, intelligence test scores, aptitude
 | 
test scores, psychological and personality test results,  | 
teacher
evaluations, and other information of clear relevance  | 
to the
education of the student, all subject to regulations of  | 
the State Board.
The information shall include information  | 
provided under Section 8.6 of the
Abused and Neglected Child  | 
Reporting Act and information contained in service logs  | 
maintained by a local education agency under subsection (d) of  | 
Section 14-8.02f of the School Code.
In addition, the student  | 
temporary record shall include information regarding
serious  | 
disciplinary infractions that resulted in expulsion,  | 
suspension, or the
imposition of punishment or sanction. For  | 
purposes of this provision, serious
disciplinary infractions  | 
means: infractions involving drugs, weapons, or bodily
harm to  | 
another.
 | 
 (g) "Parent" means a person who is the natural parent of  | 
the
student or other person who has the primary responsibility  | 
for the
care and upbringing of the student. All rights and  | 
privileges accorded
to a parent under this Act shall become  | 
exclusively those of the student
upon his 18th birthday,  | 
graduation from secondary school, marriage
or entry into  | 
military service, whichever occurs first. Such
rights and  | 
privileges may also be exercised by the student
at any time  | 
with respect to the student's permanent school record.
 | 
(Source: P.A. 101-515, eff. 8-23-19; 102-558, eff. 8-20-21.)
 | 
 | 
 (Text of Section after amendment by P.A. 102-199 but  | 
before amendment by P.A. 102-466) | 
 Sec. 2. 
As used in this Act:
 | 
 (a) "Student" means any person enrolled or previously  | 
enrolled in a school.
 | 
 (b) "School" means any public preschool, day care center,
 | 
kindergarten, nursery, elementary or secondary educational  | 
institution,
vocational school, special educational facility  | 
or any other elementary or
secondary educational agency or  | 
institution and any person, agency or
institution which  | 
maintains school student records from more than one school,
 | 
but does not include a private or non-public school.
 | 
 (c) "State Board" means the State Board of Education.
 | 
 (d) "School Student Record" means any writing or
other  | 
recorded information concerning a student
and by which a  | 
student may be individually identified,
maintained by a school  | 
or at its direction or by an employee of a
school, regardless  | 
of how or where the information is stored.
The following shall  | 
not be deemed school student records under
this Act: writings  | 
or other recorded information maintained by an
employee of a  | 
school or other person at the direction of a school for his or
 | 
her exclusive use; provided that all such writings and other  | 
recorded
information are destroyed not later than the  | 
student's graduation or permanent
withdrawal from the school;  | 
and provided further that no such records or
recorded  | 
information may be released or disclosed to any person except  | 
 | 
a person
designated by the school as
a substitute unless they  | 
are first incorporated
in a school student record and made  | 
subject to all of the
provisions of this Act.
School student  | 
records shall not include information maintained by
law  | 
enforcement professionals working in the school.
 | 
 (e) "Student Permanent Record" means the minimum personal
 | 
information necessary to a school in the education of the  | 
student
and contained in a school student record. Such  | 
information
may include the student's name, birth date,  | 
address, grades
and grade level, parents' names and addresses,  | 
attendance
records, and such other entries as the State Board  | 
may
require or authorize.
 | 
 (f) "Student Temporary Record" means all information  | 
contained in
a school student record but not contained in
the  | 
student permanent record. Such information may include
family  | 
background information, intelligence test scores, aptitude
 | 
test scores, psychological and personality test results,  | 
teacher
evaluations, and other information of clear relevance  | 
to the
education of the student, all subject to regulations of  | 
the State Board.
The information shall include information  | 
provided under Section 8.6 of the
Abused and Neglected Child  | 
Reporting Act and information contained in service logs  | 
maintained by a local education agency under subsection (d) of  | 
Section 14-8.02f of the School Code.
In addition, the student  | 
temporary record shall include information regarding
serious  | 
disciplinary infractions that resulted in expulsion,  | 
 | 
suspension, or the
imposition of punishment or sanction. For  | 
purposes of this provision, serious
disciplinary infractions  | 
means: infractions involving drugs, weapons, or bodily
harm to  | 
another.
 | 
 (g) "Parent" means a person who is the natural parent of  | 
the
student or other person who has the primary responsibility  | 
for the
care and upbringing of the student. All rights and  | 
privileges accorded
to a parent under this Act shall become  | 
exclusively those of the student
upon his 18th birthday,  | 
graduation from secondary school, marriage
or entry into  | 
military service, whichever occurs first. Such
rights and  | 
privileges may also be exercised by the student
at any time  | 
with respect to the student's permanent school record.
 | 
 (h) "Department" means the Department of Children and  | 
Family Services.  | 
(Source: P.A. 101-515, eff. 8-23-19; 102-199, eff. 7-1-22;  | 
102-558, eff. 8-20-21.)
 | 
 (Text of Section after amendment by P.A. 102-466) | 
 Sec. 2. 
As used in this Act:
 | 
 (a) "Student" means any person enrolled or previously  | 
enrolled in a school.
 | 
 (b) "School" means any public preschool, day care center,
 | 
kindergarten, nursery, elementary or secondary educational  | 
institution,
vocational school, special educational facility  | 
or any other elementary or
secondary educational agency or  | 
 | 
institution and any person, agency or
institution which  | 
maintains school student records from more than one school,
 | 
but does not include a private or non-public school.
 | 
 (c) "State Board" means the State Board of Education.
 | 
 (d) "School Student Record" means any writing or
other  | 
recorded information concerning a student
and by which a  | 
student may be individually identified,
maintained by a school  | 
or at its direction or by an employee of a
school, regardless  | 
of how or where the information is stored.
The following shall  | 
not be deemed school student records under
this Act: writings  | 
or other recorded information maintained by an
employee of a  | 
school or other person at the direction of a school for his or
 | 
her exclusive use; provided that all such writings and other  | 
recorded
information are destroyed not later than the  | 
student's graduation or permanent
withdrawal from the school;  | 
and provided further that no such records or
recorded  | 
information may be released or disclosed to any person except  | 
a person
designated by the school as
a substitute unless they  | 
are first incorporated
in a school student record and made  | 
subject to all of the
provisions of this Act.
School student  | 
records shall not include information maintained by
law  | 
enforcement professionals working in the school.
 | 
 (e) "Student Permanent Record" means the minimum personal
 | 
information necessary to a school in the education of the  | 
student
and contained in a school student record. Such  | 
information
may include the student's name, birth date,  | 
 | 
address, grades
and grade level, parents' names and addresses,  | 
attendance
records, and such other entries as the State Board  | 
may
require or authorize.
 | 
 (f) "Student Temporary Record" means all information  | 
contained in
a school student record but not contained in
the  | 
student permanent record. Such information may include
family  | 
background information, intelligence test scores, aptitude
 | 
test scores, psychological and personality test results,  | 
teacher
evaluations, and other information of clear relevance  | 
to the
education of the student, all subject to regulations of  | 
the State Board.
The information shall include all of the  | 
following: | 
  (1) Information provided under Section 8.6 of the
 | 
 Abused and Neglected Child Reporting Act and information  | 
 contained in service logs maintained by a local education  | 
 agency under subsection (d) of Section 14-8.02f of the  | 
 School Code.
 | 
  (2) Information regarding
serious disciplinary  | 
 infractions that resulted in expulsion, suspension, or the
 | 
 imposition of punishment or sanction. For purposes of this  | 
 provision, serious
disciplinary infractions means:  | 
 infractions involving drugs, weapons, or bodily
harm to  | 
 another.
 | 
  (3) Information concerning a student's status and
 | 
 related experiences as a parent, expectant parent, or
 | 
 victim of domestic or sexual violence, as defined in
 | 
 | 
 Article 26A of the School Code, including a statement of
 | 
 the student or any other documentation, record, or
 | 
 corroborating evidence and the fact that the student has
 | 
 requested or obtained assistance, support, or
services  | 
 related to that status. Enforcement of this
paragraph (3)  | 
 shall follow the procedures provided in
Section 26A-40 of  | 
 the School Code.  | 
 (g) "Parent" means a person who is the natural parent of  | 
the
student or other person who has the primary responsibility  | 
for the
care and upbringing of the student. All rights and  | 
privileges accorded
to a parent under this Act shall become  | 
exclusively those of the student
upon his 18th birthday,  | 
graduation from secondary school, marriage
or entry into  | 
military service, whichever occurs first. Such
rights and  | 
privileges may also be exercised by the student
at any time  | 
with respect to the student's permanent school record.
 | 
 (h) "Department" means the Department of Children and  | 
Family Services.  | 
(Source: P.A. 101-515, eff. 8-23-19; 102-199, eff. 7-1-22;  | 
102-466, eff. 7-1-25; 102-558, eff. 8-20-21; revised 10-8-21.)
 | 
 (105 ILCS 10/6) (from Ch. 122, par. 50-6)
 | 
 (Text of Section before amendment by P.A. 102-199) | 
 Sec. 6. (a) No school student records or information
 | 
contained therein may be released, transferred, disclosed or  | 
otherwise
disseminated, except as follows:
 | 
 | 
  (1) to a parent or student or person specifically
 | 
 designated as a representative by a parent, as provided in  | 
 paragraph (a)
of Section 5;
 | 
  (2) to an employee or official of the school or
school  | 
 district or State Board with current demonstrable  | 
 educational
or administrative interest in the student, in  | 
 furtherance of such interest;
 | 
  (3) to the official records custodian of another  | 
 school within
Illinois or an official with similar  | 
 responsibilities of a school
outside Illinois, in which  | 
 the student has enrolled, or intends to enroll,
upon the  | 
 request of such official or student;
 | 
  (4) to any person for the purpose of research,
 | 
 statistical reporting, or planning, provided that such  | 
 research, statistical reporting, or planning is  | 
 permissible under and undertaken in accordance with the  | 
 federal Family Educational Rights and Privacy Act (20  | 
 U.S.C. 1232g);
 | 
  (5) pursuant to a court order, provided that the
 | 
 parent shall be given prompt written notice upon receipt
 | 
 of such order of the terms of the order, the nature and
 | 
 substance of the information proposed to be released
in  | 
 compliance with such order and an opportunity to
inspect  | 
 and copy the school student records and to
challenge their  | 
 contents pursuant to Section 7;
 | 
  (6) to any person as specifically required by State
or  | 
 | 
 federal law;
 | 
  (6.5) to juvenile authorities
when necessary for the  | 
 discharge of their official duties
who request information  | 
 prior to
adjudication of the student and who certify in  | 
 writing that the information
will not be disclosed to any  | 
 other party except as provided under law or order
of  | 
 court. For purposes of this Section "juvenile authorities"  | 
 means:
(i) a judge of
the circuit court and members of the  | 
 staff of the court designated by the
judge; (ii) parties  | 
 to the proceedings under the Juvenile Court Act of 1987  | 
 and
their attorneys; (iii) probation
officers and court  | 
 appointed advocates for the juvenile authorized by the  | 
 judge
hearing the case; (iv) any individual, public or  | 
 private agency having custody
of the child pursuant to  | 
 court order; (v) any individual, public or private
agency  | 
 providing education, medical or mental health service to  | 
 the child when
the requested information is needed to  | 
 determine the appropriate service or
treatment for the  | 
 minor; (vi) any potential placement provider when such
 | 
 release
is authorized by the court for the limited purpose  | 
 of determining the
appropriateness of the potential  | 
 placement; (vii) law enforcement officers and
prosecutors;
 | 
 (viii) adult and juvenile prisoner review boards; (ix)  | 
 authorized military
personnel; (x)
individuals authorized  | 
 by court;
 | 
  (7) subject to regulations of the State Board,
in  | 
 | 
 connection with an emergency, to appropriate persons
if  | 
 the knowledge of such information is necessary to protect
 | 
 the health or safety of the student or other
persons;
 | 
  (8) to any person, with the prior specific dated
 | 
 written consent of the parent designating the person
to  | 
 whom the records may be released, provided that at
the  | 
 time any such consent is requested or obtained,
the parent  | 
 shall be advised in writing that he has the right
to  | 
 inspect and copy such records in accordance with Section  | 
 5, to
challenge their contents in accordance with Section  | 
 7 and to limit any such
consent to
designated records or  | 
 designated portions of the information contained
therein;
 | 
  (9) to a governmental agency, or social service agency  | 
 contracted by a
governmental agency, in furtherance of an  | 
 investigation of a student's school
attendance pursuant to  | 
 the compulsory student attendance laws of this State,
 | 
 provided that the records are released to the employee or  | 
 agent designated by
the agency;
 | 
  (10) to those SHOCAP committee members who fall within  | 
 the meaning of
"state and local officials and  | 
 authorities", as those terms are used within the
meaning  | 
 of the federal Family Educational Rights and Privacy Act,  | 
 for
the
purposes of identifying serious habitual juvenile  | 
 offenders and matching those
offenders with community  | 
 resources pursuant to Section 5-145 of the Juvenile
Court  | 
 Act of 1987, but only to the extent that the release,  | 
 | 
 transfer,
disclosure, or dissemination is consistent with  | 
 the Family Educational Rights
and Privacy Act;
 | 
  (11) to the Department of Healthcare and Family  | 
 Services in furtherance of the
requirements of Section  | 
 2-3.131, 3-14.29, 10-28, or 34-18.26 of
the School Code or  | 
 Section 10 of the School Breakfast and Lunch
Program Act;  | 
 or
 | 
  (12) to the State Board or another State government  | 
 agency or between or among State government agencies in  | 
 order to evaluate or audit federal and State programs or  | 
 perform research and planning, but only to the extent that  | 
 the release, transfer, disclosure, or dissemination is  | 
 consistent with the federal Family Educational Rights and  | 
 Privacy Act (20 U.S.C. 1232g); or .  | 
  (13) under Under an intergovernmental agreement if an  | 
 elementary school district and a high school district have  | 
 attendance boundaries that overlap and are parties to an  | 
 intergovernmental agreement that allows the sharing of  | 
 student records and information between the districts.  | 
 However, the sharing of student information is allowed  | 
 under an intergovernmental agreement only if the  | 
 intergovernmental agreement meets all of the following  | 
 requirements: | 
   (A) The sharing of student information must be  | 
 voluntary and at the discretion of each school  | 
 district that is a party to the agreement. | 
 | 
   (B) The sharing of student information applies  | 
 only to students who have been enrolled in both  | 
 districts or would be enrolled in both districts based  | 
 on district attendance boundaries, and the student's  | 
 parent or guardian has expressed in writing that the  | 
 student intends to enroll or has enrolled in the high  | 
 school district. | 
   (C) The sharing of student information does not  | 
 exceed the scope of information that is shared among  | 
 schools in a unit school district. However, the terms  | 
 of an intergovernmental agreement may place further  | 
 limitations on the information that is allowed to be  | 
 shared. | 
 (b) No information may be released pursuant to  | 
subparagraph (3) or
(6) of paragraph (a) of this Section 6  | 
unless the parent receives
prior written notice of the nature  | 
and substance of the information
proposed to be released, and  | 
an opportunity to inspect
and copy such records in accordance  | 
with Section 5 and to
challenge their contents in accordance  | 
with Section 7. Provided, however,
that such notice shall be  | 
sufficient if published in a local newspaper of
general  | 
circulation or other publication directed generally to the  | 
parents
involved where the proposed release of information is  | 
pursuant to
subparagraph (6) of paragraph (a) of this Section  | 
6 and relates to more
than 25 students.
 | 
 (c) A record of any release of information pursuant
to  | 
 | 
this Section must be made and kept as a part of the
school  | 
student record and subject to the access granted by Section 5.
 | 
Such record of release shall be maintained for the life of the
 | 
school student records and shall be available only to the  | 
parent
and the official records custodian.
Each record of  | 
release shall also include:
 | 
  (1) the nature and substance of the information  | 
 released;
 | 
  (2) the name and signature of the official records
 | 
 custodian releasing such information;
 | 
  (3) the name of the person requesting such  | 
 information,
the capacity in which such a request has been  | 
 made, and the purpose of such
request;
 | 
  (4) the date of the release; and
 | 
  (5) a copy of any consent to such release.
 | 
 (d) Except for the student and his parents, no person
to  | 
whom information is released pursuant to this Section
and no  | 
person specifically designated as a representative by a parent
 | 
may permit any other person to have access to such information  | 
without a prior
consent of the parent obtained in accordance  | 
with the requirements
of subparagraph (8) of paragraph (a) of  | 
this Section.
 | 
 (e) Nothing contained in this Act shall prohibit the
 | 
publication of student directories which list student names,  | 
addresses
and other identifying information and similar  | 
publications which
comply with regulations issued by the State  | 
 | 
Board.
 | 
(Source: P.A. 102-557, eff. 8-20-21; revised 10-14-21.)
 | 
 (Text of Section after amendment by P.A. 102-199)
 | 
 Sec. 6. (a) No school student records or information
 | 
contained therein may be released, transferred, disclosed or  | 
otherwise
disseminated, except as follows:
 | 
  (1) to a parent or student or person specifically
 | 
 designated as a representative by a parent, as provided in  | 
 paragraph (a)
of Section 5;
 | 
  (2) to an employee or official of the school or
school  | 
 district or State Board with current demonstrable  | 
 educational
or administrative interest in the student, in  | 
 furtherance of such interest;
 | 
  (3) to the official records custodian of another  | 
 school within
Illinois or an official with similar  | 
 responsibilities of a school
outside Illinois, in which  | 
 the student has enrolled, or intends to enroll,
upon the  | 
 request of such official or student;
 | 
  (4) to any person for the purpose of research,
 | 
 statistical reporting, or planning, provided that such  | 
 research, statistical reporting, or planning is  | 
 permissible under and undertaken in accordance with the  | 
 federal Family Educational Rights and Privacy Act (20  | 
 U.S.C. 1232g);
 | 
  (5) pursuant to a court order, provided that the
 | 
 | 
 parent shall be given prompt written notice upon receipt
 | 
 of such order of the terms of the order, the nature and
 | 
 substance of the information proposed to be released
in  | 
 compliance with such order and an opportunity to
inspect  | 
 and copy the school student records and to
challenge their  | 
 contents pursuant to Section 7;
 | 
  (6) to any person as specifically required by State
or  | 
 federal law;
 | 
  (6.5) to juvenile authorities
when necessary for the  | 
 discharge of their official duties
who request information  | 
 prior to
adjudication of the student and who certify in  | 
 writing that the information
will not be disclosed to any  | 
 other party except as provided under law or order
of  | 
 court. For purposes of this Section "juvenile authorities"  | 
 means:
(i) a judge of
the circuit court and members of the  | 
 staff of the court designated by the
judge; (ii) parties  | 
 to the proceedings under the Juvenile Court Act of 1987  | 
 and
their attorneys; (iii) probation
officers and court  | 
 appointed advocates for the juvenile authorized by the  | 
 judge
hearing the case; (iv) any individual, public or  | 
 private agency having custody
of the child pursuant to  | 
 court order; (v) any individual, public or private
agency  | 
 providing education, medical or mental health service to  | 
 the child when
the requested information is needed to  | 
 determine the appropriate service or
treatment for the  | 
 minor; (vi) any potential placement provider when such
 | 
 | 
 release
is authorized by the court for the limited purpose  | 
 of determining the
appropriateness of the potential  | 
 placement; (vii) law enforcement officers and
prosecutors;
 | 
 (viii) adult and juvenile prisoner review boards; (ix)  | 
 authorized military
personnel; (x)
individuals authorized  | 
 by court;
 | 
  (7) subject to regulations of the State Board,
in  | 
 connection with an emergency, to appropriate persons
if  | 
 the knowledge of such information is necessary to protect
 | 
 the health or safety of the student or other
persons;
 | 
  (8) to any person, with the prior specific dated
 | 
 written consent of the parent designating the person
to  | 
 whom the records may be released, provided that at
the  | 
 time any such consent is requested or obtained,
the parent  | 
 shall be advised in writing that he has the right
to  | 
 inspect and copy such records in accordance with Section  | 
 5, to
challenge their contents in accordance with Section  | 
 7 and to limit any such
consent to
designated records or  | 
 designated portions of the information contained
therein;
 | 
  (9) to a governmental agency, or social service agency  | 
 contracted by a
governmental agency, in furtherance of an  | 
 investigation of a student's school
attendance pursuant to  | 
 the compulsory student attendance laws of this State,
 | 
 provided that the records are released to the employee or  | 
 agent designated by
the agency;
 | 
  (10) to those SHOCAP committee members who fall within  | 
 | 
 the meaning of
"state and local officials and  | 
 authorities", as those terms are used within the
meaning  | 
 of the federal Family Educational Rights and Privacy Act,  | 
 for
the
purposes of identifying serious habitual juvenile  | 
 offenders and matching those
offenders with community  | 
 resources pursuant to Section 5-145 of the Juvenile
Court  | 
 Act of 1987, but only to the extent that the release,  | 
 transfer,
disclosure, or dissemination is consistent with  | 
 the Family Educational Rights
and Privacy Act;
 | 
  (11) to the Department of Healthcare and Family  | 
 Services in furtherance of the
requirements of Section  | 
 2-3.131, 3-14.29, 10-28, or 34-18.26 of
the School Code or  | 
 Section 10 of the School Breakfast and Lunch
Program Act;
 | 
  (12) to the State Board or another State government  | 
 agency or between or among State government agencies in  | 
 order to evaluate or audit federal and State programs or  | 
 perform research and planning, but only to the extent that  | 
 the release, transfer, disclosure, or dissemination is  | 
 consistent with the federal Family Educational Rights and  | 
 Privacy Act (20 U.S.C. 1232g); or | 
  (12.5) (13) if the student is in the legal custody of  | 
 the Department of Children and Family Services, to the  | 
 Department's Office of Education and Transition Services;  | 
 or .  | 
  (13) under Under an intergovernmental agreement if an  | 
 elementary school district and a high school district have  | 
 | 
 attendance boundaries that overlap and are parties to an  | 
 intergovernmental agreement that allows the sharing of  | 
 student records and information between the districts.  | 
 However, the sharing of student information is allowed  | 
 under an intergovernmental agreement only if the  | 
 intergovernmental agreement meets all of the following  | 
 requirements: | 
   (A) The sharing of student information must be  | 
 voluntary and at the discretion of each school  | 
 district that is a party to the agreement. | 
   (B) The sharing of student information applies  | 
 only to students who have been enrolled in both  | 
 districts or would be enrolled in both districts based  | 
 on district attendance boundaries, and the student's  | 
 parent or guardian has expressed in writing that the  | 
 student intends to enroll or has enrolled in the high  | 
 school district. | 
   (C) The sharing of student information does not  | 
 exceed the scope of information that is shared among  | 
 schools in a unit school district. However, the terms  | 
 of an intergovernmental agreement may place further  | 
 limitations on the information that is allowed to be  | 
 shared. | 
 (b) No information may be released pursuant to  | 
subparagraph (3) or
(6) of paragraph (a) of this Section 6  | 
unless the parent receives
prior written notice of the nature  | 
 | 
and substance of the information
proposed to be released, and  | 
an opportunity to inspect
and copy such records in accordance  | 
with Section 5 and to
challenge their contents in accordance  | 
with Section 7. Provided, however,
that such notice shall be  | 
sufficient if published in a local newspaper of
general  | 
circulation or other publication directed generally to the  | 
parents
involved where the proposed release of information is  | 
pursuant to
subparagraph (6) of paragraph (a) of this Section  | 
6 and relates to more
than 25 students.
 | 
 (c) A record of any release of information pursuant
to  | 
this Section must be made and kept as a part of the
school  | 
student record and subject to the access granted by Section 5.
 | 
Such record of release shall be maintained for the life of the
 | 
school student records and shall be available only to the  | 
parent
and the official records custodian.
Each record of  | 
release shall also include:
 | 
  (1) the nature and substance of the information  | 
 released;
 | 
  (2) the name and signature of the official records
 | 
 custodian releasing such information;
 | 
  (3) the name of the person requesting such  | 
 information,
the capacity in which such a request has been  | 
 made, and the purpose of such
request;
 | 
  (4) the date of the release; and
 | 
  (5) a copy of any consent to such release.
 | 
 (d) Except for the student and his or her parents or, if  | 
 | 
applicable, the Department's Office of Education and  | 
Transition Services, no person
to whom information is released  | 
pursuant to this Section
and no person specifically designated  | 
as a representative by a parent
may permit any other person to  | 
have access to such information without a prior
consent of the  | 
parent obtained in accordance with the requirements
of  | 
subparagraph (8) of paragraph (a) of this Section.
 | 
 (e) Nothing contained in this Act shall prohibit the
 | 
publication of student directories which list student names,  | 
addresses
and other identifying information and similar  | 
publications which
comply with regulations issued by the State  | 
Board.
 | 
(Source: P.A. 102-199, eff. 7-1-22; 102-557, eff. 8-20-21;  | 
revised 10-14-21.)
 | 
 Section 320. The Higher Education Veterans Service Act is  | 
amended by changing Section 15 as follows:
 | 
 (110 ILCS 49/15)
 | 
 Sec. 15. Survey; coordinator; best practices report; best  | 
efforts.
 | 
 (a) All public colleges and universities shall, within 60  | 
days after the effective date of this Act, conduct a survey of  | 
the services and programs that are provided for veterans,  | 
active duty military personnel, and their families, at each of  | 
their respective campuses. This survey shall enumerate and  | 
 | 
fully describe the service or program that is available, the  | 
number of veterans or active duty personnel using the service  | 
or program, an estimated range for potential use within a  | 
5-year and 10-year period, information on the location of the  | 
service or program, and how its administrators may be  | 
contacted. The survey shall indicate the manner or manners in  | 
which a student veteran may avail himself or herself of the  | 
program's services. This survey must be made available to all  | 
veterans matriculating at the college or university in the  | 
form of an orientation-related guidebook. | 
 Each public college and university shall make the survey  | 
available on the homepage of all campus Internet links as soon  | 
as practical after the completion of the survey. As soon as  | 
possible after the completion of the survey, each public  | 
college and university shall provide a copy of its survey to  | 
the following: | 
  (1) the Board of Higher Education; | 
  (2) the Department of Veterans' Affairs; | 
  (3) the President and Minority Leader of the Senate  | 
 and the Speaker and Minority Leader of the House of  | 
 Representatives; and | 
  (4) the Governor. | 
 (b) Each public college and university shall, at its  | 
discretion, (i) appoint, within 6 months after August 7, 2009  | 
(the effective date of this Act), an existing employee or (ii)  | 
hire a new employee to serve as a Coordinator of Veterans and  | 
 | 
Military Personnel Student Services on each campus of the  | 
college or university that has an onsite, daily, full-time  | 
student headcount above 1,000 students. | 
 The Coordinator of Veterans and Military Personnel Student  | 
Services shall be an ombudsperson serving the specific needs  | 
of student veterans and military personnel and their families  | 
and shall serve as an advocate before the administration of  | 
the college or university for the needs of student veterans.  | 
The college or university shall enable the Coordinator of  | 
Veterans and Military Personnel Student Services to  | 
communicate directly with the senior executive administration  | 
of the college or university periodically. The college or  | 
university shall retain unfettered discretion to determine the  | 
organizational management structure of its institution. | 
 In addition to any responsibilities the college or  | 
university may assign, the Coordinator of Veterans and  | 
Military Personnel Student Services shall make its best  | 
efforts to create a centralized source for student veterans  | 
and military personnel to learn how to receive all benefit  | 
programs and services for which they are eligible. | 
 Each college and university campus that is required to  | 
have a Coordinator of Veterans and Military Personnel Student  | 
Services shall regularly and conspicuously advertise the  | 
office location and phone number of and Internet access to the  | 
Coordinator of Veterans and Military Personnel Student  | 
Services, along with a brief summary of the manner in which he  | 
 | 
or she can assist student veterans. The advertisement shall  | 
include, but is not necessarily limited to, the following: | 
  (1) advertisements on each campus' Internet home page; | 
  (2) any promotional mailings for student application;  | 
 and  | 
  (3) the website and any social media accounts of the  | 
 public college or university.  | 
 The Coordinator of Veterans and Military Personnel Student  | 
Services shall facilitate other campus offices with the  | 
promotion of programs and services that are available. | 
 (c) Upon receipt of all of the surveys under subsection  | 
(a) of this Section, the Board of Higher Education and the  | 
Department of Veterans' Affairs shall conduct a joint review  | 
of the surveys. The Department of Veterans' Affairs shall  | 
post, on any Internet home page it may operate, a link to each  | 
survey as posted on the Internet website for the college or  | 
university. The Board of Higher Education shall post, on any  | 
Internet home page it may operate, a link to each survey as  | 
posted on the Internet website for the college or university  | 
or an annual report or document containing survey information  | 
for each college or university. Upon receipt of all of the  | 
surveys, the Office of the Governor, through its military  | 
affairs advisors, shall similarly conduct a review of the  | 
surveys. Following its review of the surveys, the Office of  | 
the Governor shall submit an evaluation report to each college  | 
and university offering suggestions and insight on the conduct  | 
 | 
of student veteran-related policies and programs. | 
 (d) The Board of Higher Education and the Department of  | 
Veterans' Affairs may issue a best practices report to  | 
highlight those programs and services that are most beneficial  | 
to veterans and active duty military personnel. The report  | 
shall contain a fiscal needs assessment in conjunction with  | 
any program recommendations. | 
 (e) Each college and university campus that is required to  | 
have a Coordinator of Veterans and Military Personnel Student  | 
Services under subsection (b) of this Section shall make its  | 
best efforts to create academic and social programs and  | 
services for veterans and active duty military personnel that  | 
will provide reasonable opportunities for academic performance  | 
and success. | 
 Each public college and university shall make its best  | 
efforts to determine how its online educational curricula can  | 
be expanded or altered to serve the needs of student veterans  | 
and currently deployed currently-deployed military, including  | 
a determination of whether and to what extent the public  | 
colleges and universities can share existing technologies to  | 
improve the online curricula of peer institutions, provided  | 
such efforts are both practically and economically feasible.
 | 
(Source: P.A. 102-278, eff. 8-6-21; 102-295, eff. 8-6-21;  | 
102-558, eff. 8-20-21; revised 10-18-21.)
 | 
 Section 325. The Mental Health Early Action on Campus Act  | 
 | 
is amended by changing Section 25 as follows:
 | 
 (110 ILCS 58/25) | 
 (Text of Section before amendment by P.A. 102-373 and P.A.  | 
102-416)
 | 
 Sec. 25. Awareness. To raise mental health awareness on  | 
college campuses, each public college or university must do  | 
all of the following:  | 
  (1) Develop and implement an annual student  | 
 orientation session aimed at raising awareness about  | 
 mental health conditions. | 
  (2) Assess courses and seminars available to students  | 
 through their regular academic experiences and implement  | 
 mental health awareness curricula if opportunities for  | 
 integration exist. | 
  (3) Create and feature a page on its website or mobile  | 
 application with information dedicated solely to the  | 
 mental health resources available to students at the  | 
 public college or university and in the surrounding  | 
 community. | 
  (4) Distribute messages related to mental health  | 
 resources that encourage help-seeking behavior through the  | 
 online learning platform of the public college or  | 
 university during high stress periods of the academic  | 
 year, including, but not limited to, midterm or final  | 
 examinations. These stigma-reducing strategies must be  | 
 | 
 based on documented best practices.  | 
  (5) Three years after the effective date of this Act,  | 
 implement an online screening tool to raise awareness and  | 
 establish a mechanism to link or refer students of the  | 
 public college or university to services. Screenings and  | 
 resources must be available year round for students and,  | 
 at a minimum, must (i) include validated screening tools  | 
 for depression, an anxiety disorder, an eating disorder,  | 
 substance use, alcohol-use disorder, post-traumatic stress  | 
 disorder, and bipolar disorder, (ii) provide resources for  | 
 immediate connection to services, if indicated, including  | 
 emergency resources, (iii) provide general information  | 
 about all mental health-related resources available to  | 
 students of the public college or university, and (iv)  | 
 function anonymously. | 
  (6) At least once per term and at times of high  | 
 academic stress, including midterm or final examinations,  | 
 provide students information regarding online screenings  | 
 and resources. 
 | 
(Source: P.A. 101-251, eff. 7-1-20.)
 | 
 (Text of Section after amendment by P.A. 102-373 and P.A.  | 
102-416) | 
 Sec. 25. Awareness. To raise mental health awareness on  | 
college campuses, each public college or university must do  | 
all of the following:  | 
 | 
  (1) Develop and implement an annual student  | 
 orientation session aimed at raising awareness about  | 
 mental health conditions. | 
  (2) Assess courses and seminars available to students  | 
 through their regular academic experiences and implement  | 
 mental health awareness curricula if opportunities for  | 
 integration exist. | 
  (3) Create and feature a page on its website or mobile  | 
 application with information dedicated solely to the  | 
 mental health resources available to students at the  | 
 public college or university and in the surrounding  | 
 community. | 
  (4) Distribute messages related to mental health  | 
 resources that encourage help-seeking behavior through the  | 
 online learning platform of the public college or  | 
 university during high stress periods of the academic  | 
 year, including, but not limited to, midterm or final  | 
 examinations. These stigma-reducing strategies must be  | 
 based on documented best practices.  | 
  (5) Three years after the effective date of this Act,  | 
 implement an online screening tool to raise awareness and  | 
 establish a mechanism to link or refer students of the  | 
 public college or university to services. Screenings and  | 
 resources must be available year round for students and,  | 
 at a minimum, must (i) include validated screening tools  | 
 for depression, an anxiety disorder, an eating disorder,  | 
 | 
 substance use, alcohol-use disorder, post-traumatic stress  | 
 disorder, and bipolar disorder, (ii) provide resources for  | 
 immediate connection to services, if indicated, including  | 
 emergency resources, (iii) provide general information  | 
 about all mental health-related resources available to  | 
 students of the public college or university, and (iv)  | 
 function anonymously. | 
  (6) At least once per term and at times of high  | 
 academic stress, including midterm or final examinations,  | 
 provide students information regarding online screenings  | 
 and resources. 
 | 
  (7) Provide contact information for the National  | 
 Suicide Prevention Lifeline (988), for the Crisis Text  | 
 Line, and a local suicide prevention hotline, and for the  | 
 mental health counseling center or program of the public  | 
 college or university on the back of each student  | 
 identification card issued by the public college or  | 
 university after July 1, 2022 (the effective date of  | 
 Public Act 102-373) this amendatory Act of the 102nd  | 
 General Assembly if the public college or university  | 
 issues student identification cards. If the public college  | 
 or university does not issue student identification cards  | 
 to its students, the public college or university must  | 
 publish the contact information on its website. The  | 
 contact information shall identify each helpline that may  | 
 be contacted through text messaging. The contact  | 
 | 
 information shall be included in the public college's or  | 
 university's student handbook and also the student planner  | 
 if a student planner is custom printed by the public  | 
 college or university for distribution to students. | 
(Source: P.A. 101-251, eff. 7-1-20; 102-373, eff. 7-1-22;  | 
102-416, eff. 7-1-22; revised 9-21-21.)
 | 
 Section 330. The University of Illinois Act is amended by  | 
setting forth, renumbering, and changing multiple
versions of  | 
Section 120 as follows:
 | 
 (110 ILCS 305/120)
 | 
 Sec. 120. Modification of athletic or team uniform  | 
permitted. | 
 (a) The Board of Trustees must allow a student athlete to  | 
modify his or her athletic or team uniform due to the  | 
observance of modesty in clothing or attire in accordance with  | 
the requirements of his or her religion or his or her cultural  | 
values or modesty preferences. The modification of the  | 
athletic or team uniform may include, but is not limited to,  | 
the wearing of a hijab, an undershirt, or leggings. If a  | 
student chooses to modify his or her athletic or team uniform,  | 
the student is responsible for all costs associated with the  | 
modification of the uniform and the student shall not be  | 
required to receive prior approval from the Board of Trustees  | 
for such modification. However, nothing in this Section  | 
 | 
prohibits the University from providing the modification to  | 
the student. | 
 (b) At a minimum, any modification of the athletic or team  | 
uniform must not interfere with the movement of the student or  | 
pose a safety hazard to the student or to other athletes or  | 
players. The modification of headgear is permitted if the  | 
headgear: | 
  (1) is black, white, the predominant predominate color  | 
 of the uniform, or the same color for all players on the  | 
 team; | 
  (2) does not cover any part of the face; | 
  (3) is not dangerous to the player or to the other  | 
 players; | 
  (4) has no opening or closing elements around the face  | 
 and neck; and | 
  (5) has no parts extruding from its surface.
 | 
(Source: P.A. 102-51, eff. 7-9-21; revised 10-18-21.)
 | 
 (110 ILCS 305/122)
 | 
 Sec. 122 120. Academic major report. The Board of Trustees  | 
shall provide to each enrolled student, at the time the  | 
student declares or changes his or her academic major or  | 
program of study, a report that contains relevant,  | 
independent, and accurate data related to the student's major  | 
or program of study and to the current occupational outlook  | 
associated with that major or program of study. The report  | 
 | 
shall provide the student with all of the following  | 
information: | 
  (1) The estimated cost of his or her education  | 
 associated with pursuing a degree in that major or program  | 
 of study. | 
  (2) The average monthly student loan payment over a  | 
 period of 20 years based on the estimated cost of his or  | 
 her education under paragraph (1). | 
  (3) The average job placement rate within 12 months  | 
 after graduation for a graduate who holds a degree in that  | 
 major or program of study. | 
  (4) The average entry-level wage or salary for an  | 
 occupation related to that major or program of study. | 
  (5) The average wage or salary 5 years after entry  | 
 into an occupation under paragraph (4).
 | 
(Source: P.A. 102-214, eff. 1-1-22; revised 10-18-21.)
 | 
 (110 ILCS 305/130)
 | 
 Sec. 130 120. Availability of menstrual hygiene products. | 
 (a) In this Section, "menstrual hygiene products" means  | 
tampons and sanitary napkins for use in connection with the  | 
menstrual cycle.  | 
 (b) The Board of Trustees shall make menstrual hygiene  | 
products available, at no cost to students, in the bathrooms  | 
of facilities or portions of facilities that (i) are owned or  | 
leased by the Board or over which the Board has care, custody,  | 
 | 
and control and (ii) are used for student instruction or  | 
administrative purposes. 
 | 
(Source: P.A. 102-250, eff. 8-5-21; revised 10-18-21.)
 | 
 (110 ILCS 305/135)
 | 
 Sec. 135 120. Adjunct professor; status of class. | 
 (a) At least 30 days before the beginning of a term and  | 
again at 14 days before the beginning of the term, the Board of  | 
Trustees must notify an adjunct professor about the status of  | 
enrollment of the class the adjunct professor was hired to  | 
teach. | 
 (b) This Section does not apply if the Governor has  | 
declared a disaster due to a public health emergency or a  | 
natural disaster pursuant to Section 7 of the Illinois  | 
Emergency Management Agency Act. | 
 (c) Collective bargaining agreements that are in effect on  | 
January 1, 2022 (the effective date of Public Act 102-260)  | 
this amendatory Act of the 102nd General Assembly are exempt  | 
from the requirements of this Section.
 | 
(Source: P.A. 102-260, eff. 1-1-22; revised 10-18-21.)
 | 
 (110 ILCS 305/140)
 | 
 Sec. 140 120. Family and medical leave coverage. A  | 
University employee who has been employed by the University  | 
for at least 12 months and who has worked at least 1,000 hours  | 
in the previous 12-month period shall be eligible for family  | 
 | 
and medical leave under the same terms and conditions as leave  | 
provided to eligible employees under the federal Family and  | 
Medical Leave Act of 1993.
 | 
(Source: P.A. 102-335, eff. 1-1-22; revised 10-21-21.)
 | 
 (110 ILCS 305/145)
 | 
 (Section scheduled to be repealed on January 1, 2023) | 
 Sec. 145 120. Carbon capture, utilization, and storage  | 
report. | 
 (a) Subject to appropriation, the Prairie Research  | 
Institute at the University of Illinois at Urbana-Champaign,  | 
in consultation with an intergovernmental advisory committee,  | 
must file a report on the potential for carbon capture,  | 
utilization, and storage as a climate mitigation technology  | 
throughout Illinois with the Governor and the General Assembly  | 
no later than December 31, 2022. The report shall provide an  | 
assessment of Illinois subsurface storage resources, a  | 
description of existing and selected subsurface storage  | 
projects, and best practices for carbon storage. Additionally,  | 
the report shall provide recommendations for policy and  | 
regulatory needs at the State level based on its findings, and  | 
shall, at a minimum, address all the following areas: | 
  (1) carbon capture, utilization, and storage current  | 
 status and future storage resource potential in the  | 
 State; . Enhanced Oil Recovery shall remain outside the  | 
 scope of this study; | 
 | 
  (2) procedures, standards, and safeguards for the  | 
 storage of carbon dioxide; | 
  (3) permitting processes and the coordination with  | 
 applicable federal law or regulatory commissions,  | 
 including the Class VI injection well permitting process; | 
  (4) economic impact, job creation, and job retention  | 
 from carbon capture, utilization, and storage that both  | 
 protects the environment and supports short-term and  | 
 long-term economic growth; | 
  (5) development of knowledge capacity of appropriate  | 
 State agencies and stakeholders; | 
  (6) environmental justice and stakeholder issues  | 
 related to carbon capture, utilization, and storage  | 
 throughout the State; | 
  (7) leveraging federal policies and public-private  | 
 partnerships for research, design, and development to  | 
 benefit the State; | 
  (8) liability for the storage and monitoring  | 
 maintenance of the carbon dioxide after the completion of  | 
 a carbon capture, utilization, and storage project; | 
  (9) acquisition, ownership, and amalgamation of pore  | 
 space for carbon capture, utilization, and storage; | 
  (10) methodologies to establish any necessary fees,  | 
 costs, or offsets; and | 
  (11) any risks to health, safety, the environment, and  | 
 property uses or values.  | 
 | 
 (b) In developing the report under this Section, the  | 
Prairie Research Institute shall form an advisory committee,  | 
which shall be composed of all the following members: | 
  (1) the Director of the Environmental Protection  | 
 Agency, or his or her designee; | 
  (2) the Director of Natural Resources, or his or her  | 
 designee; | 
  (3) the Director of Commerce and Economic Opportunity,  | 
 or his or her designee; | 
  (4) the Director of the Illinois Emergency Management  | 
 Agency, or his or her designee; | 
  (5) the Director of Agriculture, or his or her  | 
 designee; | 
  (6) the Attorney General, or his or her designee; | 
  (7) one member of the Senate, appointed by the  | 
 President of the Senate; | 
  (8) one member of the House of Representatives,  | 
 appointed by the Speaker of the House of Representatives; | 
  (9) one member of the Senate, appointed by the  | 
 Minority Leader of the Senate; and | 
  (10) one member of the House of Representatives,  | 
 appointed by the Minority Leader of the House of  | 
 Representatives. | 
 (c) No later than 60 days after August 13, 2021 (the  | 
effective date of Public Act 102-341) this amendatory Act of  | 
the 102nd General Assembly, the advisory committee shall hold  | 
 | 
its first meeting at the call of the Executive Director of the  | 
Prairie Research Institute, at which meeting the members shall  | 
select a chairperson from among themselves. After its first  | 
meeting, the committee shall meet at the call of the  | 
chairperson. Members of the committee shall serve without  | 
compensation. The Prairie Research Committee shall provide  | 
administrative support to the committee. | 
 (d) The Prairie Research Institute shall also engage with  | 
interested stakeholders throughout the State to gain insights  | 
into socio-economic perspectives from environmental justice  | 
organizations, environmental non-governmental organizations,  | 
industry, landowners, farm bureaus, manufacturing, labor  | 
unions, and others. | 
 (e) This Section is repealed on January 1, 2023.
 | 
(Source: P.A. 102-341, eff. 8-13-21; revised 10-18-21.)
 | 
 (110 ILCS 305/150)
 | 
 Sec. 150 120. Undocumented Student Liaison; Undocumented  | 
Student Resource Center. | 
 (a) Beginning with the 2022-2023 academic year, the Board  | 
of Trustees shall designate an employee as an Undocumented  | 
Student Resource Liaison to be available on campus to provide  | 
assistance to undocumented students and mixed status students  | 
within the United States in streamlining access to financial  | 
aid and academic support to successfully matriculate to degree  | 
completion. The Undocumented Student Liaison shall provide  | 
 | 
assistance to vocational students, undergraduate students,
 | 
graduate students, and professional-track students. An  | 
employee who is designated as an Undocumented Student Liaison  | 
must be knowledgeable about current legislation and policy  | 
changes through professional development with the Illinois  | 
Dream Fund Commission to provide the wrap-around services to  | 
such students. The Illinois Dream Fund Commission shall  | 
conduct professional development under this Section. The  | 
Illinois Dream Fund Commission's task force on immigration  | 
issues and the Undocumented Student Liaison shall ensure that  | 
undocumented immigrants and students from mixed status  | 
households receive equitable and inclusive access to the  | 
University's retention and matriculation programs. | 
 The Board shall ensure that an Undocumented Student  | 
Liaison is available at each campus of the University. The  | 
Undocumented Student Liaison must be placed in a location that  | 
provides direct access for students in collaboration with the  | 
retention and matriculation programs of the University. The  | 
Undocumented Student Liaison shall report directly to senior  | 
leadership and shall assist leadership with the review of  | 
policies and procedures that directly affect undocumented and  | 
mixed status students. | 
 An Undocumented Student Liaison may work on outreach  | 
efforts to provide access to resources and support within the  | 
grade P-20 education pipeline by supporting summer enrichment  | 
programs and pipeline options for students in any of grades 9  | 
 | 
through 12. | 
 (b) The Board is encouraged to establish an Undocumented  | 
Student Resource Center on each of its campuses. An A  | 
Undocumented Student Resource Center may offer support  | 
services, including, but not limited to, State and private  | 
financial assistance, academic and career counseling, and  | 
retention and matriculation support services, as well as  | 
mental health counseling options because the changing  | 
immigration climate impacts a student's overall well-being and  | 
success. | 
 An Undocumented Student Resource Center may be housed
 | 
within an existing student service center or academic center,  | 
and the new construction of an Undocumented Student Resource  | 
Center is not required under this Section. | 
 The Board may seek and accept any financial support  | 
through institutional advancement, private gifts, or donations  | 
to aid in the creation and operation of and the services  | 
provided by an Undocumented Student Resource Center. 
 | 
(Source: P.A. 102-475, eff. 8-20-21; revised 10-18-21.)
 | 
 (110 ILCS 305/155)
 | 
 Sec. 155 120. Personal support worker's attendance in  | 
class permitted. If a student of the University has a personal  | 
support worker through the Home-Based Support
Services Program  | 
for Adults with Mental Disabilities under the
Developmental  | 
Disability and Mental Disability Services Act, the Board of  | 
 | 
Trustees must permit the personal support worker to attend  | 
class with the student but is not responsible for providing or  | 
paying for the personal support worker. If the personal  | 
support worker's attendance in class is solely to provide  | 
personal support services to the student, the Board may not  | 
charge the personal support worker tuition and fees for such  | 
attendance.
 | 
(Source: P.A. 102-568, eff. 8-23-21; revised 10-18-21.)
 | 
 Section 335. The University of Illinois Hospital Act is  | 
amended by setting forth, renumbering, and changing multiple
 | 
versions of Section 8d as follows:
 | 
 (110 ILCS 330/8d) | 
 (Text of Section from P.A. 102-4 and 102-671) | 
 Sec. 8d. N95 masks. Pursuant to and in accordance with  | 
applicable local, State, and federal policies, guidance and  | 
recommendations of public health and infection control  | 
authorities, and taking into consideration the limitations on  | 
access to N95 masks caused by disruptions in local, State,  | 
national, and international supply chains, the University of  | 
Illinois Hospital shall provide N95 masks to physicians  | 
licensed under the Medical Practice Act of 1987, registered  | 
nurses and advanced practice registered nurses licensed under  | 
the Nurse Licensing Act, and any other employees or  | 
contractual workers who provide direct patient care and who,  | 
 | 
pursuant to such policies, guidance, and recommendations, are  | 
recommended to have such a mask to safely provide such direct  | 
patient care within a hospital setting. Nothing in this  | 
Section shall be construed to impose any new duty or  | 
obligation on the University of Illinois Hospital or employee  | 
that is greater than that imposed under State and federal laws  | 
in effect on the effective date of this amendatory Act of the  | 
102nd General Assembly.  | 
 This Section is repealed on July 1, 2022.
 | 
(Source: P.A. 102-4, eff. 4-27-21; 102-671, eff. 11-30-21.)
 | 
 (Text of Section from P.A. 102-4 and 102-674) | 
 Sec. 8d. N95 masks. Pursuant to and in accordance with  | 
applicable local, State, and federal policies, guidance and  | 
recommendations of public health and infection control  | 
authorities, and taking into consideration the limitations on  | 
access to N95 masks caused by disruptions in local, State,  | 
national, and international supply chains, the University of  | 
Illinois Hospital shall provide N95 masks to physicians  | 
licensed under the Medical Practice Act of 1987, registered  | 
nurses and advanced practice registered nurses licensed under  | 
the Nurse Licensing Act, and any other employees or  | 
contractual workers who provide direct patient care and who,  | 
pursuant to such policies, guidance, and recommendations, are  | 
recommended to have such a mask to safely provide such direct  | 
patient care within a hospital setting. Nothing in this  | 
 | 
Section shall be construed to impose any new duty or  | 
obligation on the University of Illinois Hospital or employee  | 
that is greater than that imposed under State and federal laws  | 
in effect on the effective date of this amendatory Act of the  | 
102nd General Assembly.  | 
 This Section is repealed on December 31, 2022.
 | 
(Source: P.A. 102-4, eff. 4-27-21; 102-674, eff. 11-30-21.)
 | 
 (110 ILCS 330/8e)
 | 
 Sec. 8e 8d. Facility-provided medication upon discharge. | 
 (a) The General Assembly finds that this Section is  | 
necessary for the immediate preservation of the public peace,  | 
health, and safety. | 
 (b) In this Section, "facility-provided medication" has  | 
the same meaning as provided under Section 15.10 of the  | 
Pharmacy Practice Act. | 
 (c) When a facility-provided medication is ordered at  | 
least 24 hours in advance for surgical procedures and is  | 
administered to a patient at the University of Illinois  | 
Hospital, any unused portion of the facility-provided  | 
medication must be offered to the patient upon discharge when  | 
it is required for continuing treatment. | 
 (d) A facility-provided medication shall be labeled  | 
consistent with labeling requirements under Section 22 of the  | 
Pharmacy Practice Act.  | 
 (e) If the facility-provided medication is used in an  | 
 | 
operating room or emergency department setting, the prescriber  | 
is responsible for counseling the patient on its proper use  | 
and administration and the requirement of pharmacist  | 
counseling is waived. 
 | 
(Source: P.A. 102-155, eff. 7-23-21; revised 11-9-21.)
 | 
 (110 ILCS 330/8f)
 | 
 Sec. 8f 8d. Surgical smoke plume evacuation. | 
 (a) In this Section: | 
 "Department" means the Department of Public Health. | 
 "Surgical smoke plume" means the by-product of the use of  | 
energy-based devices on tissue during surgery and containing  | 
hazardous materials, including, but not limited to,  | 
bioaerosols bio-aeorsols, smoke, gases, tissue and cellular  | 
fragments and particulates, and viruses. | 
 "Surgical smoke plume evacuation system" means a dedicated  | 
device that is designed to capture, transport, filter, and  | 
neutralize surgical smoke plume at the site of origin and  | 
before surgical smoke plume can make ocular contact, or  | 
contact with the respiratory tract, of an employee. | 
 (b) To protect patients and health care workers from the  | 
hazards of surgical smoke plume, the University of Illinois  | 
Hospital shall adopt policies to ensure the elimination of  | 
surgical smoke plume by use of a surgical smoke plume  | 
evacuation system for each procedure that generates surgical  | 
smoke plume from the use of energy-based devices, including,  | 
 | 
but not limited to, electrosurgery and lasers. | 
 (c) The University of Illinois Hospital shall report to  | 
the Department within 90 days after January 1, 2022 (the  | 
effective date of Public Act 102-533) this amendatory Act of  | 
the 102nd General Assembly that policies under subsection (b)  | 
of this Section have been adopted. 
 | 
(Source: P.A. 102-533, eff. 1-1-22; revised 11-9-21.)
 | 
 Section 340. The Southern Illinois University Management  | 
Act is amended by changing Section 6.6 and by setting forth,  | 
renumbering, and changing multiple
versions of Section 100 as  | 
follows:
 | 
 (110 ILCS 520/6.6)
 | 
 Sec. 6.6. The Illinois Ethanol Research Advisory Board. 
 | 
 (a) There is established the Illinois Ethanol
Research  | 
Advisory Board (the "Advisory Board").
 | 
 (b) The Advisory Board shall be composed of 14 members  | 
including: the
President of
Southern Illinois University who  | 
shall be Chairman;
the Director of Commerce and Economic  | 
Opportunity;
the Director of Agriculture; the President of the
 | 
Illinois Corn Growers Association; the President of the  | 
National Corn Growers
Association; the President of the  | 
Renewable Fuels Association; the Dean of the
College of  | 
Agricultural, Consumer, and Environmental Science,
University  | 
of Illinois at
Champaign-Urbana; the Dean of the College of  | 
 | 
Agricultural, Life, and Physical Sciences, Southern Illinois  | 
University at Carbondale; ,
and 6 at-large members appointed by  | 
the Governor representing the ethanol
industry, growers,  | 
suppliers, and universities.
 | 
 (c) The 6 at-large members shall serve a term of 4 years.  | 
The Advisory
Board shall
meet at least annually or at the call  | 
of the Chairman. At any time a majority
of the Advisory Board  | 
may petition the Chairman for a meeting of the Board.
Seven
 | 
members of the Advisory Board shall constitute a quorum.
 | 
 (d) The Advisory Board shall:
 | 
  (1) Review the annual operating plans and budget of  | 
 the National
Corn-to-Ethanol
Research Pilot Plant.
 | 
  (2) Advise on research and development priorities and  | 
 projects to be
carried out at the Corn-to-Ethanol Research  | 
 Pilot Plant.
 | 
  (3) Advise on policies and procedures regarding the  | 
 management and
operation of the ethanol research pilot  | 
 plant. This may include contracts,
project selection, and  | 
 personnel issues.
 | 
  (4) Develop bylaws.
 | 
  (5) Submit a final report to the Governor and General  | 
 Assembly outlining
the progress and accomplishments made  | 
 during the year along with a financial
report for the  | 
 year.
 | 
  (6) Establish and operate, subject to specific  | 
 appropriation for the purpose of providing facility  | 
 | 
 operating funds, the National Corn-to-Ethanol Research  | 
 Center at Southern Illinois University at Edwardsville as  | 
 a State Biorefining Center of Excellence with the  | 
 following purposes and goals: | 
   (A) To utilize interdisciplinary,  | 
 interinstitutional, and industrial collaborations to  | 
 conduct research. | 
   (B) To provide training and services to the  | 
 ethanol fuel industry to make projects and training to  | 
 advance the biofuels industry in the State more  | 
 affordable for the institutional and industrial  | 
 bodies, including, but not limited to, Illinois  | 
 farmer-owned ethanol cooperatives. | 
   (C) To coordinate near-term industry research  | 
 needs and laboratory services by identifying needs and  | 
 pursuing federal and other funding sources. | 
   (D) To develop and provide hands-on training to  | 
 prepare students for the biofuels workforce and train  | 
 workforce reentrants. | 
   (E) To serve as an independent, third-party source  | 
 for review, testing, validation standardization, and  | 
 definition in areas of industry need. | 
   (F) To provide seminars, tours, and informational  | 
 sessions advocating renewable energy. | 
   (G) To provide consultation services and  | 
 information for those interested in renewable energy. | 
 | 
   (H) To develop demonstration projects by pursuing  | 
 federal and other funding sources.
 | 
 (e) The Advisory Board established by this Section is a  | 
continuation, as
changed by
the Section, of the Board  | 
established under Section 8a of the Energy
Conservation and  | 
Coal Development Act and repealed by Public Act 92-736 this  | 
amendatory Act of the 92nd General Assembly.
 | 
(Source: P.A. 102-370, eff. 8-13-21; revised 10-6-21.)
 | 
 (110 ILCS 520/100)
 | 
 Sec. 100. Modification of athletic or team uniform  | 
permitted. | 
 (a) The Board must allow a student athlete to modify his or  | 
her athletic or team uniform due to the observance of modesty  | 
in clothing or attire in accordance with the requirements of  | 
his or her religion or his or her cultural values or modesty  | 
preferences. The modification of the athletic or team uniform  | 
may include, but is not limited to, the wearing of a hijab, an  | 
undershirt, or leggings. If a student chooses to modify his or  | 
her athletic or team uniform, the student is responsible for  | 
all costs associated with the modification of the uniform and  | 
the student shall not be required to receive prior approval  | 
from the Board for such modification. However, nothing in this  | 
Section prohibits the University from providing the  | 
modification to the student. | 
 (b) At a minimum, any modification of the athletic or team  | 
 | 
uniform must not interfere with the movement of the student or  | 
pose a safety hazard to the student or to other athletes or  | 
players. The modification of headgear is permitted if the  | 
headgear: | 
  (1) is black, white, the predominant predominate color  | 
 of the uniform, or the same color for all players on the  | 
 team; | 
  (2) does not cover any part of the face; | 
  (3) is not dangerous to the player or to the other  | 
 players; | 
  (4) has no opening or closing elements around the face  | 
 and neck; and | 
  (5) has no parts extruding from its surface. 
 | 
(Source: P.A. 102-51, eff. 7-9-21; revised 10-21-21.)
 | 
 (110 ILCS 520/102)
 | 
 Sec. 102 100. Academic major report. The Board shall  | 
provide to each enrolled student, at the time the student  | 
declares or changes his or her academic major or program of  | 
study, a report that contains relevant, independent, and  | 
accurate data related to the student's major or program of  | 
study and to the current occupational outlook associated with  | 
that major or program of study. The report shall provide the  | 
student with all of the following information: | 
  (1) The estimated cost of his or her education  | 
 associated with pursuing a degree in that major or program  | 
 | 
 of study. | 
  (2) The average monthly student loan payment over a  | 
 period of 20 years based on the estimated cost of his or  | 
 her education under paragraph (1). | 
  (3) The average job placement rate within 12 months  | 
 after graduation for a graduate who holds a degree in that  | 
 major or program of study. | 
  (4) The average entry-level wage or salary for an  | 
 occupation related to that major or program of study. | 
  (5) The average wage or salary 5 years after entry  | 
 into an occupation under paragraph (4).
 | 
(Source: P.A. 102-214, eff. 1-1-22; revised 10-21-21.)
 | 
 (110 ILCS 520/110)
 | 
 Sec. 110 100. Availability of menstrual hygiene products. | 
 (a) In this Section, "menstrual hygiene products" means  | 
tampons and sanitary napkins for use in connection with the  | 
menstrual cycle.  | 
 (b) The Board shall make menstrual hygiene products  | 
available, at no cost to students, in the bathrooms of  | 
facilities or portions of facilities that (i) are owned or  | 
leased by the Board or over which the Board has care, custody,  | 
and control and (ii) are used for student instruction or  | 
administrative purposes. 
 | 
(Source: P.A. 102-250, eff. 8-5-21; revised 10-21-21.)
 | 
 | 
 (110 ILCS 520/115)
 | 
 Sec. 115 100. Adjunct professor; status of class. | 
 (a) At least 30 days before the beginning of a term and  | 
again at 14 days before the beginning of the term, the Board  | 
must notify an adjunct professor about the status of  | 
enrollment of the class the adjunct professor was hired to  | 
teach. | 
 (b) This Section does not apply if the Governor has  | 
declared a disaster due to a public health emergency or a  | 
natural disaster pursuant to Section 7 of the Illinois  | 
Emergency Management Agency Act. | 
 (c) Collective bargaining agreements that are in effect on  | 
January 1, 2022 (the effective date of Public Act 102-260)  | 
this amendatory Act of the 102nd General Assembly are exempt  | 
from the requirements of this Section.
 | 
(Source: P.A. 102-260, eff. 1-1-22; revised 10-21-21.)
 | 
 (110 ILCS 520/120)
 | 
 Sec. 120 100. Family and medical leave coverage. A  | 
University employee who has been employed by the University  | 
for at least 12 months and who has worked at least 1,000 hours  | 
in the previous 12-month period shall be eligible for family  | 
and medical leave under the same terms and conditions as leave  | 
provided to eligible employees under the federal Family and  | 
Medical Leave Act of 1993.
 | 
(Source: P.A. 102-335, eff. 1-1-22; revised 10-21-21.)
 | 
 | 
 (110 ILCS 520/125)
 | 
 Sec. 125 100. Undocumented Student Liaison; Undocumented  | 
Student Resource Center. | 
 (a) Beginning with the 2022-2023 academic year, the Board  | 
shall designate an employee as an Undocumented Student  | 
Resource Liaison to be available on campus to provide  | 
assistance to undocumented students and mixed status students  | 
within the United States in streamlining access to financial  | 
aid and academic support to successfully matriculate to degree  | 
completion. The Undocumented Student Liaison shall provide  | 
assistance to vocational students, undergraduate students,
 | 
graduate students, and professional-track students. An  | 
employee who is designated as an Undocumented Student Liaison  | 
must be knowledgeable about current legislation and policy  | 
changes through professional development with the Illinois  | 
Dream Fund Commission to provide the wrap-around services to  | 
such students. The Illinois Dream Fund Commission shall  | 
conduct professional development under this Section. The  | 
Illinois Dream Fund Commission's task force on immigration  | 
issues and the Undocumented Student Liaison shall ensure that  | 
undocumented immigrants and students from mixed status  | 
households receive equitable and inclusive access to the  | 
University's retention and matriculation programs. | 
 The Board shall ensure that an Undocumented Student  | 
Liaison is available at each campus of the University. The  | 
 | 
Undocumented Student Liaison must be placed in a location that  | 
provides direct access for students in collaboration with the  | 
retention and matriculation programs of the University. The  | 
Undocumented Student Liaison shall report directly to senior  | 
leadership and shall assist leadership with the review of  | 
policies and procedures that directly affect undocumented and  | 
mixed status students. | 
 An Undocumented Student Liaison may work on outreach  | 
efforts to provide access to resources and support within the  | 
grade P-20 education pipeline by supporting summer enrichment  | 
programs and pipeline options for students in any of grades 9  | 
through 12. | 
 (b) The Board is encouraged to establish an Undocumented  | 
Student Resource Center on each of its campuses. An A  | 
Undocumented Student Resource Center may offer support  | 
services, including, but not limited to, State and private  | 
financial assistance, academic and career counseling, and  | 
retention and matriculation support services, as well as  | 
mental health counseling options because the changing  | 
immigration climate impacts a student's overall well-being and  | 
success. | 
 An Undocumented Student Resource Center may be housed
 | 
within an existing student service center or academic center,  | 
and the new construction of an Undocumented Student Resource  | 
Center is not required under this Section. | 
 The Board may seek and accept any financial support  | 
 | 
through institutional advancement, private gifts, or donations  | 
to aid in the creation and operation of and the services  | 
provided by an Undocumented Student Resource Center. 
 | 
(Source: P.A. 102-475, eff. 8-20-21; revised 10-21-21.)
 | 
 (110 ILCS 520/130)
 | 
 Sec. 130 100. Personal support worker's attendance in  | 
class permitted. If a student of the University has a personal  | 
support worker through the Home-Based Support
Services Program  | 
for Adults with Mental Disabilities under the
Developmental  | 
Disability and Mental Disability Services Act, the Board must  | 
permit the personal support worker to attend class with the  | 
student but is not responsible for providing or paying for the  | 
personal support worker. If the personal support worker's  | 
attendance in class is solely to provide personal support  | 
services to the student, the Board may not charge the personal  | 
support worker tuition and fees for such attendance.
 | 
(Source: P.A. 102-568, eff. 8-23-21; revised 10-21-21.)
 | 
 Section 345. The Chicago State University Law is amended  | 
by setting forth, renumbering, and changing multiple
versions  | 
of Section 5-210 as follows:
 | 
 (110 ILCS 660/5-210)
 | 
 Sec. 5-210. Modification of athletic or team uniform  | 
permitted. | 
 | 
 (a) The Board must allow a student athlete to modify his or  | 
her athletic or team uniform due to the observance of modesty  | 
in clothing or attire in accordance with the requirements of  | 
his or her religion or his or her cultural values or modesty  | 
preferences. The modification of the athletic or team uniform  | 
may include, but is not limited to, the wearing of a hijab, an  | 
undershirt, or leggings. If a student chooses to modify his or  | 
her athletic or team uniform, the student is responsible for  | 
all costs associated with the modification of the uniform and  | 
the student shall not be required to receive prior approval  | 
from the Board for such modification. However, nothing in this  | 
Section prohibits the University from providing the  | 
modification to the student. | 
 (b) At a minimum, any modification of the athletic or team  | 
uniform must not interfere with the movement of the student or  | 
pose a safety hazard to the student or to other athletes or  | 
players. The modification of headgear is permitted if the  | 
headgear: | 
  (1) is black, white, the predominant predominate color  | 
 of the uniform, or the same color for all players on the  | 
 team; | 
  (2) does not cover any part of the face; | 
  (3) is not dangerous to the player or to the other  | 
 players; | 
  (4) has no opening or closing elements around the face  | 
 and neck; and | 
 | 
  (5) has no parts extruding from its surface. 
 | 
(Source: P.A. 102-51, eff. 7-9-21; revised 10-26-21.)
 | 
 (110 ILCS 660/5-212)
 | 
 Sec. 5-212 5-210. Academic major report. The Board shall  | 
provide to each enrolled student, at the time the student  | 
declares or changes his or her academic major or program of  | 
study, a report that contains relevant, independent, and  | 
accurate data related to the student's major or program of  | 
study and to the current occupational outlook associated with  | 
that major or program of study. The report shall provide the  | 
student with all of the following information: | 
  (1) The estimated cost of his or her education  | 
 associated with pursuing a degree in that major or program  | 
 of study. | 
  (2) The average monthly student loan payment over a  | 
 period of 20 years based on the estimated cost of his or  | 
 her education under paragraph (1). | 
  (3) The average job placement rate within 12 months  | 
 after graduation for a graduate who holds a degree in that  | 
 major or program of study. | 
  (4) The average entry-level wage or salary for an  | 
 occupation related to that major or program of study. | 
  (5) The average wage or salary 5 years after entry  | 
 into an occupation under paragraph (4).
 | 
(Source: P.A. 102-214, eff. 1-1-22; revised 10-26-21.)
 | 
 | 
 (110 ILCS 660/5-220)
 | 
 Sec. 5-220 5-210. Availability of menstrual hygiene  | 
products. | 
 (a) In this Section, "menstrual hygiene products" means  | 
tampons and sanitary napkins for use in connection with the  | 
menstrual cycle. | 
 (b) The Board shall make menstrual hygiene products  | 
available, at no cost to students, in the bathrooms of  | 
facilities or portions of facilities that (i) are owned or  | 
leased by the Board or over which the Board has care, custody,  | 
and control and (ii) are used for student instruction or  | 
administrative purposes. 
 | 
(Source: P.A. 102-250, eff. 8-5-21; revised 10-26-21.)
 | 
 (110 ILCS 660/5-225)
 | 
 Sec. 5-225 5-210. Adjunct professor; status of class. | 
 (a) At least 30 days before the beginning of a term and  | 
again at 14 days before the beginning of the term, the Board  | 
must notify an adjunct professor about the status of  | 
enrollment of the class the adjunct professor was hired to  | 
teach. | 
 (b) This Section does not apply if the Governor has  | 
declared a disaster due to a public health emergency or a  | 
natural disaster pursuant to Section 7 of the Illinois  | 
Emergency Management Agency Act. | 
 | 
 (c) Collective bargaining agreements that are in effect on  | 
January 1, 2022 (the effective date of Public Act 102-260)  | 
this amendatory Act of the 102nd General Assembly are exempt  | 
from the requirements of this Section.
 | 
(Source: P.A. 102-260, eff. 1-1-22; revised 10-26-21.)
 | 
 (110 ILCS 660/5-230)
 | 
 Sec. 5-230 5-210. Family and medical leave coverage. A  | 
University employee who has been employed by the University  | 
for at least 12 months and who has worked at least 1,000 hours  | 
in the previous 12-month period shall be eligible for family  | 
and medical leave under the same terms and conditions as leave  | 
provided to eligible employees under the federal Family and  | 
Medical Leave Act of 1993.
 | 
(Source: P.A. 102-335, eff. 1-1-22; revised 10-26-21.)
 | 
 (110 ILCS 660/5-235)
 | 
 Sec. 5-235 5-210. Undocumented Student Liaison;  | 
Undocumented Student Resource Center. | 
 (a) Beginning with the 2022-2023 academic year, the Board  | 
shall designate an employee as an Undocumented Student  | 
Resource Liaison to be available on campus to provide  | 
assistance to undocumented students and mixed status students  | 
within the United States in streamlining access to financial  | 
aid and academic support to successfully matriculate to degree  | 
completion. The Undocumented Student Liaison shall provide  | 
 | 
assistance to vocational students, undergraduate students,
 | 
graduate students, and professional-track students. An  | 
employee who is designated as an Undocumented Student Liaison  | 
must be knowledgeable about current legislation and policy  | 
changes through professional development with the Illinois  | 
Dream Fund Commission to provide the wrap-around services to  | 
such students. The Illinois Dream Fund Commission shall  | 
conduct professional development under this Section. The  | 
Illinois Dream Fund Commission's task force on immigration  | 
issues and the Undocumented Student Liaison shall ensure that  | 
undocumented immigrants and students from mixed status  | 
households receive equitable and inclusive access to the  | 
University's retention and matriculation programs. | 
 The Board shall ensure that an Undocumented Student  | 
Liaison is available at each campus of the University. The  | 
Undocumented Student Liaison must be placed in a location that  | 
provides direct access for students in collaboration with the  | 
retention and matriculation programs of the University. The  | 
Undocumented Student Liaison shall report directly to senior  | 
leadership and shall assist leadership with the review of  | 
policies and procedures that directly affect undocumented and  | 
mixed status students. | 
 An Undocumented Student Liaison may work on outreach  | 
efforts to provide access to resources and support within the  | 
grade P-20 education pipeline by supporting summer enrichment  | 
programs and pipeline options for students in any of grades 9  | 
 | 
through 12. | 
 (b) The Board is encouraged to establish an Undocumented  | 
Student Resource Center on each of its campuses. An A  | 
Undocumented Student Resource Center may offer support  | 
services, including, but not limited to, State and private  | 
financial assistance, academic and career counseling, and  | 
retention and matriculation support services, as well as  | 
mental health counseling options because the changing  | 
immigration climate impacts a student's overall well-being and  | 
success. | 
 An Undocumented Student Resource Center may be housed
 | 
within an existing student service center or academic center,  | 
and the new construction of an Undocumented Student Resource  | 
Center is not required under this Section. | 
 The Board may seek and accept any financial support  | 
through institutional advancement, private gifts, or donations  | 
to aid in the creation and operation of and the services  | 
provided by an Undocumented Student Resource Center. 
 | 
(Source: P.A. 102-475, eff. 8-20-21; revised 10-26-21.)
 | 
 (110 ILCS 660/5-240)
 | 
 Sec. 5-240 5-210. Personal support worker's attendance in  | 
class permitted. If a student of the University has a personal  | 
support worker through the Home-Based Support
Services Program  | 
for Adults with Mental Disabilities under the
Developmental  | 
Disability and Mental Disability Services Act, the Board must  | 
 | 
permit the personal support worker to attend class with the  | 
student but is not responsible for providing or paying for the  | 
personal support worker. If the personal support worker's  | 
attendance in class is solely to provide personal support  | 
services to the student, the Board may not charge the personal  | 
support worker tuition and fees for such attendance.
 | 
(Source: P.A. 102-568, eff. 8-23-21; revised 10-26-21.)
 | 
 Section 350. The Eastern Illinois University Law is  | 
amended by setting forth, renumbering, and changing multiple
 | 
versions of Section 10-210 as follows:
 | 
 (110 ILCS 665/10-210)
 | 
 Sec. 10-210. Modification of athletic or team uniform  | 
permitted. | 
 (a) The Board must allow a student athlete to modify his or  | 
her athletic or team uniform due to the observance of modesty  | 
in clothing or attire in accordance with the requirements of  | 
his or her religion or his or her cultural values or modesty  | 
preferences. The modification of the athletic or team uniform  | 
may include, but is not limited to, the wearing of a hijab, an  | 
undershirt, or leggings. If a student chooses to modify his or  | 
her athletic or team uniform, the student is responsible for  | 
all costs associated with the modification of the uniform and  | 
the student shall not be required to receive prior approval  | 
from the Board for such modification. However, nothing in this  | 
 | 
Section prohibits the University from providing the  | 
modification to the student. | 
 (b) At a minimum, any modification of the athletic or team  | 
uniform must not interfere with the movement of the student or  | 
pose a safety hazard to the student or to other athletes or  | 
players. The modification of headgear is permitted if the  | 
headgear: | 
  (1) is black, white, the predominant predominate color  | 
 of the uniform, or the same color for all players on the  | 
 team; | 
  (2) does not cover any part of the face; | 
  (3) is not dangerous to the player or to the other  | 
 players; | 
  (4) has no opening or closing elements around the face  | 
 and neck; and | 
  (5) has no parts extruding from its surface. 
 | 
(Source: P.A. 102-51, eff. 7-9-21; revised 10-27-21.)
 | 
 (110 ILCS 665/10-212) | 
 Sec. 10-212 10-210. Academic major report. The Board shall  | 
provide to each enrolled student, at the time the student  | 
declares or changes his or her academic major or program of  | 
study, a report that contains relevant, independent, and  | 
accurate data related to the student's major or program of  | 
study and to the current occupational outlook associated with  | 
that major or program of study. The report shall provide the  | 
 | 
student with all of the following information: | 
  (1) The estimated cost of his or her education  | 
 associated with pursuing a degree in that major or program  | 
 of study. | 
  (2) The average monthly student loan payment over a  | 
 period of 20 years based on the estimated cost of his or  | 
 her education under paragraph (1). | 
  (3) The average job placement rate within 12 months  | 
 after graduation for a graduate who holds a degree in that  | 
 major or program of study. | 
  (4) The average entry-level wage or salary for an  | 
 occupation related to that major or program of study. | 
  (5) The average wage or salary 5 years after entry  | 
 into an occupation under paragraph (4).
 | 
(Source: P.A. 102-214, eff. 1-1-22; revised 11-16-21.)
 | 
 (110 ILCS 665/10-220)
 | 
 Sec. 10-220 10-210. Availability of menstrual hygiene  | 
products. | 
 (a) In this Section, "menstrual hygiene products" means  | 
tampons and sanitary napkins for use in connection with the  | 
menstrual cycle. | 
 (b) The Board shall make menstrual hygiene products  | 
available, at no cost to students, in the bathrooms of  | 
facilities or portions of facilities that (i) are owned or  | 
leased by the Board or over which the Board has care, custody,  | 
 | 
and control and (ii) are used for student instruction or  | 
administrative purposes. 
 | 
(Source: P.A. 102-250, eff. 8-5-21; revised 10-27-21.)
 | 
 (110 ILCS 665/10-225)
 | 
 Sec. 10-225 10-210. Adjunct professor; status of class. | 
 (a) At least 30 days before the beginning of a term and  | 
again at 14 days before the beginning of the term, the Board  | 
must notify an adjunct professor about the status of  | 
enrollment of the class the adjunct professor was hired to  | 
teach. | 
 (b) This Section does not apply if the Governor has  | 
declared a disaster due to a public health emergency or a  | 
natural disaster pursuant to Section 7 of the Illinois  | 
Emergency Management Agency Act. | 
 (c) Collective bargaining agreements that are in effect on  | 
January 1, 2022 (the effective date of Public Act 102-260)  | 
this amendatory Act of the 102nd General Assembly are exempt  | 
from the requirements of this Section.
 | 
(Source: P.A. 102-260, eff. 1-1-22; revised 10-27-21.)
 | 
 (110 ILCS 665/10-230)
 | 
 Sec. 10-230 10-210. Family and medical leave coverage. A  | 
University employee who has been employed by the University  | 
for at least 12 months and who has worked at least 1,000 hours  | 
in the previous 12-month period shall be eligible for family  | 
 | 
and medical leave under the same terms and conditions as leave  | 
provided to eligible employees under the federal Family and  | 
Medical Leave Act of 1993.
 | 
(Source: P.A. 102-335, eff. 1-1-22; revised 10-27-21.)
 | 
 (110 ILCS 665/10-235)
 | 
 Sec. 10-235 10-210. Undocumented Student Liaison;  | 
Undocumented Student Resource Center. | 
 (a) Beginning with the 2022-2023 academic year, the Board  | 
shall designate an employee as an Undocumented Student  | 
Resource Liaison to be available on campus to provide  | 
assistance to undocumented students and mixed status students  | 
within the United States in streamlining access to financial  | 
aid and academic support to successfully matriculate to degree  | 
completion. The Undocumented Student Liaison shall provide  | 
assistance to vocational students, undergraduate students,
 | 
graduate students, and professional-track students. An  | 
employee who is designated as an Undocumented Student Liaison  | 
must be knowledgeable about current legislation and policy  | 
changes through professional development with the Illinois  | 
Dream Fund Commission to provide the wrap-around services to  | 
such students. The Illinois Dream Fund Commission shall  | 
conduct professional development under this Section. The  | 
Illinois Dream Fund Commission's task force on immigration  | 
issues and the Undocumented Student Liaison shall ensure that  | 
undocumented immigrants and students from mixed status  | 
 | 
households receive equitable and inclusive access to the  | 
University's retention and matriculation programs. | 
 The Board shall ensure that an Undocumented Student  | 
Liaison is available at each campus of the University. The  | 
Undocumented Student Liaison must be placed in a location that  | 
provides direct access for students in collaboration with the  | 
retention and matriculation programs of the University. The  | 
Undocumented Student Liaison shall report directly to senior  | 
leadership and shall assist leadership with the review of  | 
policies and procedures that directly affect undocumented and  | 
mixed status students. | 
 An Undocumented Student Liaison may work on outreach  | 
efforts to provide access to resources and support within the  | 
grade P-20 education pipeline by supporting summer enrichment  | 
programs and pipeline options for students in any of grades 9  | 
through 12. | 
 (b) The Board is encouraged to establish an Undocumented  | 
Student Resource Center on each of its campuses. An A  | 
Undocumented Student Resource Center may offer support  | 
services, including, but not limited to, State and private  | 
financial assistance, academic and career counseling, and  | 
retention and matriculation support services, as well as  | 
mental health counseling options because the changing  | 
immigration climate impacts a student's overall well-being and  | 
success. | 
 An Undocumented Student Resource Center may be housed
 | 
 | 
within an existing student service center or academic center,  | 
and the new construction of an Undocumented Student Resource  | 
Center is not required under this Section. | 
 The Board may seek and accept any financial support  | 
through institutional advancement, private gifts, or donations  | 
to aid in the creation and operation of and the services  | 
provided by an Undocumented Student Resource Center. 
 | 
(Source: P.A. 102-475, eff. 8-20-21; revised 10-27-21.)
 | 
 (110 ILCS 665/10-240)
 | 
 Sec. 10-240 10-210. Personal support worker's attendance  | 
in class permitted. If a student of the University has a  | 
personal support worker through the Home-Based Support
 | 
Services Program for Adults with Mental Disabilities under the
 | 
Developmental Disability and Mental Disability Services Act,  | 
the Board must permit the personal support worker to attend  | 
class with the student but is not responsible for providing or  | 
paying for the personal support worker. If the personal  | 
support worker's attendance in class is solely to provide  | 
personal support services to the student, the Board may not  | 
charge the personal support worker tuition and fees for such  | 
attendance.
 | 
(Source: P.A. 102-568, eff. 8-23-21; revised 10-27-21.)
 | 
 Section 355. The Governors State University Law is amended  | 
by setting forth, renumbering, and changing multiple
versions  | 
 | 
of Section 15-210 as follows:
 | 
 (110 ILCS 670/15-210)
 | 
 Sec. 15-210. Modification of athletic or team uniform  | 
permitted. | 
 (a) The Board must allow a student athlete to modify his or  | 
her athletic or team uniform due to the observance of modesty  | 
in clothing or attire in accordance with the requirements of  | 
his or her religion or his or her cultural values or modesty  | 
preferences. The modification of the athletic or team uniform  | 
may include, but is not limited to, the wearing of a hijab, an  | 
undershirt, or leggings. If a student chooses to modify his or  | 
her athletic or team uniform, the student is responsible for  | 
all costs associated with the modification of the uniform and  | 
the student shall not be required to receive prior approval  | 
from the Board for such modification. However, nothing in this  | 
Section prohibits the University from providing the  | 
modification to the student. | 
 (b) At a minimum, any modification of the athletic or team  | 
uniform must not interfere with the movement of the student or  | 
pose a safety hazard to the student or to other athletes or  | 
players. The modification of headgear is permitted if the  | 
headgear: | 
  (1) is black, white, the predominant predominate color  | 
 of the uniform, or the same color for all players on the  | 
 team; | 
 | 
  (2) does not cover any part of the face; | 
  (3) is not dangerous to the player or to the other  | 
 players; | 
  (4) has no opening or closing elements around the face  | 
 and neck; and | 
  (5) has no parts extruding from its surface. 
 | 
(Source: P.A. 102-51, eff. 7-9-21; revised 10-29-21.)
 | 
 (110 ILCS 670/15-212)
 | 
 Sec. 15-212 15-210. Academic major report. The Board shall  | 
provide to each enrolled student, at the time the student  | 
declares or changes his or her academic major or program of  | 
study, a report that contains relevant, independent, and  | 
accurate data related to the student's major or program of  | 
study and to the current occupational outlook associated with  | 
that major or program of study. The report shall provide the  | 
student with all of the following information: | 
  (1) The estimated cost of his or her education  | 
 associated with pursuing a degree in that major or program  | 
 of study. | 
  (2) The average monthly student loan payment over a  | 
 period of 20 years based on the estimated cost of his or  | 
 her education under paragraph (1). | 
  (3) The average job placement rate within 12 months  | 
 after graduation for a graduate who holds a degree in that  | 
 major or program of study. | 
 | 
  (4) The average entry-level wage or salary for an  | 
 occupation related to that major or program of study. | 
  (5) The average wage or salary 5 years after entry  | 
 into an occupation under paragraph (4).
 | 
(Source: P.A. 102-214, eff. 1-1-22; revised 10-29-21.)
 | 
 (110 ILCS 670/15-220)
 | 
 Sec. 15-220 15-210. Availability of menstrual hygiene  | 
products. | 
 (a) In this Section, "menstrual hygiene products" means  | 
tampons and sanitary napkins for use in connection with the  | 
menstrual cycle. | 
 (b) The Board shall make menstrual hygiene products  | 
available, at no cost to students, in the bathrooms of  | 
facilities or portions of facilities that (i) are owned or  | 
leased by the Board or over which the Board has care, custody,  | 
and control and (ii) are used for student instruction or  | 
administrative purposes. 
 | 
(Source: P.A. 102-250, eff. 8-5-21; revised 10-29-21.)
 | 
 (110 ILCS 670/15-225)
 | 
 Sec. 15-225 15-210. Adjunct professor; status of class. | 
 (a) At least 30 days before the beginning of a term and  | 
again at 14 days before the beginning of the term, the Board  | 
must notify an adjunct professor about the status of  | 
enrollment of the class the adjunct professor was hired to  | 
 | 
teach. | 
 (b) This Section does not apply if the Governor has  | 
declared a disaster due to a public health emergency or a  | 
natural disaster pursuant to Section 7 of the Illinois  | 
Emergency Management Agency Act. | 
 (c) Collective bargaining agreements that are in effect on  | 
January 1, 2022 (the effective date of Public Act 102-260)  | 
this amendatory Act of the 102nd General Assembly are exempt  | 
from the requirements of this Section.
 | 
(Source: P.A. 102-260, eff. 1-1-22; revised 10-29-21.)
 | 
 (110 ILCS 670/15-230)
 | 
 Sec. 15-230 15-210. Family and medical leave coverage. A  | 
University employee who has been employed by the University  | 
for at least 12 months and who has worked at least 1,000 hours  | 
in the previous 12-month period shall be eligible for family  | 
and medical leave under the same terms and conditions as leave  | 
provided to eligible employees under the federal Family and  | 
Medical Leave Act of 1993.
 | 
(Source: P.A. 102-335, eff. 1-1-22; revised 10-29-21.)
 | 
 (110 ILCS 670/15-235)
 | 
 Sec. 15-235 15-210. Undocumented Student Liaison;  | 
Undocumented Student Resource Center. | 
 (a) Beginning with the 2022-2023 academic year, the Board  | 
shall designate an employee as an Undocumented Student  | 
 | 
Resource Liaison to be available on campus to provide  | 
assistance to undocumented students and mixed status students  | 
within the United States in streamlining access to financial  | 
aid and academic support to successfully matriculate to degree  | 
completion. The Undocumented Student Liaison shall provide  | 
assistance to vocational students, undergraduate students,
 | 
graduate students, and professional-track students. An  | 
employee who is designated as an Undocumented Student Liaison  | 
must be knowledgeable about current legislation and policy  | 
changes through professional development with the Illinois  | 
Dream Fund Commission to provide the wrap-around services to  | 
such students. The Illinois Dream Fund Commission shall  | 
conduct professional development under this Section. The  | 
Illinois Dream Fund Commission's task force on immigration  | 
issues and the Undocumented Student Liaison shall ensure that  | 
undocumented immigrants and students from mixed status  | 
households receive equitable and inclusive access to the  | 
University's retention and matriculation programs. | 
 The Board shall ensure that an Undocumented Student  | 
Liaison is available at each campus of the University. The  | 
Undocumented Student Liaison must be placed in a location that  | 
provides direct access for students in collaboration with the  | 
retention and matriculation programs of the University. The  | 
Undocumented Student Liaison shall report directly to senior  | 
leadership and shall assist leadership with the review of  | 
policies and procedures that directly affect undocumented and  | 
 | 
mixed status students. | 
 An Undocumented Student Liaison may work on outreach  | 
efforts to provide access to resources and support within the  | 
grade P-20 education pipeline by supporting summer enrichment  | 
programs and pipeline options for students in any of grades 9  | 
through 12. | 
 (b) The Board is encouraged to establish an Undocumented  | 
Student Resource Center on each of its campuses. An A  | 
Undocumented Student Resource Center may offer support  | 
services, including, but not limited to, State and private  | 
financial assistance, academic and career counseling, and  | 
retention and matriculation support services, as well as  | 
mental health counseling options because the changing  | 
immigration climate impacts a student's overall well-being and  | 
success. | 
 An Undocumented Student Resource Center may be housed
 | 
within an existing student service center or academic center,  | 
and the new construction of an Undocumented Student Resource  | 
Center is not required under this Section. | 
 The Board may seek and accept any financial support  | 
through institutional advancement, private gifts, or donations  | 
to aid in the creation and operation of and the services  | 
provided by an Undocumented Student Resource Center. 
 | 
(Source: P.A. 102-475, eff. 8-20-21; revised 10-29-21.)
 | 
 (110 ILCS 670/15-240)
 | 
 | 
 Sec. 15-240 15-210. Personal support worker's attendance  | 
in class permitted. If a student of the University has a  | 
personal support worker through the Home-Based Support
 | 
Services Program for Adults with Mental Disabilities under the
 | 
Developmental Disability and Mental Disability Services Act,  | 
the Board must permit the personal support worker to attend  | 
class with the student but is not responsible for providing or  | 
paying for the personal support worker. If the personal  | 
support worker's attendance in class is solely to provide  | 
personal support services to the student, the Board may not  | 
charge the personal support worker tuition and fees for such  | 
attendance.
 | 
(Source: P.A. 102-568, eff. 8-23-21; revised 10-29-21.)
 | 
 Section 360. The Illinois State University Law is amended  | 
by setting forth, renumbering, and changing multiple
versions  | 
of Section 20-215 as follows:
 | 
 (110 ILCS 675/20-215)
 | 
 Sec. 20-215. Modification of athletic or team uniform  | 
permitted. | 
 (a) The Board must allow a student athlete to modify his or  | 
her athletic or team uniform due to the observance of modesty  | 
in clothing or attire in accordance with the requirements of  | 
his or her religion or his or her cultural values or modesty  | 
preferences. The modification of the athletic or team uniform  | 
 | 
may include, but is not limited to, the wearing of a hijab, an  | 
undershirt, or leggings. If a student chooses to modify his or  | 
her athletic or team uniform, the student is responsible for  | 
all costs associated with the modification of the uniform and  | 
the student shall not be required to receive prior approval  | 
from the Board for such modification. However, nothing in this  | 
Section prohibits the University from providing the  | 
modification to the student. | 
 (b) At a minimum, any modification of the athletic or team  | 
uniform must not interfere with the movement of the student or  | 
pose a safety hazard to the student or to other athletes or  | 
players. The modification of headgear is permitted if the  | 
headgear: | 
  (1) is black, white, the predominant predominate color  | 
 of the uniform, or the same color for all players on the  | 
 team; | 
  (2) does not cover any part of the face; | 
  (3) is not dangerous to the player or to the other  | 
 players; | 
  (4) has no opening or closing elements around the face  | 
 and neck; and | 
  (5) has no parts extruding from its surface. 
 | 
(Source: P.A. 102-51, eff. 7-9-21; revised 11-4-21.)
 | 
 (110 ILCS 675/20-217)
 | 
 Sec. 20-217 20-215. Academic major report. The Board shall  | 
 | 
provide to each enrolled student, at the time the student  | 
declares or changes his or her academic major or program of  | 
study, a report that contains relevant, independent, and  | 
accurate data related to the student's major or program of  | 
study and to the current occupational outlook associated with  | 
that major or program of study. The report shall provide the  | 
student with all of the following information: | 
  (1) The estimated cost of his or her education  | 
 associated with pursuing a degree in that major or program  | 
 of study. | 
  (2) The average monthly student loan payment over a  | 
 period of 20 years based on the estimated cost of his or  | 
 her education under paragraph (1). | 
  (3) The average job placement rate within 12 months  | 
 after graduation for a graduate who holds a degree in that  | 
 major or program of study. | 
  (4) The average entry-level wage or salary for an  | 
 occupation related to that major or program of study. | 
  (5) The average wage or salary 5 years after entry  | 
 into an occupation under paragraph (4).
 | 
(Source: P.A. 102-214, eff. 1-1-22; revised 11-4-21.)
 | 
 (110 ILCS 675/20-225)
 | 
 Sec. 20-225 20-215. Availability of menstrual hygiene  | 
products. | 
 (a) In this Section, "menstrual hygiene products" means  | 
 | 
tampons and sanitary napkins for use in connection with the  | 
menstrual cycle. | 
 (b) The Board shall make menstrual hygiene products  | 
available, at no cost to students, in the bathrooms of  | 
facilities or portions of facilities that (i) are owned or  | 
leased by the Board or over which the Board has care, custody,  | 
and control and (ii) are used for student instruction or  | 
administrative purposes. 
 | 
(Source: P.A. 102-250, eff. 8-5-21; revised 11-4-21.)
 | 
 (110 ILCS 675/20-230)
 | 
 Sec. 20-230 20-215. Adjunct professor; status of class. | 
 (a) At least 30 days before the beginning of a term and  | 
again at 14 days before the beginning of the term, the Board  | 
must notify an adjunct professor about the status of  | 
enrollment of the class the adjunct professor was hired to  | 
teach. | 
 (b) This Section does not apply if the Governor has  | 
declared a disaster due to a public health emergency or a  | 
natural disaster pursuant to Section 7 of the Illinois  | 
Emergency Management Agency Act. | 
 (c) Collective bargaining agreements that are in effect on  | 
January 1, 2022 (the effective date of Public Act 102-260)  | 
this amendatory Act of the 102nd General Assembly are exempt  | 
from the requirements of this Section.
 | 
(Source: P.A. 102-260, eff. 1-1-22; revised 11-4-21.)
 | 
 | 
 (110 ILCS 675/20-235)
 | 
 Sec. 20-235 20-215. Family and medical leave coverage. A  | 
University employee who has been employed by the University  | 
for at least 12 months and who has worked at least 1,000 hours  | 
in the previous 12-month period shall be eligible for family  | 
and medical leave under the same terms and conditions as leave  | 
provided to eligible employees under the federal Family and  | 
Medical Leave Act of 1993.
 | 
(Source: P.A. 102-335, eff. 1-1-22; revised 11-4-21.)
 | 
 (110 ILCS 675/20-240)
 | 
 Sec. 20-240 20-215. Undocumented Student Liaison;  | 
Undocumented Student Resource Center. | 
 (a) Beginning with the 2022-2023 academic year, the Board  | 
shall designate an employee as an Undocumented Student  | 
Resource Liaison to be available on campus to provide  | 
assistance to undocumented students and mixed status students  | 
within the United States in streamlining access to financial  | 
aid and academic support to successfully matriculate to degree  | 
completion. The Undocumented Student Liaison shall provide  | 
assistance to vocational students, undergraduate students,
 | 
graduate students, and professional-track students. An  | 
employee who is designated as an Undocumented Student Liaison  | 
must be knowledgeable about current legislation and policy  | 
changes through professional development with the Illinois  | 
 | 
Dream Fund Commission to provide the wrap-around services to  | 
such students. The Illinois Dream Fund Commission shall  | 
conduct professional development under this Section. The  | 
Illinois Dream Fund Commission's task force on immigration  | 
issues and the Undocumented Student Liaison shall ensure that  | 
undocumented immigrants and students from mixed status  | 
households receive equitable and inclusive access to the  | 
University's retention and matriculation programs. | 
 The Board shall ensure that an Undocumented Student  | 
Liaison is available at each campus of the University. The  | 
Undocumented Student Liaison must be placed in a location that  | 
provides direct access for students in collaboration with the  | 
retention and matriculation programs of the University. The  | 
Undocumented Student Liaison shall report directly to senior  | 
leadership and shall assist leadership with the review of  | 
policies and procedures that directly affect undocumented and  | 
mixed status students. | 
 An Undocumented Student Liaison may work on outreach  | 
efforts to provide access to resources and support within the  | 
grade P-20 education pipeline by supporting summer enrichment  | 
programs and pipeline options for students in any of grades 9  | 
through 12. | 
 (b) The Board is encouraged to establish an Undocumented  | 
Student Resource Center on each of its campuses. An A  | 
Undocumented Student Resource Center may offer support  | 
services, including, but not limited to, State and private  | 
 | 
financial assistance, academic and career counseling, and  | 
retention and matriculation support services, as well as  | 
mental health counseling options because the changing  | 
immigration climate impacts a student's overall well-being and  | 
success. | 
 An Undocumented Student Resource Center may be housed
 | 
within an existing student service center or academic center,  | 
and the new construction of an Undocumented Student Resource  | 
Center is not required under this Section. | 
 The Board may seek and accept any financial support  | 
through institutional advancement, private gifts, or donations  | 
to aid in the creation and operation of and the services  | 
provided by an Undocumented Student Resource Center. 
 | 
(Source: P.A. 102-475, eff. 8-20-21; revised 11-4-21.)
 | 
 (110 ILCS 675/20-245)
 | 
 Sec. 20-245 20-215. Personal support worker's attendance  | 
in class permitted. If a student of the University has a  | 
personal support worker through the Home-Based Support
 | 
Services Program for Adults with Mental Disabilities under the
 | 
Developmental Disability and Mental Disability Services Act,  | 
the Board must permit the personal support worker to attend  | 
class with the student but is not responsible for providing or  | 
paying for the personal support worker. If the personal  | 
support worker's attendance in class is solely to provide  | 
personal support services to the student, the Board may not  | 
 | 
charge the personal support worker tuition and fees for such  | 
attendance.
 | 
(Source: P.A. 102-568, eff. 8-23-21; revised 11-4-21.)
 | 
 Section 365. The Northeastern Illinois University Law is  | 
amended by setting forth, renumbering, and changing multiple
 | 
versions of Section 25-210 as follows:
 | 
 (110 ILCS 680/25-210)
 | 
 Sec. 25-210. Modification of athletic or team uniform  | 
permitted. | 
 (a) The Board must allow a student athlete to modify his or  | 
her athletic or team uniform due to the observance of modesty  | 
in clothing or attire in accordance with the requirements of  | 
his or her religion or his or her cultural values or modesty  | 
preferences. The modification of the athletic or team uniform  | 
may include, but is not limited to, the wearing of a hijab, an  | 
undershirt, or leggings. If a student chooses to modify his or  | 
her athletic or team uniform, the student is responsible for  | 
all costs associated with the modification of the uniform and  | 
the student shall not be required to receive prior approval  | 
from the Board for such modification. However, nothing in this  | 
Section prohibits the University from providing the  | 
modification to the student. | 
 (b) At a minimum, any modification of the athletic or team  | 
uniform must not interfere with the movement of the student or  | 
 | 
pose a safety hazard to the student or to other athletes or  | 
players. The modification of headgear is permitted if the  | 
headgear: | 
  (1) is black, white, the predominant predominate color  | 
 of the uniform, or the same color for all players on the  | 
 team; | 
  (2) does not cover any part of the face; | 
  (3) is not dangerous to the player or to the other  | 
 players; | 
  (4) has no opening or closing elements around the face  | 
 and neck; and | 
  (5) has no parts extruding from its surface. 
 | 
(Source: P.A. 102-51, eff. 7-9-21; revised 11-4-21.)
 | 
 (110 ILCS 680/25-212)
 | 
 Sec. 25-212 25-210. Academic major report. The Board shall  | 
provide to each enrolled student, at the time the student  | 
declares or changes his or her academic major or program of  | 
study, a report that contains relevant, independent, and  | 
accurate data related to the student's major or program of  | 
study and to the current occupational outlook associated with  | 
that major or program of study. The report shall provide the  | 
student with all of the following information: | 
  (1) The estimated cost of his or her education  | 
 associated with pursuing a degree in that major or program  | 
 of study. | 
 | 
  (2) The average monthly student loan payment over a  | 
 period of 20 years based on the estimated cost of his or  | 
 her education under paragraph (1). | 
  (3) The average job placement rate within 12 months  | 
 after graduation for a graduate who holds a degree in that  | 
 major or program of study. | 
  (4) The average entry-level wage or salary for an  | 
 occupation related to that major or program of study. | 
  (5) The average wage or salary 5 years after entry  | 
 into an occupation under paragraph (4).
 | 
(Source: P.A. 102-214, eff. 1-1-22; revised 11-4-21.)
 | 
 (110 ILCS 680/25-220)
 | 
 Sec. 25-220 25-210. Availability of menstrual hygiene  | 
products. | 
 (a) In this Section, "menstrual hygiene products" means  | 
tampons and sanitary napkins for use in connection with the  | 
menstrual cycle. | 
 (b) The Board shall make menstrual hygiene products  | 
available, at no cost to students, in the bathrooms of  | 
facilities or portions of facilities that (i) are owned or  | 
leased by the Board or over which the Board has care, custody,  | 
and control and (ii) are used for student instruction or  | 
administrative purposes. 
 | 
(Source: P.A. 102-250, eff. 8-5-21; revised 11-4-21.)
 | 
 | 
 (110 ILCS 680/25-225)
 | 
 Sec. 25-225 25-210. Adjunct professor; status of class. | 
 (a) At least 30 days before the beginning of a term and  | 
again at 14 days before the beginning of the term, the Board  | 
must notify an adjunct professor about the status of  | 
enrollment of the class the adjunct professor was hired to  | 
teach. | 
 (b) This Section does not apply if the Governor has  | 
declared a disaster due to a public health emergency or a  | 
natural disaster pursuant to Section 7 of the Illinois  | 
Emergency Management Agency Act. | 
 (c) Collective bargaining agreements that are in effect on  | 
January 1, 2022 (the effective date of Public Act 102-260)  | 
this amendatory Act of the 102nd General Assembly are exempt  | 
from the requirements of this Section.
 | 
(Source: P.A. 102-260, eff. 1-1-22; revised 11-4-21.)
 | 
 (110 ILCS 680/25-230)
 | 
 Sec. 25-230 25-210. Family and medical leave coverage. A  | 
University employee who has been employed by the University  | 
for at least 12 months and who has worked at least 1,000 hours  | 
in the previous 12-month period shall be eligible for family  | 
and medical leave under the same terms and conditions as leave  | 
provided to eligible employees under the federal Family and  | 
Medical Leave Act of 1993.
 | 
(Source: P.A. 102-335, eff. 1-1-22; revised 11-4-21.)
 | 
 | 
 (110 ILCS 680/25-235)
 | 
 Sec. 25-235 25-210. Undocumented Student Liaison;  | 
Undocumented Student Resource Center. | 
 (a) Beginning with the 2022-2023 academic year, the Board  | 
shall designate an employee as an Undocumented Student  | 
Resource Liaison to be available on campus to provide  | 
assistance to undocumented students and mixed status students  | 
within the United States in streamlining access to financial  | 
aid and academic support to successfully matriculate to degree  | 
completion. The Undocumented Student Liaison shall provide  | 
assistance to vocational students, undergraduate students,
 | 
graduate students, and professional-track students. An  | 
employee who is designated as an Undocumented Student Liaison  | 
must be knowledgeable about current legislation and policy  | 
changes through professional development with the Illinois  | 
Dream Fund Commission to provide the wrap-around services to  | 
such students. The Illinois Dream Fund Commission shall  | 
conduct professional development under this Section. The  | 
Illinois Dream Fund Commission's task force on immigration  | 
issues and the Undocumented Student Liaison shall ensure that  | 
undocumented immigrants and students from mixed status  | 
households receive equitable and inclusive access to the  | 
University's retention and matriculation programs. | 
 The Board shall ensure that an Undocumented Student  | 
Liaison is available at each campus of the University. The  | 
 | 
Undocumented Student Liaison must be placed in a location that  | 
provides direct access for students in collaboration with the  | 
retention and matriculation programs of the University. The  | 
Undocumented Student Liaison shall report directly to senior  | 
leadership and shall assist leadership with the review of  | 
policies and procedures that directly affect undocumented and  | 
mixed status students. | 
 An Undocumented Student Liaison may work on outreach  | 
efforts to provide access to resources and support within the  | 
grade P-20 education pipeline by supporting summer enrichment  | 
programs and pipeline options for students in any of grades 9  | 
through 12. | 
 (b) The Board is encouraged to establish an Undocumented  | 
Student Resource Center on each of its campuses. An A  | 
Undocumented Student Resource Center may offer support  | 
services, including, but not limited to, State and private  | 
financial assistance, academic and career counseling, and  | 
retention and matriculation support services, as well as  | 
mental health counseling options because the changing  | 
immigration climate impacts a student's overall well-being and  | 
success. | 
 An Undocumented Student Resource Center may be housed
 | 
within an existing student service center or academic center,  | 
and the new construction of an Undocumented Student Resource  | 
Center is not required under this Section. | 
 The Board may seek and accept any financial support  | 
 | 
through institutional advancement, private gifts, or donations  | 
to aid in the creation and operation of and the services  | 
provided by an Undocumented Student Resource Center. 
 | 
(Source: P.A. 102-475, eff. 8-20-21; revised 11-4-21.)
 | 
 (110 ILCS 680/25-240)
 | 
 Sec. 25-240 25-210. Personal support worker's attendance  | 
in class permitted. If a student of the University has a  | 
personal support worker through the Home-Based Support
 | 
Services Program for Adults with Mental Disabilities under the
 | 
Developmental Disability and Mental Disability Services Act,  | 
the Board must permit the personal support worker to attend  | 
class with the student but is not responsible for providing or  | 
paying for the personal support worker. If the personal  | 
support worker's attendance in class is solely to provide  | 
personal support services to the student, the Board may not  | 
charge the personal support worker tuition and fees for such  | 
attendance.
 | 
(Source: P.A. 102-568, eff. 8-23-21; revised 11-4-21.)
 | 
 Section 370. The Northern Illinois University Law is  | 
amended by setting forth, renumbering, and changing multiple
 | 
versions of Section 30-220 as follows:
 | 
 (110 ILCS 685/30-220)
 | 
 Sec. 30-220. Modification of athletic or team uniform  | 
 | 
permitted. | 
 (a) The Board must allow a student athlete to modify his or  | 
her athletic or team uniform due to the observance of modesty  | 
in clothing or attire in accordance with the requirements of  | 
his or her religion or his or her cultural values or modesty  | 
preferences. The modification of the athletic or team uniform  | 
may include, but is not limited to, the wearing of a hijab, an  | 
undershirt, or leggings. If a student chooses to modify his or  | 
her athletic or team uniform, the student is responsible for  | 
all costs associated with the modification of the uniform and  | 
the student shall not be required to receive prior approval  | 
from the Board for such modification. However, nothing in this  | 
Section prohibits the University from providing the  | 
modification to the student. | 
 (b) At a minimum, any modification of the athletic or team  | 
uniform must not interfere with the movement of the student or  | 
pose a safety hazard to the student or to other athletes or  | 
players. The modification of headgear is permitted if the  | 
headgear: | 
  (1) is black, white, the predominant predominate color  | 
 of the uniform, or the same color for all players on the  | 
 team; | 
  (2) does not cover any part of the face; | 
  (3) is not dangerous to the player or to the other  | 
 players; | 
  (4) has no opening or closing elements around the face  | 
 | 
 and neck; and | 
  (5) has no parts extruding from its surface. 
 | 
(Source: P.A. 102-51, eff. 7-9-21; revised 11-4-21.)
 | 
 (110 ILCS 685/30-222)
 | 
 Sec. 30-222 30-220. Academic major report. The Board shall  | 
provide to each enrolled student, at the time the student  | 
declares or changes his or her academic major or program of  | 
study, a report that contains relevant, independent, and  | 
accurate data related to the student's major or program of  | 
study and to the current occupational outlook associated with  | 
that major or program of study. The report shall provide the  | 
student with all of the following information: | 
  (1) The estimated cost of his or her education  | 
 associated with pursuing a degree in that major or program  | 
 of study. | 
  (2) The average monthly student loan payment over a  | 
 period of 20 years based on the estimated cost of his or  | 
 her education under paragraph (1). | 
  (3) The average job placement rate within 12 months  | 
 after graduation for a graduate who holds a degree in that  | 
 major or program of study. | 
  (4) The average entry-level wage or salary for an  | 
 occupation related to that major or program of study. | 
  (5) The average wage or salary 5 years after entry  | 
 into an occupation under paragraph (4).
 | 
 | 
(Source: P.A. 102-214, eff. 1-1-22; revised 11-4-21.)
 | 
 (110 ILCS 685/30-230)
 | 
 Sec. 30-230 30-220. Availability of menstrual hygiene  | 
products. | 
 (a) In this Section, "menstrual hygiene products" means  | 
tampons and sanitary napkins for use in connection with the  | 
menstrual cycle. | 
 (b) The Board shall make menstrual hygiene products  | 
available, at no cost to students, in the bathrooms of  | 
facilities or portions of facilities that (i) are owned or  | 
leased by the Board or over which the Board has care, custody,  | 
and control and (ii) are used for student instruction or  | 
administrative purposes. 
 | 
(Source: P.A. 102-250, eff. 8-5-21; revised 11-4-21.)
 | 
 (110 ILCS 685/30-235)
 | 
 Sec. 30-235 30-220. Adjunct professor; status of class. | 
 (a) At least 30 days before the beginning of a term and  | 
again at 14 days before the beginning of the term, the Board  | 
must notify an adjunct professor about the status of  | 
enrollment of the class the adjunct professor was hired to  | 
teach. | 
 (b) This Section does not apply if the Governor has  | 
declared a disaster due to a public health emergency or a  | 
natural disaster pursuant to Section 7 of the Illinois  | 
 | 
Emergency Management Agency Act. | 
 (c) Collective bargaining agreements that are in effect on  | 
January 1, 2022 (the effective date of Public Act 102-260)  | 
this amendatory Act of the 102nd General Assembly are exempt  | 
from the requirements of this Section.
 | 
(Source: P.A. 102-260, eff. 1-1-22; revised 11-4-21.)
 | 
 (110 ILCS 685/30-240)
 | 
 Sec. 30-240 30-220. Family and medical leave coverage. A  | 
University employee who has been employed by the University  | 
for at least 12 months and who has worked at least 1,000 hours  | 
in the previous 12-month period shall be eligible for family  | 
and medical leave under the same terms and conditions as leave  | 
provided to eligible employees under the federal Family and  | 
Medical Leave Act of 1993.
 | 
(Source: P.A. 102-335, eff. 1-1-22; revised 11-4-21.)
 | 
 (110 ILCS 685/30-245)
 | 
 Sec. 30-245 30-220. Undocumented Student Liaison;  | 
Undocumented Student Resource Center. | 
 (a) Beginning with the 2022-2023 academic year, the Board  | 
shall designate an employee as an Undocumented Student  | 
Resource Liaison to be available on campus to provide  | 
assistance to undocumented students and mixed status students  | 
within the United States in streamlining access to financial  | 
aid and academic support to successfully matriculate to degree  | 
 | 
completion. The Undocumented Student Liaison shall provide  | 
assistance to vocational students, undergraduate students,
 | 
graduate students, and professional-track students. An  | 
employee who is designated as an Undocumented Student Liaison  | 
must be knowledgeable about current legislation and policy  | 
changes through professional development with the Illinois  | 
Dream Fund Commission to provide the wrap-around services to  | 
such students. The Illinois Dream Fund Commission shall  | 
conduct professional development under this Section. The  | 
Illinois Dream Fund Commission's task force on immigration  | 
issues and the Undocumented Student Liaison shall ensure that  | 
undocumented immigrants and students from mixed status  | 
households receive equitable and inclusive access to the  | 
University's retention and matriculation programs. | 
 The Board shall ensure that an Undocumented Student  | 
Liaison is available at each campus of the University. The  | 
Undocumented Student Liaison must be placed in a location that  | 
provides direct access for students in collaboration with the  | 
retention and matriculation programs of the University. The  | 
Undocumented Student Liaison shall report directly to senior  | 
leadership and shall assist leadership with the review of  | 
policies and procedures that directly affect undocumented and  | 
mixed status students. | 
 An Undocumented Student Liaison may work on outreach  | 
efforts to provide access to resources and support within the  | 
grade P-20 education pipeline by supporting summer enrichment  | 
 | 
programs and pipeline options for students in any of grades 9  | 
through 12. | 
 (b) The Board is encouraged to establish an Undocumented  | 
Student Resource Center on each of its campuses. An A  | 
Undocumented Student Resource Center may offer support  | 
services, including, but not limited to, State and private  | 
financial assistance, academic and career counseling, and  | 
retention and matriculation support services, as well as  | 
mental health counseling options because the changing  | 
immigration climate impacts a student's overall well-being and  | 
success. | 
 An Undocumented Student Resource Center may be housed
 | 
within an existing student service center or academic center,  | 
and the new construction of an Undocumented Student Resource  | 
Center is not required under this Section. | 
 The Board may seek and accept any financial support  | 
through institutional advancement, private gifts, or donations  | 
to aid in the creation and operation of and the services  | 
provided by an Undocumented Student Resource Center. 
 | 
(Source: P.A. 102-475, eff. 8-20-21; revised 11-4-21.)
 | 
 (110 ILCS 685/30-250)
 | 
 Sec. 30-250 30-220. Personal support worker's attendance  | 
in class permitted. If a student of the University has a  | 
personal support worker through the Home-Based Support
 | 
Services Program for Adults with Mental Disabilities under the
 | 
 | 
Developmental Disability and Mental Disability Services Act,  | 
the Board must permit the personal support worker to attend  | 
class with the student but is not responsible for providing or  | 
paying for the personal support worker. If the personal  | 
support worker's attendance in class is solely to provide  | 
personal support services to the student, the Board may not  | 
charge the personal support worker tuition and fees for such  | 
attendance.
 | 
(Source: P.A. 102-568, eff. 8-23-21; revised 11-4-21.)
 | 
 Section 375. The Western Illinois University Law is  | 
amended by setting forth, renumbering, and changing multiple
 | 
versions of Section 35-215 as follows:
 | 
 (110 ILCS 690/35-215)
 | 
 Sec. 35-215. Modification of athletic or team uniform  | 
permitted. | 
 (a) The Board must allow a student athlete to modify his or  | 
her athletic or team uniform due to the observance of modesty  | 
in clothing or attire in accordance with the requirements of  | 
his or her religion or his or her cultural values or modesty  | 
preferences. The modification of the athletic or team uniform  | 
may include, but is not limited to, the wearing of a hijab, an  | 
undershirt, or leggings. If a student chooses to modify his or  | 
her athletic or team uniform, the student is responsible for  | 
all costs associated with the modification of the uniform and  | 
 | 
the student shall not be required to receive prior approval  | 
from the Board for such modification. However, nothing in this  | 
Section prohibits the University from providing the  | 
modification to the student. | 
 (b) At a minimum, any modification of the athletic or team  | 
uniform must not interfere with the movement of the student or  | 
pose a safety hazard to the student or to other athletes or  | 
players. The modification of headgear is permitted if the  | 
headgear: | 
  (1) is black, white, the predominant predominate color  | 
 of the uniform, or the same color for all players on the  | 
 team; | 
  (2) does not cover any part of the face; | 
  (3) is not dangerous to the player or to the other  | 
 players; | 
  (4) has no opening or closing elements around the face  | 
 and neck; and | 
  (5) has no parts extruding from its surface. 
 | 
(Source: P.A. 102-51, eff. 7-9-21; revised 11-5-21.)
 | 
 (110 ILCS 690/35-217)
 | 
 Sec. 35-217 35-215. Academic major report. The Board shall  | 
provide to each enrolled student, at the time the student  | 
declares or changes his or her academic major or program of  | 
study, a report that contains relevant, independent, and  | 
accurate data related to the student's major or program of  | 
 | 
study and to the current occupational outlook associated with  | 
that major or program of study. The report shall provide the  | 
student with all of the following information: | 
  (1) The estimated cost of his or her education  | 
 associated with pursuing a degree in that major or program  | 
 of study. | 
  (2) The average monthly student loan payment over a  | 
 period of 20 years based on the estimated cost of his or  | 
 her education under paragraph (1). | 
  (3) The average job placement rate within 12 months  | 
 after graduation for a graduate who holds a degree in that  | 
 major or program of study. | 
  (4) The average entry-level wage or salary for an  | 
 occupation related to that major or program of study. | 
  (5) The average wage or salary 5 years after entry  | 
 into an occupation under paragraph (4).
 | 
(Source: P.A. 102-214, eff. 1-1-22; revised 11-5-21.)
 | 
 (110 ILCS 690/35-225)
 | 
 Sec. 35-225 35-215. Availability of menstrual hygiene  | 
products. | 
 (a) In this Section, "menstrual hygiene products" means  | 
tampons and sanitary napkins for use in connection with the  | 
menstrual cycle. | 
 (b) The Board shall make menstrual hygiene products  | 
available, at no cost to students, in the bathrooms of  | 
 | 
facilities or portions of facilities that (i) are owned or  | 
leased by the Board or over which the Board has care, custody,  | 
and control and (ii) are used for student instruction or  | 
administrative purposes. 
 | 
(Source: P.A. 102-250, eff. 8-5-21; revised 11-5-21.)
 | 
 (110 ILCS 690/35-230)
 | 
 Sec. 35-230 35-215. Adjunct professor; status of class. | 
 (a) At least 30 days before the beginning of a term and  | 
again at 14 days before the beginning of the term, the Board  | 
must notify an adjunct professor about the status of  | 
enrollment of the class the adjunct professor was hired to  | 
teach. | 
 (b) This Section does not apply if the Governor has  | 
declared a disaster due to a public health emergency or a  | 
natural disaster pursuant to Section 7 of the Illinois  | 
Emergency Management Agency Act. | 
 (c) Collective bargaining agreements that are in effect on  | 
January 1, 2022 (the effective date of Public Act 102-260)  | 
this amendatory Act of the 102nd General Assembly are exempt  | 
from the requirements of this Section.
 | 
(Source: P.A. 102-260, eff. 1-1-22; revised 11-5-21.)
 | 
 (110 ILCS 690/35-235)
 | 
 Sec. 35-235 35-215. Family and medical leave coverage. A  | 
University employee who has been employed by the University  | 
 | 
for at least 12 months and who has worked at least 1,000 hours  | 
in the previous 12-month period shall be eligible for family  | 
and medical leave under the same terms and conditions as leave  | 
provided to eligible employees under the federal Family and  | 
Medical Leave Act of 1993.
 | 
(Source: P.A. 102-335, eff. 1-1-22; revised 11-5-21.)
 | 
 (110 ILCS 690/35-240)
 | 
 Sec. 35-240 35-215. Undocumented Student Liaison;  | 
Undocumented Student Resource Center. | 
 (a) Beginning with the 2022-2023 academic year, the Board  | 
shall designate an employee as an Undocumented Student  | 
Resource Liaison to be available on campus to provide  | 
assistance to undocumented students and mixed status students  | 
within the United States in streamlining access to financial  | 
aid and academic support to successfully matriculate to degree  | 
completion. The Undocumented Student Liaison shall provide  | 
assistance to vocational students, undergraduate students,
 | 
graduate students, and professional-track students. An  | 
employee who is designated as an Undocumented Student Liaison  | 
must be knowledgeable about current legislation and policy  | 
changes through professional development with the Illinois  | 
Dream Fund Commission to provide the wrap-around services to  | 
such students. The Illinois Dream Fund Commission shall  | 
conduct professional development under this Section. The  | 
Illinois Dream Fund Commission's task force on immigration  | 
 | 
issues and the Undocumented Student Liaison shall ensure that  | 
undocumented immigrants and students from mixed status  | 
households receive equitable and inclusive access to the  | 
University's retention and matriculation programs. | 
 The Board shall ensure that an Undocumented Student  | 
Liaison is available at each campus of the University. The  | 
Undocumented Student Liaison must be placed in a location that  | 
provides direct access for students in collaboration with the  | 
retention and matriculation programs of the University. The  | 
Undocumented Student Liaison shall report directly to senior  | 
leadership and shall assist leadership with the review of  | 
policies and procedures that directly affect undocumented and  | 
mixed status students. | 
 An Undocumented Student Liaison may work on outreach  | 
efforts to provide access to resources and support within the  | 
grade P-20 education pipeline by supporting summer enrichment  | 
programs and pipeline options for students in any of grades 9  | 
through 12. | 
 (b) The Board is encouraged to establish an Undocumented  | 
Student Resource Center on each of its campuses. An A  | 
Undocumented Student Resource Center may offer support  | 
services, including, but not limited to, State and private  | 
financial assistance, academic and career counseling, and  | 
retention and matriculation support services, as well as  | 
mental health counseling options because the changing  | 
immigration climate impacts a student's overall well-being and  | 
 | 
success. | 
 An Undocumented Student Resource Center may be housed
 | 
within an existing student service center or academic center,  | 
and the new construction of an Undocumented Student Resource  | 
Center is not required under this Section. | 
 The Board may seek and accept any financial support  | 
through institutional advancement, private gifts, or donations  | 
to aid in the creation and operation of and the services  | 
provided by an Undocumented Student Resource Center. 
 | 
(Source: P.A. 102-475, eff. 8-20-21; revised 11-5-21.)
 | 
 (110 ILCS 690/35-245)
 | 
 Sec. 35-245 35-215. Personal support worker's attendance  | 
in class permitted. If a student of the University has a  | 
personal support worker through the Home-Based Support
 | 
Services Program for Adults with Mental Disabilities under the
 | 
Developmental Disability and Mental Disability Services Act,  | 
the Board must permit the personal support worker to attend  | 
class with the student but is not responsible for providing or  | 
paying for the personal support worker. If the personal  | 
support worker's attendance in class is solely to provide  | 
personal support services to the student, the Board may not  | 
charge the personal support worker tuition and fees for such  | 
attendance.
 | 
(Source: P.A. 102-568, eff. 8-23-21; revised 11-5-21.)
 | 
 | 
 Section 380. The Public Community College Act is amended  | 
by setting forth, renumbering, and changing multiple
versions  | 
of Section 3-29.14 as follows:
 | 
 (110 ILCS 805/3-29.14)
 | 
 Sec. 3-29.14. Modification of athletic or team uniform  | 
permitted. | 
 (a) A board must allow a student athlete to modify his or  | 
her athletic or team uniform due to the observance of modesty  | 
in clothing or attire in accordance with the requirements of  | 
his or her religion or his or her cultural values or modesty  | 
preferences. The modification of the athletic or team uniform  | 
may include, but is not limited to, the wearing of a hijab, an  | 
undershirt, or leggings. If a student chooses to modify his or  | 
her athletic or team uniform, the student is responsible for  | 
all costs associated with the modification of the uniform and  | 
the student shall not be required to receive prior approval  | 
from the board for such modification. However, nothing in this  | 
Section prohibits the community college from providing the  | 
modification to the student. | 
 (b) At a minimum, any modification of the athletic or team  | 
uniform must not interfere with the movement of the student or  | 
pose a safety hazard to the student or to other athletes or  | 
players. The modification of headgear is permitted if the  | 
headgear: | 
  (1) is black, white, the predominant predominate color  | 
 | 
 of the uniform, or the same color for all players on the  | 
 team; | 
  (2) does not cover any part of the face; | 
  (3) is not dangerous to the player or to the other  | 
 players; | 
  (4) has no opening or closing elements around the face  | 
 and neck; and | 
  (5) has no parts extruding from its surface.
 | 
(Source: P.A. 102-51, eff. 7-9-21; revised 11-5-21.)
 | 
 (110 ILCS 805/3-29.14a)
 | 
 Sec. 3-29.14a 3-29.14. Availability of menstrual hygiene  | 
products. | 
 (a) In this Section, "menstrual hygiene products" means  | 
tampons and sanitary napkins for use in connection with the  | 
menstrual cycle. | 
 (b) Each board shall make menstrual hygiene products  | 
available, at no cost to students, in the bathrooms of  | 
facilities or portions of facilities that (i) are owned or  | 
leased by the board or over which the board has care, custody,  | 
and control and (ii) are used for student instruction or  | 
administrative purposes. 
 | 
(Source: P.A. 102-250, eff. 8-5-21; revised 11-5-21.)
 | 
 (110 ILCS 805/3-29.16)
 | 
 Sec. 3-29.16 3-29.14. Adjunct professor; status of class. | 
 | 
 (a) At least 30 days before the beginning of a semester or  | 
term and again at 14 days before the beginning of the semester  | 
or term, a community college must notify an adjunct professor  | 
about the status of class enrollment of the class the adjunct  | 
professor was assigned to teach. | 
 (b) This Section does not apply if the Governor has  | 
declared a disaster due to a public health emergency or a  | 
natural disaster pursuant to Section 7 of the Illinois  | 
Emergency Management Agency Act. | 
 (c) Collective bargaining agreements that are in effect on  | 
January 1, 2022 (the effective date of Public Act 102-260)  | 
this amendatory Act of the 102nd General Assembly are exempt  | 
from the requirements of this Section.
 | 
(Source: P.A. 102-260, eff. 1-1-22; revised 11-5-21.)
 | 
 (110 ILCS 805/3-29.17)
 | 
 Sec. 3-29.17 3-29.14. Undocumented Student Liaison;  | 
Undocumented Student Resource Center. | 
 (a) Beginning with the 2022-2023 academic year, a board  | 
shall designate an employee as an Undocumented Student  | 
Resource Liaison to be available on campus to provide  | 
assistance to undocumented students and mixed status students  | 
within the United States in streamlining access to financial  | 
aid and academic support to successfully matriculate to degree  | 
completion. The Undocumented Student Liaison shall provide  | 
assistance to vocational students, undergraduate students,
and  | 
 | 
professional-track students. An employee who is designated as  | 
an Undocumented Student Liaison must be knowledgeable about  | 
current legislation and policy changes through professional  | 
development with the Illinois Dream Fund Commission to provide  | 
the wrap-around services to such students. The Illinois Dream  | 
Fund Commission shall conduct professional development under  | 
this Section. The Illinois Dream Fund Commission's task force  | 
on immigration issues and the Undocumented Student Liaison  | 
shall ensure that undocumented immigrants and students from  | 
mixed status households receive equitable and inclusive access  | 
to the community college district's retention and  | 
matriculation programs. | 
 The board shall ensure that an Undocumented Student  | 
Liaison is available at each campus of the community college  | 
district. The Undocumented Student Liaison must be placed in a  | 
location that provides direct access for students in  | 
collaboration with the retention and matriculation programs of  | 
the community college district. The Undocumented Student  | 
Liaison shall report directly to senior leadership and shall  | 
assist leadership with the review of policies and procedures  | 
that directly affect undocumented and mixed status students. | 
 An Undocumented Student Liaison may work on outreach  | 
efforts to provide access to resources and support within the  | 
grade P-20 education pipeline by supporting summer enrichment  | 
programs and pipeline options for students in any of grades 9  | 
through 12. | 
 | 
 (b) A board is encouraged to establish an Undocumented  | 
Student Resource Center on each campus of the community  | 
college district. An A Undocumented Student Resource Center  | 
may offer support services, including, but not limited to,  | 
State and private financial assistance, academic and career  | 
counseling, and retention and matriculation support services,  | 
as well as mental health counseling options because the  | 
changing immigration climate impacts a student's overall  | 
well-being and success. | 
 An Undocumented Student Resource Center may be housed
 | 
within an existing student service center or academic center,  | 
and the new construction of an Undocumented Student Resource  | 
Center is not required under this Section. | 
 The board may seek and accept any financial support  | 
through institutional advancement, private gifts, or donations  | 
to aid in the creation and operation of and the services  | 
provided by an Undocumented Student Resource Center. 
 | 
(Source: P.A. 102-475, eff. 8-20-21; revised 11-5-21.)
 | 
 (110 ILCS 805/3-29.18)
 | 
 Sec. 3-29.18 3-29.14. Students with disabilities. | 
 (a) Each community college district shall provide access  | 
to higher education for students with disabilities, including,  | 
but not limited to, students with intellectual or  | 
developmental disabilities. Each community college is  | 
encouraged to offer for-credit and non-credit courses as  | 
 | 
deemed appropriate for the individual student based on the  | 
student's abilities, interests, and postsecondary transition  | 
goals, with the appropriate individualized supplementary aids  | 
and accommodations, including general education courses,  | 
career and technical education, vocational training,  | 
continuing education certificates, individualized learning  | 
paths, and life skills courses for students with disabilities. | 
 (b) Each community college is strongly encouraged to have  | 
its disability services coordinator or the coordinator's  | 
representative participate either in person or remotely in  | 
meetings held by high schools within the community college  | 
district to provide information to the student's  | 
individualized education program team, including the student  | 
and the student's parent or guardian, about the community  | 
college and the availability of courses and programs at the  | 
community college. 
 | 
(Source: P.A. 102-516, eff. 8-20-21; revised 11-5-21.)
 | 
 (110 ILCS 805/3-29.19)
 | 
 Sec. 3-29.19 3-29.14. Personal support worker's attendance  | 
in class permitted. If a student of a community college  | 
district has a personal support worker through the Home-Based  | 
Support Services Program for Adults with Mental Disabilities  | 
under the
Developmental Disability and Mental Disability  | 
Services Act, the board must permit the personal support  | 
worker to attend class with the student but is not responsible  | 
 | 
for providing or paying for the personal support worker. If  | 
the personal support worker's attendance in class is solely to  | 
provide personal support services to the student, the board  | 
may not charge the personal support worker tuition and fees  | 
for such attendance.
 | 
(Source: P.A. 102-568, eff. 8-23-21; revised 11-5-21.)
 | 
 Section 385. The Higher Education Student Assistance Act  | 
is amended by changing Section 50 and by setting forth and  | 
renumbering multiple
versions of Section 65.110 as follows:
 | 
 (110 ILCS 947/50)
 | 
 Sec. 50. Minority Teachers of Illinois scholarship  | 
program.
 | 
 (a) As used in this Section:
 | 
  "Eligible applicant" means a minority student who has  | 
 graduated
from high school or has received a high school  | 
 equivalency certificate
and has
maintained a cumulative  | 
 grade point average of
no
less than 2.5 on a 4.0 scale, and  | 
 who by reason thereof is entitled to
apply for  | 
 scholarships to be awarded under this Section.
 | 
  "Minority student" means a student who is any of the  | 
 following: | 
   (1) American Indian or Alaska Native (a person  | 
 having origins in any of the original peoples of North  | 
 and South America, including Central America, and who  | 
 | 
 maintains tribal affiliation or community attachment). | 
   (2) Asian (a person having origins in any of the  | 
 original peoples of the Far East, Southeast Asia, or  | 
 the Indian subcontinent, including, but not limited  | 
 to, Cambodia, China, India, Japan, Korea, Malaysia,  | 
 Pakistan, the Philippine Islands, Thailand, and  | 
 Vietnam). | 
   (3) Black or African American (a person having  | 
 origins in any of the black racial groups of Africa). | 
   (4) Hispanic or Latino (a person of Cuban,  | 
 Mexican, Puerto Rican, South or Central American, or  | 
 other Spanish culture or origin, regardless of race). | 
   (5) Native Hawaiian or Other Pacific Islander (a  | 
 person having origins in any of the original peoples  | 
 of Hawaii, Guam, Samoa, or other Pacific Islands).
 | 
  "Qualified bilingual minority applicant" means a  | 
 qualified student who demonstrates proficiency in a  | 
 language other than English by (i) receiving a State Seal  | 
 of Biliteracy from the State Board of Education or (ii)  | 
 receiving a passing score on an educator licensure target  | 
 language proficiency test.  | 
  "Qualified student" means a person (i) who is a  | 
 resident of this State
and a citizen or permanent resident  | 
 of the United States; (ii) who is a
minority student, as  | 
 defined in this Section; (iii) who, as an eligible
 | 
 applicant, has made a timely application for a minority  | 
 | 
 teaching
scholarship under this Section; (iv) who is  | 
 enrolled on at least a
half-time basis at a
qualified  | 
 Illinois institution of
higher learning; (v) who is  | 
 enrolled in a course of study leading to
teacher  | 
 licensure, including alternative teacher licensure, or, if  | 
 the student is already licensed to teach, in a course of  | 
 study leading to an additional teaching endorsement or a  | 
 master's degree in an academic field in which he or she is  | 
 teaching or plans to teach or who has received one or more  | 
 College and Career Pathway Endorsements pursuant to  | 
 Section 80 of the Postsecondary and Workforce Readiness  | 
 Act and commits to enrolling in a course of study leading  | 
 to teacher licensure, including alternative teacher  | 
 licensure; (vi)
who maintains a grade point average of no
 | 
 less than 2.5 on a 4.0 scale;
and (vii) who continues to  | 
 advance satisfactorily toward the attainment
of a degree.
 | 
 (b) In order to encourage academically talented Illinois  | 
minority
students to pursue teaching careers at the preschool  | 
or elementary or
secondary
school
level and to address and  | 
alleviate the teacher shortage crisis in this State described  | 
under the provisions of the Transitions in Education Act, each  | 
qualified student shall be awarded a minority teacher
 | 
scholarship to any qualified Illinois institution of higher  | 
learning.
However, preference may be given to qualified  | 
applicants enrolled at or above
the
junior level.
 | 
 (c) Each minority teacher scholarship awarded under this  | 
 | 
Section shall
be in an amount sufficient to pay the tuition and  | 
fees and room and board
costs of the qualified Illinois  | 
institution of higher learning at which the
recipient is  | 
enrolled, up to an annual maximum of $5,000;
except that
in
the  | 
case of a recipient who does not reside on-campus at the  | 
institution at
which he or she is enrolled, the amount of the  | 
scholarship shall be
sufficient to pay tuition and fee  | 
expenses and a commuter allowance, up to
an annual maximum of  | 
$5,000.
However, if at least $2,850,000 is appropriated in a  | 
given fiscal year for the Minority Teachers of Illinois  | 
scholarship program, then, in each fiscal year thereafter,  | 
each scholarship awarded under this Section shall
be in an  | 
amount sufficient to pay the tuition and fees and room and  | 
board
costs of the qualified Illinois institution of higher  | 
learning at which the
recipient is enrolled, up to an annual  | 
maximum of $7,500;
except that
in
the case of a recipient who  | 
does not reside on-campus at the institution at
which he or she  | 
is enrolled, the amount of the scholarship shall be
sufficient  | 
to pay tuition and fee expenses and a commuter allowance, up to
 | 
an annual maximum of $7,500. 
 | 
 (d) The total amount of minority teacher scholarship  | 
assistance awarded by
the Commission under this Section to an  | 
individual in any given fiscal
year, when added to other  | 
financial assistance awarded to that individual
for that year,  | 
shall not exceed the cost of attendance at the institution
at  | 
which the student is enrolled. If the amount of minority  | 
 | 
teacher
scholarship to be awarded to a qualified student as  | 
provided in
subsection (c) of this Section exceeds the cost of  | 
attendance at the
institution at which the student is  | 
enrolled, the minority teacher
scholarship shall be reduced by  | 
an amount equal to the amount by which the
combined financial  | 
assistance available to the student exceeds the cost
of  | 
attendance.
 | 
 (e) The maximum number of academic terms for which a  | 
qualified
student
can receive minority teacher scholarship  | 
assistance shall be 8 semesters or
12 quarters.
 | 
 (f) In any academic year for which an eligible applicant  | 
under this
Section accepts financial assistance through the  | 
Paul Douglas Teacher
Scholarship Program, as authorized by  | 
Section 551 et seq. of the Higher
Education Act of 1965, the  | 
applicant shall not be eligible for scholarship
assistance  | 
awarded under this Section.
 | 
 (g) All applications for minority teacher scholarships to  | 
be awarded
under this Section shall be made to the Commission  | 
on forms which the
Commission shall provide for eligible  | 
applicants. The form of applications
and the information  | 
required to be set forth therein shall be determined by
the  | 
Commission, and the Commission shall require eligible  | 
applicants to
submit with their applications such supporting  | 
documents or recommendations
as the Commission deems  | 
necessary.
 | 
 (h) Subject to a separate appropriation for such purposes,  | 
 | 
payment of
any minority teacher scholarship awarded under this  | 
Section shall be
determined by the Commission. All scholarship  | 
funds distributed in
accordance with this subsection shall be  | 
paid to the institution and used
only for payment of the  | 
tuition and fee and room and board expenses
incurred by the  | 
student in connection with his or her attendance at a  | 
qualified Illinois institution of higher
learning. Any  | 
minority teacher scholarship awarded under this Section
shall  | 
be applicable to 2 semesters or 3 quarters of enrollment. If a
 | 
qualified student withdraws from enrollment prior to  | 
completion of the
first semester or quarter for which the  | 
minority teacher scholarship is
applicable, the school shall  | 
refund to the Commission the full amount of the
minority  | 
teacher scholarship.
 | 
 (i) The Commission shall administer the minority teacher  | 
scholarship aid
program established by this Section and shall  | 
make all necessary and proper
rules not inconsistent with this  | 
Section for its effective implementation.
 | 
 (j) When an appropriation to the Commission for a given  | 
fiscal year is
insufficient to provide scholarships to all  | 
qualified students, the
Commission shall allocate the  | 
appropriation in accordance with this
subsection. If funds are  | 
insufficient to provide all qualified students
with a  | 
scholarship as authorized by this Section, the Commission  | 
shall
allocate the available scholarship funds for that fiscal  | 
year to qualified students who submit a complete application  | 
 | 
form on or before a date specified by the Commission based on  | 
the following order of priority: | 
  (1) To students who received a scholarship under this  | 
 Section in the prior academic year and who remain eligible  | 
 for a minority teacher scholarship under this Section. | 
  (2) Except as otherwise provided in subsection (k), to  | 
 students who demonstrate financial need, as determined by  | 
 the Commission.
 | 
 (k) Notwithstanding paragraph (2) of subsection (j), at  | 
least 35% of the funds appropriated for
scholarships awarded  | 
under this Section in each fiscal year shall be reserved
for  | 
qualified male minority applicants, with priority being given  | 
to qualified Black male applicants beginning with fiscal year  | 
2023.
If the Commission does not receive enough applications  | 
from qualified male
minorities on or before
January 1 of each  | 
fiscal year to award 35% of the funds appropriated for these
 | 
scholarships to qualified
male minority applicants, then the  | 
Commission may award a portion of the
reserved funds to  | 
qualified
female minority applicants in accordance with  | 
subsection (j).
 | 
 Beginning with fiscal year 2023, if at least $2,850,000  | 
but less than $4,200,000 is appropriated in a given fiscal  | 
year for scholarships awarded under this Section, then at  | 
least 10% of the funds appropriated shall be reserved for  | 
qualified bilingual minority applicants, with priority being  | 
given to qualified bilingual minority applicants who are  | 
 | 
enrolled in an educator preparation program with a  | 
concentration in bilingual, bicultural education. Beginning  | 
with fiscal year 2023, if at least $4,200,000 is appropriated  | 
in a given fiscal year for the Minority Teachers of Illinois  | 
scholarship program, then at least 30% of the funds  | 
appropriated shall be reserved for qualified bilingual  | 
minority applicants, with priority being given to qualified  | 
bilingual minority applicants who are enrolled in an educator  | 
preparation program with a concentration in bilingual,  | 
bicultural education. Beginning with fiscal year 2023, if at  | 
least $2,850,000 is appropriated in a given fiscal year for  | 
scholarships awarded under this Section but the Commission  | 
does not receive enough applications from qualified bilingual  | 
minority applicants on or before January 1 of that fiscal year  | 
to award at least 10% of the funds appropriated to qualified  | 
bilingual minority applicants, then the Commission may, in its  | 
discretion, award a portion of the reserved funds to other  | 
qualified students in accordance with subsection (j). 
 | 
 (l) Prior to receiving scholarship assistance for any  | 
academic year,
each recipient of a minority teacher  | 
scholarship awarded under this Section
shall be required by  | 
the Commission to sign an agreement under which the
recipient  | 
pledges that, within the one-year period following the
 | 
termination
of the program for which the recipient was awarded  | 
a minority
teacher scholarship, the recipient (i) shall begin  | 
teaching for a
period of not less
than one year for each year  | 
 | 
of scholarship assistance he or she was awarded
under this  | 
Section; (ii) shall fulfill this teaching obligation at a
 | 
nonprofit Illinois public, private, or parochial preschool,  | 
elementary school,
or secondary school at which no less than  | 
30% of the enrolled students are
minority students in the year  | 
during which the recipient begins teaching at the
school or  | 
may instead, if the recipient received a scholarship as a  | 
qualified bilingual minority applicant, fulfill this teaching  | 
obligation in a program in transitional bilingual education  | 
pursuant to Article 14C of the School Code or in a school in  | 
which 20 or more English learner students in the same language  | 
classification are enrolled; and (iii) shall, upon request by  | 
the Commission, provide the Commission
with evidence that he  | 
or she is fulfilling or has fulfilled the terms of the
teaching  | 
agreement provided for in this subsection.
 | 
 (m) If a recipient of a minority teacher scholarship  | 
awarded under this
Section fails to fulfill the teaching  | 
obligation set forth in subsection
(l) of this Section, the  | 
Commission shall require the recipient to repay
the amount of  | 
the scholarships received, prorated according to the fraction
 | 
of the teaching obligation not completed, at a rate of  | 
interest equal to
5%, and, if applicable, reasonable  | 
collection fees.
The Commission is authorized to establish  | 
rules relating to its collection
activities for repayment of  | 
scholarships under this Section. All repayments
collected  | 
under this Section shall be forwarded to the State Comptroller  | 
 | 
for
deposit into the State's General Revenue Fund.
 | 
 (n) A recipient of minority teacher scholarship shall not  | 
be considered
in violation of the agreement entered into  | 
pursuant to subsection (l) if
the recipient (i) enrolls on a  | 
full time basis as a graduate student in a
course of study  | 
related to the field of teaching at a qualified Illinois
 | 
institution of higher learning; (ii) is serving, not in excess  | 
of 3 years,
as a member of the armed services of the United  | 
States; (iii) is
a person with a temporary total disability  | 
for a period of time not to exceed 3 years as
established by  | 
sworn affidavit of a qualified physician; (iv) is seeking
and  | 
unable to find full time employment as a teacher at an Illinois  | 
public,
private, or parochial preschool or elementary or  | 
secondary school that
satisfies the
criteria set forth in  | 
subsection (l) of this Section and is able to provide
evidence  | 
of that fact; (v) becomes a person with a permanent total  | 
disability as
established by sworn affidavit of a qualified  | 
physician; (vi) is taking additional courses, on at least a  | 
half-time basis, needed to obtain licensure as a teacher in  | 
Illinois; or (vii) is fulfilling teaching requirements  | 
associated with other programs administered by the Commission  | 
and cannot concurrently fulfill them under this Section in a  | 
period of time equal to the length of the teaching obligation.
 | 
 (o) Scholarship recipients under this Section who withdraw  | 
from
a program of teacher education but remain enrolled in  | 
school
to continue their postsecondary studies in another  | 
 | 
academic discipline shall
not be required to commence  | 
repayment of their Minority Teachers of Illinois
scholarship  | 
so long as they remain enrolled in school on a full-time basis  | 
or
if they can document for the Commission special  | 
circumstances that warrant
extension of repayment.
 | 
 (p) If the Minority Teachers of Illinois scholarship  | 
program does not expend at least 90% of the amount  | 
appropriated for the program in a given fiscal year for 3  | 
consecutive fiscal years and the Commission does not receive  | 
enough applications from the groups identified in subsection  | 
(k) on or before January 1 in each of those fiscal years to  | 
meet the percentage reserved for those groups under subsection  | 
(k), then up to 3% of amount appropriated for the program for  | 
each of next 3 fiscal years shall be allocated to increasing  | 
awareness of the program and for the recruitment of Black male  | 
applicants. The Commission shall make a recommendation to the  | 
General Assembly by January 1 of the year immediately  | 
following the end of that third fiscal year regarding whether  | 
the amount allocated to increasing awareness and recruitment  | 
should continue. | 
 (q) Each qualified Illinois institution of higher learning  | 
that receives funds from the Minority Teachers of Illinois  | 
scholarship program shall host an annual information session  | 
at the institution about the program for teacher candidates of  | 
color in accordance with rules adopted by the Commission.  | 
Additionally, the institution shall ensure that each  | 
 | 
scholarship recipient enrolled at the institution meets with  | 
an academic advisor at least once per academic year to  | 
facilitate on-time completion of the recipient's educator  | 
preparation program.  | 
 (r) The changes made to this Section by Public Act 101-654  | 
this amendatory Act of the 101st General Assembly will first  | 
take effect with awards made for the 2022-2023 academic year.  | 
(Source: P.A. 101-654, eff. 3-8-21; 102-465, eff. 1-1-22;  | 
revised 9-28-21.)
 | 
 (110 ILCS 947/65.110) | 
 Sec. 65.110. Post-Master of Social Work School Social Work  | 
Professional Educator License scholarship. | 
 (a) Subject to appropriation, beginning with awards for  | 
the 2022-2023 academic year, the Commission shall award  | 
annually up to 250 Post-Master of Social Work School Social  | 
Work Professional Educator License scholarships to a person  | 
who: | 
  (1) holds a valid Illinois-licensed clinical social  | 
 work license or social work license; | 
  (2) has obtained a master's degree in social work from  | 
 an approved program; | 
  (3) is a United States citizen or eligible noncitizen;  | 
 and | 
  (4) submits an application to the Commission for such  | 
 scholarship and agrees to take courses to obtain an  | 
 | 
 Illinois Professional Educator License with an endorsement  | 
 in School Social Work. | 
 (b) If an appropriation for this Section for a given  | 
fiscal year is insufficient to provide scholarships to all  | 
qualified applicants, the Commission shall allocate the  | 
appropriation in accordance with this subsection (b). If funds  | 
are insufficient to provide all qualified applicants with a  | 
scholarship as authorized by this Section, the Commission  | 
shall allocate the available scholarship funds for that fiscal  | 
year to qualified applicants who submit a complete application  | 
on or before a date specified by the Commission, based on the  | 
following order of priority: | 
  (1) firstly, to students who received a scholarship  | 
 under this Section in the prior academic year and who  | 
 remain eligible for a scholarship under this Section; | 
  (2) secondly, to new, qualified applicants who are  | 
 members of a racial minority, as defined in subsection  | 
 (c); and | 
  (3) finally, to other new, qualified applicants in  | 
 accordance with this Section.  | 
 (c) Scholarships awarded under this Section shall be  | 
issued pursuant to rules adopted by the Commission. In  | 
awarding scholarships, the Commission shall give priority to  | 
those applicants who are members of a racial minority. Racial  | 
minorities are underrepresented as school social workers in  | 
elementary and secondary schools in this State, and the  | 
 | 
General Assembly finds that it is in the interest of this State  | 
to provide them with priority consideration for programs that  | 
encourage their participation in this field and thereby foster  | 
a profession that is more reflective of the diversity of  | 
Illinois students and the parents they will serve. A more  | 
reflective workforce in school social work allows improved  | 
outcomes for students and a better utilization of services.  | 
Therefore, the Commission shall give priority to those  | 
applicants who are members of a racial minority. In this  | 
subsection (c), "racial minority" means a person who is a  | 
citizen of the United States or a lawful permanent resident  | 
alien of the United States and who is: | 
  (1) Black (a person having origins in any of the black  | 
 racial groups in Africa); | 
  (2) Hispanic (a person of Spanish or Portuguese  | 
 culture with origins in Mexico, South or Central America,  | 
 or the Caribbean Islands, regardless of race); | 
  (3) Asian American (a person having origins in any of  | 
 the original peoples of the Far East, Southeast Asia, the  | 
 Indian Subcontinent, or the Pacific Islands); or | 
  (4) American Indian or Alaskan Native (a person having  | 
 origins in any of the original peoples of North America).  | 
 (d) Each scholarship shall be applied to the payment of  | 
tuition and mandatory fees at the University of Illinois,  | 
Southern Illinois University, Chicago State University,  | 
Eastern Illinois University, Governors State University,  | 
 | 
Illinois State University, Northeastern Illinois University,  | 
Northern Illinois University, and Western Illinois University.  | 
Each scholarship may be applied to pay tuition and mandatory  | 
fees required to obtain an Illinois Professional Educator  | 
License with an endorsement in School Social Work. | 
 (e) The Commission shall make tuition and fee payments  | 
directly to the qualified institution of higher learning that  | 
the applicant attends. | 
 (f) Any person who has accepted a scholarship under this  | 
Section must, within one year after graduation or termination  | 
of enrollment in a Post-Master of Social Work Professional  | 
Education License with an endorsement in School Social Work  | 
program, begin working as a school social worker at a public or  | 
nonpublic not-for-profit preschool, elementary school, or  | 
secondary school located in this State for at least 2 of the 5  | 
years immediately following that graduation or termination,  | 
excluding, however, from the computation of that 5-year  | 
period: (i) any time up to 3 years spent in the military  | 
service, whether such service occurs before or after the  | 
person graduates; (ii) the time that person is a person with a  | 
temporary total disability for a period of time not to exceed 3  | 
years, as established by the sworn affidavit of a qualified  | 
physician; and (iii) the time that person is seeking and  | 
unable to find full-time employment as a school social worker  | 
at a State public or nonpublic not-for-profit preschool,  | 
elementary school, or secondary school. | 
 | 
 (g) If a recipient of a scholarship under this Section  | 
fails to fulfill the work obligation set forth in subsection  | 
(f), the Commission shall require the recipient to repay the  | 
amount of the scholarships received, prorated according to the  | 
fraction of the obligation not completed, at a rate of  | 
interest equal to 5%, and, if applicable, reasonable  | 
collection fees. The Commission is authorized to establish  | 
rules relating to its collection activities for repayment of  | 
scholarships under this Section. All repayments collected  | 
under this Section shall be forwarded to the State Comptroller  | 
for deposit into this State's General Revenue Fund. | 
 A recipient of a scholarship under this Section is not  | 
considered to be in violation of the failure to fulfill the  | 
work obligation under subsection (f) if the recipient (i)  | 
enrolls on a full-time basis as a graduate student in a course  | 
of study related to the field of social work at a qualified  | 
Illinois institution of higher learning; (ii) is serving, not  | 
in excess of 3 years, as a member of the armed services of the  | 
United States; (iii) is a person with a temporary total  | 
disability for a period of time not to exceed 3 years, as  | 
established by the sworn affidavit of a qualified physician;  | 
(iv) is seeking and unable to find full-time employment as a  | 
school social worker at an Illinois public or nonpublic  | 
not-for-profit preschool, elementary school, or secondary  | 
school that satisfies the criteria set forth in subsection (f)  | 
and is able to provide evidence of that fact; or (v) becomes a  | 
 | 
person with a permanent total disability, as established by  | 
the sworn affidavit of a qualified physician.
 | 
(Source: P.A. 102-621, eff. 1-1-22.)
 | 
 (110 ILCS 947/65.115)
 | 
 (This Section may contain text from a Public Act with a  | 
delayed effective date) | 
 Sec. 65.115 65.110. School Social Work Shortage Loan  | 
Repayment Program. | 
 (a) To encourage Illinois students to work, and to  | 
continue to work, as a school social worker in public school  | 
districts in this State, the Commission shall, each year,  | 
receive and consider applications for loan repayment  | 
assistance under this Section. This program shall be known as  | 
the School Social Work Shortage Loan Repayment Program. The  | 
Commission shall administer the program and shall adopt all  | 
necessary and proper rules to effectively implement the  | 
program. | 
 (b) Beginning July 1, 2022, subject to a separate  | 
appropriation made for such purposes, the Commission shall  | 
award a grant, up to a maximum of $6,500, to each qualified  | 
applicant. The Commission may encourage the recipient of a  | 
grant under this Section to use the grant award for repayment  | 
of the recipient's educational loan. If an appropriation for  | 
this program for a given fiscal year is insufficient to  | 
provide grants to all qualified applicants, the Commission  | 
 | 
shall allocate the appropriation in accordance with this  | 
subsection. If funds are insufficient to provide all qualified  | 
applicants with a grant as authorized by this Section, the  | 
Commission shall allocate the available grant funds for that  | 
fiscal year to qualified applicants who submit a complete  | 
application on or before a date specified by the Commission,  | 
based on the following order of priority: | 
  (1) first, to new, qualified applicants who are  | 
 members of a racial minority as defined in subsection (e);  | 
 and | 
  (2) second, to other new, qualified applicants in  | 
 accordance with this Section.  | 
 (c) A person is a qualified applicant under this Section  | 
if he or she meets all of the following qualifications: | 
  (1) The person is a United States citizen or eligible  | 
 noncitizen. | 
  (2) The person is a resident of this State. | 
  (3) The person is a borrower with an outstanding  | 
 balance due on an educational loan related to obtaining a  | 
 degree in social work. | 
  (4) The person has been employed as a school social  | 
 worker by a public elementary school or secondary school  | 
 in this State for at least 12 consecutive months. | 
  (5) The person is currently employed as a school  | 
 social worker by a public elementary school or secondary  | 
 school in this State. | 
 | 
 (d) An applicant shall submit an application, in a form  | 
determined by the Commission, for grant assistance under this  | 
Section to the Commission. An applicant is required to submit,  | 
with the application, supporting documentation as the  | 
Commission may deem necessary. | 
 (e) Racial minorities are underrepresented as school  | 
social workers in elementary and secondary schools in  | 
Illinois, and the General Assembly finds that it is in the  | 
interest of this State to provide them priority consideration  | 
for programs that encourage their participation in this field  | 
and thereby foster a profession that is more reflective of the  | 
diversity of Illinois students and parents they will serve. A  | 
more reflective workforce in school social work allows  | 
improved outcomes for students and a better utilization of  | 
services. Therefore, the Commission shall give priority to  | 
those applicants who are members of a racial minority. In this  | 
subsection (e), "racial minority" means a person who is a  | 
citizen of the United States or a lawful permanent resident  | 
alien of the United States and who is:  | 
  (1) Black (a person having origins in any of the black
 | 
 racial groups in Africa);  | 
  (2) Hispanic (a person of Spanish or Portuguese
 | 
 culture with origins in Mexico, South or Central America,
 | 
 or the Caribbean Islands, regardless of race); | 
  (3) Asian American (a person having origins in any of
 | 
 the original peoples of the Far East, Southeast Asia, the
 | 
 | 
 Indian Subcontinent, or the Pacific Islands); or | 
  (4) American Indian or Alaskan Native (a person having
 | 
 origins in any of the original peoples of North America). 
 | 
(Source: P.A. 102-622, eff. 7-1-22; revised 11-10-21.)
 | 
 Section 390. The Know Before You Owe Private Education  | 
Loan Act is amended by changing Section 15 as follows:
 | 
 (110 ILCS 983/15)
 | 
 Sec. 15. Provision of information.  | 
 (a) Provision of loan statement to borrowers. | 
  (1) Loan statement. A private educational lender that  | 
 disburses any funds with respect to a private education  | 
 loan described in this Section shall send loan statements,  | 
 to the borrowers of those funds not less than once every 3  | 
 months during the time that the borrower is enrolled at an  | 
 institution of higher education. | 
  (2) Contents of statements for income share  | 
 agreements. Each statement described in
subparagraph (1)  | 
 with respect to income share agreements, shall: | 
   (A) report the consumer's total amounts financed  | 
 under each income share
agreement; | 
   (B) report the percentage of income payable under  | 
 each income share agreement; | 
   (C) report the maximum number of monthly payments  | 
 required to be paid under
each income share agreement; | 
 | 
   (D) report the maximum amount payable under each  | 
 income share agreement; | 
   (E) report the maximum duration of each income  | 
 share agreement; | 
   (F) report the minimum annual income above which  | 
 payments are required under
each income share  | 
 agreement; and | 
   (G) report the annual percentage rate for each  | 
 income share agreement at the
minimum annual income  | 
 above which payments are required and at $10,000  | 
 income
increments thereafter up to the annual income  | 
 where the maximum number of monthly
payments results  | 
 in the maximum amount payable. | 
  (3) Contents of all other loan statements. Each  | 
 statement described in subparagraph (1) that does not fall  | 
 under subparagraph (2) shall: | 
   (A) report the borrower's total remaining debt to  | 
 the private educational lender, including accrued but  | 
 unpaid interest and capitalized interest; | 
   (B) report any debt increases since the last  | 
 statement; and | 
   (C) list the current annual percentage rate for  | 
 each loan. | 
 (b) Certification of exhaustion of federal student loan  | 
funds to private educational lender. Upon the request of a  | 
private educational lender, acting in connection with an  | 
 | 
application initiated by a borrower for a private education  | 
loan in accordance with Section 5, the institution of higher  | 
education shall within 15 days of receipt of the request  | 
provide certification to such private educational lender: | 
  (1) that the borrower who initiated the application  | 
 for the private education loan, or on whose behalf the  | 
 application was initiated, is enrolled or is scheduled to  | 
 enroll at the institution of higher education; | 
  (2) of the borrower's cost of attendance at the  | 
 institution of higher education as determined under  | 
 paragraph (2) of subsection (a) of this Section; | 
  (3) of the difference between: | 
   (A) the cost of attendance at the institution of  | 
 higher education; and | 
   (B) the borrower's estimated financial assistance  | 
 received under the federal Higher Education Act of  | 
 1965 and other assistance known to the institution of  | 
 higher education, as applicable; | 
  (4) that the institution of higher education has  | 
 received the request for certification and will need  | 
 additional time to comply with the certification request;  | 
 and | 
  (5) if applicable, that the institution of higher  | 
 education is refusing to certify the private education  | 
 loan. | 
 (c) Certification of exhaustion of federal student loan  | 
 | 
funds to borrower. With respect to a certification request  | 
described under subsection (b), and prior to providing such  | 
certification in paragraph (1) of subsection (b) or providing  | 
notice of the refusal to provide certification under paragraph  | 
(5) of subsection (b), the institution of higher education  | 
shall: | 
  (1) determine whether the borrower who initiated the  | 
 application for the private education loan, or on whose  | 
 behalf the application was initiated, has applied for and  | 
 exhausted the federal financial assistance available to  | 
 such borrower under the federal Higher Education Act of  | 
 1965 and inform the borrower accordingly; | 
  (2) provide the borrower whose loan application has  | 
 prompted the certification request by a private  | 
 educational lender, as described in paragraph (1) of  | 
 subsection (b), with the following information and  | 
 disclosures: | 
   (A) the amount of additional federal student  | 
 assistance for which the borrower is eligible and the  | 
 advantages of federal loans under the federal Higher  | 
 Education Act of 1965, including disclosure of income  | 
 driven repayment options, fixed interest rates,  | 
 deferments, flexible repayment options, loan  | 
 forgiveness programs, additional protections, and the  | 
 higher student loan limits for dependent borrowers  | 
 whose parents are not eligible for a Federal Direct  | 
 | 
 PLUS Loan; | 
   (B) the borrower's ability to select a private  | 
 educational lender of the borrower's choice; | 
   (C) the impact of a proposed private education  | 
 loan on the borrower's potential eligibility for other  | 
 financial assistance, including federal financial  | 
 assistance under the federal Higher Education Act; and | 
   (D) the borrower's right to accept or reject a  | 
 private education loan within the 30-day period  | 
 following a private educational lender's approval of a  | 
 borrower's application and the borrower's 3-day right  | 
 to cancel period; and | 
  (3) Any institution of higher education that is also  | 
 acting as a private educational lender shall provide the  | 
 certification of exhaustion of federal student loan funds  | 
 described in paragraphs (1) and (2) of this subsection (c)  | 
 to the borrower prior to disbursing funds to the borrower.  | 
 Any institution of higher education that is not eligible  | 
 for funding under Title IV of the federal Higher
Education  | 
 Act of 1965 is not required to provide this certification  | 
 to the borrower.
 | 
(Source: P.A. 102-583, eff. 8-26-21; revised 11-29-21.)
 | 
 Section 395. The Illinois Educational Labor Relations Act  | 
is amended by changing Section 14 as follows:
 | 
 | 
 (115 ILCS 5/14) (from Ch. 48, par. 1714)
 | 
 Sec. 14. Unfair labor practices. 
 | 
 (a) Educational employers, their agents
or representatives  | 
are prohibited from:
 | 
  (1) Interfering, restraining or coercing employees in  | 
 the exercise of
the rights guaranteed under this Act.
 | 
  (2) Dominating or interfering with the formation,  | 
 existence or
administration of any employee organization.
 | 
  (3) Discriminating in regard to hire or tenure of  | 
 employment or any term
or condition of employment to  | 
 encourage or discourage membership in any
employee  | 
 organization.
 | 
  (4) Discharging or otherwise discriminating against an  | 
 employee because
he or she has signed or filed an  | 
 affidavit, authorization card, petition or
complaint or  | 
 given any information or testimony under this Act.
 | 
  (5) Refusing to bargain collectively in good faith  | 
 with an employee
representative which is the exclusive  | 
 representative of employees in an
appropriate unit,  | 
 including, but not limited to, the discussing of  | 
 grievances
with the exclusive representative; provided,  | 
 however, that if an alleged
unfair labor practice involves  | 
 interpretation or application of the terms
of a collective  | 
 bargaining agreement and said agreement contains a
 | 
 grievance and arbitration procedure, the Board may defer  | 
 the resolution of
such dispute to the grievance and  | 
 | 
 arbitration procedure contained in said
agreement.
 | 
  (6) Refusing to reduce a collective bargaining  | 
 agreement to writing and
signing such agreement.
 | 
  (7) Violating any of the rules and regulations  | 
 promulgated by the Board
regulating the conduct of  | 
 representation elections.
 | 
  (8) Refusing to comply with the provisions of a  | 
 binding arbitration award.
 | 
  (9) Expending or causing the expenditure of public  | 
 funds to any
external agent, individual, firm, agency,  | 
 partnership or association in any
attempt to influence the  | 
 outcome of representational elections held
pursuant to  | 
 paragraph (c) of Section 7 of this Act; provided, that  | 
 nothing
in this subsection shall be construed to limit an  | 
 employer's right to be
represented on any matter  | 
 pertaining to unit determinations, unfair labor
practice  | 
 charges or pre-election conferences in any formal or  | 
 informal
proceeding before the Board, or to seek or obtain  | 
 advice from legal counsel.
Nothing in this paragraph shall  | 
 be construed to prohibit an employer from
expending or  | 
 causing the expenditure of public funds on, or seeking or
 | 
 obtaining services or advice from, any organization, group  | 
 or association
established by, and including educational  | 
 or public employers, whether or
not covered by this Act,  | 
 the Illinois Public Labor Relations Act or the
public  | 
 employment labor relations law of any other state or the  | 
 | 
 federal
government, provided that such services or advice  | 
 are generally available
to the membership of the  | 
 organization, group, or association, and are not
offered  | 
 solely in an attempt to influence the outcome of a  | 
 particular
representational election.
 | 
  (10) Interfering with, restraining, coercing,  | 
 deterring or discouraging educational employees or  | 
 applicants to be educational employees from: (1) becoming  | 
 members of an employee organization; (2) authorizing  | 
 representation by an employee organization; or (3)  | 
 authorizing dues or fee deductions to an employee  | 
 organization, nor shall the employer intentionally permit  | 
 outside third parties to use its email or other  | 
 communications systems to engage in that conduct. An  | 
 employer's good faith implementation of a policy to block  | 
 the use of its email or other communication systems for  | 
 such purposes shall be a defense to an unfair labor  | 
 practice.  | 
  (11) Disclosing to any person or entity information  | 
 set forth in subsection (d) of Section 3 of this Act that  | 
 the employer knows or should know will be used to  | 
 interfere with, restrain, coerce, deter, or discourage any  | 
 public employee from: (i) becoming or remaining members of  | 
 a labor organization, (ii) authorizing representation by a  | 
 labor organization, or (iii) authorizing dues or fee  | 
 deductions to a labor organization.  | 
 | 
  (12) Promising, threatening, or taking any action (i)  | 
 to permanently replace an employee who participates in a  | 
 lawful strike under Section 13 of this Act, (ii) to  | 
 discriminate against an employee who is working or has  | 
 unconditionally offered to return to work for the employer  | 
 because the employee supported or participated in such as  | 
 a lawful strike, or
(iii) to lock out lockout, suspend, or  | 
 otherwise withhold from employment employees in order to  | 
 influence the position of such employees or the  | 
 representative of such employees in collective bargaining  | 
 prior to a lawful strike.  | 
 (b) Employee organizations, their agents or  | 
representatives or educational
employees are prohibited from:
 | 
  (1) Restraining or coercing employees in the exercise  | 
 of the rights
guaranteed under this Act, provided that a  | 
 labor organization or its
agents shall commit an unfair  | 
 labor practice under this paragraph in duty
of fair  | 
 representation cases only by intentional misconduct in  | 
 representing
employees under this Act.
 | 
  (2) Restraining or coercing an educational employer in  | 
 the selection of
his representative for the purposes of  | 
 collective bargaining or the adjustment
of grievances.
 | 
  (3) Refusing to bargain collectively in good faith  | 
 with an educational
employer, if they have been designated  | 
 in accordance with the provisions
of this Act as the  | 
 exclusive representative of employees in an appropriate
 | 
 | 
 unit.
 | 
  (4) Violating any of the rules and regulations  | 
 promulgated by the Board
regulating the conduct of  | 
 representation elections.
 | 
  (5) Refusing to reduce a collective bargaining  | 
 agreement to writing and
signing such agreement.
 | 
  (6) Refusing to comply with the provisions of a  | 
 binding arbitration award.
 | 
 (c) The expressing of any views, argument, opinion or the
 | 
dissemination thereof, whether in written, printed, graphic or  | 
visual form,
shall not constitute or be evidence of an unfair  | 
labor practice under any
of the provisions of this Act, if such  | 
expression contains no threat of
reprisal or force or promise  | 
of benefit.
 | 
 (c-5) The employer shall not discourage public employees  | 
or applicants to be public employees from becoming or  | 
remaining union members or authorizing dues deductions, and  | 
shall not otherwise interfere with the relationship between  | 
employees and their exclusive bargaining representative. The  | 
employer shall refer all inquiries about union membership to  | 
the exclusive bargaining representative, except that the  | 
employer may communicate with employees regarding payroll  | 
processes and procedures. The employer will establish email  | 
policies in an effort to prohibit the use of its email system  | 
by outside sources. | 
 (d) The actions of a Financial Oversight Panel created  | 
 | 
pursuant to Section
1A-8
of the School Code due to a district  | 
violating a financial plan shall not
constitute or be evidence  | 
of an unfair labor practice under any of the
provisions of this  | 
Act. Such actions include, but are not limited to,
reviewing,  | 
approving, or rejecting a school district budget or a  | 
collective
bargaining agreement.
 | 
(Source: P.A. 101-620, eff. 12-20-19; 102-588, eff. 8-20-21;  | 
102-596, eff. 8-27-21; revised 11-29-21.)
 | 
 Section 400. The Illinois Credit Union Act is amended by  | 
changing Section 19 as follows:
 | 
 (205 ILCS 305/19) (from Ch. 17, par. 4420)
 | 
 Sec. 19. Meeting of members. 
 | 
 (1)(a) The annual meeting shall be held each
year during  | 
the months of January, February or March or such other month
as  | 
may be approved by the Department. The meeting shall be held at  | 
the
time, place and in the manner set forth in the bylaws. Any  | 
special
meetings of the members of the credit union shall be  | 
held at the time, place
and in the manner set forth in the  | 
bylaws. Unless otherwise set forth in
this Act, quorum  | 
requirements for meetings of members shall be established
by a  | 
credit union in its bylaws. Notice of all meetings must be  | 
given by
the secretary of the credit union at least 7 days  | 
before the date of such
meeting, either by handing a written or  | 
printed notice to each
member of the credit union, by mailing  | 
 | 
the notice to the member at his address
as listed on the books  | 
and records of the credit union, by posting a
notice of the  | 
meeting in three conspicuous places, including the office
of  | 
the credit union, by posting the notice of the meeting on the  | 
credit union's website, or by disclosing the notice of the  | 
meeting in membership newsletters or account statements.
 | 
 (b) Unless expressly prohibited by the articles of  | 
incorporation or bylaws and subject to applicable requirements  | 
of this Act, the board of directors may provide by resolution  | 
that members may attend, participate in, act in, and vote at  | 
any annual meeting or special meeting through the use of a  | 
conference telephone or interactive technology, including, but  | 
not limited to, electronic transmission, internet usage, or  | 
remote communication, by means of which all persons  | 
participating in the meeting can communicate with each other.  | 
Participation through the use of a conference telephone or  | 
interactive technology shall constitute attendance, presence,  | 
and representation in person at the annual meeting or special  | 
meeting of the person or persons so participating and count  | 
towards the quorum required to conduct business at the  | 
meeting. The following conditions shall apply to any virtual  | 
meeting of the members: | 
  (i) the credit union must internally possess or retain  | 
 the technological capacity to facilitate virtual meeting  | 
 attendance, participation, communication, and voting; and | 
  (ii) the members must receive notice of the use of a  | 
 | 
 virtual meeting format and appropriate instructions for  | 
 joining, participating, and voting during the virtual  | 
 meeting at least 7 days before the virtual meeting.  | 
 (2) On all questions and at all elections, except election  | 
of directors,
each member has one vote regardless of the  | 
number of his shares. There
shall be no voting by proxy except  | 
on the election of directors, proposals
for merger or  | 
voluntary dissolution. Members may vote on questions,  | 
including, without limitation, the approval of mergers and  | 
voluntary dissolutions under this Act, and in elections by  | 
secure electronic record if approved by the board of  | 
directors. All voting on the election of directors
shall be by  | 
ballot, but when there is no contest, written or electronic  | 
ballots need not
be cast. The record date to be used for the  | 
purpose of determining which
members are entitled to notice of  | 
or to vote at any meeting of members,
may be fixed in advance  | 
by the directors on a date not more than 90 days
nor less than  | 
10 days prior to the date of the meeting. If no record date
is  | 
fixed by the directors, the first day on which notice of the  | 
meeting
is given, mailed or posted is the record date.
 | 
 (3) Regardless of the number of shares owned by a society,  | 
association,
club, partnership, other credit union or  | 
corporation, having membership
in the credit union, it shall  | 
be entitled to only
one vote and it may be represented and have  | 
its vote cast by its
designated agent acting on its
behalf  | 
pursuant
to a resolution
adopted by the organization's board  | 
 | 
of directors or similar governing
authority;
provided that the  | 
credit union shall obtain a certified copy of such resolution
 | 
before such vote may be cast. | 
 (4) A member may revoke a proxy by delivery to the credit  | 
union of a written statement to that effect, by execution of a  | 
subsequently dated proxy, by execution of a secure electronic  | 
record, or by attendance at a meeting and voting in person. 
 | 
 (5) As used in this Section, "electronic" and "electronic  | 
record" have the meanings ascribed to those terms in the  | 
Uniform Electronic Transactions Act. As used in this Section,  | 
"secured electronic record" means an electronic record that  | 
meets the criteria set forth in the Uniform Electronic  | 
Transactions Act.  | 
(Source: P.A. 102-38, eff. 6-25-21; 102-496, eff. 8-20-21;  | 
revised 10-15-21.)
 | 
 Section 405. The Ambulatory Surgical Treatment Center Act  | 
is amended by changing Section 6.9 as follows:
 | 
 (210 ILCS 5/6.9) | 
 Sec. 6.9. Surgical smoke plume evacuation. | 
 (a) In this Section: | 
 "Surgical smoke plume" means the by-product of the use of  | 
energy-based devices on tissue during surgery and containing  | 
hazardous materials, including, but not limited to,  | 
bioaerosols bio-aeorsols, smoke, gases, tissue and cellular  | 
 | 
fragments and particulates, and viruses. | 
 "Surgical smoke plume evacuation system" means a dedicated  | 
device that is designed to capture, transport, filter, and  | 
neutralize surgical smoke plume at the site of origin and  | 
before surgical smoke plume can make ocular contact, or  | 
contact with the respiratory tract, of an employee. | 
 (b) To protect patients and health care workers from the  | 
hazards of surgical smoke plume, an ambulatory surgical  | 
treatment center licensed under this Act shall adopt policies  | 
to ensure the elimination of surgical smoke plume by use of a  | 
surgical smoke plume evacuation system for each procedure that  | 
generates surgical smoke plume from the use of energy-based  | 
devices, including, but not limited to, electrosurgery and  | 
lasers. | 
 (c) An ambulatory surgical treatment center licensed under  | 
this Act shall report to the Department within 90 days after  | 
the effective date of this amendatory Act of the 102nd General  | 
Assembly that policies under subsection (b) of this Section  | 
have been adopted. 
 | 
(Source: P.A. 102-533, eff. 1-1-22; revised 11-22-21.)
 | 
 Section 410. The Emergency Medical Services (EMS) Systems  | 
Act is amended by changing Section 3.10 as follows:
 | 
 (210 ILCS 50/3.10)
 | 
 Sec. 3.10. Scope of services.
 | 
 | 
 (a) "Advanced Life Support (ALS) Services" means
an  | 
advanced level of pre-hospital and inter-hospital emergency
 | 
care and non-emergency medical services that includes basic  | 
life
support care, cardiac monitoring, cardiac defibrillation,
 | 
electrocardiography, intravenous therapy, administration of
 | 
medications, drugs and solutions, use of adjunctive medical
 | 
devices, trauma care, and other authorized techniques and
 | 
procedures, as outlined in the provisions of the National EMS  | 
Education Standards relating to Advanced Life Support and any  | 
modifications to that curriculum
specified in rules adopted by  | 
the Department pursuant to
this Act.
 | 
 That care shall be initiated as authorized by the EMS
 | 
Medical Director in a Department approved advanced life
 | 
support EMS System, under the written or verbal direction of
a  | 
physician licensed to practice medicine in all of its
branches  | 
or under the verbal direction of an Emergency
Communications  | 
Registered Nurse.
 | 
 (b) "Intermediate Life Support (ILS) Services"
means an  | 
intermediate level of pre-hospital and inter-hospital
 | 
emergency care and non-emergency medical services that  | 
includes
basic life support care plus intravenous cannulation  | 
and
fluid therapy, invasive airway management, trauma care,  | 
and
other authorized techniques and procedures, as outlined in
 | 
the Intermediate Life Support national curriculum of the
 | 
United States Department of Transportation and any
 | 
modifications to that curriculum specified in rules adopted
by  | 
 | 
the Department pursuant to this Act.
 | 
 That care shall be initiated as authorized by the EMS
 | 
Medical Director in a Department approved intermediate or
 | 
advanced life support EMS System, under the written or
verbal  | 
direction of a physician licensed to practice
medicine in all  | 
of its branches or under the verbal
direction of an Emergency  | 
Communications Registered Nurse.
 | 
 (c) "Basic Life Support (BLS) Services" means a
basic  | 
level of pre-hospital and inter-hospital emergency care and
 | 
non-emergency medical services that includes medical  | 
monitoring, clinical observation, airway management,
 | 
cardiopulmonary resuscitation (CPR), control of shock and
 | 
bleeding and splinting of fractures, as outlined in the  | 
provisions of the National EMS Education Standards relating to  | 
Basic Life Support and any modifications to that
curriculum  | 
specified in rules adopted by the Department
pursuant to this  | 
Act.
 | 
 That care shall be initiated, where authorized by the
EMS  | 
Medical Director in a Department approved EMS System,
under  | 
the written or verbal direction of a physician
licensed to  | 
practice medicine in all of its branches or
under the verbal  | 
direction of an Emergency Communications
Registered Nurse.
 | 
 (d) "Emergency Medical Responder Services" means a  | 
preliminary
level of pre-hospital emergency care that includes
 | 
cardiopulmonary resuscitation (CPR), monitoring vital signs
 | 
and control of bleeding, as outlined in the Emergency Medical  | 
 | 
Responder (EMR) curriculum of the National EMS Education  | 
Standards
and any modifications to that curriculum specified  | 
in rules
adopted by the Department pursuant to this Act.
 | 
 (e) "Pre-hospital care" means those
medical services  | 
rendered to patients for analytic,
resuscitative, stabilizing,  | 
or preventive purposes,
precedent to and during transportation  | 
of such patients to
health care facilities.
 | 
 (f) "Inter-hospital care" means those
medical services  | 
rendered to patients for
analytic, resuscitative, stabilizing,  | 
or preventive
purposes, during transportation of such patients  | 
from one
hospital to another hospital.
 | 
 (f-5) "Critical care transport" means the pre-hospital or  | 
inter-hospital transportation of a critically injured or ill  | 
patient by a vehicle service provider, including the provision  | 
of medically necessary supplies and services, at a level of  | 
service beyond the scope of the Paramedic. When medically  | 
indicated for a patient, as determined by a physician licensed  | 
to practice medicine in all of its branches, an advanced  | 
practice registered nurse, or a physician physician's  | 
assistant, in compliance with subsections (b) and (c) of  | 
Section 3.155 of this Act, critical care transport may be  | 
provided by: | 
  (1) Department-approved critical care transport  | 
 providers, not owned or operated by a hospital, utilizing  | 
 Paramedics with additional training, nurses, or other  | 
 qualified health professionals; or | 
 | 
  (2) Hospitals, when utilizing any vehicle service  | 
 provider or any hospital-owned or operated vehicle service  | 
 provider. Nothing in Public Act 96-1469 requires a  | 
 hospital to use, or to be, a Department-approved critical  | 
 care transport provider when transporting patients,  | 
 including those critically injured or ill. Nothing in this  | 
 Act shall restrict or prohibit a hospital from providing,  | 
 or arranging for, the medically appropriate transport of  | 
 any patient, as determined by a physician licensed to  | 
 practice in all of its branches, an advanced practice  | 
 registered nurse, or a physician physician's assistant. | 
 (g) "Non-emergency medical services" means the provision  | 
of, and all actions necessary before and after the provision  | 
of, Basic Life Support (BLS) Services, Advanced Life Support  | 
(ALS) Services, and critical care transport to
patients whose  | 
conditions do not meet this Act's definition of emergency,  | 
before, after, or
during transportation of such patients to or  | 
from health care facilities visited for the
purpose of  | 
obtaining medical or health care services which are not  | 
emergency in
nature, using a vehicle regulated by this Act and  | 
personnel licensed under this Act.
 | 
 (g-5) The Department shall have the authority to  | 
promulgate minimum standards for critical care transport  | 
providers through rules adopted pursuant to this Act. All  | 
critical care transport providers must function within a  | 
Department-approved EMS System. Nothing in Department rules  | 
 | 
shall restrict a hospital's ability to furnish personnel,  | 
equipment, and medical supplies to any vehicle service  | 
provider, including a critical care transport provider.  | 
Minimum critical care transport provider standards shall  | 
include, but are not limited to: | 
  (1) Personnel staffing and licensure. | 
  (2) Education, certification, and experience. | 
  (3) Medical equipment and supplies. | 
  (4) Vehicular standards. | 
  (5) Treatment and transport protocols. | 
  (6) Quality assurance and data collection. | 
 (h)
The provisions of this Act shall not apply to
the use  | 
of an ambulance or SEMSV, unless and until
emergency or  | 
non-emergency medical services are needed
during the use of  | 
the ambulance or SEMSV.
 | 
(Source: P.A. 102-623, eff. 8-27-21; revised 12-1-21.)
 | 
 Section 415. The Hospital Licensing Act is amended by  | 
setting forth, renumbering, and changing multiple
versions of  | 
Section 6.28 and by changing Sections 10.10 and 14.5 as  | 
follows:
 | 
 (210 ILCS 85/6.28) | 
 (Section scheduled to be repealed on December 31, 2022) | 
 Sec. 6.28. N95 masks. Pursuant to and in accordance with  | 
applicable local, State, and federal policies, guidance and  | 
 | 
recommendations of public health and infection control  | 
authorities, and taking into consideration the limitations on  | 
access to N95 masks caused by disruptions in local, State,  | 
national, and international supply chains, a hospital licensed  | 
under this Act shall provide N95 masks to physicians licensed  | 
under the Medical Practice Act of 1987, registered nurses and  | 
advanced practice registered nurses licensed under the Nurse  | 
Practice Licensing Act, and any other employees or contractual  | 
workers who provide direct patient care and who, pursuant to  | 
such policies, guidance, and recommendations, are recommended  | 
to have such a mask to safely provide such direct patient care  | 
within a hospital setting. Nothing in this Section shall be  | 
construed to impose any new duty or obligation on the hospital  | 
or employee that is greater than that imposed under State and  | 
federal laws in effect on April 27, 2021 (the effective date of  | 
Public Act 102-4) this amendatory Act of the 102nd General  | 
Assembly.  | 
 This Section is repealed on December 31, 2022.
 | 
(Source: P.A. 102-4, eff. 4-27-21; 102-674, eff. 11-30-21;  | 
revised 12-14-21.)
 | 
 (210 ILCS 85/6.30)
 | 
 Sec. 6.30 6.28. Facility-provided medication upon  | 
discharge. | 
 (a) The General Assembly finds that this Section is  | 
necessary for the immediate preservation of the public peace,  | 
 | 
health, and safety. | 
 (b) In this Section, "facility-provided medication" has  | 
the same meaning as provided under Section 15.10 of the  | 
Pharmacy Practice Act. | 
 (c) When a facility-provided medication is ordered at  | 
least 24 hours in advance for surgical procedures and is  | 
administered to a patient at a hospital licensed under this  | 
Act, any unused portion of the facility-provided medication  | 
must be offered to the patient upon discharge when it is  | 
required for continuing treatment. | 
 (d) A facility-provided medication shall be labeled  | 
consistent with labeling requirements under Section 22 of the  | 
Pharmacy Practice Act. | 
 (e) If the facility-provided medication is used in an  | 
operating room or emergency department setting, the prescriber  | 
is responsible for counseling the patient on its proper use  | 
and administration and the requirement of pharmacist  | 
counseling is waived. 
 | 
(Source: P.A. 102-155, eff. 7-23-21; revised 11-10-21.)
 | 
 (210 ILCS 85/6.31)
 | 
 Sec. 6.31 6.28. Patient contact policy during pandemics or  | 
other public health emergencies. During a pandemic or other  | 
public health emergency, a hospital licensed under this Act  | 
shall develop and implement a contact policy to encourage  | 
patients' ability to engage with family members throughout the  | 
 | 
duration of the pandemic or other public health emergency,  | 
including through the use of phone calls, videos calls, or  | 
other electronic mechanisms mechanism.
 | 
(Source: P.A. 102-398, eff. 8-16-21; revised 11-10-21.)
 | 
 (210 ILCS 85/6.32)
 | 
 Sec. 6.32 6.28. Surgical smoke plume evacuation. | 
 (a) In this Section: | 
 "Surgical smoke plume" means the by-product of the use of  | 
energy-based devices on tissue during surgery and containing  | 
hazardous materials, including, but not limited to,  | 
bioaerosols bio-aeorsols, smoke, gases, tissue and cellular  | 
fragments and particulates, and viruses. | 
 "Surgical smoke plume evacuation system" means a dedicated  | 
device that is designed to capture, transport, filter, and  | 
neutralize surgical smoke plume at the site of origin and  | 
before surgical smoke plume can make ocular contact, or  | 
contact with the respiratory tract, of an employee. | 
 (b) To protect patients and health care workers from the  | 
hazards of surgical smoke plume, a hospital licensed under  | 
this Act shall adopt policies to ensure the elimination of  | 
surgical smoke plume by use of a surgical smoke plume  | 
evacuation system for each procedure that generates surgical  | 
smoke plume from the use of energy-based devices, including,  | 
but not limited to, electrosurgery and lasers. | 
 (c) A hospital licensed under this Act shall report to the  | 
 | 
Department within 90 days after January 1, 2022 (the effective  | 
date of Public Act 102-533) this amendatory Act of the 102nd  | 
General Assembly that policies under subsection (b) of this  | 
Section have been adopted. 
 | 
(Source: P.A. 102-533, eff. 1-1-22; revised 11-10-21.)
 | 
 (210 ILCS 85/10.10) | 
 Sec. 10.10. Nurse Staffing by Patient Acuity.
 | 
 (a) Findings. The Legislature finds and declares all of  | 
the following: | 
  (1) The State of Illinois has a substantial interest  | 
 in promoting quality care and improving the delivery of  | 
 health care services. | 
  (2) Evidence-based studies have shown that the basic  | 
 principles of staffing in the acute care setting should be  | 
 based on the complexity of patients' care needs aligned  | 
 with available nursing skills to promote quality patient  | 
 care consistent with professional nursing standards. | 
  (3) Compliance with this Section promotes an  | 
 organizational climate that values registered nurses'  | 
 input in meeting the health care needs of hospital  | 
 patients. | 
 (b) Definitions. As used in this Section: | 
 "Acuity model" means an assessment tool selected and  | 
implemented by a hospital, as recommended by a nursing care  | 
committee, that assesses the complexity of patient care needs  | 
 | 
requiring professional nursing care and skills and aligns  | 
patient care needs and nursing skills consistent with  | 
professional nursing standards. | 
 "Department" means the Department of Public Health. | 
 "Direct patient care" means care provided by a registered  | 
professional nurse with direct responsibility to oversee or  | 
carry out medical regimens or nursing care for one or more  | 
patients. | 
 "Nursing care committee" means a hospital-wide committee  | 
or committees of nurses whose functions, in part or in whole,  | 
contribute to the development, recommendation, and review of  | 
the hospital's nurse staffing plan established pursuant to  | 
subsection (d). | 
 "Registered professional nurse" means a person licensed as  | 
a Registered Nurse under the Nurse
Practice Act. | 
 "Written staffing plan for nursing care services" means a  | 
written plan for the assignment of patient care nursing staff  | 
based on multiple nurse and patient considerations that yield  | 
minimum staffing levels for inpatient care units and the  | 
adopted acuity model aligning patient care needs with nursing  | 
skills required for quality patient care consistent with  | 
professional nursing standards. | 
 (c) Written staffing plan. | 
  (1) Every hospital shall implement a written  | 
 hospital-wide staffing plan, prepared by a nursing care  | 
 committee or committees, that provides for minimum direct  | 
 | 
 care professional registered nurse-to-patient staffing  | 
 needs for each inpatient care unit, including inpatient  | 
 emergency departments. If the staffing plan prepared by  | 
 the nursing care committee is not adopted by the hospital,  | 
 or if substantial changes are proposed to it, the chief  | 
 nursing officer shall either: (i) provide a written  | 
 explanation to the committee of the reasons the plan was  | 
 not adopted; or (ii) provide a written explanation of any  | 
 substantial changes made to the proposed plan prior to it  | 
 being adopted by the hospital. The written hospital-wide  | 
 staffing plan shall include, but need not be limited to,  | 
 the following considerations: | 
   (A) The complexity of complete care, assessment on  | 
 patient admission, volume of patient admissions,  | 
 discharges and transfers, evaluation of the progress  | 
 of a patient's problems, ongoing physical assessments,  | 
 planning for a patient's discharge, assessment after a  | 
 change in patient condition, and assessment of the  | 
 need for patient referrals. | 
   (B) The complexity of clinical professional  | 
 nursing judgment needed to design and implement a  | 
 patient's nursing care plan, the need for specialized  | 
 equipment and technology, the skill mix of other  | 
 personnel providing or supporting direct patient care,  | 
 and involvement in quality improvement activities,  | 
 professional preparation, and experience. | 
 | 
   (C) Patient acuity and the number of patients for  | 
 whom care is being provided. | 
   (D) The ongoing assessments of a unit's patient  | 
 acuity levels and nursing staff needed shall be  | 
 routinely made by the unit nurse manager or his or her  | 
 designee. | 
   (E) The identification of additional registered  | 
 nurses available for direct patient care when  | 
 patients' unexpected needs exceed the planned workload  | 
 for direct care staff. | 
  (2) In order to provide staffing flexibility to meet  | 
 patient needs, every hospital shall identify an acuity  | 
 model for adjusting the staffing plan for each inpatient  | 
 care unit. | 
  (2.5) Each hospital shall implement the staffing plan  | 
 and assign nursing personnel to each inpatient care unit,  | 
 including inpatient emergency departments, in accordance  | 
 with the staffing plan. | 
   (A) A registered nurse may report to the nursing  | 
 care committee any variations where the nurse  | 
 personnel assignment in an inpatient care unit is not  | 
 in accordance with the adopted staffing plan and may  | 
 make a written report to the nursing care committee  | 
 based on the variations. | 
   (B) Shift-to-shift adjustments in staffing levels  | 
 required by the staffing plan may be made by the  | 
 | 
 appropriate hospital personnel overseeing inpatient  | 
 care operations. If a registered nurse in an inpatient  | 
 care unit objects to a shift-to-shift adjustment, the  | 
 registered nurse may submit a written report to the  | 
 nursing care committee. | 
   (C) The nursing care committee shall develop a  | 
 process to examine and respond to written reports  | 
 submitted under subparagraphs (A) and (B) of this  | 
 paragraph (2.5), including the ability to determine if  | 
 a specific written report is resolved or should be  | 
 dismissed.  | 
  (3) The written staffing plan shall be posted, either  | 
 by physical or electronic means, in a conspicuous and  | 
 accessible location for both patients and direct care  | 
 staff, as required under the Hospital Report Card Act. A  | 
 copy of the written staffing plan shall be provided to any  | 
 member of the general public upon request.  | 
 (d) Nursing care committee. | 
  (1) Every hospital shall have a nursing care committee  | 
 that meets at least 6 times per year. A hospital shall  | 
 appoint members of a committee whereby at least 55% of the  | 
 members are registered professional nurses providing  | 
 direct inpatient care, one of whom shall be selected  | 
 annually by the direct inpatient care nurses to serve as  | 
 co-chair of the committee. | 
  (2) (Blank).
 | 
 | 
  (2.5) A nursing care committee shall prepare and  | 
 recommend to hospital administration the hospital's  | 
 written hospital-wide staffing plan. If the staffing plan  | 
 is not adopted by the hospital, the chief nursing officer  | 
 shall provide a written statement to the committee prior  | 
 to a staffing plan being adopted by the hospital that: (A)  | 
 explains the reasons the committee's proposed staffing  | 
 plan was not adopted; and (B) describes the changes to the  | 
 committee's proposed staffing or any alternative to the  | 
 committee's proposed staffing plan.  | 
  (3) A nursing care committee's or committees' written  | 
 staffing plan for the hospital shall be based on the  | 
 principles from the staffing components set forth in  | 
 subsection (c). In particular, a committee or committees  | 
 shall provide input and feedback on the following: | 
   (A) Selection, implementation, and evaluation of  | 
 minimum staffing levels for inpatient care units. | 
   (B) Selection, implementation, and evaluation of  | 
 an acuity model to provide staffing flexibility that  | 
 aligns changing patient acuity with nursing skills  | 
 required. | 
   (C) Selection, implementation, and evaluation of a  | 
 written staffing plan incorporating the items  | 
 described in subdivisions (c)(1) and (c)(2) of this  | 
 Section. | 
   (D) Review the nurse staffing plans for all  | 
 | 
 inpatient areas; and current acuity tools and measures  | 
 in use. The nursing care committee's review shall  | 
 consider:  | 
    (i) patient outcomes; | 
    (ii) complaints regarding staffing, including  | 
 complaints about a delay in direct care nursing or  | 
 an absence of direct care nursing; | 
    (iii) the number of hours of nursing care  | 
 provided through an inpatient hospital unit  | 
 compared with the number of inpatients served by  | 
 the hospital unit during a 24-hour period; | 
    (iv) the aggregate hours of overtime worked by  | 
 the nursing staff; | 
    (v) the extent to which actual nurse staffing  | 
 for each hospital inpatient unit differs from the  | 
 staffing specified by the staffing plan; and | 
    (vi) any other matter or change to the  | 
 staffing plan determined by the committee to  | 
 ensure that the hospital is staffed to meet the  | 
 health care needs of patients.  | 
  (4) A nursing care committee must issue a written  | 
 report addressing the items described in subparagraphs (A)  | 
 through (D) of paragraph (3) semi-annually. A written copy  | 
 of this report shall be made available to direct inpatient  | 
 care nurses by making available a paper copy of the  | 
 report, distributing it electronically, or posting it on  | 
 | 
 the hospital's website.  | 
  (5) A nursing care committee must issue a written  | 
 report at least annually to the hospital governing board  | 
 that addresses items including, but not limited to: the  | 
 items described in paragraph (3); changes made based on  | 
 committee recommendations and the impact of such changes;  | 
 and recommendations for future changes related to nurse  | 
 staffing.  | 
 (e) Nothing in this Section 10.10 shall be construed to  | 
limit, alter, or modify any of the terms, conditions, or  | 
provisions of a collective bargaining agreement entered into  | 
by the hospital.
 | 
 (f) No hospital may discipline, discharge, or take any  | 
other adverse employment action against an employee solely  | 
because the employee expresses a concern or complaint  | 
regarding an alleged violation of this Section or concerns  | 
related to nurse staffing. | 
 (g) Any employee of a hospital may file a complaint with  | 
the Department regarding an alleged violation of this Section.  | 
The Department must forward notification of the alleged  | 
violation to the hospital in question within 10 business days  | 
after the complaint is filed. Upon receiving a complaint of a  | 
violation of this Section, the Department may take any action  | 
authorized under Sections 7 or 9 of this Act. | 
(Source: P.A. 102-4, eff. 4-27-21; 102-641, eff. 8-27-21;  | 
revised 10-6-21.)
 | 
 | 
 (210 ILCS 85/14.5) | 
 Sec. 14.5. Hospital Licensure Fund.  | 
 (a) There is created in the State treasury the Hospital  | 
Licensure Fund. The Fund is created for the purpose of  | 
providing funding for the administration of the licensure  | 
program and patient safety and quality initiatives for  | 
hospitals, including, without limitation, the implementation  | 
of the Illinois Adverse Health Care Events Reporting Law of  | 
2005. | 
 (b) The Fund shall consist of the following:  | 
  (1) fees collected pursuant to Sections 5 and 7 of  | 
 this the Hospital Licensing Act;  | 
  (2) federal matching funds received by the State as a  | 
 result of expenditures made by the Department that are  | 
 attributable to moneys deposited in the Fund;  | 
  (3) interest earned on moneys deposited in the Fund;  | 
 and  | 
  (4) other moneys received for the Fund from any other  | 
 source, including interest earned thereon.  | 
 (c) Disbursements from the Fund shall be made only for:  | 
  (1) initially, the implementation of the Illinois  | 
 Adverse Health Care Events Reporting Law of 2005;  | 
  (2) subsequently, programs, information, or  | 
 assistance, including measures to address public  | 
 complaints, designed to measurably improve quality and  | 
 | 
 patient safety;  | 
  (2.5) from fines for violations of Section 10.10,  | 
 scholarships under the Nursing Education Scholarship Law;  | 
 and  | 
  (3) the reimbursement of moneys collected by the  | 
 Department through error or mistake.  | 
 (d) The uses described in paragraph (2) of subsection (c)  | 
shall be developed in conjunction with a statewide  | 
organization representing a majority of hospitals. 
 | 
(Source: P.A. 102-641, eff. 8-27-21; revised 12-1-21.)
 | 
 Section 420. The Birth Center Licensing Act is amended by  | 
changing Section 30 as follows:
 | 
 (210 ILCS 170/30)
 | 
 Sec. 30. Minimum standards. (a) The Department's rules  | 
adopted pursuant to Section 60 of this Act shall contain  | 
minimum standards to protect the health and safety of a  | 
patient of a birth center. In adopting rules for birth  | 
centers, the Department shall consider: | 
  (1) the Commission for the Accreditation of Birth  | 
 Centers' Standards for Freestanding Birth Centers; | 
  (2) the American Academy of Pediatrics and American  | 
 College of Obstetricians and Gynecologists Guidelines for  | 
 Perinatal Care; and | 
  (3) the Regionalized Perinatal Health Care Code.
 | 
 | 
(Source: P.A. 102-518, eff. 8-20-21; revised 12-1-21.)
 | 
 Section 425. The Illinois Insurance Code is amended by  | 
changing Sections 131.1, 131.14b, 131.22, 370c, and 370c.1 and  | 
by setting forth, renumbering, and changing multiple
versions  | 
of Section 356z.43 as follows:
 | 
 (215 ILCS 5/131.1)
 | 
 (Text of Section before amendment by P.A. 102-578) | 
 Sec. 131.1. Definitions. As used in this Article, the  | 
following terms have the respective
meanings set forth in this  | 
Section unless the context requires otherwise:
 | 
 (a) An "affiliate" of, or person "affiliated" with, a  | 
specific person,
is a person that directly, or indirectly  | 
through one or more
intermediaries, controls, or is controlled  | 
by, or is under common control
with, the person specified.
 | 
 (a-5) "Acquiring party" means such person by whom or on  | 
whose behalf the merger or other acquisition of control  | 
referred to in Section 131.4 is to be affected and any person  | 
that controls such person or persons. | 
 (a-10) "Associated person" means, with respect to an  | 
acquiring party, (1) any beneficial owner of shares of the  | 
company to be acquired, owned, directly or indirectly, of  | 
record or beneficially by the acquiring party, (2) any  | 
affiliate of the acquiring party or beneficial owner, and (3)  | 
any other person acting in concert, directly or indirectly,  | 
 | 
pursuant to any agreement, arrangement, or understanding,  | 
whether written or oral, with the acquiring party or  | 
beneficial owner, or any of their respective affiliates, in  | 
connection with the merger, consolidation, or other  | 
acquisition of control referred to in Section 131.4 of this  | 
Code.  | 
 (a-15) "Company" has the same meaning as "company" as  | 
defined in Section 2 of this Code, except that it does not  | 
include agencies, authorities, or instrumentalities of the  | 
United States, its possessions and territories, the  | 
Commonwealth of Puerto Rico, the District of Columbia, or a  | 
state or political subdivision of a state.  | 
 (b) "Control" (including the terms "controlling",  | 
"controlled by" and
"under common control with") means the  | 
possession, direct or indirect, of
the power to direct or  | 
cause the direction of the management and policies
of a  | 
person, whether through the ownership of voting securities,  | 
the holding
of shareholders' or policyholders' proxies by
 | 
contract other than a commercial contract for goods or  | 
non-management
services, or otherwise, unless the power is  | 
solely the result of an
official position with or corporate  | 
office held by the person. Control is presumed
to exist if any  | 
person, directly or indirectly, owns, controls, holds with
the  | 
power to vote, or holds shareholders' proxies representing 10%  | 
or
more of the voting securities of any other person, or holds  | 
or controls
sufficient policyholders' proxies to elect the  | 
 | 
majority of the board of
directors of the domestic company.  | 
This presumption may be rebutted by a
showing made in the  | 
manner as the Director may provide by rule. The Director
may  | 
determine, after
furnishing all persons in interest notice and  | 
opportunity to be heard and
making specific findings of fact  | 
to support such determination, that
control exists in fact,  | 
notwithstanding the absence of a presumption to
that effect.
 | 
 (b-5) "Enterprise risk" means any activity, circumstance,  | 
event, or series of events involving one or more affiliates of  | 
a company that, if not remedied promptly, is likely to have a  | 
material adverse effect upon the financial condition or  | 
liquidity of the company or its insurance holding company  | 
system as a whole, including, but not limited to, anything  | 
that would cause the company's risk-based capital to fall into  | 
company action level as set forth in Article IIA of this Code  | 
or would cause the company to be in
hazardous financial  | 
condition as set forth in Article XII 1/2 of this Code.  | 
 (b-10) "Exchange Act" means the Securities Exchange Act of  | 
1934, as amended, together with the rules and regulations  | 
promulgated thereunder.  | 
 (b-15) "Group-wide supervisor" means the regulatory  | 
official authorized to engage in conducting and coordinating  | 
group-wide supervision activities who is determined or  | 
acknowledged by the Director under Section 131.20d of this  | 
Code to have sufficient contacts with an internationally  | 
active insurance group.  | 
 | 
 (c) "Insurance holding company system" means two or more  | 
affiliated
persons, one or more of which is an insurance  | 
company as defined in
paragraph (e) of Section 2 of this Code.
 | 
 (c-5) "Internationally active insurance group" means an  | 
insurance holding company system that: | 
  (1) includes an insurer registered under Section 4 of  | 
 this Code; and | 
  (2) meets the following criteria: | 
   (A) premiums written in at least 3 countries; | 
   (B) the percentage of gross premiums written  | 
 outside the United States is at least 10% of the  | 
 insurance holding company system's total gross written  | 
 premiums; and | 
   (C) based on a 3-year rolling average, the total  | 
 assets of the insurance holding company system are at  | 
 least $50,000,000,000 or the total gross written  | 
 premiums of the insurance holding company system are  | 
 at least $10,000,000,000.  | 
 (d) (Blank).
 | 
 (d-1) "NAIC" means the National Association of Insurance  | 
Commissioners.  | 
 (d-5) "Non-operating holding company" is a general  | 
business corporation functioning solely for the purpose of  | 
forming, owning, acquiring, and managing subsidiary business  | 
entities and having no other business operations not related  | 
thereto. | 
 | 
 (d-10) "Own", "owned," or "owning" means shares (1) with  | 
respect to which a person
has title or to which a person's  | 
nominee, custodian, or other agent has title and which such
 | 
nominee, custodian, or other agent is holding on behalf of the  | 
person or (2) with respect to
which a person (A) has purchased  | 
or has entered into an unconditional contract, binding on both
 | 
parties, to purchase the shares, but has not yet received the  | 
shares, (B) owns a security
convertible into or exchangeable  | 
for the shares and has tendered the security for conversion or
 | 
exchange, (C) has an option to purchase or acquire, or rights  | 
or warrants to subscribe to, the shares and has exercised such  | 
option, rights, or warrants, or (D) holds a securities futures  | 
contract
to purchase the shares and has received notice that  | 
the position will be physically settled and is
irrevocably  | 
bound to receive the underlying shares. To the extent that any
 | 
affiliates of the stockholder or beneficial owner are acting  | 
in concert with the stockholder or
beneficial owner, the  | 
determination of shares owned may include the effect of  | 
aggregating the
shares owned by the affiliate or affiliates.  | 
Whether shares constitute shares owned shall
be decided by the  | 
Director in his or her reasonable determination.  | 
 (e) "Person" means an individual, a corporation, a limited  | 
liability company, a partnership, an
association, a joint  | 
stock company, a trust, an unincorporated
organization, any  | 
similar entity or any combination of the foregoing acting
in  | 
concert, but does not include any securities broker performing  | 
 | 
no more
than the usual and customary broker's function or  | 
joint venture
partnership exclusively engaged in owning,  | 
managing, leasing or developing
real or tangible personal  | 
property other than capital stock.
 | 
 (e-5) "Policyholders' proxies" are proxies that give the  | 
holder the right to vote for the election of the directors and  | 
other corporate actions not in the day to day operations of the  | 
company.  | 
 (f) (Blank).
 | 
 (f-5) "Securityholder" of a specified person is one who  | 
owns any security of such person, including common stock,  | 
preferred stock, debt obligations, and any other security  | 
convertible into or evidencing the right to acquire any of the  | 
foregoing.  | 
 (g) "Subsidiary" of a specified person is an affiliate  | 
controlled by
such person directly, or indirectly through one  | 
or more intermediaries.
 | 
 (h) "Voting Security" is a security which gives to the  | 
holder thereof
the right to vote for the election of directors  | 
and includes any security
convertible into or evidencing a  | 
right to acquire a voting security.
 | 
 (i) (Blank).
 | 
 (j) (Blank).
 | 
 (k) (Blank).
 | 
(Source: P.A. 102-394, eff. 8-16-21; revised 9-22-21.)
 | 
 | 
 (Text of Section after amendment by P.A. 102-578)
 | 
 Sec. 131.1. Definitions. As used in this Article, the  | 
following terms have the respective
meanings set forth in this  | 
Section unless the context requires otherwise:
 | 
 (a) An "affiliate" of, or person "affiliated" with, a  | 
specific person,
is a person that directly, or indirectly  | 
through one or more
intermediaries, controls, or is controlled  | 
by, or is under common control
with, the person specified.
 | 
 (a-5) "Acquiring party" means such person by whom or on  | 
whose behalf the merger or other acquisition of control  | 
referred to in Section 131.4 is to be affected and any person  | 
that controls such person or persons. | 
 (a-10) "Associated person" means, with respect to an  | 
acquiring party, (1) any beneficial owner of shares of the  | 
company to be acquired, owned, directly or indirectly, of  | 
record or beneficially by the acquiring party, (2) any  | 
affiliate of the acquiring party or beneficial owner, and (3)  | 
any other person acting in concert, directly or indirectly,  | 
pursuant to any agreement, arrangement, or understanding,  | 
whether written or oral, with the acquiring party or  | 
beneficial owner, or any of their respective affiliates, in  | 
connection with the merger, consolidation, or other  | 
acquisition of control referred to in Section 131.4 of this  | 
Code.  | 
 (a-15) "Company" has the same meaning as "company" as  | 
defined in Section 2 of this Code, except that it does not  | 
 | 
include agencies, authorities, or instrumentalities of the  | 
United States, its possessions and territories, the  | 
Commonwealth of Puerto Rico, the District of Columbia, or a  | 
state or political subdivision of a state.  | 
 (b) "Control" (including the terms "controlling",  | 
"controlled by" and
"under common control with") means the  | 
possession, direct or indirect, of
the power to direct or  | 
cause the direction of the management and policies
of a  | 
person, whether through the ownership of voting securities,  | 
the holding
of shareholders' or policyholders' proxies by
 | 
contract other than a commercial contract for goods or  | 
non-management
services, or otherwise, unless the power is  | 
solely the result of an
official position with or corporate  | 
office held by the person. Control is presumed
to exist if any  | 
person, directly or indirectly, owns, controls, holds with
the  | 
power to vote, or holds shareholders' proxies representing 10%  | 
or
more of the voting securities of any other person, or holds  | 
or controls
sufficient policyholders' proxies to elect the  | 
majority of the board of
directors of the domestic company.  | 
This presumption may be rebutted by a
showing made in the  | 
manner as the Director may provide by rule. The Director
may  | 
determine, after
furnishing all persons in interest notice and  | 
opportunity to be heard and
making specific findings of fact  | 
to support such determination, that
control exists in fact,  | 
notwithstanding the absence of a presumption to
that effect.
 | 
 (b-5) "Enterprise risk" means any activity, circumstance,  | 
 | 
event, or series of events involving one or more affiliates of  | 
a company that, if not remedied promptly, is likely to have a  | 
material adverse effect upon the financial condition or  | 
liquidity of the company or its insurance holding company  | 
system as a whole, including, but not limited to, anything  | 
that would cause the company's risk-based capital to fall into  | 
company action level as set forth in Article IIA of this Code  | 
or would cause the company to be in
hazardous financial  | 
condition as set forth in Article XII 1/2 of this Code.  | 
 (b-10) "Exchange Act" means the Securities Exchange Act of  | 
1934, as amended, together with the rules and regulations  | 
promulgated thereunder.  | 
 (b-12) "Group capital calculation instructions" means the  | 
group capital calculation instructions as adopted by the NAIC  | 
and as amended by the NAIC from time to time in accordance with  | 
the procedures adopted by the NAIC.  | 
 (b-15) "Group-wide supervisor" means the regulatory  | 
official authorized to engage in conducting and coordinating  | 
group-wide supervision activities who is determined or  | 
acknowledged by the Director under Section 131.20d of this  | 
Code to have sufficient contacts with an internationally  | 
active insurance group.  | 
 (c) "Insurance holding company system" means two or more  | 
affiliated
persons, one or more of which is an insurance  | 
company as defined in
paragraph (e) of Section 2 of this Code.
 | 
 (c-5) "Internationally active insurance group" means an  | 
 | 
insurance holding company system that: | 
  (1) includes an insurer registered under Section 4 of  | 
 this Code; and | 
  (2) meets the following criteria: | 
   (A) premiums written in at least 3 countries; | 
   (B) the percentage of gross premiums written  | 
 outside the United States is at least 10% of the  | 
 insurance holding company system's total gross written  | 
 premiums; and | 
   (C) based on a 3-year rolling average, the total  | 
 assets of the insurance holding company system are at  | 
 least $50,000,000,000 or the total gross written  | 
 premiums of the insurance holding company system are  | 
 at least $10,000,000,000.  | 
 (d) (Blank).
 | 
 (d-1) "NAIC" means the National Association of Insurance  | 
Commissioners.  | 
 (d-2) "NAIC Liquidity Stress Test Framework" is a separate  | 
NAIC publication which includes a history of the NAIC's  | 
development of regulatory liquidity stress testing, the scope  | 
criteria applicable for a specific data year, and the  | 
liquidity stress test instructions, and reporting templates  | 
for a specific data year, such scope criteria, instructions,  | 
and reporting template being as adopted by the NAIC and as  | 
amended by the NAIC from time to time in accordance with the  | 
procedures adopted by the NAIC.  | 
 | 
 (d-5) "Non-operating holding company" is a general  | 
business corporation functioning solely for the purpose of  | 
forming, owning, acquiring, and managing subsidiary business  | 
entities and having no other business operations not related  | 
thereto. | 
 (d-10) "Own", "owned," or "owning" means shares (1) with  | 
respect to which a person
has title or to which a person's  | 
nominee, custodian, or other agent has title and which such
 | 
nominee, custodian, or other agent is holding on behalf of the  | 
person or (2) with respect to
which a person (A) has purchased  | 
or has entered into an unconditional contract, binding on both
 | 
parties, to purchase the shares, but has not yet received the  | 
shares, (B) owns a security
convertible into or exchangeable  | 
for the shares and has tendered the security for conversion or
 | 
exchange, (C) has an option to purchase or acquire, or rights  | 
or warrants to subscribe to, the shares and has exercised such  | 
option, rights, or warrants, or (D) holds a securities futures  | 
contract
to purchase the shares and has received notice that  | 
the position will be physically settled and is
irrevocably  | 
bound to receive the underlying shares. To the extent that any
 | 
affiliates of the stockholder or beneficial owner are acting  | 
in concert with the stockholder or
beneficial owner, the  | 
determination of shares owned may include the effect of  | 
aggregating the
shares owned by the affiliate or affiliates.  | 
Whether shares constitute shares owned shall
be decided by the  | 
Director in his or her reasonable determination.  | 
 | 
 (e) "Person" means an individual, a corporation, a limited  | 
liability company, a partnership, an
association, a joint  | 
stock company, a trust, an unincorporated
organization, any  | 
similar entity or any combination of the foregoing acting
in  | 
concert, but does not include any securities broker performing  | 
no more
than the usual and customary broker's function or  | 
joint venture
partnership exclusively engaged in owning,  | 
managing, leasing or developing
real or tangible personal  | 
property other than capital stock.
 | 
 (e-5) "Policyholders' proxies" are proxies that give the  | 
holder the right to vote for the election of the directors and  | 
other corporate actions not in the day to day operations of the  | 
company.  | 
 (f) (Blank).
 | 
 (f-3) (f-5) "Scope criteria", as detailed in the NAIC  | 
Liquidity Stress Test Framework, are the designated exposure  | 
bases along with minimum magnitudes thereof for the specified  | 
data year, used to establish a preliminary list of insurers  | 
considered scoped into the NAIC Liquidity Stress Test  | 
Framework for that data year.  | 
 (f-5) "Securityholder" of a specified person is one who  | 
owns any security of such person, including common stock,  | 
preferred stock, debt obligations, and any other security  | 
convertible into or evidencing the right to acquire any of the  | 
foregoing.  | 
 (g) "Subsidiary" of a specified person is an affiliate  | 
 | 
controlled by
such person directly, or indirectly through one  | 
or more intermediaries.
 | 
 (h) "Voting Security" is a security which gives to the  | 
holder thereof
the right to vote for the election of directors  | 
and includes any security
convertible into or evidencing a  | 
right to acquire a voting security.
 | 
 (i) (Blank).
 | 
 (j) (Blank).
 | 
 (k) (Blank).
 | 
(Source: P.A. 102-394, eff. 8-16-21; 102-578, eff. 7-1-22 (See  | 
Section 5 of P.A. 102-672 for effective date of P.A. 102-578);  | 
revised 12-1-21.)
 | 
 (215 ILCS 5/131.14b) | 
 (Text of Section before amendment by P.A. 102-578) | 
 Sec. 131.14b. Enterprise risk filing. The ultimate  | 
controlling person of every company subject to registration  | 
shall also file an annual enterprise risk report. The report  | 
shall, to the best of the ultimate controlling person's  | 
knowledge and belief, identify the material risks within the  | 
insurance holding company system that could pose enterprise  | 
risk to the company. The report shall be filed with the lead  | 
state commissioner of the insurance holding company system as  | 
determined by the procedures within the Financial Analysis  | 
Handbook adopted by the National Association of Insurance  | 
Commissioners.
 | 
 | 
(Source: P.A. 98-609, eff. 7-1-14.)
 | 
 (Text of Section after amendment by P.A. 102-578) | 
 Sec. 131.14b. Enterprise risk filings.  | 
 (a) Annual enterprise risk report. The ultimate  | 
controlling person of every company subject to registration  | 
shall also file an annual enterprise risk report. The report  | 
shall, to the best of the ultimate controlling person's  | 
knowledge and belief, identify the material risks within the  | 
insurance holding company system that could pose enterprise  | 
risk to the company. The report shall be filed with the lead  | 
state commissioner of the insurance holding company system as  | 
determined by the procedures within the Financial Analysis  | 
Handbook adopted by the National Association of Insurance  | 
Commissioners.
 | 
 (b) Group capital calculation. Except as provided in this  | 
subsection, the ultimate controlling person of every insurer  | 
subject to registration shall concurrently file with the  | 
registration an annual group capital calculation as directed  | 
by the lead state commissioner. The report shall be completed  | 
in accordance with the NAIC Group Capital Calculation  | 
Instructions, which may permit the lead state commissioner to  | 
allow a controlling person who is not the ultimate controlling  | 
person to file the group capital calculation. The report shall  | 
be filed with the lead state commissioner of the insurance  | 
holding company system as determined by the commissioner in  | 
 | 
accordance with the procedures within the Financial Analysis  | 
Handbook adopted by the NAIC. Insurance holding company  | 
systems described in the following are exempt from filing the  | 
group capital calculation: | 
  (1) an insurance holding company system that has only  | 
 one insurer within its holding company structure, that  | 
 only writes business and is only licensed in Illinois, and  | 
 that assumes no business from any other insurer; | 
  (2) an insurance holding company system that is  | 
 required to perform a group capital calculation specified  | 
 by the United States Federal Reserve Board; the lead state  | 
 commissioner shall request the calculation from the  | 
 Federal Reserve Board under the terms of information  | 
 sharing agreements in effect; if the Federal Reserve Board  | 
 cannot share the calculation with the lead state  | 
 commissioner, the insurance holding company system is not  | 
 exempt from the group capital calculation filing; | 
  (3) an insurance holding company system whose non-U.S.  | 
 group-wide supervisor is located within a reciprocal  | 
 jurisdiction as described in paragraph (C-10) of  | 
 subsection (1) of Section 173.1 that recognizes the U.S.  | 
 state regulatory approach to group supervision and group  | 
 capital; and | 
  (4) an insurance holding company system: | 
   (i) that provides information to the lead state  | 
 that meets the requirements for accreditation under  | 
 | 
 the NAIC financial standards and accreditation  | 
 program, either directly or indirectly through the  | 
 group-wide supervisor, who has determined such  | 
 information is satisfactory to allow the lead state to  | 
 comply with the NAIC group supervision approach, as  | 
 detailed in the NAIC Financial Analysis Handbook; and | 
   (ii) whose non-U.S. group-wide supervisor that is  | 
 not in a reciprocal jurisdiction recognizes and  | 
 accepts, as specified by the commissioner in  | 
 regulation, the group capital calculation as the  | 
 world-wide group capital assessment for U.S. insurance  | 
 groups who operate in that jurisdiction. | 
 (5) Notwithstanding the provisions of paragraphs (3) and  | 
(4) of this subsection, a lead state commissioner shall  | 
require the group capital calculation for U.S. operations of  | 
any non-U.S. based insurance holding company system where,  | 
after any necessary consultation with other supervisors or  | 
officials, it is deemed appropriate by the lead state  | 
commissioner for prudential oversight and solvency monitoring  | 
purposes or for ensuring the competitiveness of the insurance  | 
marketplace. | 
 (6) Notwithstanding the exemptions from filing the group  | 
capital calculation stated in paragraphs (1) through (4) of  | 
this subsection, the lead state commissioner has the  | 
discretion to exempt the ultimate controlling person from  | 
filing the annual group capital calculation or to accept a  | 
 | 
limited group capital filing or report in accordance with  | 
criteria as specified by the Director in regulation. | 
 (c) Liquidity stress test. The ultimate controlling person  | 
of every insurer subject to registration and also scoped into  | 
the NAIC Liquidity Stress Test Framework shall file the  | 
results of a specific year's liquidity stress test. The filing  | 
shall be made to the lead state insurance commissioner of the  | 
insurance holding company system as determined by the  | 
procedures within the Financial Analysis Handbook adopted by  | 
the National Association of Insurance Commissioners: | 
  (1) The NAIC Liquidity Stress Test Framework includes  | 
 scope criteria applicable to a specific data year. These  | 
 scope criteria are reviewed at least annually by the NAIC  | 
 Financial Stability Task Force or its successor. Any  | 
 change to the NAIC Liquidity Stress Test Framework or to  | 
 the data year for which the scope criteria are to be  | 
 measured shall be effective on January 1 of the year  | 
 following the calendar year when such changes are adopted.  | 
 Insurers meeting at least one threshold of the scope  | 
 criteria are considered scoped into the NAIC Liquidity  | 
 Stress Test Framework for the specified data year unless  | 
 the lead state insurance commissioner, in consultation  | 
 with the NAIC Financial Stability Task Force or its  | 
 successor, determines the insurer should not be scoped  | 
 into the Framework for that data year. Similarly, insurers  | 
 that do not trigger at least one threshold of the scope  | 
 | 
 criteria are considered scoped out of the NAIC Liquidity  | 
 Stress Test Framework for the specified data year, unless  | 
 the lead state insurance commissioner, in consultation  | 
 with the NAIC Financial Stability Task Force or its  | 
 successor, determines the insurer should be scoped into  | 
 the Framework for that data year. | 
  The lead state insurance commissioner, in consultation  | 
 with the Financial Stability Task Force or its successor,  | 
 shall assess the regulator's wish to avoid having insurers  | 
 scoped in and out of the NAIC Liquidity Stress Test  | 
 Framework on a frequent basis as part of the determination  | 
 for an insurer. | 
  (2) The performance of, and filing of the results  | 
 from, a specific year's liquidity stress test shall comply  | 
 with the NAIC Liquidity Stress Test Framework's  | 
 instructions and reporting templates for that year and any  | 
 lead state insurance commissioner determinations, in  | 
 conjunction with the NAIC Financial Stability Task Force  | 
 or its successor, provided within the Framework.  | 
(Source: P.A. 102-578, eff. 7-1-22 (See Section 5 of P.A.  | 
102-672 for effective date of P.A. 102-578); revised 12-2-21.)
 | 
 (215 ILCS 5/131.22)
 | 
 (Text of Section before amendment by P.A. 102-578) | 
 Sec. 131.22. Confidential treatment.  | 
 (a) Documents, materials, or other information in the  | 
 | 
possession or control of the Department that are obtained by  | 
or disclosed to the Director or any other person in the course  | 
of an examination or investigation made pursuant to this  | 
Article and all information reported or provided to the  | 
Department pursuant to paragraphs (12) and (13) of Section  | 
131.5 and Sections 131.13 through 131.21 shall be confidential  | 
by law and privileged, shall not be subject to the Illinois  | 
Freedom of Information Act, shall not be subject to subpoena,  | 
and shall not be subject to discovery or admissible in  | 
evidence in any private civil action. However, the Director is  | 
authorized to use the documents, materials, or other  | 
information in the furtherance of any regulatory or legal  | 
action brought as a part of the Director's official duties.  | 
The Director shall not otherwise make the documents,  | 
materials, or other information public without the prior  | 
written consent of the company to which it pertains unless the  | 
Director, after giving the company and its affiliates who  | 
would be affected thereby prior written notice and an  | 
opportunity to be heard, determines that the interest of  | 
policyholders, shareholders, or the public shall be served by  | 
the publication thereof, in which event the Director may  | 
publish all or any part in such manner as may be deemed  | 
appropriate. | 
 (b) Neither the Director nor any person who received  | 
documents, materials, or other information while acting under  | 
the authority of the Director or with whom such documents,  | 
 | 
materials, or other information are shared pursuant to this  | 
Article shall be permitted or required to testify in any  | 
private civil action concerning any confidential documents,  | 
materials, or information subject to subsection (a) of this  | 
Section. | 
 (c) In order to assist in the performance of the  | 
Director's duties, the Director: | 
  (1) may share documents, materials, or other  | 
 information, including the confidential and privileged  | 
 documents, materials, or information subject to subsection  | 
 (a) of this Section, with other state, federal, and  | 
 international regulatory agencies, with the NAIC and its  | 
 affiliates and subsidiaries, and with third-party
 | 
 consultants, and with state, federal, and international  | 
 law enforcement authorities and regulatory agencies,  | 
 including members of any supervisory college allowed by  | 
 this Article, provided that the recipient agrees in  | 
 writing to maintain the confidentiality and privileged  | 
 status of the document, material, or other information,  | 
 and has verified in writing the legal authority to  | 
 maintain confidentiality; | 
  (1.5) notwithstanding paragraph (1) of this subsection  | 
 (c), may only share confidential and privileged documents,  | 
 material, or information reported pursuant to Section  | 
 131.14b with commissioners of states having statutes or  | 
 regulations substantially similar to subsection (a) of  | 
 | 
 this Section and who have agreed in writing not to  | 
 disclose such information; and  | 
  (2) may receive documents, materials, or information,  | 
 including otherwise confidential and privileged documents,  | 
 materials, or information from the NAIC and its affiliates  | 
 and subsidiaries and from regulatory and law enforcement  | 
 officials of other foreign or domestic jurisdictions, and  | 
 shall maintain as confidential or privileged any document,  | 
 material, or information received with notice or the  | 
 understanding that it is confidential or privileged under  | 
 the laws of the jurisdiction that is the source of the  | 
 document, material, or information; any such documents,
 | 
 materials, or information, while in the Director's  | 
 possession, shall not be subject to the
Illinois Freedom  | 
 of Information Act and shall not be subject to subpoena. | 
 (c-5) Written agreements with the NAIC or third-party  | 
consultants governing sharing and use of information provided  | 
pursuant to this Article consistent with this subsection (c)  | 
shall:
 | 
  (1)
specify procedures and protocols regarding the  | 
 confidentiality and security of information shared with  | 
 the NAIC and its affiliates and subsidiaries or  | 
 third-party consultants pursuant to this Article,  | 
 including procedures and protocols for sharing by the NAIC  | 
 with other state, federal, or international regulators;
 | 
  (2)
specify that ownership of information shared with  | 
 | 
 the NAIC and its affiliates and subsidiaries or  | 
 third-party consultants pursuant to this Article remains  | 
 with the Director and the NAIC's or third-party  | 
 consultant's use of the information is subject to the  | 
 direction of the Director;
 | 
  (3)
require prompt notice to be given to a company  | 
 whose confidential information in the possession of the  | 
 NAIC or third-party consultant pursuant to this Article is  | 
 subject to a request or subpoena for disclosure or  | 
 production; and
 | 
  (4)
require the NAIC and its affiliates and  | 
 subsidiaries or third-party consultants to consent to  | 
 intervention by a company in any judicial or  | 
 administrative action in which the NAIC and its affiliates  | 
 and subsidiaries or third-party consultants may be  | 
 required to disclose confidential information about the  | 
 company shared with the NAIC and its affiliates and  | 
 subsidiaries or third-party consultants pursuant to this  | 
 Article. | 
 (d) The sharing of documents, materials, or information by  | 
the Director pursuant to this Article shall not constitute a  | 
delegation of regulatory authority or rulemaking, and the  | 
Director is solely responsible for the administration,  | 
execution, and enforcement of the provisions of this Article. | 
 (e) No waiver of any applicable privilege or claim of  | 
confidentiality in the documents, materials, or information  | 
 | 
shall occur as a result of disclosure to the Director under  | 
this Section or as a result of sharing as authorized in  | 
subsection (c) of this Section. | 
 (f) Documents, materials, or other information in the  | 
possession or control of the NAIC or a third-party consultant  | 
pursuant to this Article shall be confidential by law and  | 
privileged, shall not be subject to the Illinois Freedom of  | 
Information Act, shall not be subject to subpoena, and shall  | 
not be subject to discovery or admissible in evidence in any  | 
private civil action.
 | 
(Source: P.A. 102-394, eff. 8-16-21.)
 | 
 (Text of Section after amendment by P.A. 102-578)
 | 
 Sec. 131.22. Confidential treatment.  | 
 (a) Documents, materials, or other information in the  | 
possession or control of the Department that are obtained by  | 
or disclosed to the Director or any other person in the course  | 
of an examination or investigation made pursuant to this  | 
Article and all information reported or provided to the  | 
Department pursuant to paragraphs (12) and (13) of Section  | 
131.5 and Sections 131.13 through 131.21 are recognized by  | 
this State as being proprietary and to contain trade secrets,  | 
and shall be confidential by law and privileged, shall not be  | 
subject to the Illinois Freedom of Information Act, shall not  | 
be subject to subpoena, and shall not be subject to discovery  | 
or admissible in evidence in any private civil action.  | 
 | 
However, the Director is authorized to use the documents,  | 
materials, or other information in the furtherance of any  | 
regulatory or legal action brought as a part of the Director's  | 
official duties. The Director shall not otherwise make the  | 
documents, materials, or other information public without the  | 
prior written consent of the company to which it pertains  | 
unless the Director, after giving the company and its  | 
affiliates who would be affected thereby prior written notice  | 
and an opportunity to be heard, determines that the interest  | 
of policyholders, shareholders, or the public shall be served  | 
by the publication thereof, in which event the Director may  | 
publish all or any part in such manner as may be deemed  | 
appropriate. | 
 (b) Neither the Director nor any person who received  | 
documents, materials, or other information while acting under  | 
the authority of the Director or with whom such documents,  | 
materials, or other information are shared pursuant to this  | 
Article shall be permitted or required to testify in any  | 
private civil action concerning any confidential documents,  | 
materials, or information subject to subsection (a) of this  | 
Section. | 
 (c) In order to assist in the performance of the  | 
Director's duties, the Director: | 
  (1) may share documents, materials, or other  | 
 information, including the confidential and privileged  | 
 documents, materials, or information subject to subsection  | 
 | 
 (a) of this Section, including proprietary and trade  | 
 secret documents and materials, with other state, federal,  | 
 and international regulatory agencies, with the NAIC and  | 
 its affiliates and subsidiaries, and with third-party
 | 
 consultants, and with state, federal, and international  | 
 law enforcement authorities and regulatory agencies,  | 
 including members of any supervisory college allowed by  | 
 this Article, provided that the recipient agrees in  | 
 writing to maintain the confidentiality and privileged  | 
 status of the document, material, or other information,  | 
 and has verified in writing the legal authority to  | 
 maintain confidentiality; | 
  (1.5) notwithstanding paragraph (1) of this subsection  | 
 (c), may only share confidential and privileged documents,  | 
 material, or information reported pursuant to subsection  | 
 (a) of Section 131.14b with commissioners of states having  | 
 statutes or regulations substantially similar to  | 
 subsection (a) of this Section and who have agreed in  | 
 writing not to disclose such information; and | 
  (2) may receive documents, materials, or information,  | 
 including otherwise confidential and privileged documents,  | 
 materials, or information, including proprietary and trade  | 
 secret information, from the NAIC and its affiliates and  | 
 subsidiaries and from regulatory and law enforcement  | 
 officials of other foreign or domestic jurisdictions, and  | 
 shall maintain as confidential or privileged any document,  | 
 | 
 material, or information received with notice or the  | 
 understanding that it is confidential or privileged under  | 
 the laws of the jurisdiction that is the source of the  | 
 document, material, or information; any such documents,
 | 
 materials, or information, while in the Director's  | 
 possession, shall not be subject to the
Illinois Freedom  | 
 of Information Act and shall not be subject to subpoena. | 
  (blank).  | 
 (c-5) Written agreements with the NAIC or third-party  | 
consultants governing sharing and use of information provided  | 
pursuant to this Article consistent with subsection (c) shall:
 | 
  (1)
specify procedures and protocols regarding the  | 
 confidentiality and security of information shared with  | 
 the NAIC and its affiliates and subsidiaries or  | 
 third-party consultants pursuant to this Article,  | 
 including procedures and protocols for sharing by the NAIC  | 
 with other state, federal, or international regulators;  | 
 the agreement shall provide that the recipient agrees in  | 
 writing to maintain the confidentiality and privileged  | 
 status of the documents, materials, or other information  | 
 and has verified in writing the legal authority to  | 
 maintain such confidentiality;
 | 
  (2)
specify that ownership of information shared with  | 
 the NAIC and its affiliates and subsidiaries or  | 
 third-party consultants pursuant to this Article remains  | 
 with the Director and the NAIC's or third-party  | 
 | 
 consultant's use of the information is subject to the  | 
 direction of the Director;
 | 
  (3)
require prompt notice to be given to a company  | 
 whose confidential information in the possession of the  | 
 NAIC or third-party consultant pursuant to this Article is  | 
 subject to a request or subpoena for disclosure or  | 
 production;
 | 
  (4)
require the NAIC and its affiliates and  | 
 subsidiaries or third-party consultants to consent to  | 
 intervention by a company in any judicial or  | 
 administrative action in which the NAIC and its affiliates  | 
 and subsidiaries or third-party consultants may be  | 
 required to disclose confidential information about the  | 
 company shared with the NAIC and its affiliates and  | 
 subsidiaries or third-party consultants pursuant to this  | 
 Article; and | 
  (5) excluding documents, material, or information  | 
 reported pursuant to subsection (c) of Section 131.14b,  | 
 prohibit the NAIC or third-party consultant from storing  | 
 the information shared pursuant to this Code in a  | 
 permanent database after the underlying analysis is  | 
 completed.  | 
 (d) The sharing of documents, materials, or information by  | 
the Director pursuant to this Article shall not constitute a  | 
delegation of regulatory authority or rulemaking, and the  | 
Director is solely responsible for the administration,  | 
 | 
execution, and enforcement of the provisions of this Article. | 
 (e) No waiver of any applicable privilege or claim of  | 
confidentiality in the documents, materials, or information  | 
shall occur as a result of disclosure to the Director under  | 
this Section or as a result of sharing as authorized in  | 
subsection (c) of this Section. | 
 (f) Documents, materials, or other information in the  | 
possession or control of the NAIC or third-party consultant  | 
pursuant to this Article shall be confidential by law and  | 
privileged, shall not be subject to the Illinois Freedom of  | 
Information Act, shall not be subject to subpoena, and shall  | 
not be subject to discovery or admissible in evidence in any  | 
private civil action.
 | 
(Source: P.A. 102-394, eff. 8-16-21; 102-578, eff. 7-1-22 (See  | 
Section 5 of P.A. 102-672 for effective date of P.A. 102-578);  | 
revised 12-1-21.)
 | 
 (215 ILCS 5/356z.43) | 
 Sec. 356z.43. (Repealed). | 
(Source: P.A. 102-34, eff. 6-25-21. Repealed internally, eff.  | 
1-1-22.)
 | 
 (215 ILCS 5/356z.45)
 | 
 Sec. 356z.45 356z.43. Coverage for patient care services  | 
provided by a pharmacist. A group or individual policy of  | 
accident and health insurance or a managed care plan that is  | 
 | 
amended, delivered, issued, or renewed on or after January 1,  | 
2023 shall provide coverage for health care or patient care  | 
services provided by a pharmacist if: | 
  (1) the pharmacist meets the requirements and scope of  | 
 practice as set forth in Section 43 of the Pharmacy  | 
 Practice Act; | 
  (2) the health plan provides coverage for the same  | 
 service provided by a licensed physician, an advanced  | 
 practice registered nurse, or a physician assistant; | 
  (3) the pharmacist is included in the health benefit  | 
 plan's network of participating providers; and | 
  (4) a reimbursement has been successfully negotiated  | 
 in good faith between the pharmacist and the health plan. 
 | 
(Source: P.A. 102-103, eff. 1-1-23; revised 10-26-21.)
 | 
 (215 ILCS 5/356z.46)
 | 
 Sec. 356z.46 356z.43. Biomarker testing. | 
 (a) As used in this Section: | 
 "Biomarker" means a characteristic that is objectively  | 
measured and evaluated as an indicator of normal biological  | 
processes, pathogenic processes, or pharmacologic responses to  | 
a specific therapeutic intervention. "Biomarker" includes, but  | 
is not limited to, gene mutations or protein expression. | 
 "Biomarker testing" means the analysis of a patient's  | 
tissue, blood, or fluid biospecimen for the presence of a  | 
biomarker. "Biomarker testing" includes, but is not limited  | 
 | 
to, single-analyte tests, multi-plex panel tests, and partial  | 
or whole genome sequencing. | 
 (b) A group or individual policy of accident and health  | 
insurance or managed care plan amended, delivered, issued, or  | 
renewed on or after January 1, 2022 shall include coverage for  | 
biomarker testing as defined in this Section pursuant to  | 
criteria established under subsection (d). | 
 (c) Biomarker testing shall be covered and conducted in an  | 
efficient manner to provide the most complete range of results  | 
to the patient's health care provider without requiring  | 
multiple biopsies, biospecimen samples, or other delays or  | 
disruptions in patient care. | 
 (d) Biomarker testing must be covered for the purposes of  | 
diagnosis, treatment, appropriate management, or ongoing  | 
monitoring of an enrollee's disease or condition when the test  | 
is supported by medical and scientific evidence, including,  | 
but not limited to: | 
  (1) labeled indications for an FDA-approved test or  | 
 indicated tests for an FDA-approved drug; | 
  (2) federal Centers for Medicare and Medicaid Services  | 
 National Coverage Determinations; | 
  (3) nationally recognized clinical practice  | 
 guidelines; | 
  (4) consensus statements; | 
  (5) professional society recommendations; | 
  (6) peer-reviewed literature, biomedical compendia,  | 
 | 
 and other medical literature that meet the criteria of the  | 
 National Institutes of Health's National Library of  | 
 Medicine for indexing in Index Medicus, Excerpta Medicus,  | 
 Medline, and MEDLARS database of Health Services  | 
 Technology Assessment Research; and | 
  (7) peer-reviewed scientific studies published in or  | 
 accepted for publication by medical journals that meet  | 
 nationally recognized requirements for scientific  | 
 manuscripts and that submit most of their published  | 
 articles for review by experts who are not part of the  | 
 editorial staff. | 
 (e) When coverage of biomarker testing for the purpose of  | 
diagnosis, treatment, or ongoing monitoring of any medical  | 
condition is restricted for use by a group or individual  | 
policy of accident and health insurance or managed care plan,  | 
the patient and prescribing practitioner shall have access to  | 
a clear, readily accessible, and convenient processes to  | 
request an exception. The process shall be made readily  | 
accessible on the insurer's website.
 | 
(Source: P.A. 102-203, eff. 1-1-22; revised 10-26-21.)
 | 
 (215 ILCS 5/356z.47)
 | 
 Sec. 356z.47 356z.43. Coverage for pancreatic cancer  | 
screening. A group or individual policy of accident and health  | 
insurance or a managed care plan that is amended, delivered,  | 
issued, or renewed on or after January 1, 2022 shall provide  | 
 | 
coverage for medically necessary pancreatic cancer screening.
 | 
(Source: P.A. 102-306, eff. 1-1-22; revised 10-26-21.)
 | 
 (215 ILCS 5/356z.48)
 | 
 Sec. 356z.48 356z.43. Colonoscopy coverage. | 
 (a) A group policy of accident and health insurance that  | 
is amended, delivered, issued, or renewed on or after January  | 
1, 2022 shall provide coverage for a colonoscopy that is a  | 
follow-up exam based on an initial screen where the  | 
colonoscopy was determined to be medically necessary by a  | 
physician licensed to practice medicine in all its branches,  | 
an advanced practice registered nurse, or a physician  | 
assistant. | 
 (b) A policy subject to this Section shall not impose a  | 
deductible, coinsurance, copayment, or any other cost-sharing  | 
requirement on the coverage provided; except that this  | 
subsection does not apply to coverage of colonoscopies to the  | 
extent such coverage would disqualify a high-deductible health  | 
plan from eligibility for a health savings account pursuant to  | 
Section 223 of the Internal Revenue Code.
 | 
(Source: P.A. 102-443, eff. 1-1-22; revised 10-26-21.)
 | 
 (215 ILCS 5/356z.49)
 | 
 Sec. 356z.49 356z.43. A1C testing. | 
 (a) As used in this Section, "A1C testing" means blood  | 
sugar level testing used to diagnose prediabetes, type 1  | 
 | 
diabetes, and type 2 diabetes and to monitor management of  | 
blood sugar levels. | 
 (b) A group or individual policy of accident and health  | 
insurance or managed care plan amended, delivered, issued, or  | 
renewed on or after January 1, 2022 (the effective date of  | 
Public Act 102-530) this amendatory Act of the 102nd General  | 
Assembly shall provide coverage for A1C testing recommended by  | 
a health care provider for prediabetes, type 1 diabetes, and  | 
type 2 diabetes in accordance with prediabetes and diabetes  | 
risk factors identified by the United States Centers for  | 
Disease Control and Prevention. | 
  (1) Risk factors for prediabetes may include, but are  | 
 not limited to, being overweight or obese, being aged 35  | 
 or older, having an immediate family member with type 2  | 
 diabetes, previous diagnosis of gestational diabetes and  | 
 being African American, Hispanic or Latino American,  | 
 American Indian, or Alaska Native. | 
  (2) Risk factors for type 1 diabetes may include, but  | 
 are not limited to, family history of diabetes. | 
  (3) Risk factors for type 2 diabetes may include, but  | 
 are not limited to, having prediabetes, being overweight  | 
 or obese, being aged 35 or older, having an immediate  | 
 family member with type 1 or type 2 diabetes, previous  | 
 diagnosis of gestational diabetes and being African  | 
 American, Hispanic or Latino American, American Indian, or  | 
 Alaska Native.
 | 
 | 
(Source: P.A. 102-530, eff. 1-1-22; revised 10-26-21.)
 | 
 (215 ILCS 5/356z.50)
 | 
 Sec. 356z.50 356z.43. Comprehensive cancer testing. | 
 (a) As used in this Section: | 
 "Comprehensive cancer testing" includes, but is not  | 
limited to, the following forms of testing: | 
  (1) Targeted cancer gene panels. | 
  (2) Whole-exome genome testing. | 
  (3) Whole-genome sequencing. | 
  (4) RNA sequencing. | 
  (5) Tumor mutation burden. | 
 "Testing of blood or constitutional tissue for cancer  | 
predisposition testing" includes, but is not limited to, the  | 
following forms of testing: | 
  (1) Targeted cancer gene panels. | 
  (2) Whole-exome genome testing. | 
  (3) Whole-genome sequencing. | 
 (b) An individual or group policy of accident and health  | 
insurance or managed care plan that is amended, delivered,  | 
issued, or renewed on or after January 1, 2022 (the effective  | 
date of Public Act 102-589) this amendatory Act of the 102nd  | 
General Assembly shall provide coverage for medically  | 
necessary comprehensive cancer testing and testing of blood or  | 
constitutional tissue for cancer predisposition testing as  | 
determined by a physician licensed to practice medicine in all  | 
 | 
of its branches.
 | 
(Source: P.A. 102-589, eff. 1-1-22; revised 10-26-21.)
 | 
 (215 ILCS 5/356z.51)
 | 
 Sec. 356z.51 356z.43. Coverage for port-wine stain  | 
treatment. | 
 (a) A group or individual policy of accident and health
 | 
insurance or managed care plan amended, delivered, issued, or
 | 
renewed on or after January 1, 2022 shall provide coverage for
 | 
treatment to eliminate or provide maximum
feasible treatment  | 
of nevus flammeus, also known as port-wine
stains, including,  | 
but not limited to, port-wine stains caused
by Sturge-Weber  | 
syndrome. For purposes of this Section, treatment or maximum  | 
feasible treatment shall include early intervention treatment,  | 
including topical, intralesional, or systemic medical therapy  | 
and surgery, and laser treatments approved by the U.S. Food  | 
and Drug Administration in children aged 18 years and younger  | 
that are intended to prevent functional impairment related to  | 
vision function, oral function, inflammation, bleeding,  | 
infection, and other medical complications associated with  | 
port-wine stains. | 
 (b) Coverage for treatment required under this Section  | 
shall not include treatment solely for cosmetic purposes. 
 | 
(Source: P.A. 102-642, eff. 1-1-22; revised 10-26-21.)
 | 
 (215 ILCS 5/370c) (from Ch. 73, par. 982c)
 | 
 | 
 Sec. 370c. Mental and emotional disorders. 
 | 
 (a)(1) On and after January 1, 2022 (the effective date of  | 
Public Act 102-579) this amendatory Act of the 102nd General  | 
Assembly August 16, 2019 Public Act 101-386,
every insurer  | 
that amends, delivers, issues, or renews
group accident and  | 
health policies providing coverage for hospital or medical  | 
treatment or
services for illness on an expense-incurred basis  | 
shall provide coverage for the medically necessary treatment  | 
of mental, emotional, nervous, or substance use disorders or  | 
conditions consistent with the parity requirements of Section  | 
370c.1 of this Code.
 | 
 (2) Each insured that is covered for mental, emotional,  | 
nervous, or substance use
disorders or conditions shall be  | 
free to select the physician licensed to
practice medicine in  | 
all its branches, licensed clinical psychologist,
licensed  | 
clinical social worker, licensed clinical professional  | 
counselor, licensed marriage and family therapist, licensed  | 
speech-language pathologist, or other licensed or certified  | 
professional at a program licensed pursuant to the Substance  | 
Use Disorder Act of
his or her choice to treat such disorders,  | 
and
the insurer shall pay the covered charges of such  | 
physician licensed to
practice medicine in all its branches,  | 
licensed clinical psychologist,
licensed clinical social  | 
worker, licensed clinical professional counselor, licensed  | 
marriage and family therapist, licensed speech-language  | 
pathologist, or other licensed or certified professional at a  | 
 | 
program licensed pursuant to the Substance Use Disorder Act up
 | 
to the limits of coverage, provided (i)
the disorder or  | 
condition treated is covered by the policy, and (ii) the
 | 
physician, licensed psychologist, licensed clinical social  | 
worker, licensed
clinical professional counselor, licensed  | 
marriage and family therapist, licensed speech-language  | 
pathologist, or other licensed or certified professional at a  | 
program licensed pursuant to the Substance Use Disorder Act is
 | 
authorized to provide said services under the statutes of this  | 
State and in
accordance with accepted principles of his or her  | 
profession.
 | 
 (3) Insofar as this Section applies solely to licensed  | 
clinical social
workers, licensed clinical professional  | 
counselors, licensed marriage and family therapists, licensed  | 
speech-language pathologists, and other licensed or certified  | 
professionals at programs licensed pursuant to the Substance  | 
Use Disorder Act, those persons who may
provide services to  | 
individuals shall do so
after the licensed clinical social  | 
worker, licensed clinical professional
counselor, licensed  | 
marriage and family therapist, licensed speech-language  | 
pathologist, or other licensed or certified professional at a  | 
program licensed pursuant to the Substance Use Disorder Act  | 
has informed the patient of the
desirability of the patient  | 
conferring with the patient's primary care
physician.
 | 
 (4) "Mental, emotional, nervous, or substance use disorder  | 
or condition" means a condition or disorder that involves a  | 
 | 
mental health condition or substance use disorder that falls  | 
under any of the diagnostic categories listed in the mental  | 
and behavioral disorders chapter of the current edition of the  | 
World Health Organization's International Classification of  | 
Disease or that is listed in the most recent version of the  | 
American Psychiatric Association's Diagnostic and Statistical  | 
Manual of Mental Disorders. "Mental, emotional, nervous, or  | 
substance use disorder or condition" includes any mental  | 
health condition that occurs during pregnancy or during the  | 
postpartum period and includes, but is not limited to,  | 
postpartum depression. | 
 (5) Medically necessary treatment and medical necessity  | 
determinations shall be interpreted and made in a manner that  | 
is consistent with and pursuant to subsections (h) through  | 
(t).  | 
 (b)(1) (Blank).
 | 
 (2) (Blank).
 | 
 (2.5) (Blank).  | 
 (3) Unless otherwise prohibited by federal law and  | 
consistent with the parity requirements of Section 370c.1 of  | 
this Code, the reimbursing insurer that amends, delivers,  | 
issues, or renews a group or individual policy of accident and  | 
health insurance, a qualified health plan offered through the  | 
health insurance marketplace, or a provider of treatment of  | 
mental, emotional, nervous,
or substance use disorders or  | 
conditions shall furnish medical records or other necessary  | 
 | 
data
that substantiate that initial or continued treatment is  | 
at all times medically
necessary. An insurer shall provide a  | 
mechanism for the timely review by a
provider holding the same  | 
license and practicing in the same specialty as the
patient's  | 
provider, who is unaffiliated with the insurer, jointly  | 
selected by
the patient (or the patient's next of kin or legal  | 
representative if the
patient is unable to act for himself or  | 
herself), the patient's provider, and
the insurer in the event  | 
of a dispute between the insurer and patient's
provider  | 
regarding the medical necessity of a treatment proposed by a  | 
patient's
provider. If the reviewing provider determines the  | 
treatment to be medically
necessary, the insurer shall provide  | 
reimbursement for the treatment. Future
contractual or  | 
employment actions by the insurer regarding the patient's
 | 
provider may not be based on the provider's participation in  | 
this procedure.
Nothing prevents
the insured from agreeing in  | 
writing to continue treatment at his or her
expense. When  | 
making a determination of the medical necessity for a  | 
treatment
modality for mental, emotional, nervous, or  | 
substance use disorders or conditions, an insurer must make  | 
the determination in a
manner that is consistent with the  | 
manner used to make that determination with
respect to other  | 
diseases or illnesses covered under the policy, including an
 | 
appeals process. Medical necessity determinations for  | 
substance use disorders shall be made in accordance with  | 
appropriate patient placement criteria established by the  | 
 | 
American Society of Addiction Medicine. No additional criteria  | 
may be used to make medical necessity determinations for  | 
substance use disorders. 
 | 
 (4) A group health benefit plan amended, delivered,  | 
issued, or renewed on or after January 1, 2019 (the effective  | 
date of Public Act 100-1024) or an individual policy of  | 
accident and health insurance or a qualified health plan  | 
offered through the health insurance marketplace amended,  | 
delivered, issued, or renewed on or after January 1, 2019 (the  | 
effective date of Public Act 100-1024):
 | 
  (A) shall provide coverage based upon medical  | 
 necessity for the
treatment of a mental, emotional,  | 
 nervous, or substance use disorder or condition consistent  | 
 with the parity requirements of Section 370c.1 of this  | 
 Code; provided, however, that in each calendar year  | 
 coverage shall not be less than the following:
 | 
   (i) 45 days of inpatient treatment; and
 | 
   (ii) beginning on June 26, 2006 (the effective  | 
 date of Public Act 94-921), 60 visits for outpatient  | 
 treatment including group and individual
outpatient  | 
 treatment; and | 
   (iii) for plans or policies delivered, issued for  | 
 delivery, renewed, or modified after January 1, 2007  | 
 (the effective date of Public Act 94-906),
20  | 
 additional outpatient visits for speech therapy for  | 
 treatment of pervasive developmental disorders that  | 
 | 
 will be in addition to speech therapy provided  | 
 pursuant to item (ii) of this subparagraph (A); and
 | 
  (B) may not include a lifetime limit on the number of  | 
 days of inpatient
treatment or the number of outpatient  | 
 visits covered under the plan.
 | 
  (C) (Blank).
 | 
 (5) An issuer of a group health benefit plan or an  | 
individual policy of accident and health insurance or a  | 
qualified health plan offered through the health insurance  | 
marketplace may not count toward the number
of outpatient  | 
visits required to be covered under this Section an outpatient
 | 
visit for the purpose of medication management and shall cover  | 
the outpatient
visits under the same terms and conditions as  | 
it covers outpatient visits for
the treatment of physical  | 
illness.
 | 
 (5.5) An individual or group health benefit plan amended,  | 
delivered, issued, or renewed on or after September 9, 2015  | 
(the effective date of Public Act 99-480) shall offer coverage  | 
for medically necessary acute treatment services and medically  | 
necessary clinical stabilization services. The treating  | 
provider shall base all treatment recommendations and the  | 
health benefit plan shall base all medical necessity  | 
determinations for substance use disorders in accordance with  | 
the most current edition of the Treatment Criteria for  | 
Addictive, Substance-Related, and Co-Occurring Conditions  | 
established by the American Society of Addiction Medicine. The  | 
 | 
treating provider shall base all treatment recommendations and  | 
the health benefit plan shall base all medical necessity  | 
determinations for medication-assisted treatment in accordance  | 
with the most current Treatment Criteria for Addictive,  | 
Substance-Related, and Co-Occurring Conditions established by  | 
the American Society of Addiction Medicine. | 
 As used in this subsection: | 
 "Acute treatment services" means 24-hour medically  | 
supervised addiction treatment that provides evaluation and  | 
withdrawal management and may include biopsychosocial  | 
assessment, individual and group counseling, psychoeducational  | 
groups, and discharge planning. | 
 "Clinical stabilization services" means 24-hour treatment,  | 
usually following acute treatment services for substance  | 
abuse, which may include intensive education and counseling  | 
regarding the nature of addiction and its consequences,  | 
relapse prevention, outreach to families and significant  | 
others, and aftercare planning for individuals beginning to  | 
engage in recovery from addiction.  | 
 (6) An issuer of a group health benefit
plan may provide or  | 
offer coverage required under this Section through a
managed  | 
care plan.
 | 
 (6.5) An individual or group health benefit plan amended,  | 
delivered, issued, or renewed on or after January 1, 2019 (the  | 
effective date of Public Act 100-1024):  | 
  (A) shall not impose prior authorization requirements,  | 
 | 
 other than those established under the Treatment Criteria  | 
 for Addictive, Substance-Related, and Co-Occurring  | 
 Conditions established by the American Society of  | 
 Addiction Medicine, on a prescription medication approved  | 
 by the United States Food and Drug Administration that is  | 
 prescribed or administered for the treatment of substance  | 
 use disorders; | 
  (B) shall not impose any step therapy requirements,  | 
 other than those established under the Treatment Criteria  | 
 for Addictive, Substance-Related, and Co-Occurring  | 
 Conditions established by the American Society of  | 
 Addiction Medicine, before authorizing coverage for a  | 
 prescription medication approved by the United States Food  | 
 and Drug Administration that is prescribed or administered  | 
 for the treatment of substance use disorders; | 
  (C) shall place all prescription medications approved  | 
 by the United States Food and Drug Administration  | 
 prescribed or administered for the treatment of substance  | 
 use disorders on, for brand medications, the lowest tier  | 
 of the drug formulary developed and maintained by the  | 
 individual or group health benefit plan that covers brand  | 
 medications and, for generic medications, the lowest tier  | 
 of the drug formulary developed and maintained by the  | 
 individual or group health benefit plan that covers  | 
 generic medications; and | 
  (D) shall not exclude coverage for a prescription  | 
 | 
 medication approved by the United States Food and Drug  | 
 Administration for the treatment of substance use  | 
 disorders and any associated counseling or wraparound  | 
 services on the grounds that such medications and services  | 
 were court ordered. | 
 (7) (Blank).
 | 
 (8)
(Blank).
 | 
 (9) With respect to all mental, emotional, nervous, or  | 
substance use disorders or conditions, coverage for inpatient  | 
treatment shall include coverage for treatment in a  | 
residential treatment center certified or licensed by the  | 
Department of Public Health or the Department of Human  | 
Services.  | 
 (c) This Section shall not be interpreted to require  | 
coverage for speech therapy or other habilitative services for  | 
those individuals covered under Section 356z.15
of this Code.  | 
 (d) With respect to a group or individual policy of  | 
accident and health insurance or a qualified health plan  | 
offered through the health insurance marketplace, the  | 
Department and, with respect to medical assistance, the  | 
Department of Healthcare and Family Services shall each  | 
enforce the requirements of this Section and Sections 356z.23  | 
and 370c.1 of this Code, the Paul Wellstone and Pete Domenici  | 
Mental Health Parity and Addiction Equity Act of 2008, 42  | 
U.S.C. 18031(j), and any amendments to, and federal guidance  | 
or regulations issued under, those Acts, including, but not  | 
 | 
limited to, final regulations issued under the Paul Wellstone  | 
and Pete Domenici Mental Health Parity and Addiction Equity  | 
Act of 2008 and final regulations applying the Paul Wellstone  | 
and Pete Domenici Mental Health Parity and Addiction Equity  | 
Act of 2008 to Medicaid managed care organizations, the  | 
Children's Health Insurance Program, and alternative benefit  | 
plans. Specifically, the Department and the Department of  | 
Healthcare and Family Services shall take action:  | 
  (1) proactively ensuring compliance by individual and  | 
 group policies, including by requiring that insurers  | 
 submit comparative analyses, as set forth in paragraph (6)  | 
 of subsection (k) of Section 370c.1, demonstrating how  | 
 they design and apply nonquantitative treatment  | 
 limitations, both as written and in operation, for mental,  | 
 emotional, nervous, or substance use disorder or condition  | 
 benefits as compared to how they design and apply  | 
 nonquantitative treatment limitations, as written and in  | 
 operation, for medical and surgical benefits; | 
  (2) evaluating all consumer or provider complaints  | 
 regarding mental, emotional, nervous, or substance use  | 
 disorder or condition coverage for possible parity  | 
 violations; | 
  (3) performing parity compliance market conduct  | 
 examinations or, in the case of the Department of  | 
 Healthcare and Family Services, parity compliance audits  | 
 of individual and group plans and policies, including, but  | 
 | 
 not limited to, reviews of: | 
   (A) nonquantitative treatment limitations,  | 
 including, but not limited to, prior authorization  | 
 requirements, concurrent review, retrospective review,  | 
 step therapy, network admission standards,  | 
 reimbursement rates, and geographic restrictions; | 
   (B) denials of authorization, payment, and  | 
 coverage; and | 
   (C) other specific criteria as may be determined  | 
 by the Department. | 
 The findings and the conclusions of the parity compliance  | 
market conduct examinations and audits shall be made public. | 
 The Director may adopt rules to effectuate any provisions  | 
of the Paul Wellstone and Pete Domenici Mental Health Parity  | 
and Addiction Equity Act of 2008 that relate to the business of  | 
insurance. | 
 (e) Availability of plan information.  | 
  (1) The criteria for medical necessity determinations  | 
 made under a group health plan, an individual policy of  | 
 accident and health insurance, or a qualified health plan  | 
 offered through the health insurance marketplace with  | 
 respect to mental health or substance use disorder  | 
 benefits (or health insurance coverage offered in  | 
 connection with the plan with respect to such benefits)  | 
 must be made available by the plan administrator (or the  | 
 health insurance issuer offering such coverage) to any  | 
 | 
 current or potential participant, beneficiary, or  | 
 contracting provider upon request.  | 
  (2) The reason for any denial under a group health  | 
 benefit plan, an individual policy of accident and health  | 
 insurance, or a qualified health plan offered through the  | 
 health insurance marketplace (or health insurance coverage  | 
 offered in connection with such plan or policy) of  | 
 reimbursement or payment for services with respect to  | 
 mental, emotional, nervous, or substance use disorders or  | 
 conditions benefits in the case of any participant or  | 
 beneficiary must be made available within a reasonable  | 
 time and in a reasonable manner and in readily  | 
 understandable language by the plan administrator (or the  | 
 health insurance issuer offering such coverage) to the  | 
 participant or beneficiary upon request.  | 
 (f) As used in this Section, "group policy of accident and  | 
health insurance" and "group health benefit plan" includes (1)  | 
State-regulated employer-sponsored group health insurance  | 
plans written in Illinois or which purport to provide coverage  | 
for a resident of this State; and (2) State employee health  | 
plans.  | 
 (g) (1) As used in this subsection: | 
 "Benefits", with respect to insurers, means
the benefits  | 
provided for treatment services for inpatient and outpatient  | 
treatment of substance use disorders or conditions at American  | 
Society of Addiction Medicine levels of treatment 2.1  | 
 | 
(Intensive Outpatient), 2.5 (Partial Hospitalization), 3.1  | 
(Clinically Managed Low-Intensity Residential), 3.3  | 
(Clinically Managed Population-Specific High-Intensity  | 
Residential), 3.5 (Clinically Managed High-Intensity  | 
Residential), and 3.7 (Medically Monitored Intensive  | 
Inpatient) and OMT (Opioid Maintenance Therapy) services. | 
 "Benefits", with respect to managed care organizations,  | 
means the benefits provided for treatment services for  | 
inpatient and outpatient treatment of substance use disorders  | 
or conditions at American Society of Addiction Medicine levels  | 
of treatment 2.1 (Intensive Outpatient), 2.5 (Partial  | 
Hospitalization), 3.5 (Clinically Managed High-Intensity  | 
Residential), and 3.7 (Medically Monitored Intensive  | 
Inpatient) and OMT (Opioid Maintenance Therapy) services.  | 
 "Substance use disorder treatment provider or facility"  | 
means a licensed physician, licensed psychologist, licensed  | 
psychiatrist, licensed advanced practice registered nurse, or  | 
licensed, certified, or otherwise State-approved facility or  | 
provider of substance use disorder treatment. | 
 (2) A group health insurance policy, an individual health  | 
benefit plan, or qualified health plan that is offered through  | 
the health insurance marketplace, small employer group health  | 
plan, and large employer group health plan that is amended,  | 
delivered, issued, executed, or renewed in this State, or  | 
approved for issuance or renewal in this State, on or after  | 
January 1, 2019 (the effective date of Public Act 100-1023)  | 
 | 
shall comply with the requirements of this Section and Section  | 
370c.1. The services for the treatment and the ongoing  | 
assessment of the patient's progress in treatment shall follow  | 
the requirements of 77 Ill. Adm. Code 2060. | 
 (3) Prior authorization shall not be utilized for the  | 
benefits under this subsection. The substance use disorder  | 
treatment provider or facility shall notify the insurer of the  | 
initiation of treatment. For an insurer that is not a managed  | 
care organization, the substance use disorder treatment  | 
provider or facility notification shall occur for the  | 
initiation of treatment of the covered person within 2  | 
business days. For managed care organizations, the substance  | 
use disorder treatment provider or facility notification shall  | 
occur in accordance with the protocol set forth in the  | 
provider agreement for initiation of treatment within 24  | 
hours. If the managed care organization is not capable of  | 
accepting the notification in accordance with the contractual  | 
protocol during the 24-hour period following admission, the  | 
substance use disorder treatment provider or facility shall  | 
have one additional business day to provide the notification  | 
to the appropriate managed care organization. Treatment plans  | 
shall be developed in accordance with the requirements and  | 
timeframes established in 77 Ill. Adm. Code 2060. If the  | 
substance use disorder treatment provider or facility fails to  | 
notify the insurer of the initiation of treatment in  | 
accordance with these provisions, the insurer may follow its  | 
 | 
normal prior authorization processes. | 
 (4) For an insurer that is not a managed care  | 
organization, if an insurer determines that benefits are no  | 
longer medically necessary, the insurer shall notify the  | 
covered person, the covered person's authorized  | 
representative, if any, and the covered person's health care  | 
provider in writing of the covered person's right to request  | 
an external review pursuant to the Health Carrier External  | 
Review Act. The notification shall occur within 24 hours  | 
following the adverse determination. | 
 Pursuant to the requirements of the Health Carrier  | 
External Review Act, the covered person or the covered  | 
person's authorized representative may request an expedited  | 
external review.
An expedited external review may not occur if  | 
the substance use disorder treatment provider or facility  | 
determines that continued treatment is no longer medically  | 
necessary. Under this subsection, a request for expedited  | 
external review must be initiated within 24 hours following  | 
the adverse determination notification by the insurer. Failure  | 
to request an expedited external review within 24 hours shall  | 
preclude a covered person or a covered person's authorized  | 
representative from requesting an expedited external review.  | 
 If an expedited external review request meets the criteria  | 
of the Health Carrier External Review Act, an independent  | 
review organization shall make a final determination of  | 
medical necessity within 72 hours. If an independent review  | 
 | 
organization upholds an adverse determination, an insurer  | 
shall remain responsible to provide coverage of benefits  | 
through the day following the determination of the independent  | 
review organization. A decision to reverse an adverse  | 
determination shall comply with the Health Carrier External  | 
Review Act. | 
 (5) The substance use disorder treatment provider or  | 
facility shall provide the insurer with 7 business days'  | 
advance notice of the planned discharge of the patient from  | 
the substance use disorder treatment provider or facility and  | 
notice on the day that the patient is discharged from the  | 
substance use disorder treatment provider or facility. | 
 (6) The benefits required by this subsection shall be  | 
provided to all covered persons with a diagnosis of substance  | 
use disorder or conditions. The presence of additional related  | 
or unrelated diagnoses shall not be a basis to reduce or deny  | 
the benefits required by this subsection. | 
 (7) Nothing in this subsection shall be construed to  | 
require an insurer to provide coverage for any of the benefits  | 
in this subsection. | 
 (h) As used in this Section: | 
 "Generally accepted standards of mental, emotional,  | 
nervous, or substance use disorder or condition care" means  | 
standards of care and clinical practice that are generally  | 
recognized by health care providers practicing in relevant  | 
clinical specialties such as psychiatry, psychology, clinical  | 
 | 
sociology, social work, addiction medicine and counseling, and  | 
behavioral health treatment. Valid, evidence-based sources  | 
reflecting generally accepted standards of mental, emotional,  | 
nervous, or substance use disorder or condition care include  | 
peer-reviewed scientific studies and medical literature,  | 
recommendations of nonprofit health care provider professional  | 
associations and specialty societies, including, but not  | 
limited to, patient placement criteria and clinical practice  | 
guidelines, recommendations of federal government agencies,  | 
and drug labeling approved by the United States Food and Drug  | 
Administration. | 
 "Medically necessary treatment of mental, emotional,  | 
nervous, or substance use disorders or conditions" means a  | 
service or product addressing the specific needs of that  | 
patient, for the purpose of screening, preventing, diagnosing,  | 
managing, or treating an illness, injury, or condition or its  | 
symptoms and comorbidities, including minimizing the  | 
progression of an illness, injury, or condition or its  | 
symptoms and comorbidities in a manner that is all of the  | 
following: | 
  (1) in accordance with the generally accepted  | 
 standards of mental, emotional, nervous, or substance use  | 
 disorder or condition care; | 
  (2) clinically appropriate in terms of type,  | 
 frequency, extent, site, and duration; and | 
  (3) not primarily for the economic benefit of the  | 
 | 
 insurer, purchaser, or for the convenience of the patient,  | 
 treating physician, or other health care provider. | 
 "Utilization review" means either of the following: | 
  (1) prospectively, retrospectively, or concurrently  | 
 reviewing and approving, modifying, delaying, or denying,  | 
 based in whole or in part on medical necessity, requests  | 
 by health care providers, insureds, or their authorized  | 
 representatives for coverage of health care services  | 
 before, retrospectively, or concurrently with the  | 
 provision of health care services to insureds. | 
  (2) evaluating the medical necessity, appropriateness,  | 
 level of care, service intensity, efficacy, or efficiency  | 
 of health care services, benefits, procedures, or  | 
 settings, under any circumstances, to determine whether a  | 
 health care service or benefit subject to a medical  | 
 necessity coverage requirement in an insurance policy is  | 
 covered as medically necessary for an insured. | 
 "Utilization review criteria" means patient placement  | 
criteria or any criteria, standards, protocols, or guidelines  | 
used by an insurer to conduct utilization review. | 
 (i)(1) Every insurer that amends, delivers, issues, or  | 
renews a group or individual policy of accident and health  | 
insurance or a qualified health plan offered through the  | 
health insurance marketplace in this State and Medicaid  | 
managed care organizations providing coverage for hospital or  | 
medical treatment on or after January 1, 2023 shall, pursuant  | 
 | 
to subsections (h) through (s), provide coverage for medically  | 
necessary treatment of mental, emotional, nervous, or  | 
substance use disorders or conditions. | 
 (2) An insurer shall not set a specific limit on the  | 
duration of benefits or coverage of medically necessary  | 
treatment of mental, emotional, nervous, or substance use  | 
disorders or conditions or limit coverage only to alleviation  | 
of the insured's current symptoms. | 
 (3) All medical necessity determinations made by the  | 
insurer concerning service intensity, level of care placement,  | 
continued stay, and transfer or discharge of insureds  | 
diagnosed with mental, emotional, nervous, or substance use  | 
disorders or conditions shall be conducted in accordance with  | 
the requirements of subsections (k) through (u). | 
 (4) An insurer that authorizes a specific type of  | 
treatment by a provider pursuant to this Section shall not  | 
rescind or modify the authorization after that provider  | 
renders the health care service in good faith and pursuant to  | 
this authorization for any reason, including, but not limited  | 
to, the insurer's subsequent cancellation or modification of  | 
the insured's or policyholder's contract, or the insured's or  | 
policyholder's eligibility. Nothing in this Section shall  | 
require the insurer to cover a treatment when the  | 
authorization was granted based on a material  | 
misrepresentation by the insured, the policyholder, or the  | 
provider. Nothing in this Section shall require Medicaid  | 
 | 
managed care organizations to pay for services if the  | 
individual was not eligible for Medicaid at the time the  | 
service was rendered. Nothing in this Section shall require an  | 
insurer to pay for services if the individual was not the  | 
insurer's enrollee at the time services were rendered. As used  | 
in this paragraph, "material" means a fact or situation that  | 
is not merely technical in nature and results in or could  | 
result in a substantial change in the situation. | 
 (j) An insurer shall not limit benefits or coverage for  | 
medically necessary services on the basis that those services  | 
should be or could be covered by a public entitlement program,  | 
including, but not limited to, special education or an  | 
individualized education program, Medicaid, Medicare,  | 
Supplemental Security Income, or Social Security Disability  | 
Insurance, and shall not include or enforce a contract term  | 
that excludes otherwise covered benefits on the basis that  | 
those services should be or could be covered by a public  | 
entitlement program. Nothing in this subsection shall be  | 
construed to require an insurer to cover benefits that have  | 
been authorized and provided for a covered person by a public  | 
entitlement program. Medicaid managed care organizations are  | 
not subject to this subsection. | 
 (k) An insurer shall base any medical necessity  | 
determination or the utilization review criteria that the  | 
insurer, and any entity acting on the insurer's behalf,  | 
applies to determine the medical necessity of health care  | 
 | 
services and benefits for the diagnosis, prevention, and  | 
treatment of mental, emotional, nervous, or substance use  | 
disorders or conditions on current generally accepted  | 
standards of mental, emotional, nervous, or substance use  | 
disorder or condition care. All denials and appeals shall be  | 
reviewed by a professional with experience or expertise  | 
comparable to the provider requesting the authorization. | 
 (l) For medical necessity determinations relating to level  | 
of care placement, continued stay, and transfer or discharge  | 
of insureds diagnosed with mental, emotional, and nervous  | 
disorders or conditions, an insurer shall apply the patient  | 
placement criteria set forth in the most recent version of the  | 
treatment criteria developed by an unaffiliated nonprofit  | 
professional association for the relevant clinical specialty  | 
or, for Medicaid managed care organizations, patient placement  | 
criteria determined by the Department of Healthcare and Family  | 
Services that are consistent with generally accepted standards  | 
of mental, emotional, nervous or substance use disorder or  | 
condition care. Pursuant to subsection (b), in conducting  | 
utilization review of all covered services and benefits for  | 
the diagnosis, prevention, and treatment of substance use  | 
disorders an insurer shall use the most recent edition of the  | 
patient placement criteria established by the American Society  | 
of Addiction Medicine. | 
 (m) For medical necessity determinations relating to level  | 
of care placement, continued stay, and transfer or discharge  | 
 | 
that are within the scope of the sources specified in  | 
subsection (l), an insurer shall not apply different,  | 
additional, conflicting, or more restrictive utilization  | 
review criteria than the criteria set forth in those sources.  | 
For all level of care placement decisions, the insurer shall  | 
authorize placement at the level of care consistent with the  | 
assessment of the insured using the relevant patient placement  | 
criteria as specified in subsection (l). If that level of  | 
placement is not available, the insurer shall authorize the  | 
next higher level of care. In the event of disagreement, the  | 
insurer shall provide full detail of its assessment using the  | 
relevant criteria as specified in subsection (l) to the  | 
provider of the service and the patient. | 
 Nothing in this subsection or subsection (l) prohibits an  | 
insurer from applying utilization review criteria that were  | 
developed in accordance with subsection (k) to health care  | 
services and benefits for mental, emotional, and nervous  | 
disorders or conditions that are not related to medical  | 
necessity determinations for level of care placement,  | 
continued stay, and transfer or discharge. If an insurer  | 
purchases or licenses utilization review criteria pursuant to  | 
this subsection, the insurer shall verify and document before  | 
use that the criteria were developed in accordance with  | 
subsection (k).  | 
 (n) In conducting utilization review that is outside the  | 
scope of the criteria as specified in subsection (l) or  | 
 | 
relates to the advancements in technology or in the types or  | 
levels of care that are not addressed in the most recent  | 
versions of the sources specified in subsection (l), an  | 
insurer shall conduct utilization review in accordance with  | 
subsection (k). | 
 (o) This Section does not in any way limit the rights of a  | 
patient under the Medical Patient Rights Act. | 
 (p) This Section does not in any way limit early and  | 
periodic screening, diagnostic, and treatment benefits as  | 
defined under 42 U.S.C. 1396d(r). | 
 (q) To ensure the proper use of the criteria described in  | 
subsection (l), every insurer shall do all of the following: | 
  (1) Educate the insurer's staff, including any third  | 
 parties contracted with the insurer to review claims,  | 
 conduct utilization reviews, or make medical necessity  | 
 determinations about the utilization review criteria. | 
  (2) Make the educational program available to other  | 
 stakeholders, including the insurer's participating or  | 
 contracted providers and potential participants,  | 
 beneficiaries, or covered lives. The education program  | 
 must be provided at least once a year, in-person or  | 
 digitally, or recordings of the education program must be  | 
 made available to the aforementioned stakeholders. | 
  (3) Provide, at no cost, the utilization review  | 
 criteria and any training material or resources to  | 
 providers and insured patients upon request. For  | 
 | 
 utilization review criteria not concerning level of care  | 
 placement, continued stay, and transfer or discharge used  | 
 by the insurer pursuant to subsection (m), the insurer may  | 
 place the criteria on a secure, password-protected website  | 
 so long as the access requirements of the website do not  | 
 unreasonably restrict access to insureds or their  | 
 providers. No restrictions shall be placed upon the  | 
 insured's or treating provider's access right to  | 
 utilization review criteria obtained under this paragraph  | 
 at any point in time, including before an initial request  | 
 for authorization. | 
  (4) Track, identify, and analyze how the utilization  | 
 review criteria are used to certify care, deny care, and  | 
 support the appeals process. | 
  (5) Conduct interrater reliability testing to ensure  | 
 consistency in utilization review decision making that  | 
 covers how medical necessity decisions are made; this  | 
 assessment shall cover all aspects of utilization review  | 
 as defined in subsection (h). | 
  (6) Run interrater reliability reports about how the  | 
 clinical guidelines are used in conjunction with the  | 
 utilization review process and parity compliance  | 
 activities. | 
  (7) Achieve interrater reliability pass rates of at  | 
 least 90% and, if this threshold is not met, immediately  | 
 provide for the remediation of poor interrater reliability  | 
 | 
 and interrater reliability testing for all new staff  | 
 before they can conduct utilization review without  | 
 supervision. | 
  (8) Maintain documentation of interrater reliability  | 
 testing and the remediation actions taken for those with  | 
 pass rates lower than 90% and submit to the Department of  | 
 Insurance or, in the case of Medicaid managed care  | 
 organizations, the Department of Healthcare and Family  | 
 Services the testing results and a summary of remedial  | 
 actions as part of parity compliance reporting set forth  | 
 in subsection (k) of Section 370c.1. | 
 (r) This Section applies to all health care services and  | 
benefits for the diagnosis, prevention, and treatment of  | 
mental, emotional, nervous, or substance use disorders or  | 
conditions covered by an insurance policy, including  | 
prescription drugs. | 
 (s) This Section applies to an insurer that amends,  | 
delivers, issues, or renews a group or individual policy of  | 
accident and health insurance or a qualified health plan  | 
offered through the health insurance marketplace in this State  | 
providing coverage for hospital or medical treatment and  | 
conducts utilization review as defined in this Section,  | 
including Medicaid managed care organizations, and any entity  | 
or contracting provider that performs utilization review or  | 
utilization management functions on an insurer's behalf. | 
 (t) If the Director determines that an insurer has  | 
 | 
violated this Section, the Director may, after appropriate  | 
notice and opportunity for hearing, by order, assess a civil  | 
penalty between $1,000 and $5,000 for each violation. Moneys  | 
collected from penalties shall be deposited into the Parity  | 
Advancement Fund established in subsection (i) of Section  | 
370c.1. | 
 (u) An insurer shall not adopt, impose, or enforce terms  | 
in its policies or provider agreements, in writing or in  | 
operation, that undermine, alter, or conflict with the  | 
requirements of this Section. | 
 (v) The provisions of this Section are severable. If any  | 
provision of this Section or its application is held invalid,  | 
that invalidity shall not affect other provisions or  | 
applications that can be given effect without the invalid  | 
provision or application.  | 
(Source: P.A. 101-81, eff. 7-12-19; 101-386, eff. 8-16-19;  | 
102-558, eff. 8-20-21; 102-579, eff. 1-1-22; revised  | 
10-15-21.)
 | 
 (215 ILCS 5/370c.1) | 
 Sec. 370c.1. Mental, emotional, nervous, or substance use  | 
disorder or condition parity. | 
 (a) On and after July 23, 2021 (the effective date of  | 
Public Act 102-135) this amendatory Act of the 102nd General  | 
Assembly, every insurer that amends, delivers, issues, or  | 
renews a group or individual policy of accident and health  | 
 | 
insurance or a qualified health plan offered through the  | 
Health Insurance Marketplace in this State providing coverage  | 
for hospital or medical treatment and for the treatment of  | 
mental, emotional, nervous, or substance use disorders or  | 
conditions shall ensure prior to policy issuance that: | 
  (1) the financial requirements applicable to such  | 
 mental, emotional, nervous, or substance use disorder or  | 
 condition benefits are no more restrictive than the  | 
 predominant financial requirements applied to  | 
 substantially all hospital and medical benefits covered by  | 
 the policy and that there are no separate cost-sharing  | 
 requirements that are applicable only with respect to  | 
 mental, emotional, nervous, or substance use disorder or  | 
 condition benefits; and | 
  (2) the treatment limitations applicable to such  | 
 mental, emotional, nervous, or substance use disorder or  | 
 condition benefits are no more restrictive than the  | 
 predominant treatment limitations applied to substantially  | 
 all hospital and medical benefits covered by the policy  | 
 and that there are no separate treatment limitations that  | 
 are applicable only with respect to mental, emotional,  | 
 nervous, or substance use disorder or condition benefits. | 
 (b) The following provisions shall apply concerning  | 
aggregate lifetime limits: | 
  (1) In the case of a group or individual policy of  | 
 accident and health insurance or a qualified health plan  | 
 | 
 offered through the Health Insurance Marketplace amended,  | 
 delivered, issued, or renewed in this State on or after  | 
 September 9, 2015 (the effective date of Public Act  | 
 99-480) this amendatory Act of the 99th General Assembly  | 
 that provides coverage for hospital or medical treatment  | 
 and for the treatment of mental, emotional, nervous, or  | 
 substance use disorders or conditions the following  | 
 provisions shall apply: | 
   (A) if the policy does not include an aggregate  | 
 lifetime limit on substantially all hospital and  | 
 medical benefits, then the policy may not impose any  | 
 aggregate lifetime limit on mental, emotional,  | 
 nervous, or substance use disorder or condition  | 
 benefits; or | 
   (B) if the policy includes an aggregate lifetime  | 
 limit on substantially all hospital and medical  | 
 benefits (in this subsection referred to as the  | 
 "applicable lifetime limit"), then the policy shall  | 
 either: | 
    (i) apply the applicable lifetime limit both  | 
 to the hospital and medical benefits to which it  | 
 otherwise would apply and to mental, emotional,  | 
 nervous, or substance use disorder or condition  | 
 benefits and not distinguish in the application of  | 
 the limit between the hospital and medical  | 
 benefits and mental, emotional, nervous, or  | 
 | 
 substance use disorder or condition benefits; or | 
    (ii) not include any aggregate lifetime limit  | 
 on mental, emotional, nervous, or substance use  | 
 disorder or condition benefits that is less than  | 
 the applicable lifetime limit. | 
  (2) In the case of a policy that is not described in  | 
 paragraph (1) of subsection (b) of this Section and that  | 
 includes no or different aggregate lifetime limits on  | 
 different categories of hospital and medical benefits, the  | 
 Director shall establish rules under which subparagraph  | 
 (B) of paragraph (1) of subsection (b) of this Section is  | 
 applied to such policy with respect to mental, emotional,  | 
 nervous, or substance use disorder or condition benefits  | 
 by substituting for the applicable lifetime limit an  | 
 average aggregate lifetime limit that is computed taking  | 
 into account the weighted average of the aggregate  | 
 lifetime limits applicable to such categories.  | 
 (c) The following provisions shall apply concerning annual  | 
limits: | 
  (1) In the case of a group or individual policy of  | 
 accident and health insurance or a qualified health plan  | 
 offered through the Health Insurance Marketplace amended,  | 
 delivered, issued, or renewed in this State on or after  | 
 September 9, 2015 (the effective date of Public Act  | 
 99-480) this amendatory Act of the 99th General Assembly  | 
 that provides coverage for hospital or medical treatment  | 
 | 
 and for the treatment of mental, emotional, nervous, or  | 
 substance use disorders or conditions the following  | 
 provisions shall apply:  | 
   (A) if the policy does not include an annual limit  | 
 on substantially all hospital and medical benefits,  | 
 then the policy may not impose any annual limits on  | 
 mental, emotional, nervous, or substance use disorder  | 
 or condition benefits; or | 
   (B) if the policy includes an annual limit on  | 
 substantially all hospital and medical benefits (in  | 
 this subsection referred to as the "applicable annual  | 
 limit"), then the policy shall either:  | 
    (i) apply the applicable annual limit both to  | 
 the hospital and medical benefits to which it  | 
 otherwise would apply and to mental, emotional,  | 
 nervous, or substance use disorder or condition  | 
 benefits and not distinguish in the application of  | 
 the limit between the hospital and medical  | 
 benefits and mental, emotional, nervous, or  | 
 substance use disorder or condition benefits; or | 
    (ii) not include any annual limit on mental,  | 
 emotional, nervous, or substance use disorder or  | 
 condition benefits that is less than the  | 
 applicable annual limit.  | 
  (2) In the case of a policy that is not described in  | 
 paragraph (1) of subsection (c) of this Section and that  | 
 | 
 includes no or different annual limits on different  | 
 categories of hospital and medical benefits, the Director  | 
 shall establish rules under which subparagraph (B) of  | 
 paragraph (1) of subsection (c) of this Section is applied  | 
 to such policy with respect to mental, emotional, nervous,  | 
 or substance use disorder or condition benefits by  | 
 substituting for the applicable annual limit an average  | 
 annual limit that is computed taking into account the  | 
 weighted average of the annual limits applicable to such  | 
 categories.  | 
 (d) With respect to mental, emotional, nervous, or  | 
substance use disorders or conditions, an insurer shall use  | 
policies and procedures for the election and placement of  | 
mental, emotional, nervous, or substance use disorder or  | 
condition treatment drugs on their formulary that are no less  | 
favorable to the insured as those policies and procedures the  | 
insurer uses for the selection and placement of drugs for  | 
medical or surgical conditions and shall follow the expedited  | 
coverage determination requirements for substance abuse  | 
treatment drugs set forth in Section 45.2 of the Managed Care  | 
Reform and Patient Rights Act.  | 
 (e) This Section shall be interpreted in a manner  | 
consistent with all applicable federal parity regulations  | 
including, but not limited to, the Paul Wellstone and Pete  | 
Domenici Mental Health Parity and Addiction Equity Act of  | 
2008, final regulations issued under the Paul Wellstone and  | 
 | 
Pete Domenici Mental Health Parity and Addiction Equity Act of  | 
2008 and final regulations applying the Paul Wellstone and  | 
Pete Domenici Mental Health Parity and Addiction Equity Act of  | 
2008 to Medicaid managed care organizations, the Children's  | 
Health Insurance Program, and alternative benefit plans. | 
 (f) The provisions of subsections (b) and (c) of this  | 
Section shall not be interpreted to allow the use of lifetime  | 
or annual limits otherwise prohibited by State or federal law. | 
 (g) As used in this Section: | 
 "Financial requirement" includes deductibles, copayments,  | 
coinsurance, and out-of-pocket maximums, but does not include  | 
an aggregate lifetime limit or an annual limit subject to  | 
subsections (b) and (c). | 
 "Mental, emotional, nervous, or substance use disorder or  | 
condition" means a condition or disorder that involves a  | 
mental health condition or substance use disorder that falls  | 
under any of the diagnostic categories listed in the mental  | 
and behavioral disorders chapter of the current edition of the  | 
International Classification of Disease or that is listed in  | 
the most recent version of the Diagnostic and Statistical  | 
Manual of Mental Disorders.  | 
 "Treatment limitation" includes limits on benefits based  | 
on the frequency of treatment, number of visits, days of  | 
coverage, days in a waiting period, or other similar limits on  | 
the scope or duration of treatment. "Treatment limitation"  | 
includes both quantitative treatment limitations, which are  | 
 | 
expressed numerically (such as 50 outpatient visits per year),  | 
and nonquantitative treatment limitations, which otherwise  | 
limit the scope or duration of treatment. A permanent  | 
exclusion of all benefits for a particular condition or  | 
disorder shall not be considered a treatment limitation.  | 
"Nonquantitative treatment" means those limitations as  | 
described under federal regulations (26 CFR 54.9812-1).  | 
"Nonquantitative treatment limitations" include, but are not  | 
limited to, those limitations described under federal  | 
regulations 26 CFR 54.9812-1, 29 CFR 2590.712, and 45 CFR  | 
146.136. 
 | 
 (h) The Department of Insurance shall implement the  | 
following education initiatives: | 
  (1) By January 1, 2016, the Department shall develop a  | 
 plan for a Consumer Education Campaign on parity. The  | 
 Consumer Education Campaign shall focus its efforts  | 
 throughout the State and include trainings in the  | 
 northern, southern, and central regions of the State, as  | 
 defined by the Department, as well as each of the 5 managed  | 
 care regions of the State as identified by the Department  | 
 of Healthcare and Family Services. Under this Consumer  | 
 Education Campaign, the Department shall: (1) by January  | 
 1, 2017, provide at least one live training in each region  | 
 on parity for consumers and providers and one webinar  | 
 training to be posted on the Department website and (2)  | 
 establish a consumer hotline to assist consumers in  | 
 | 
 navigating the parity process by March 1, 2017. By January  | 
 1, 2018 the Department shall issue a report to the General  | 
 Assembly on the success of the Consumer Education  | 
 Campaign, which shall indicate whether additional training  | 
 is necessary or would be recommended. | 
  (2) The Department, in coordination with the  | 
 Department of Human Services and the Department of  | 
 Healthcare and Family Services, shall convene a working  | 
 group of health care insurance carriers, mental health  | 
 advocacy groups, substance abuse patient advocacy groups,  | 
 and mental health physician groups for the purpose of  | 
 discussing issues related to the treatment and coverage of  | 
 mental, emotional, nervous, or substance use disorders or  | 
 conditions and compliance with parity obligations under  | 
 State and federal law. Compliance shall be measured,  | 
 tracked, and shared during the meetings of the working  | 
 group. The working group shall meet once before January 1,  | 
 2016 and shall meet semiannually thereafter. The  | 
 Department shall issue an annual report to the General  | 
 Assembly that includes a list of the health care insurance  | 
 carriers, mental health advocacy groups, substance abuse  | 
 patient advocacy groups, and mental health physician  | 
 groups that participated in the working group meetings,  | 
 details on the issues and topics covered, and any  | 
 legislative recommendations developed by the working  | 
 group. | 
 | 
  (3) Not later than January 1 of each year, the  | 
 Department, in conjunction with the Department of  | 
 Healthcare and Family Services, shall issue a joint report  | 
 to the General Assembly and provide an educational  | 
 presentation to the General Assembly. The report and  | 
 presentation shall:  | 
   (A) Cover the methodology the Departments use to  | 
 check for compliance with the federal Paul Wellstone  | 
 and Pete Domenici Mental Health Parity and Addiction  | 
 Equity Act of 2008, 42 U.S.C. 18031(j), and any  | 
 federal regulations or guidance relating to the  | 
 compliance and oversight of the federal Paul Wellstone  | 
 and Pete Domenici Mental Health Parity and Addiction  | 
 Equity Act of 2008 and 42 U.S.C. 18031(j). | 
   (B) Cover the methodology the Departments use to  | 
 check for compliance with this Section and Sections  | 
 356z.23 and 370c of this Code. | 
   (C) Identify market conduct examinations or, in  | 
 the case of the Department of Healthcare and Family  | 
 Services, audits conducted or completed during the  | 
 preceding 12-month period regarding compliance with  | 
 parity in mental, emotional, nervous, and substance  | 
 use disorder or condition benefits under State and  | 
 federal laws and summarize the results of such market  | 
 conduct examinations and audits. This shall include:  | 
    (i) the number of market conduct examinations  | 
 | 
 and audits initiated and completed; | 
    (ii) the benefit classifications examined by  | 
 each market conduct examination and audit; | 
    (iii) the subject matter of each market  | 
 conduct examination and audit, including  | 
 quantitative and nonquantitative treatment  | 
 limitations; and | 
    (iv) a summary of the basis for the final  | 
 decision rendered in each market conduct  | 
 examination and audit. | 
   Individually identifiable information shall be  | 
 excluded from the reports consistent with federal  | 
 privacy protections. | 
   (D) Detail any educational or corrective actions  | 
 the Departments have taken to ensure compliance with  | 
 the federal Paul Wellstone and Pete Domenici Mental  | 
 Health Parity and Addiction Equity Act of 2008, 42  | 
 U.S.C. 18031(j), this Section, and Sections 356z.23  | 
 and 370c of this Code. | 
   (E) The report must be written in non-technical,  | 
 readily understandable language and shall be made  | 
 available to the public by, among such other means as  | 
 the Departments find appropriate, posting the report  | 
 on the Departments' websites.  | 
 (i) The Parity Advancement Fund is created as a special  | 
fund in the State treasury. Moneys from fines and penalties  | 
 | 
collected from insurers for violations of this Section shall  | 
be deposited into the Fund. Moneys deposited into the Fund for  | 
appropriation by the General Assembly to the Department shall  | 
be used for the purpose of providing financial support of the  | 
Consumer Education Campaign, parity compliance advocacy, and  | 
other initiatives that support parity implementation and  | 
enforcement on behalf of consumers.  | 
 (j) The Department of Insurance and the Department of  | 
Healthcare and Family Services shall convene and provide  | 
technical support to a workgroup of 11 members that shall be  | 
comprised of 3 mental health parity experts recommended by an  | 
organization advocating on behalf of mental health parity  | 
appointed by the President of the Senate; 3 behavioral health  | 
providers recommended by an organization that represents  | 
behavioral health providers appointed by the Speaker of the  | 
House of Representatives; 2 representing Medicaid managed care  | 
organizations recommended by an organization that represents  | 
Medicaid managed care plans appointed by the Minority Leader  | 
of the House of Representatives; 2 representing commercial  | 
insurers recommended by an organization that represents  | 
insurers appointed by the Minority Leader of the Senate; and a  | 
representative of an organization that represents Medicaid  | 
managed care plans appointed by the Governor.  | 
 The workgroup shall provide recommendations to the General  | 
Assembly on health plan data reporting requirements that  | 
separately break out data on mental, emotional, nervous, or  | 
 | 
substance use disorder or condition benefits and data on other  | 
medical benefits, including physical health and related health  | 
services no later than December 31, 2019. The recommendations  | 
to the General Assembly shall be filed with the Clerk of the  | 
House of Representatives and the Secretary of the Senate in  | 
electronic form only, in the manner that the Clerk and the  | 
Secretary shall direct. This workgroup shall take into account  | 
federal requirements and recommendations on mental health  | 
parity reporting for the Medicaid program. This workgroup  | 
shall also develop the format and provide any needed  | 
definitions for reporting requirements in subsection (k). The  | 
research and evaluation of the working group shall include,  | 
but not be limited to:  | 
  (1) claims denials due to benefit limits, if  | 
 applicable;  | 
  (2) administrative denials for no prior authorization; | 
  (3) denials due to not meeting medical necessity; | 
  (4) denials that went to external review and whether  | 
 they were upheld or overturned for medical necessity; | 
  (5) out-of-network claims; | 
  (6) emergency care claims; | 
  (7) network directory providers in the outpatient  | 
 benefits classification who filed no claims in the last 6  | 
 months, if applicable; | 
  (8) the impact of existing and pertinent limitations  | 
 and restrictions related to approved services, licensed  | 
 | 
 providers, reimbursement levels, and reimbursement  | 
 methodologies within the Division of Mental Health, the  | 
 Division of Substance Use Prevention and Recovery  | 
 programs, the Department of Healthcare and Family  | 
 Services, and, to the extent possible, federal regulations  | 
 and law; and | 
  (9) when reporting and publishing should begin.  | 
 Representatives from the Department of Healthcare and  | 
Family Services, representatives from the Division of Mental  | 
Health, and representatives from the Division of Substance Use  | 
Prevention and Recovery shall provide technical advice to the  | 
workgroup.  | 
 (k) An insurer that amends, delivers, issues, or renews a  | 
group or individual policy of accident and health insurance or  | 
a qualified health plan offered through the health insurance  | 
marketplace in this State providing coverage for hospital or  | 
medical treatment and for the treatment of mental, emotional,  | 
nervous, or substance use disorders or conditions shall submit  | 
an annual report, the format and definitions for which will be  | 
developed by the workgroup in subsection (j), to the  | 
Department, or, with respect to medical assistance, the  | 
Department of Healthcare and Family Services starting on or  | 
before July 1, 2020 that contains the following information  | 
separately for inpatient in-network benefits, inpatient  | 
out-of-network benefits, outpatient in-network benefits,  | 
outpatient out-of-network benefits, emergency care benefits,  | 
 | 
and prescription drug benefits in the case of accident and  | 
health insurance or qualified health plans, or inpatient,  | 
outpatient, emergency care, and prescription drug benefits in  | 
the case of medical assistance:  | 
  (1) A summary of the plan's pharmacy management  | 
 processes for mental, emotional, nervous, or substance use  | 
 disorder or condition benefits compared to those for other  | 
 medical benefits. | 
  (2) A summary of the internal processes of review for  | 
 experimental benefits and unproven technology for mental,  | 
 emotional, nervous, or substance use disorder or condition  | 
 benefits and those for
other medical benefits. | 
  (3) A summary of how the plan's policies and  | 
 procedures for utilization management for mental,  | 
 emotional, nervous, or substance use disorder or condition  | 
 benefits compare to those for other medical benefits. | 
  (4) A description of the process used to develop or  | 
 select the medical necessity criteria for mental,  | 
 emotional, nervous, or substance use disorder or condition  | 
 benefits and the process used to develop or select the  | 
 medical necessity criteria for medical and surgical  | 
 benefits.  | 
  (5) Identification of all nonquantitative treatment  | 
 limitations that are applied to both mental, emotional,  | 
 nervous, or substance use disorder or condition benefits  | 
 and medical and surgical benefits within each  | 
 | 
 classification of benefits. | 
  (6) The results of an analysis that demonstrates that  | 
 for the medical necessity criteria described in  | 
 subparagraph (A) and for each nonquantitative treatment  | 
 limitation identified in subparagraph (B), as written and  | 
 in operation, the processes, strategies, evidentiary  | 
 standards, or other factors used in applying the medical  | 
 necessity criteria and each nonquantitative treatment  | 
 limitation to mental, emotional, nervous, or substance use  | 
 disorder or condition benefits within each classification  | 
 of benefits are comparable to, and are applied no more  | 
 stringently than, the processes, strategies, evidentiary  | 
 standards, or other factors used in applying the medical  | 
 necessity criteria and each nonquantitative treatment  | 
 limitation to medical and surgical benefits within the  | 
 corresponding classification of benefits; at a minimum,  | 
 the results of the analysis shall: | 
   (A) identify the factors used to determine that a  | 
 nonquantitative treatment limitation applies to a  | 
 benefit, including factors that were considered but  | 
 rejected; | 
   (B) identify and define the specific evidentiary  | 
 standards used to define the factors and any other  | 
 evidence relied upon in designing each nonquantitative  | 
 treatment limitation; | 
   (C) provide the comparative analyses, including  | 
 | 
 the results of the analyses, performed to determine  | 
 that the processes and strategies used to design each  | 
 nonquantitative treatment limitation, as written, for  | 
 mental, emotional, nervous, or substance use disorder  | 
 or condition benefits are comparable to, and are  | 
 applied no more stringently than, the processes and  | 
 strategies used to design each nonquantitative  | 
 treatment limitation, as written, for medical and  | 
 surgical benefits; | 
   (D) provide the comparative analyses, including  | 
 the results of the analyses, performed to determine  | 
 that the processes and strategies used to apply each  | 
 nonquantitative treatment limitation, in operation,  | 
 for mental, emotional, nervous, or substance use  | 
 disorder or condition benefits are comparable to, and  | 
 applied no more stringently than, the processes or  | 
 strategies used to apply each nonquantitative  | 
 treatment limitation, in operation, for medical and  | 
 surgical benefits; and | 
   (E) disclose the specific findings and conclusions  | 
 reached by the insurer that the results of the  | 
 analyses described in subparagraphs (C) and (D)  | 
 indicate that the insurer is in compliance with this  | 
 Section and the Mental Health Parity and Addiction  | 
 Equity Act of 2008 and its implementing regulations,  | 
 which includes 42 CFR Parts 438, 440, and 457 and 45  | 
 | 
 CFR 146.136 and any other related federal regulations  | 
 found in the Code of Federal Regulations. | 
  (7) Any other information necessary to clarify data  | 
 provided in accordance with this Section requested by the  | 
 Director, including information that may be proprietary or  | 
 have commercial value, under the requirements of Section  | 
 30 of the Viatical Settlements Act of 2009. | 
 (l) An insurer that amends, delivers, issues, or renews a  | 
group or individual policy of accident and health insurance or  | 
a qualified health plan offered through the health insurance  | 
marketplace in this State providing coverage for hospital or  | 
medical treatment and for the treatment of mental, emotional,  | 
nervous, or substance use disorders or conditions on or after  | 
January 1, 2019 (the effective date of Public Act 100-1024)  | 
this amendatory Act of the 100th General Assembly shall, in  | 
advance of the plan year, make available to the Department or,  | 
with respect to medical assistance, the Department of  | 
Healthcare and Family Services and to all plan participants  | 
and beneficiaries the information required in subparagraphs  | 
(C) through (E) of paragraph (6) of subsection (k). For plan  | 
participants and medical assistance beneficiaries, the  | 
information required in subparagraphs (C) through (E) of  | 
paragraph (6) of subsection (k) shall be made available on a  | 
publicly-available website whose web address is prominently  | 
displayed in plan and managed care organization informational  | 
and marketing materials. | 
 | 
 (m) In conjunction with its compliance examination program  | 
conducted in accordance with the Illinois State Auditing Act,  | 
the Auditor General shall undertake a review of
compliance by  | 
the Department and the Department of Healthcare and Family  | 
Services with Section 370c and this Section. Any
findings  | 
resulting from the review conducted under this Section shall  | 
be included in the applicable State agency's compliance  | 
examination report. Each compliance examination report shall  | 
be issued in accordance with Section 3-14 of the Illinois  | 
State
Auditing Act. A copy of each report shall also be  | 
delivered to
the head of the applicable State agency and  | 
posted on the Auditor General's website.  | 
(Source: P.A. 102-135, eff. 7-23-21; 102-579, eff. 8-25-21;  | 
revised 10-15-21.)
 | 
 Section 430. The Network Adequacy and Transparency Act is  | 
amended by changing Section 5 as follows:
 | 
 (215 ILCS 124/5)
 | 
 Sec. 5. Definitions. In this Act: | 
 "Authorized representative" means a person to whom a  | 
beneficiary has given express written consent to represent the  | 
beneficiary; a person authorized by law to provide substituted  | 
consent for a beneficiary; or the beneficiary's treating  | 
provider only when the beneficiary or his or her family member  | 
is unable to provide consent. | 
 | 
 "Beneficiary" means an individual, an enrollee, an  | 
insured, a participant, or any other person entitled to  | 
reimbursement for covered expenses of or the discounting of  | 
provider fees for health care services under a program in  | 
which the beneficiary has an incentive to utilize the services  | 
of a provider that has entered into an agreement or  | 
arrangement with an insurer. | 
 "Department" means the Department of Insurance. | 
 "Director" means the Director of Insurance. | 
 "Family caregiver" means a relative, partner, friend, or  | 
neighbor who has a significant relationship with the patient  | 
and administers or assists the patient them with activities of  | 
daily living, instrumental activities of daily living, or  | 
other medical or nursing tasks for the quality and welfare of  | 
that patient.  | 
 "Insurer" means any entity that offers individual or group  | 
accident and health insurance, including, but not limited to,  | 
health maintenance organizations, preferred provider  | 
organizations, exclusive provider organizations, and other  | 
plan structures requiring network participation, excluding the  | 
medical assistance program under the Illinois Public Aid Code,  | 
the State employees group health insurance program, workers  | 
compensation insurance, and pharmacy benefit managers. | 
 "Material change" means a significant reduction in the  | 
number of providers available in a network plan, including,  | 
but not limited to, a reduction of 10% or more in a specific  | 
 | 
type of providers, the removal of a major health system that  | 
causes a network to be significantly different from the  | 
network when the beneficiary purchased the network plan, or  | 
any change that would cause the network to no longer satisfy  | 
the requirements of this Act or the Department's rules for  | 
network adequacy and transparency. | 
 "Network" means the group or groups of preferred providers  | 
providing services to a network plan. | 
 "Network plan" means an individual or group policy of  | 
accident and health insurance that either requires a covered  | 
person to use or creates incentives, including financial  | 
incentives, for a covered person to use providers managed,  | 
owned, under contract with, or employed by the insurer. | 
 "Ongoing course of treatment" means (1) treatment for a  | 
life-threatening condition, which is a disease or condition  | 
for which likelihood of death is probable unless the course of  | 
the disease or condition is interrupted; (2) treatment for a  | 
serious acute condition, defined as a disease or condition  | 
requiring complex ongoing care that the covered person is  | 
currently receiving, such as chemotherapy, radiation therapy,  | 
or post-operative visits; (3) a course of treatment for a  | 
health condition that a treating provider attests that  | 
discontinuing care by that provider would worsen the condition  | 
or interfere with anticipated outcomes; or (4) the third  | 
trimester of pregnancy through the post-partum period. | 
 "Preferred provider" means any provider who has entered,  | 
 | 
either directly or indirectly, into an agreement with an  | 
employer or risk-bearing entity relating to health care  | 
services that may be rendered to beneficiaries under a network  | 
plan. | 
 "Providers" means physicians licensed to practice medicine  | 
in all its branches, other health care professionals,  | 
hospitals, or other health care institutions that provide  | 
health care services. | 
 "Telehealth" has the meaning given to that term in Section  | 
356z.22 of the Illinois Insurance Code. | 
 "Telemedicine" has the meaning given to that term in  | 
Section 49.5 of the Medical Practice Act of 1987. | 
 "Tiered network" means a network that identifies and  | 
groups some or all types of provider and facilities into  | 
specific groups to which different provider reimbursement,  | 
covered person cost-sharing or provider access requirements,  | 
or any combination thereof, apply for the same services. | 
 "Woman's principal health care provider" means a physician  | 
licensed to practice medicine in all of its branches  | 
specializing in obstetrics, gynecology, or family practice.
 | 
(Source: P.A. 102-92, eff. 7-9-21; revised 10-5-21.)
 | 
 Section 435. The Health Maintenance Organization Act is  | 
amended by changing Section 5-3 as follows:
 | 
 (215 ILCS 125/5-3) (from Ch. 111 1/2, par. 1411.2)
 | 
 | 
 Sec. 5-3. Insurance Code provisions. 
 | 
 (a) Health Maintenance Organizations
shall be subject to  | 
the provisions of Sections 133, 134, 136, 137, 139, 140,  | 
141.1,
141.2, 141.3, 143, 143c, 147, 148, 149, 151,
152, 153,  | 
154, 154.5, 154.6,
154.7, 154.8, 155.04, 155.22a, 355.2,  | 
355.3, 355b, 356g.5-1, 356m, 356q, 356v, 356w, 356x, 356y,
 | 
356z.2, 356z.4, 356z.4a, 356z.5, 356z.6, 356z.8, 356z.9,  | 
356z.10, 356z.11, 356z.12, 356z.13, 356z.14, 356z.15, 356z.17,  | 
356z.18, 356z.19, 356z.21, 356z.22, 356z.25, 356z.26, 356z.29,  | 
356z.30, 356z.30a, 356z.32, 356z.33, 356z.35, 356z.36,  | 
356z.40, 356z.41, 356z.43, 356z.46, 356z.47, 356z.48, 356z.50,  | 
356z.51, 364, 364.01, 367.2, 367.2-5, 367i, 368a, 368b, 368c,  | 
368d, 368e, 370c,
370c.1, 401, 401.1, 402, 403, 403A,
408,  | 
408.2, 409, 412, 444,
and
444.1,
paragraph (c) of subsection  | 
(2) of Section 367, and Articles IIA, VIII 1/2,
XII,
XII 1/2,  | 
XIII, XIII 1/2, XXV, XXVI, and XXXIIB of the Illinois  | 
Insurance Code.
 | 
 (b) For purposes of the Illinois Insurance Code, except  | 
for Sections 444
and 444.1 and Articles XIII and XIII 1/2,  | 
Health Maintenance Organizations in
the following categories  | 
are deemed to be "domestic companies":
 | 
  (1) a corporation authorized under the
Dental Service  | 
 Plan Act or the Voluntary Health Services Plans Act;
 | 
  (2) a corporation organized under the laws of this  | 
 State; or
 | 
  (3) a corporation organized under the laws of another  | 
 | 
 state, 30% or more
of the enrollees of which are residents  | 
 of this State, except a
corporation subject to  | 
 substantially the same requirements in its state of
 | 
 organization as is a "domestic company" under Article VIII  | 
 1/2 of the
Illinois Insurance Code.
 | 
 (c) In considering the merger, consolidation, or other  | 
acquisition of
control of a Health Maintenance Organization  | 
pursuant to Article VIII 1/2
of the Illinois Insurance Code,
 | 
  (1) the Director shall give primary consideration to  | 
 the continuation of
benefits to enrollees and the  | 
 financial conditions of the acquired Health
Maintenance  | 
 Organization after the merger, consolidation, or other
 | 
 acquisition of control takes effect;
 | 
  (2)(i) the criteria specified in subsection (1)(b) of  | 
 Section 131.8 of
the Illinois Insurance Code shall not  | 
 apply and (ii) the Director, in making
his determination  | 
 with respect to the merger, consolidation, or other
 | 
 acquisition of control, need not take into account the  | 
 effect on
competition of the merger, consolidation, or  | 
 other acquisition of control;
 | 
  (3) the Director shall have the power to require the  | 
 following
information:
 | 
   (A) certification by an independent actuary of the  | 
 adequacy
of the reserves of the Health Maintenance  | 
 Organization sought to be acquired;
 | 
   (B) pro forma financial statements reflecting the  | 
 | 
 combined balance
sheets of the acquiring company and  | 
 the Health Maintenance Organization sought
to be  | 
 acquired as of the end of the preceding year and as of  | 
 a date 90 days
prior to the acquisition, as well as pro  | 
 forma financial statements
reflecting projected  | 
 combined operation for a period of 2 years;
 | 
   (C) a pro forma business plan detailing an  | 
 acquiring party's plans with
respect to the operation  | 
 of the Health Maintenance Organization sought to
be  | 
 acquired for a period of not less than 3 years; and
 | 
   (D) such other information as the Director shall  | 
 require.
 | 
 (d) The provisions of Article VIII 1/2 of the Illinois  | 
Insurance Code
and this Section 5-3 shall apply to the sale by  | 
any health maintenance
organization of greater than 10% of its
 | 
enrollee population (including without limitation the health  | 
maintenance
organization's right, title, and interest in and  | 
to its health care
certificates).
 | 
 (e) In considering any management contract or service  | 
agreement subject
to Section 141.1 of the Illinois Insurance  | 
Code, the Director (i) shall, in
addition to the criteria  | 
specified in Section 141.2 of the Illinois
Insurance Code,  | 
take into account the effect of the management contract or
 | 
service agreement on the continuation of benefits to enrollees  | 
and the
financial condition of the health maintenance  | 
organization to be managed or
serviced, and (ii) need not take  | 
 | 
into account the effect of the management
contract or service  | 
agreement on competition.
 | 
 (f) Except for small employer groups as defined in the  | 
Small Employer
Rating, Renewability and Portability Health  | 
Insurance Act and except for
medicare supplement policies as  | 
defined in Section 363 of the Illinois
Insurance Code, a  | 
Health Maintenance Organization may by contract agree with a
 | 
group or other enrollment unit to effect refunds or charge  | 
additional premiums
under the following terms and conditions:
 | 
  (i) the amount of, and other terms and conditions with  | 
 respect to, the
refund or additional premium are set forth  | 
 in the group or enrollment unit
contract agreed in advance  | 
 of the period for which a refund is to be paid or
 | 
 additional premium is to be charged (which period shall  | 
 not be less than one
year); and
 | 
  (ii) the amount of the refund or additional premium  | 
 shall not exceed 20%
of the Health Maintenance  | 
 Organization's profitable or unprofitable experience
with  | 
 respect to the group or other enrollment unit for the  | 
 period (and, for
purposes of a refund or additional  | 
 premium, the profitable or unprofitable
experience shall  | 
 be calculated taking into account a pro rata share of the
 | 
 Health Maintenance Organization's administrative and  | 
 marketing expenses, but
shall not include any refund to be  | 
 made or additional premium to be paid
pursuant to this  | 
 subsection (f)). The Health Maintenance Organization and  | 
 | 
 the
group or enrollment unit may agree that the profitable  | 
 or unprofitable
experience may be calculated taking into  | 
 account the refund period and the
immediately preceding 2  | 
 plan years.
 | 
 The Health Maintenance Organization shall include a  | 
statement in the
evidence of coverage issued to each enrollee  | 
describing the possibility of a
refund or additional premium,  | 
and upon request of any group or enrollment unit,
provide to  | 
the group or enrollment unit a description of the method used  | 
to
calculate (1) the Health Maintenance Organization's  | 
profitable experience with
respect to the group or enrollment  | 
unit and the resulting refund to the group
or enrollment unit  | 
or (2) the Health Maintenance Organization's unprofitable
 | 
experience with respect to the group or enrollment unit and  | 
the resulting
additional premium to be paid by the group or  | 
enrollment unit.
 | 
 In no event shall the Illinois Health Maintenance  | 
Organization
Guaranty Association be liable to pay any  | 
contractual obligation of an
insolvent organization to pay any  | 
refund authorized under this Section.
 | 
 (g) Rulemaking authority to implement Public Act 95-1045,  | 
if any, is conditioned on the rules being adopted in  | 
accordance with all provisions of the Illinois Administrative  | 
Procedure Act and all rules and procedures of the Joint  | 
Committee on Administrative Rules; any purported rule not so  | 
adopted, for whatever reason, is unauthorized.  | 
 | 
(Source: P.A. 101-13, eff. 6-12-19; 101-81, eff. 7-12-19;  | 
101-281, eff. 1-1-20; 101-371, eff. 1-1-20; 101-393, eff.  | 
1-1-20; 101-452, eff. 1-1-20; 101-461, eff. 1-1-20; 101-625,  | 
eff. 1-1-21; 102-30, eff. 1-1-22; 102-34, eff. 6-25-21;  | 
102-203, eff. 1-1-22; 102-306, eff. 1-1-22; 102-443, eff.  | 
1-1-22; 102-589, eff. 1-1-22; 102-642, eff. 1-1-22; 102-665,  | 
eff. 10-8-21; revised 10-27-21.)
 | 
 Section 440. The Limited Health Service Organization Act  | 
is amended by changing Section 4003 as follows:
 | 
 (215 ILCS 130/4003) (from Ch. 73, par. 1504-3)
 | 
 Sec. 4003. Illinois Insurance Code provisions. Limited  | 
health service
organizations shall be subject to the  | 
provisions of Sections 133, 134, 136, 137, 139,
140, 141.1,  | 
141.2, 141.3, 143, 143c, 147, 148, 149, 151, 152, 153, 154,  | 
154.5,
154.6, 154.7, 154.8, 155.04, 155.37, 355.2, 355.3,  | 
355b, 356q, 356v, 356z.10, 356z.21, 356z.22, 356z.25, 356z.26,  | 
356z.29, 356z.30a, 356z.32, 356z.33, 356z.41, 356z.46,  | 
356z.47, 356z.51, 356z.43, 368a, 401, 401.1,
402,
403, 403A,  | 
408,
408.2, 409, 412, 444, and 444.1 and Articles IIA, VIII  | 
1/2, XII, XII 1/2,
XIII,
XIII 1/2, XXV, and XXVI of the  | 
Illinois Insurance Code. For purposes of the
Illinois  | 
Insurance Code, except for Sections 444 and 444.1 and Articles  | 
XIII
and XIII 1/2, limited health service organizations in the  | 
following categories
are deemed to be domestic companies:
 | 
 | 
  (1) a corporation under the laws of this State; or
 | 
  (2) a corporation organized under the laws of another  | 
 state, 30% or more
of the enrollees of which are residents  | 
 of this State, except a corporation
subject to  | 
 substantially the same requirements in its state of  | 
 organization as
is a domestic company under Article VIII  | 
 1/2 of the Illinois Insurance Code.
 | 
(Source: P.A. 101-81, eff. 7-12-19; 101-281, eff. 1-1-20;  | 
101-393, eff. 1-1-20; 101-625, eff. 1-1-21; 102-30, eff.  | 
1-1-22; 102-203, eff. 1-1-22; 102-306, eff. 1-1-22; 102-642,  | 
eff. 1-1-22; revised 10-27-21.)
 | 
 Section 445. The Voluntary Health Services Plans Act is  | 
amended by changing Section 10 as follows:
 | 
 (215 ILCS 165/10) (from Ch. 32, par. 604)
 | 
 Sec. 10. Application of Insurance Code provisions. Health  | 
services
plan corporations and all persons interested therein  | 
or dealing therewith
shall be subject to the provisions of  | 
Articles IIA and XII 1/2 and Sections
3.1, 133, 136, 139, 140,  | 
143, 143c, 149, 155.22a, 155.37, 354, 355.2, 355.3, 355b,  | 
356g, 356g.5, 356g.5-1, 356q, 356r, 356t, 356u, 356v,
356w,  | 
356x, 356y, 356z.1, 356z.2, 356z.4, 356z.4a, 356z.5, 356z.6,  | 
356z.8, 356z.9,
356z.10, 356z.11, 356z.12, 356z.13, 356z.14,  | 
356z.15, 356z.18, 356z.19, 356z.21, 356z.22, 356z.25, 356z.26,  | 
356z.29, 356z.30, 356z.30a, 356z.32, 356z.33, 356z.40,  | 
 | 
356z.41, 356z.46, 356z.47, 356z.51, 356z.43, 364.01, 367.2,  | 
368a, 401, 401.1,
402,
403, 403A, 408,
408.2, and 412, and  | 
paragraphs (7) and (15) of Section 367 of the Illinois
 | 
Insurance Code.
 | 
 Rulemaking authority to implement Public Act 95-1045, if  | 
any, is conditioned on the rules being adopted in accordance  | 
with all provisions of the Illinois Administrative Procedure  | 
Act and all rules and procedures of the Joint Committee on  | 
Administrative Rules; any purported rule not so adopted, for  | 
whatever reason, is unauthorized.  | 
(Source: P.A. 101-13, eff. 6-12-19; 101-81, eff. 7-12-19;  | 
101-281, eff. 1-1-20; 101-393, eff. 1-1-20; 101-625, eff.  | 
1-1-21; 102-30, eff. 1-1-22; 102-203, eff. 1-1-22; 102-306,  | 
eff. 1-1-22; 102-642, eff. 1-1-22; 102-665, eff. 10-8-21;  | 
revised 10-27-21.)
 | 
 Section 450. The Public Utilities Act is amended by  | 
changing Section 8-406 as follows:
 | 
 (220 ILCS 5/8-406) (from Ch. 111 2/3, par. 8-406) | 
 Sec. 8-406. Certificate of public convenience and  | 
necessity.  | 
 (a) No public utility not owning any city or village
 | 
franchise nor engaged in performing any public service or in  | 
furnishing any
product or commodity within this State as of  | 
July 1, 1921 and not
possessing a certificate of
public  | 
 | 
convenience and necessity from the Illinois Commerce  | 
Commission,
the State Public Utilities Commission, or
the  | 
Public Utilities Commission, at the time Public Act 84-617  | 
this amendatory Act of 1985 goes
into effect (January 1,  | 
1986), shall transact any business in this State until it  | 
shall have
obtained a certificate from the Commission that  | 
public convenience and
necessity require the transaction of  | 
such business. A certificate of public convenience and  | 
necessity requiring the transaction of public utility business  | 
in any area of this State shall include authorization to the  | 
public utility receiving the certificate of public convenience  | 
and necessity to construct such plant, equipment, property, or  | 
facility as is provided for under the terms and conditions of  | 
its tariff and as is necessary to provide utility service and  | 
carry out the transaction of public utility business by the  | 
public utility in the designated area. | 
 (b) No public utility shall begin the construction of any  | 
new plant,
equipment, property, or facility which is not in  | 
substitution of any
existing plant, equipment, property, or  | 
facility, or any extension or
alteration thereof or in  | 
addition thereto,
unless and until it shall have obtained from  | 
the
Commission a certificate that public convenience and  | 
necessity require such
construction. Whenever after a hearing  | 
the Commission determines that any
new construction or the  | 
transaction of any business by a public utility will
promote  | 
the public convenience and is necessary thereto, it shall have  | 
 | 
the
power to issue certificates of public convenience and  | 
necessity. The
Commission shall determine that proposed  | 
construction will promote the
public convenience and necessity  | 
only if the utility demonstrates: (1) that the
proposed  | 
construction is necessary to provide adequate, reliable, and
 | 
efficient service to its customers and is the
least-cost means  | 
of
satisfying the service needs of its customers or that the  | 
proposed construction will promote the development of an  | 
effectively competitive electricity market that operates  | 
efficiently, is equitable to all customers, and is the least  | 
cost means of satisfying those objectives;
(2) that the  | 
utility is capable of efficiently managing and
supervising the  | 
construction process and has taken sufficient action to
ensure  | 
adequate and efficient construction and supervision thereof;  | 
and (3)
that the utility is capable of financing the proposed  | 
construction without
significant adverse financial  | 
consequences for the utility or its
customers. | 
 (b-5) As used in this subsection (b-5): | 
 "Qualifying direct current applicant" means an entity that  | 
seeks to provide direct current bulk transmission service for  | 
the purpose of transporting electric energy in interstate  | 
commerce. | 
 "Qualifying direct current project" means a high voltage  | 
direct current electric service line that crosses at least one  | 
Illinois border, the Illinois portion of which is physically  | 
located within the region of the Midcontinent Independent  | 
 | 
System Operator, Inc., or its successor organization, and runs  | 
through the counties of Pike, Scott, Greene, Macoupin,  | 
Montgomery, Christian, Shelby, Cumberland, and Clark, is  | 
capable of transmitting electricity at voltages of 345  | 
kilovolts 345kv or above, and may also include associated  | 
interconnected alternating current interconnection facilities  | 
in this State that are part of the proposed project and  | 
reasonably necessary to connect the project with other  | 
portions of the grid. | 
 Notwithstanding any other provision of this Act, a  | 
qualifying direct current applicant that does not own,  | 
control, operate, or manage, within this State, any plant,  | 
equipment, or property used or to be used for the transmission  | 
of electricity at the time of its application or of the  | 
Commission's order may file an application on or before  | 
December 31, 2023 with the Commission pursuant to this Section  | 
or Section 8-406.1 for, and the Commission may grant, a  | 
certificate of public convenience and necessity to construct,  | 
operate, and maintain a qualifying direct current project. The  | 
qualifying direct current applicant may also include in the  | 
application requests for authority under Section 8-503. The  | 
Commission shall grant the application for a certificate of  | 
public convenience and necessity and requests for authority  | 
under Section 8-503 if it finds that the qualifying direct  | 
current applicant and the proposed qualifying direct current  | 
project satisfy the requirements of this subsection and  | 
 | 
otherwise satisfy the criteria of this Section or Section  | 
8-406.1 and the criteria of Section 8-503, as applicable to  | 
the application and to the extent such criteria are not  | 
superseded by the provisions of this subsection. The  | 
Commission's order on the application for the certificate of  | 
public convenience and necessity shall also include the  | 
Commission's findings and determinations on the request or  | 
requests for authority pursuant to Section 8-503. Prior to  | 
filing its application under either this Section or Section  | 
8-406.1, the qualifying direct current applicant shall conduct  | 
3 public meetings in accordance with subsection (h) of this  | 
Section. If the qualifying direct current applicant  | 
demonstrates in its application that the proposed qualifying  | 
direct current project is designed to deliver electricity to a  | 
point or points on the electric transmission grid in either or  | 
both the PJM Interconnection, LLC or the Midcontinent  | 
Independent System Operator, Inc., or their respective  | 
successor organizations, the proposed qualifying direct  | 
current project shall be deemed to be, and the Commission  | 
shall find it to be, for public use. If the qualifying direct  | 
current applicant further demonstrates in its application that  | 
the proposed transmission project has a capacity of 1,000  | 
megawatts or larger and a voltage level of 345 kilovolts or  | 
greater, the proposed transmission project shall be deemed to  | 
satisfy, and the Commission shall find that it satisfies, the  | 
criteria stated in item (1) of subsection (b) of this Section  | 
 | 
or in paragraph (1) of subsection (f) of Section 8-406.1, as  | 
applicable to the application, without the taking of  | 
additional evidence on these criteria. Prior to the transfer  | 
of functional control of any transmission assets to a regional  | 
transmission organization, a qualifying direct current  | 
applicant shall request Commission approval to join a regional  | 
transmission organization in an application filed pursuant to  | 
this subsection (b-5) or separately pursuant to Section 7-102  | 
of this Act. The Commission may grant permission to a  | 
qualifying direct current applicant to join a regional  | 
transmission organization if it finds that the membership, and  | 
associated transfer of functional control of transmission  | 
assets, benefits Illinois customers in light of the attendant  | 
costs and is otherwise in the public interest. Nothing in this  | 
subsection (b-5) requires a qualifying direct current  | 
applicant to join a regional transmission organization.  | 
Nothing in this subsection (b-5) requires the owner or  | 
operator of a high voltage direct current transmission line  | 
that is not a qualifying direct current project to obtain a  | 
certificate of public convenience and necessity to the extent  | 
it is not otherwise required by this Section 8-406 or any other  | 
provision of this Act.  | 
 (c) After September 11, 1987 (the effective date of Public  | 
Act 85-377) this amendatory Act of 1987, no
construction shall  | 
commence on any new nuclear
power plant to be located within  | 
this State, and no certificate of public
convenience and  | 
 | 
necessity or other authorization shall be issued therefor
by  | 
the Commission, until the Director of the Illinois  | 
Environmental
Protection Agency finds that the United States  | 
Government, through its
authorized agency, has identified and  | 
approved a demonstrable technology or
means for the disposal  | 
of high level nuclear waste, or until such
construction has  | 
been specifically approved by a statute enacted by the General
 | 
Assembly. | 
 As used in this Section, "high level nuclear waste" means  | 
those aqueous
wastes resulting from the operation of the first  | 
cycle of the solvent
extraction system or equivalent and the  | 
concentrated wastes of the
subsequent extraction cycles or  | 
equivalent in a facility for reprocessing
irradiated reactor  | 
fuel and shall include spent fuel assemblies prior to
fuel  | 
reprocessing. | 
 (d) In making its determination under subsection (b) of  | 
this Section, the Commission shall attach primary
weight to  | 
the cost or cost savings to the customers of the utility. The
 | 
Commission may consider any or all factors which will or may  | 
affect such
cost or cost savings, including the public  | 
utility's engineering judgment regarding the materials used  | 
for construction. | 
 (e) The Commission may issue a temporary certificate which  | 
shall remain
in force not to exceed one year in cases of  | 
emergency, to assure maintenance
of adequate service or to  | 
serve particular customers, without notice or
hearing, pending  | 
 | 
the determination of an application for a certificate, and
may  | 
by regulation exempt from the requirements of this Section  | 
temporary
acts or operations for which the issuance of a  | 
certificate will not be
required in the public interest. | 
 A public utility shall not be required to obtain but may  | 
apply for and
obtain a certificate of public convenience and  | 
necessity pursuant to this
Section with respect to any matter  | 
as to which it has received the
authorization or order of the  | 
Commission under the Electric Supplier Act,
and any such  | 
authorization or order granted a public utility by the
 | 
Commission under that Act shall as between public utilities be  | 
deemed to
be, and shall have except as provided in that Act the  | 
same force and effect
as, a certificate of public convenience  | 
and necessity issued pursuant to this
Section. | 
 No electric cooperative shall be made or shall become a  | 
party to or shall
be entitled to be heard or to otherwise  | 
appear or participate in any
proceeding initiated under this  | 
Section for authorization of power plant
construction and as  | 
to matters as to which a remedy is available under the
Electric  | 
Supplier Act. | 
 (f) Such certificates may be altered or modified by the  | 
Commission, upon
its own motion or upon application by the  | 
person or corporation affected.
Unless exercised within a  | 
period of 2 years from the grant thereof,
authority conferred  | 
by a certificate of convenience and necessity issued by
the  | 
Commission shall be null and void. | 
 | 
 No certificate of public convenience and necessity shall  | 
be construed as
granting a monopoly or an exclusive privilege,  | 
immunity or franchise. | 
 (g) A public utility that undertakes any of the actions  | 
described in items (1) through (3) of this subsection (g) or  | 
that has obtained approval pursuant to Section 8-406.1 of this  | 
Act shall not be required to comply with the requirements of  | 
this Section to the extent such requirements otherwise would  | 
apply. For purposes of this Section and Section 8-406.1 of  | 
this Act, "high voltage electric service line" means an  | 
electric line having a design voltage of 100,000 or more. For  | 
purposes of this subsection (g), a public utility may do any of  | 
the following: | 
  (1) replace or upgrade any existing high voltage  | 
 electric service line and related facilities,  | 
 notwithstanding its length; | 
  (2) relocate any existing high voltage electric  | 
 service line and related facilities, notwithstanding its  | 
 length, to accommodate construction or expansion of a  | 
 roadway or other transportation infrastructure; or | 
  (3) construct a high voltage electric service line and  | 
 related facilities that is constructed solely to serve a  | 
 single customer's premises or to provide a generator  | 
 interconnection to the public utility's transmission  | 
 system and that will pass under or over the premises owned  | 
 by the customer or generator to be served or under or over  | 
 | 
 premises for which the customer or generator has secured  | 
 the necessary right of way.  | 
 (h) A public utility seeking to construct a high-voltage  | 
electric service line and related facilities (Project) must  | 
show that the utility has held a minimum of 2 pre-filing public  | 
meetings to receive public comment concerning the Project in  | 
each county where the Project is to be located, no earlier than  | 
6 months prior to filing an application for a certificate of  | 
public convenience and necessity from the Commission. Notice  | 
of the public meeting shall be published in a newspaper of  | 
general circulation within the affected county once a week for  | 
3 consecutive weeks, beginning no earlier than one month prior  | 
to the first public meeting. If the Project traverses 2  | 
contiguous counties and where in one county the transmission  | 
line mileage and number of landowners over whose property the  | 
proposed route traverses is one-fifth or less of the  | 
transmission line mileage and number of such landowners of the  | 
other county, then the utility may combine the 2 pre-filing  | 
meetings in the county with the greater transmission line  | 
mileage and affected landowners. All other requirements  | 
regarding pre-filing meetings shall apply in both counties.  | 
Notice of the public meeting, including a description of the  | 
Project, must be provided in writing to the clerk of each  | 
county where the Project is to be located. A representative of  | 
the Commission shall be invited to each pre-filing public  | 
meeting. | 
 | 
 (i) For applications filed after August 18, 2015 (the  | 
effective date of Public Act 99-399) this amendatory Act of  | 
the 99th General Assembly, the Commission shall by registered  | 
mail notify each owner of record of land, as identified in the  | 
records of the relevant county tax assessor, included in the  | 
right-of-way over which the utility seeks in its application  | 
to construct a high-voltage electric line of the time and  | 
place scheduled for the initial hearing on the public  | 
utility's application. The utility shall reimburse the  | 
Commission for the cost of the postage and supplies incurred  | 
for mailing the notice. | 
(Source: P.A. 102-609, eff. 8-27-21; 102-662, eff. 9-15-21;  | 
revised 10-21-21.)
 | 
 Section 455. The Health Care Worker Background Check Act  | 
is amended by changing Section 15 as follows:
 | 
 (225 ILCS 46/15)
 | 
 Sec. 15. Definitions. In this Act:
 | 
 "Applicant" means an individual enrolling in a training  | 
program, seeking employment, whether paid or on a volunteer  | 
basis, with a health care
employer who has received a bona fide  | 
conditional offer of employment.
 | 
 "Conditional offer of employment" means a bona fide offer  | 
of employment by a
health care employer to an applicant, which  | 
is contingent upon the receipt of a
report from the Department  | 
 | 
of Public Health indicating that the applicant does
not have a  | 
record of conviction of any of the criminal offenses  | 
enumerated in
Section 25.
 | 
 "Department" means the Department of Public Health.  | 
 "Direct care" means the provision of nursing care or  | 
assistance with feeding,
dressing, movement, bathing,  | 
toileting, or other personal needs, including home services as  | 
defined in the Home Health, Home Services, and Home Nursing  | 
Agency Licensing Act. The entity
responsible for inspecting  | 
and licensing, certifying, or registering the
health care  | 
employer may, by administrative rule, prescribe guidelines for
 | 
interpreting this definition with regard to the health care  | 
employers that it
licenses.
 | 
 "Director" means the Director of Public Health.  | 
 "Disqualifying offenses" means those offenses set forth in  | 
Section 25 of this Act. | 
 "Employee" means any individual hired, employed, or  | 
retained, whether paid or on a volunteer basis, to which this  | 
Act applies. | 
 "Finding" means the Department's determination of whether  | 
an allegation is verified and substantiated.  | 
 "Fingerprint-based criminal history records check" means a  | 
livescan fingerprint-based criminal history records check  | 
submitted as a fee applicant inquiry in the form and manner  | 
prescribed by the Illinois State Police.
 | 
 "Health care employer" means:
 | 
 | 
  (1) the owner or licensee of any of the
following:
 | 
   (i) a community living facility, as defined in the  | 
 Community Living
Facilities Licensing Act;
 | 
   (ii) a life care facility, as defined in the Life  | 
 Care Facilities Act;
 | 
   (iii) a long-term care facility;
 | 
   (iv) a home health agency, home services agency,  | 
 or home nursing agency as defined in the Home Health,  | 
 Home Services, and Home Nursing Agency Licensing
Act;
 | 
   (v) a hospice care program or volunteer hospice  | 
 program, as defined in the Hospice Program Licensing  | 
 Act;
 | 
   (vi) a hospital, as defined in the Hospital  | 
 Licensing Act;
 | 
   (vii) (blank);
 | 
   (viii) a nurse agency, as defined in the Nurse  | 
 Agency Licensing Act;
 | 
   (ix) a respite care provider, as defined in the  | 
 Respite Program Act;
 | 
   (ix-a) an establishment licensed under the  | 
 Assisted Living and Shared
Housing Act;
 | 
   (x) a supportive living program, as defined in the  | 
 Illinois Public Aid
Code;
 | 
   (xi) early childhood intervention programs as  | 
 described in 59 Ill. Adm.
Code 121;
 | 
   (xii) the University of Illinois Hospital,  | 
 | 
 Chicago;
 | 
   (xiii) programs funded by the Department on Aging  | 
 through the Community
Care Program;
 | 
   (xiv) programs certified to participate in the  | 
 Supportive Living Program
authorized pursuant to  | 
 Section 5-5.01a of the Illinois Public Aid Code;
 | 
   (xv) programs listed by the Emergency Medical  | 
 Services (EMS) Systems Act
as
Freestanding Emergency  | 
 Centers;
 | 
   (xvi) locations licensed under the Alternative  | 
 Health Care Delivery
Act;
 | 
  (2) a day training program certified by the Department  | 
 of Human Services;
 | 
  (3) a community integrated living arrangement operated  | 
 by a community
mental health and developmental service  | 
 agency, as defined in the
Community-Integrated Living  | 
 Arrangements Licensure Licensing and Certification Act;
 | 
  (4) the State Long Term Care Ombudsman Program,  | 
 including any regional long term care ombudsman programs  | 
 under Section 4.04 of the Illinois Act on the Aging, only  | 
 for the purpose of securing background checks; or
 | 
  (5) the Department of Corrections or a third-party  | 
 vendor employing certified nursing assistants working with  | 
 the Department of Corrections.  | 
 "Initiate" means obtaining from
a student, applicant, or  | 
employee his or her social security number, demographics, a  | 
 | 
disclosure statement, and an authorization for the Department  | 
of Public Health or its designee to request a  | 
fingerprint-based criminal history records check; transmitting  | 
this information electronically to the Department of Public  | 
Health; conducting Internet searches on certain web sites,  | 
including without limitation the Illinois Sex Offender  | 
Registry, the Department of Corrections' Sex Offender Search  | 
Engine, the Department of Corrections' Inmate Search Engine,  | 
the Department of Corrections Wanted Fugitives Search Engine,  | 
the National Sex Offender Public Registry, and the List of  | 
Excluded Individuals and Entities database on the website of  | 
the Health and Human Services Office of Inspector General to  | 
determine if the applicant has been adjudicated a sex  | 
offender, has been a prison inmate, or has committed Medicare  | 
or Medicaid fraud, or conducting similar searches as defined  | 
by rule; and having the student, applicant, or employee's  | 
fingerprints collected and transmitted electronically to the  | 
Illinois State Police.
 | 
 "Livescan vendor" means an entity whose equipment has been  | 
certified by the Illinois State Police to collect an  | 
individual's demographics and inkless fingerprints and, in a  | 
manner prescribed by the Illinois State Police and the  | 
Department of Public Health, electronically transmit the  | 
fingerprints and required data to the Illinois State Police  | 
and a daily file of required data to the Department of Public  | 
Health. The Department of Public Health shall negotiate a  | 
 | 
contract with one or more vendors that effectively demonstrate  | 
that the vendor has 2 or more years of experience transmitting  | 
fingerprints electronically to the Illinois State Police and  | 
that the vendor can successfully transmit the required data in  | 
a manner prescribed by the Department of Public Health. Vendor  | 
authorization may be further defined by administrative rule.
 | 
 "Long-term care facility" means a facility licensed by the  | 
State or certified under federal law as a long-term care  | 
facility, including without limitation facilities licensed  | 
under the Nursing Home Care Act, the Specialized Mental Health  | 
Rehabilitation Act of 2013, the ID/DD Community Care Act, or  | 
the MC/DD Act, a supportive living facility, an assisted  | 
living establishment, or a shared housing establishment or  | 
registered as a board and care home.
 | 
 "Resident" means a person, individual, or patient under  | 
the direct care of a health care employer or who has been  | 
provided goods or services by a health care employer.  | 
(Source: P.A. 101-176, eff. 7-31-19; 102-226, eff. 7-30-21;  | 
102-503, eff. 8-20-21; 102-538, eff. 8-20-21; revised  | 
10-5-21.)
 | 
 Section 460. The Massage Licensing Act is amended by  | 
changing Section 15 as follows:
 | 
 (225 ILCS 57/15)
 | 
 (Section scheduled to be repealed on January 1, 2027)
 | 
 | 
 Sec. 15. Licensure requirements. 
 | 
 (a) Persons
engaged in massage for
compensation
must be  | 
licensed by the Department. The Department shall issue a  | 
license to
an individual who meets all of the following  | 
requirements:
 | 
  (1) The applicant has applied in writing on the  | 
 prescribed forms and has
paid the
required fees.
 | 
  (2) The applicant is at least 18 years of age and of  | 
 good moral character.
In
determining good
moral character,  | 
 the Department may take into consideration
conviction of  | 
 any crime under the laws of the United States or any state  | 
 or
territory
thereof that is a felony or a misdemeanor or  | 
 any crime that is directly related
to the practice of the  | 
 profession.
Such a conviction shall not operate  | 
 automatically as a complete
bar to a license,
except in  | 
 the case of any conviction for prostitution, rape, or  | 
 sexual
misconduct,
or where the applicant is a registered  | 
 sex offender.
 | 
  (3) The applicant has successfully completed a massage  | 
 therapy program approved by the Department that requires
a  | 
 minimum
of 500 hours, except applicants applying on or  | 
 after January 1, 2014 shall meet a minimum requirement of  | 
 600 hours,
and has
passed a
competency examination
 | 
 approved by the Department.
 | 
 (b) Each applicant for licensure as a massage therapist  | 
shall have his or her fingerprints submitted to the Illinois  | 
 | 
State Police in an electronic format that complies with the  | 
form and manner for requesting and furnishing criminal history  | 
record information as prescribed by the Illinois State Police.  | 
These fingerprints shall be checked against the Illinois State  | 
Police and Federal Bureau of Investigation criminal history  | 
record databases now and hereafter filed. The Illinois State  | 
Police shall charge applicants a fee for conducting the  | 
criminal history records check, which shall be deposited into  | 
the State Police Services Fund and shall not exceed the actual  | 
cost of the records check. The Illinois State Police shall  | 
furnish, pursuant to positive identification, records of  | 
Illinois convictions to the Department. The Department may  | 
require applicants to pay a separate fingerprinting fee,  | 
either to the Department or to a vendor. The Department, in its  | 
discretion, may allow an applicant who does not have  | 
reasonable access to a designated vendor to provide his or her  | 
fingerprints in an alternative manner. The Department may  | 
adopt any rules necessary to implement this Section.
 | 
(Source: P.A. 102-20, eff. 1-1-22; 102-538, eff. 8-20-21;  | 
revised 10-5-21.)
 | 
 Section 465. The Medical Practice Act of 1987 is amended  | 
by changing Sections 7 and 22 as follows:
 | 
 (225 ILCS 60/7) (from Ch. 111, par. 4400-7)
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 (Section scheduled to be repealed on January 1, 2023)
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 Sec. 7. Medical Disciplinary Board. 
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 (A) There is hereby created the Illinois
State Medical  | 
Disciplinary Board. The Disciplinary Board shall
consist of 11  | 
members, to be appointed by the Governor by and
with the advice  | 
and consent of the Senate. All members shall be
residents of  | 
the State, not more than 6 of whom shall be
members of the same  | 
political party. All members shall be voting members. Five  | 
members shall be
physicians licensed to practice medicine in  | 
all of its
branches in Illinois possessing the degree of  | 
doctor of
medicine. One member shall be a physician licensed  | 
to practice medicine in all its branches in Illinois  | 
possessing the degree of doctor of osteopathy or osteopathic  | 
medicine. One member shall be a chiropractic physician  | 
licensed to practice in Illinois and possessing the degree of  | 
doctor of chiropractic. Four members shall be members of the  | 
public, who shall not
be engaged in any way, directly or  | 
indirectly, as providers
of health care.
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 (B) Members of the Disciplinary Board shall be appointed
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for terms of 4 years. Upon the expiration of the term of
any  | 
member, his or her successor shall be appointed for a term of
4  | 
years by the Governor by and with the advice and
consent of the  | 
Senate. The Governor shall fill any vacancy
for the remainder  | 
of the unexpired term with the
advice and consent of the  | 
Senate. Upon recommendation of
the Board, any member of the  | 
Disciplinary Board may be
removed by the Governor for  | 
misfeasance, malfeasance, or willful
neglect of duty, after  | 
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notice, and a public hearing,
unless such notice and hearing  | 
shall be expressly waived in
writing. Each member shall serve  | 
on the Disciplinary Board
until their successor is appointed  | 
and qualified. No member
of the Disciplinary Board shall serve  | 
more than 2
consecutive 4 year terms. 
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 In making appointments the Governor shall attempt to
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insure that the various social and geographic regions of the
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State of Illinois are properly represented.
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 In making the designation of persons to act for the
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several professions represented on the Disciplinary Board,
the  | 
Governor shall give due consideration to recommendations
by  | 
members of the respective professions and by
organizations  | 
therein.
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 (C) The Disciplinary Board shall annually elect one of
its  | 
voting members as chairperson and one as vice
chairperson. No  | 
officer shall be elected more than twice
in succession to the  | 
same office. Each officer shall serve
until their successor  | 
has been elected and qualified.
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 (D) (Blank).
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 (E) Six voting members of the Disciplinary Board, at least  | 
4 of whom are physicians,
shall constitute a quorum. A vacancy  | 
in the membership of
the Disciplinary Board shall not impair  | 
the right of a
quorum to exercise all the rights and perform  | 
all the duties
of the Disciplinary Board. Any action taken by  | 
the
Disciplinary Board under this Act may be authorized by
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resolution at any regular or special meeting and each such
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resolution shall take effect immediately. The Disciplinary
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Board shall meet at least quarterly.
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 (F) Each member, and member-officer, of the
Disciplinary  | 
Board shall receive a per diem stipend
as the
Secretary shall  | 
determine. Each member shall be paid their necessary
expenses  | 
while engaged in the performance of their duties.
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 (G) The Secretary shall select a Chief Medical
Coordinator  | 
and not less than 2 Deputy Medical Coordinators
who shall not
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be members of the Disciplinary Board. Each medical
coordinator  | 
shall be a physician licensed to practice
medicine in all of  | 
its branches, and the Secretary shall set
their rates of  | 
compensation. The Secretary shall assign at least
one
medical
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coordinator to
a region composed of Cook County and
such other  | 
counties as the Secretary may deem appropriate,
and such  | 
medical coordinator or coordinators shall locate their office  | 
in
Chicago. The Secretary shall assign at least one medical
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coordinator to a region composed of the balance of counties
in  | 
the State, and such medical coordinator or coordinators shall  | 
locate
their office in Springfield. The Chief Medical  | 
Coordinator shall be the chief enforcement officer of this  | 
Act. None of the functions, powers, or duties of the  | 
Department with respect to policies regarding enforcement or  | 
discipline under this Act, including the adoption of such  | 
rules as may be necessary for the administration of this Act,  | 
shall be exercised by the Department except upon review of the  | 
Disciplinary Board.
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 The Secretary shall employ, in conformity with the
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Personnel Code, investigators who are college graduates with  | 
at least 2
years of investigative experience or one year of  | 
advanced medical
education. Upon the written request of the  | 
Disciplinary
Board, the Secretary shall employ, in conformity  | 
with the
Personnel Code, such other professional, technical,
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investigative, and clerical help, either on a full or
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part-time basis as the Disciplinary Board deems necessary
for  | 
the proper performance of its duties.
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 (H) Upon the specific request of the Disciplinary
Board,  | 
signed by either the chairperson, vice chairperson, or a
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medical coordinator of the Disciplinary Board, the
Department  | 
of Human Services, the Department of Healthcare and Family  | 
Services, the
Illinois State Police, or any other law  | 
enforcement agency located in this State shall make available  | 
any and all
information that they have in their possession  | 
regarding a
particular case then under investigation by the  | 
Disciplinary
Board.
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 (I) Members of the Disciplinary Board shall be immune
from  | 
suit in any action based upon any disciplinary
proceedings or  | 
other acts performed in good faith as members
of the  | 
Disciplinary Board.
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 (J) The Disciplinary Board may compile and establish a
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statewide roster of physicians and other medical
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professionals, including the several medical specialties, of
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such physicians and medical professionals, who have agreed
to  | 
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serve from time to time as advisors to the medical
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coordinators. Such advisors shall assist the medical
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coordinators or the Disciplinary Board in their investigations  | 
and participation in
complaints against physicians. Such  | 
advisors shall serve
under contract and shall be reimbursed at  | 
a reasonable rate for the services
provided, plus reasonable  | 
expenses incurred.
While serving in this capacity, the  | 
advisor, for any act
undertaken in good faith and in the  | 
conduct of his or her duties
under this Section, shall be  | 
immune from civil suit.
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 (K) This Section is inoperative when a majority of the  | 
Medical Board is appointed. This Section is repealed January  | 
1, 2023 (one year after the effective date of Public Act  | 
102-20) this amendatory Act of the 102nd General Assembly. | 
(Source: P.A. 102-20, eff. 1-1-22; 102-538, eff. 8-20-21;  | 
revised 10-20-21.)
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 (225 ILCS 60/22) (from Ch. 111, par. 4400-22)
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 (Section scheduled to be repealed on January 1, 2027)
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 Sec. 22. Disciplinary action. 
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 (A) The Department may revoke, suspend, place on  | 
probation, reprimand, refuse to issue or renew, or take any  | 
other disciplinary or non-disciplinary action as the  | 
Department may deem proper
with regard to the license or  | 
permit of any person issued
under this Act, including imposing  | 
fines not to exceed $10,000 for each violation, upon any of the  | 
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following grounds:
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  (1) (Blank).
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  (2) (Blank).
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  (3) A plea of guilty or nolo contendere, finding of  | 
 guilt, jury verdict, or entry of judgment or sentencing,  | 
 including, but not limited to, convictions, preceding  | 
 sentences of supervision, conditional discharge, or first  | 
 offender probation, under the laws of any jurisdiction of  | 
 the United States of any crime that is a felony.
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  (4) Gross negligence in practice under this Act.
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  (5) Engaging in dishonorable, unethical, or  | 
 unprofessional
conduct of a
character likely to deceive,  | 
 defraud or harm the public.
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  (6) Obtaining any fee by fraud, deceit, or
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 misrepresentation.
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  (7) Habitual or excessive use or abuse of drugs  | 
 defined in law
as
controlled substances, of alcohol, or of  | 
 any other substances which results in
the inability to  | 
 practice with reasonable judgment, skill, or safety.
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  (8) Practicing under a false or, except as provided by  | 
 law, an
assumed
name.
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  (9) 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.
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  (10) Making a false or misleading statement regarding  | 
 their
skill or the
efficacy or value of the medicine,  | 
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 treatment, or remedy prescribed by them at
their direction  | 
 in the treatment of any disease or other condition of the  | 
 body
or mind.
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  (11) Allowing another person or organization to use  | 
 their
license, procured
under this Act, to practice.
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  (12) Adverse action taken by another state or  | 
 jurisdiction
against a license
or other authorization to  | 
 practice as a medical doctor, doctor of osteopathy,
doctor  | 
 of osteopathic medicine or
doctor of chiropractic, a  | 
 certified copy of the record of the action taken by
the  | 
 other state or jurisdiction being prima facie evidence  | 
 thereof. This includes any adverse action taken by a State  | 
 or federal agency that prohibits a medical doctor, doctor  | 
 of osteopathy, doctor of osteopathic medicine, or doctor  | 
 of chiropractic from providing services to the agency's  | 
 participants. 
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  (13) Violation of any provision of this Act or of the  | 
 Medical
Practice Act
prior to the repeal of that Act, or  | 
 violation of the rules, or a final
administrative action  | 
 of the Secretary, after consideration of the
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 recommendation of the Medical Board.
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  (14) Violation of the prohibition against fee  | 
 splitting in Section 22.2 of this Act.
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  (15) A finding by the Medical Board that the
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 registrant after
having his or her license placed on  | 
 probationary status or subjected to
conditions or  | 
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 restrictions violated the terms of the probation or failed  | 
 to
comply with such terms or conditions.
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  (16) Abandonment of a patient.
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  (17) Prescribing, selling, administering,  | 
 distributing, giving,
or
self-administering any drug  | 
 classified as a controlled substance (designated
product)  | 
 or narcotic for other than medically accepted therapeutic
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 purposes.
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  (18) Promotion of the sale of drugs, devices,  | 
 appliances, or
goods provided
for a patient in such manner  | 
 as to exploit the patient for financial gain of
the  | 
 physician.
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  (19) Offering, undertaking, or agreeing to cure or  | 
 treat
disease by a secret
method, procedure, treatment, or  | 
 medicine, or the treating, operating, or
prescribing for  | 
 any human condition by a method, means, or procedure which  | 
 the
licensee refuses to divulge upon demand of the  | 
 Department.
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  (20) Immoral conduct in the commission of any act  | 
 including,
but not limited to, commission of an act of  | 
 sexual misconduct related to the
licensee's
practice.
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  (21) Willfully making or filing false records or  | 
 reports in his
or her
practice as a physician, including,  | 
 but not limited to, false records to
support claims  | 
 against the medical assistance program of the Department  | 
 of Healthcare and Family Services (formerly Department of
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 Public Aid)
under the Illinois Public Aid Code.
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  (22) Willful omission to file or record, or willfully  | 
 impeding
the filing or
recording, or inducing another  | 
 person to omit to file or record, medical
reports as  | 
 required by law, or willfully failing to report an  | 
 instance of
suspected abuse or neglect as required by law.
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  (23) Being named as a perpetrator in an indicated  | 
 report by
the Department
of Children and Family Services  | 
 under the Abused and Neglected Child Reporting
Act, and  | 
 upon proof by clear and convincing evidence that the  | 
 licensee has
caused a child to be an abused child or  | 
 neglected child as defined in the
Abused and Neglected  | 
 Child Reporting Act.
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  (24) Solicitation of professional patronage by any
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 corporation, agents or
persons, or profiting from those  | 
 representing themselves to be agents of the
licensee.
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  (25) Gross and willful and continued overcharging for
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 professional services,
including filing false statements  | 
 for collection of fees for which services are
not  | 
 rendered, including, but not limited to, filing such false  | 
 statements for
collection of monies for services not  | 
 rendered from the medical assistance
program of the  | 
 Department of Healthcare and Family Services (formerly  | 
 Department of Public Aid)
under the Illinois Public Aid
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 Code.
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  (26) A pattern of practice or other behavior which
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 demonstrates
incapacity
or incompetence to practice under  | 
 this Act.
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  (27) Mental illness or disability which results in the
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 inability to
practice under this Act with reasonable  | 
 judgment, skill, or safety.
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  (28) Physical illness, including, but not limited to,
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 deterioration through
the aging process, or loss of motor  | 
 skill which results in a physician's
inability to practice  | 
 under this Act with reasonable judgment, skill, or
safety.
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  (29) Cheating on or attempting attempt to subvert the  | 
 licensing
examinations
administered under this Act.
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  (30) Willfully or negligently violating the  | 
 confidentiality
between
physician and patient except as  | 
 required by law.
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  (31) The use of any false, fraudulent, or deceptive  | 
 statement
in any
document connected with practice under  | 
 this Act.
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  (32) Aiding and abetting an individual not licensed  | 
 under this
Act in the
practice of a profession licensed  | 
 under this Act.
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  (33) Violating state or federal laws or regulations  | 
 relating
to controlled
substances, legend
drugs, or  | 
 ephedra as defined in the Ephedra Prohibition Act.
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  (34) Failure to report to the Department any adverse  | 
 final
action taken
against them by another licensing  | 
 jurisdiction (any other state or any
territory of the  | 
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 United States or any foreign state or country), by any  | 
 peer
review body, by any health care institution, by any  | 
 professional society or
association related to practice  | 
 under this Act, by any governmental agency, by
any law  | 
 enforcement agency, or by any court for acts or conduct  | 
 similar to acts
or conduct which would constitute grounds  | 
 for action as defined in this
Section.
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  (35) Failure to report to the Department surrender of  | 
 a
license or
authorization to practice as a medical  | 
 doctor, a doctor of osteopathy, a
doctor of osteopathic  | 
 medicine, or doctor
of chiropractic in another state or  | 
 jurisdiction, or surrender of membership on
any medical  | 
 staff or in any medical or professional association or  | 
 society,
while under disciplinary investigation by any of  | 
 those authorities or bodies,
for acts or conduct similar  | 
 to acts or conduct which would constitute grounds
for  | 
 action as defined in this Section.
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  (36) Failure to report to the Department any adverse  | 
 judgment,
settlement,
or award arising from a liability  | 
 claim related to acts or conduct similar to
acts or  | 
 conduct which would constitute grounds for action as  | 
 defined in this
Section.
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  (37) Failure to provide copies of medical records as  | 
 required
by law.
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  (38) Failure to furnish the Department, its  | 
 investigators or
representatives, relevant information,  | 
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 legally requested by the Department
after consultation  | 
 with the Chief Medical Coordinator or the Deputy Medical
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 Coordinator.
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  (39) Violating the Health Care Worker Self-Referral
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 Act.
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  (40) Willful failure to provide notice when notice is  | 
 required
under the
Parental Notice of Abortion Act of  | 
 1995.
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  (41) Failure to establish and maintain records of  | 
 patient care and
treatment as required by this law.
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  (42) Entering into an excessive number of written  | 
 collaborative
agreements with licensed advanced practice  | 
 registered nurses resulting in an inability to
adequately  | 
 collaborate.
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  (43) Repeated failure to adequately collaborate with a  | 
 licensed advanced practice registered nurse. | 
  (44) Violating the Compassionate Use of Medical  | 
 Cannabis Program Act. 
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  (45) Entering into an excessive number of written  | 
 collaborative agreements with licensed prescribing  | 
 psychologists resulting in an inability to adequately  | 
 collaborate. | 
  (46) Repeated failure to adequately collaborate with a  | 
 licensed prescribing psychologist.  | 
  (47) Willfully failing to report an instance of  | 
 suspected abuse, neglect, financial exploitation, or  | 
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 self-neglect of an eligible adult as defined in and  | 
 required by the Adult Protective Services Act. | 
  (48) Being named as an abuser in a verified report by  | 
 the Department on Aging under the Adult Protective  | 
 Services Act, and upon proof by clear and convincing  | 
 evidence that the licensee abused, neglected, or  | 
 financially exploited an eligible adult as defined in the  | 
 Adult Protective Services Act.  | 
  (49) Entering into an excessive number of written  | 
 collaborative agreements with licensed physician  | 
 assistants resulting in an inability to adequately  | 
 collaborate. | 
  (50) Repeated failure to adequately collaborate with a  | 
 physician assistant.  | 
 Except
for actions involving the ground numbered (26), all  | 
proceedings to suspend,
revoke, place on probationary status,  | 
or take any
other disciplinary action as the Department may  | 
deem proper, with regard to a
license on any of the foregoing  | 
grounds, must be commenced within 5 years next
after receipt  | 
by the Department of a complaint alleging the commission of or
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notice of the conviction order for any of the acts described  | 
herein. Except
for the grounds numbered (8), (9), (26), and  | 
(29), no action shall be commenced more
than 10 years after the  | 
date of the incident or act alleged to have violated
this  | 
Section. For actions involving the ground numbered (26), a  | 
pattern of practice or other behavior includes all incidents  | 
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alleged to be part of the pattern of practice or other behavior  | 
that occurred, or a report pursuant to Section 23 of this Act  | 
received, within the 10-year period preceding the filing of  | 
the complaint. In the event of the settlement of any claim or  | 
cause of action
in favor of the claimant or the reduction to  | 
final judgment of any civil action
in favor of the plaintiff,  | 
such claim, cause of action, or civil action being
grounded on  | 
the allegation that a person licensed under this Act was  | 
negligent
in providing care, the Department shall have an  | 
additional period of 2 years
from the date of notification to  | 
the Department under Section 23 of this Act
of such settlement  | 
or final judgment in which to investigate and
commence formal  | 
disciplinary proceedings under Section 36 of this Act, except
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as otherwise provided by law. The time during which the holder  | 
of the license
was outside the State of Illinois shall not be  | 
included within any period of
time limiting the commencement  | 
of disciplinary action by the Department.
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 The entry of an order or judgment by any circuit court  | 
establishing that any
person holding a license under this Act  | 
is a person in need of mental treatment
operates as a  | 
suspension of that license. That person may resume his or her
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practice only upon the entry of a Departmental order based  | 
upon a finding by
the Medical Board that the person has been  | 
determined to be recovered
from mental illness by the court  | 
and upon the Medical Board's
recommendation that the person be  | 
permitted to resume his or her practice.
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 The Department may refuse to issue or take disciplinary  | 
action concerning the license of any person
who fails to file a  | 
return, or to pay the tax, penalty, or interest shown in a
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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 as
determined  | 
by the Illinois Department of Revenue.
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 The Department, upon the recommendation of the Medical  | 
Board, shall
adopt rules which set forth standards to be used  | 
in determining:
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  (a) when a person will be deemed sufficiently  | 
 rehabilitated to warrant the
public trust;
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  (b) what constitutes dishonorable, unethical, or  | 
 unprofessional conduct of
a character likely to deceive,  | 
 defraud, or harm the public;
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  (c) what constitutes immoral conduct in the commission  | 
 of any act,
including, but not limited to, commission of  | 
 an act of sexual misconduct
related
to the licensee's  | 
 practice; and
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  (d) what constitutes gross negligence in the practice  | 
 of medicine.
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 However, no such rule shall be admissible into evidence in  | 
any civil action
except for review of a licensing or other  | 
disciplinary action under this Act.
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 In enforcing this Section, the Medical Board,
upon a  | 
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showing of a possible violation, may compel any individual who  | 
is licensed to
practice under this Act or holds a permit to  | 
practice under this Act, or any individual who has applied for  | 
licensure or a permit
pursuant to this Act, to submit to a  | 
mental or physical examination and evaluation, or both,
which  | 
may include a substance abuse or sexual offender evaluation,  | 
as required by the Medical Board and at the expense of the  | 
Department. The Medical Board shall specifically designate the  | 
examining physician licensed to practice medicine in all of  | 
its branches or, if applicable, the multidisciplinary team  | 
involved in providing the mental or physical examination and  | 
evaluation, or both. The multidisciplinary team shall be led  | 
by a physician licensed to practice medicine in all of its  | 
branches and may consist of one or more or a combination of  | 
physicians licensed to practice medicine in all of its  | 
branches, licensed chiropractic physicians, licensed clinical  | 
psychologists, licensed clinical social workers, licensed  | 
clinical professional counselors, and other professional and  | 
administrative staff. Any examining physician or member of the  | 
multidisciplinary team may require any person ordered to  | 
submit to an examination and evaluation pursuant to this  | 
Section to submit to any additional supplemental testing  | 
deemed necessary to complete any examination or evaluation  | 
process, including, but not limited to, blood testing,  | 
urinalysis, psychological testing, or neuropsychological  | 
testing.
The Medical Board or the Department may order the  | 
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examining
physician or any member of the multidisciplinary  | 
team to provide to the Department or the Medical Board any and  | 
all records, including business records, that relate to the  | 
examination and evaluation, including any supplemental testing  | 
performed. The Medical Board or the Department may order the  | 
examining physician or any member of the multidisciplinary  | 
team to present testimony concerning this examination
and  | 
evaluation of the licensee, permit holder, or applicant,  | 
including testimony concerning any supplemental testing or  | 
documents relating to the examination and evaluation. No  | 
information, report, record, or other documents in any way  | 
related to the examination and evaluation shall be excluded by  | 
reason of
any common
law or statutory privilege relating to  | 
communication between the licensee, permit holder, or
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applicant and
the examining physician or any member of the  | 
multidisciplinary team.
No authorization is necessary from the  | 
licensee, permit holder, or applicant ordered to undergo an  | 
evaluation and examination for the examining physician or any  | 
member of the multidisciplinary team to provide information,  | 
reports, records, or other documents or to provide any  | 
testimony regarding the examination and evaluation. 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 the examination.
Failure of any individual to  | 
submit to mental or physical examination and evaluation, or  | 
both, when
directed, shall result in an automatic suspension,  | 
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without hearing, until such time
as the individual submits to  | 
the examination. If the Medical Board finds a physician unable
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to practice following an examination and evaluation because of  | 
the reasons set forth in this Section, the Medical Board shall  | 
require such physician to submit to care, counseling, or  | 
treatment
by physicians, or other health care professionals,  | 
approved or designated by the Medical Board, as a condition
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for issued, continued, reinstated, or renewed licensure to  | 
practice. Any physician,
whose license was granted pursuant to  | 
Sections 9, 17, or 19 of this Act, or,
continued, reinstated,  | 
renewed, disciplined or supervised, subject to such
terms,  | 
conditions, or restrictions who shall fail to comply with such  | 
terms,
conditions, or restrictions, or to complete a required  | 
program of care,
counseling, or treatment, as determined by  | 
the Chief Medical Coordinator or
Deputy Medical Coordinators,  | 
shall be referred to the Secretary for a
determination as to  | 
whether the licensee shall have his or her license suspended
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immediately, pending a hearing by the Medical Board. In  | 
instances in
which the Secretary immediately suspends a  | 
license under this Section, a hearing
upon such person's  | 
license must be convened by the Medical Board within 15
days  | 
after such suspension and completed without appreciable delay.  | 
The Medical
Board shall have the authority to review the  | 
subject physician's
record of treatment and counseling  | 
regarding the impairment, to the extent
permitted by  | 
applicable federal statutes and regulations safeguarding the
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confidentiality of medical records.
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 An individual licensed under this Act, affected under this  | 
Section, shall be
afforded an opportunity to demonstrate to  | 
the Medical Board that he or she can
resume practice in  | 
compliance with acceptable and prevailing standards under
the  | 
provisions of his or her license.
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 The Department may promulgate rules for the imposition of  | 
fines in
disciplinary cases, not to exceed
$10,000 for each  | 
violation of this Act. Fines
may be imposed in conjunction  | 
with other forms of disciplinary action, but
shall not be the  | 
exclusive disposition of any disciplinary action arising out
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of conduct resulting in death or injury to a patient. Any funds  | 
collected from
such fines shall be deposited in the Illinois  | 
State Medical Disciplinary Fund.
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 All fines imposed under this Section shall be paid within  | 
60 days after the effective date of the order imposing the fine  | 
or in accordance with the terms set forth in the order imposing  | 
the fine.  | 
 (B) The Department shall revoke the license or
permit  | 
issued under this Act to practice medicine or a chiropractic  | 
physician who
has been convicted a second time of committing  | 
any felony under the
Illinois Controlled Substances Act or the  | 
Methamphetamine Control and Community Protection Act, or who  | 
has been convicted a second time of
committing a Class 1 felony  | 
under Sections 8A-3 and 8A-6 of the Illinois Public
Aid Code. A  | 
person whose license or permit is revoked
under
this  | 
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subsection B shall be prohibited from practicing
medicine or  | 
treating human ailments without the use of drugs and without
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operative surgery.
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 (C) The Department shall not revoke, suspend, place on  | 
probation, reprimand, refuse to issue or renew, or take any  | 
other disciplinary or non-disciplinary action against the  | 
license or permit issued under this Act to practice medicine  | 
to a physician:  | 
  (1) based solely upon the recommendation of the  | 
 physician to an eligible patient regarding, or  | 
 prescription for, or treatment with, an investigational  | 
 drug, biological product, or device; or  | 
  (2) for experimental treatment for Lyme disease or  | 
 other tick-borne diseases, including, but not limited to,  | 
 the prescription of or treatment with long-term  | 
 antibiotics. | 
 (D) The Medical Board shall recommend to the
Department  | 
civil
penalties and any other appropriate discipline in  | 
disciplinary cases when the Medical
Board finds that a  | 
physician willfully performed an abortion with actual
 | 
knowledge that the person upon whom the abortion has been  | 
performed is a minor
or an incompetent person without notice  | 
as required under the Parental Notice
of Abortion Act of 1995.  | 
Upon the Medical Board's recommendation, the Department shall
 | 
impose, for the first violation, a civil penalty of $1,000 and  | 
for a second or
subsequent violation, a civil penalty of  | 
 | 
$5,000.
 | 
(Source: P.A. 101-13, eff. 6-12-19; 101-81, eff. 7-12-19;  | 
101-363, eff. 8-9-19; 102-20, eff. 1-1-22; 102-558, eff.  | 
8-20-21; revised 12-2-21.)
 | 
 Section 470. The Pharmacy Practice Act is amended by  | 
changing Sections 3 and 4 and by setting forth and renumbering  | 
multiple
versions of Section 43 as follows:
 | 
 (225 ILCS 85/3)
  | 
 (Section scheduled to be repealed on January 1, 2023)
 | 
 Sec. 3. Definitions. For the purpose of this Act, except  | 
where otherwise
limited therein:
 | 
 (a) "Pharmacy" or "drugstore" means and includes every  | 
store, shop,
pharmacy department, or other place where  | 
pharmacist
care is
provided
by a pharmacist (1) where drugs,  | 
medicines, or poisons are
dispensed, sold or
offered for sale  | 
at retail, or displayed for sale at retail; or
(2)
where
 | 
prescriptions of physicians, dentists, advanced practice  | 
registered nurses, physician assistants, veterinarians,  | 
podiatric physicians, or
optometrists, within the limits of  | 
their
licenses, are
compounded, filled, or dispensed; or (3)  | 
which has upon it or
displayed within
it, or affixed to or used  | 
in connection with it, a sign bearing the word or
words  | 
"Pharmacist", "Druggist", "Pharmacy", "Pharmaceutical
Care",  | 
"Apothecary", "Drugstore",
"Medicine Store", "Prescriptions",  | 
 | 
"Drugs", "Dispensary", "Medicines", or any word
or words of  | 
similar or like import, either in the English language
or any  | 
other language; or (4) where the characteristic prescription
 | 
sign (Rx) or similar design is exhibited; or (5) any store, or
 | 
shop,
or other place with respect to which any of the above  | 
words, objects,
signs or designs are used in any  | 
advertisement.
 | 
 (b) "Drugs" means and includes (1) articles recognized
in  | 
the official United States Pharmacopoeia/National Formulary  | 
(USP/NF),
or any supplement thereto and being intended for and  | 
having for their
main use the diagnosis, cure, mitigation,  | 
treatment or prevention of
disease in man or other animals, as  | 
approved by the United States Food and
Drug Administration,  | 
but does not include devices or their components, parts,
or  | 
accessories; and (2) all other articles intended
for and  | 
having for their main use the diagnosis, cure, mitigation,
 | 
treatment or prevention of disease in man or other animals, as  | 
approved
by the United States Food and Drug Administration,  | 
but does not include
devices or their components, parts, or  | 
accessories; and (3) articles
(other than food) having for  | 
their main use and intended
to affect the structure or any  | 
function of the body of man or other
animals; and (4) articles  | 
having for their main use and intended
for use as a component  | 
or any articles specified in clause (1), (2)
or (3); but does  | 
not include devices or their components, parts or
accessories.
 | 
 (c) "Medicines" means and includes all drugs intended for
 | 
 | 
human or veterinary use approved by the United States Food and  | 
Drug
Administration.
 | 
 (d) "Practice of pharmacy" means: | 
  (1) the interpretation and the provision of assistance  | 
 in the monitoring, evaluation, and implementation of  | 
 prescription drug orders;  | 
  (2) the dispensing of prescription drug orders;  | 
  (3) participation in drug and device selection;  | 
  (4) drug administration limited to the administration  | 
 of oral, topical, injectable, and inhalation as follows:  | 
   (A) in the context of patient education on the  | 
 proper use or delivery of medications;  | 
   (B) vaccination of patients 7 years of age and  | 
 older pursuant to a valid prescription or standing  | 
 order, by a physician licensed to practice medicine in  | 
 all its branches, upon completion of appropriate  | 
 training, including how to address contraindications  | 
 and adverse reactions set forth by rule, with  | 
 notification to the patient's physician and  | 
 appropriate record retention, or pursuant to hospital  | 
 pharmacy and therapeutics committee policies and  | 
 procedures. Eligible vaccines are those listed on the  | 
 U.S. Centers for Disease Control and Prevention (CDC)  | 
 Recommended Immunization Schedule, the CDC's Health  | 
 Information for International Travel, or the U.S. Food  | 
 and Drug Administration's Vaccines Licensed and  | 
 | 
 Authorized for Use in the United States. As applicable  | 
 to the State's Medicaid program and other payers,  | 
 vaccines ordered and administered in accordance with  | 
 this subsection shall be covered and reimbursed at no  | 
 less than the rate that the vaccine is reimbursed when  | 
 ordered and administered by a physician;  | 
   (B-5) following the initial administration of  | 
 long-acting or extended-release form opioid  | 
 antagonists by a physician licensed to practice  | 
 medicine in all its branches, administration of  | 
 injections of long-acting or extended-release form  | 
 opioid antagonists for the treatment of substance use  | 
 disorder, pursuant to a valid prescription by a  | 
 physician licensed to practice medicine in all its  | 
 branches, upon completion of appropriate training,  | 
 including how to address contraindications and adverse  | 
 reactions, including, but not limited to, respiratory  | 
 depression and the performance of cardiopulmonary  | 
 resuscitation, set forth by rule, with notification to  | 
 the patient's physician and appropriate record  | 
 retention, or pursuant to hospital pharmacy and  | 
 therapeutics committee policies and procedures;  | 
   (C) administration of injections of  | 
 alpha-hydroxyprogesterone caproate, pursuant to a  | 
 valid prescription, by a physician licensed to  | 
 practice medicine in all its branches, upon completion  | 
 | 
 of appropriate training, including how to address  | 
 contraindications and adverse reactions set forth by  | 
 rule, with notification to the patient's physician and  | 
 appropriate record retention, or pursuant to hospital  | 
 pharmacy and therapeutics committee policies and  | 
 procedures; and  | 
   (D) administration of injections of long-term  | 
 antipsychotic medications pursuant to a valid  | 
 prescription by a physician licensed to practice  | 
 medicine in all its branches, upon completion of  | 
 appropriate training conducted by an Accreditation  | 
 Council of Pharmaceutical Education accredited  | 
 provider, including how to address contraindications  | 
 and adverse reactions set forth by rule, with  | 
 notification to the patient's physician and  | 
 appropriate record retention, or pursuant to hospital  | 
 pharmacy and therapeutics committee policies and  | 
 procedures.  | 
  (5) (blank);  | 
  (6) drug regimen review;  | 
  (7) drug or drug-related research;  | 
  (8) the provision of patient counseling;  | 
  (9) the practice of telepharmacy;  | 
  (10) the provision of those acts or services necessary  | 
 to provide pharmacist care;  | 
  (11) medication therapy management; | 
 | 
  (12) the responsibility for compounding and labeling  | 
 of drugs and devices (except labeling by a manufacturer,  | 
 repackager, or distributor of non-prescription drugs and  | 
 commercially packaged legend drugs and devices), proper  | 
 and safe storage of drugs and devices, and maintenance of  | 
 required records; and  | 
  (13) the assessment and consultation of patients and  | 
 dispensing of hormonal contraceptives.  | 
 A pharmacist who performs any of the acts defined as the  | 
practice of pharmacy in this State must be actively licensed  | 
as a pharmacist under this Act.
 | 
 (e) "Prescription" means and includes any written, oral,  | 
facsimile, or
electronically transmitted order for drugs
or  | 
medical devices, issued by a physician licensed to practice  | 
medicine in
all its branches, dentist, veterinarian, podiatric  | 
physician, or
optometrist, within the
limits of his or her  | 
license, by a physician assistant in accordance with
 | 
subsection (f) of Section 4, or by an advanced practice  | 
registered nurse in
accordance with subsection (g) of Section  | 
4, containing the
following: (1) name
of the patient; (2) date  | 
when prescription was issued; (3) name
and strength of drug or  | 
description of the medical device prescribed;
and (4)  | 
quantity; (5) directions for use; (6) prescriber's name,
 | 
address,
and signature; and (7) DEA registration number where  | 
required, for controlled
substances.
The prescription may, but  | 
is not required to, list the illness, disease, or condition  | 
 | 
for which the drug or device is being prescribed. DEA  | 
registration numbers shall not be required on inpatient drug  | 
orders. A prescription for medication other than controlled  | 
substances shall be valid for up to 15 months from the date  | 
issued for the purpose of refills, unless the prescription  | 
states otherwise. 
 | 
 (f) "Person" means and includes a natural person,  | 
partnership,
association, corporation, government entity, or  | 
any other legal
entity.
 | 
 (g) "Department" means the Department of Financial and
 | 
Professional Regulation.
 | 
 (h) "Board of Pharmacy" or "Board" means the State Board
 | 
of Pharmacy of the Department of Financial and Professional  | 
Regulation.
 | 
 (i) "Secretary"
means the Secretary
of Financial and  | 
Professional Regulation.
 | 
 (j) "Drug product selection" means the interchange for a
 | 
prescribed pharmaceutical product in accordance with Section  | 
25 of
this Act and Section 3.14 of the Illinois Food, Drug and  | 
Cosmetic Act.
 | 
 (k) "Inpatient drug order" means an order issued by an  | 
authorized
prescriber for a resident or patient of a facility  | 
licensed under the
Nursing Home Care Act, the ID/DD Community  | 
Care Act, the MC/DD Act, the Specialized Mental Health  | 
Rehabilitation Act of 2013, the Hospital Licensing Act, or the  | 
University of Illinois Hospital Act, or a facility which is  | 
 | 
operated by the Department of Human
Services (as successor to  | 
the Department of Mental Health
and Developmental  | 
Disabilities) or the Department of Corrections.
 | 
 (k-5) "Pharmacist" means an individual health care  | 
professional and
provider currently licensed by this State to  | 
engage in the practice of
pharmacy.
 | 
 (l) "Pharmacist in charge" means the licensed pharmacist  | 
whose name appears
on a pharmacy license and who is  | 
responsible for all aspects of the
operation related to the  | 
practice of pharmacy.
 | 
 (m) "Dispense" or "dispensing" means the interpretation,  | 
evaluation, and implementation of a prescription drug order,  | 
including the preparation and delivery of a drug or device to a  | 
patient or patient's agent in a suitable container  | 
appropriately labeled for subsequent administration to or use  | 
by a patient in accordance with applicable State and federal  | 
laws and regulations.
"Dispense" or "dispensing" does not mean  | 
the physical delivery to a patient or a
patient's  | 
representative in a home or institution by a designee of a  | 
pharmacist
or by common carrier. "Dispense" or "dispensing"  | 
also does not mean the physical delivery
of a drug or medical  | 
device to a patient or patient's representative by a
 | 
pharmacist's designee within a pharmacy or drugstore while the  | 
pharmacist is
on duty and the pharmacy is open.
 | 
 (n) "Nonresident pharmacy"
means a pharmacy that is  | 
located in a state, commonwealth, or territory
of the United  | 
 | 
States, other than Illinois, that delivers, dispenses, or
 | 
distributes, through the United States Postal Service,  | 
commercially acceptable parcel delivery service, or other  | 
common
carrier, to Illinois residents, any substance which  | 
requires a prescription.
 | 
 (o) "Compounding" means the preparation and mixing of  | 
components, excluding flavorings, (1) as the result of a  | 
prescriber's prescription drug order or initiative based on  | 
the prescriber-patient-pharmacist relationship in the course  | 
of professional practice or (2) for the purpose of, or  | 
incident to, research, teaching, or chemical analysis and not  | 
for sale or dispensing. "Compounding" includes the preparation  | 
of drugs or devices in anticipation of receiving prescription  | 
drug orders based on routine, regularly observed dispensing  | 
patterns. Commercially available products may be compounded  | 
for dispensing to individual patients only if all of the  | 
following conditions are met: (i) the commercial product is  | 
not reasonably available from normal distribution channels in  | 
a timely manner to meet the patient's needs and (ii) the  | 
prescribing practitioner has requested that the drug be  | 
compounded.
 | 
 (p) (Blank).
 | 
 (q) (Blank).
 | 
 (r) "Patient counseling" means the communication between a  | 
pharmacist or a student pharmacist under the supervision of a  | 
pharmacist and a patient or the patient's representative about  | 
 | 
the patient's medication or device for the purpose of  | 
optimizing proper use of prescription medications or devices.  | 
"Patient counseling" may include without limitation (1)  | 
obtaining a medication history; (2) acquiring a patient's  | 
allergies and health conditions; (3) facilitation of the  | 
patient's understanding of the intended use of the medication;  | 
(4) proper directions for use; (5) significant potential  | 
adverse events; (6) potential food-drug interactions; and (7)  | 
the need to be compliant with the medication therapy. A  | 
pharmacy technician may only participate in the following  | 
aspects of patient counseling under the supervision of a  | 
pharmacist: (1) obtaining medication history; (2) providing  | 
the offer for counseling by a pharmacist or student  | 
pharmacist; and (3) acquiring a patient's allergies and health  | 
conditions.
 | 
 (s) "Patient profiles" or "patient drug therapy record"  | 
means the
obtaining, recording, and maintenance of patient  | 
prescription
information, including prescriptions for  | 
controlled substances, and
personal information.
 | 
 (t) (Blank).
 | 
 (u) "Medical device" or "device" means an instrument,  | 
apparatus, implement, machine,
contrivance, implant, in vitro  | 
reagent, or other similar or related article,
including any  | 
component part or accessory, required under federal law to
 | 
bear the label "Caution: Federal law requires dispensing by or  | 
on the order
of a physician". A seller of goods and services  | 
 | 
who, only for the purpose of
retail sales, compounds, sells,  | 
rents, or leases medical devices shall not,
by reasons  | 
thereof, be required to be a licensed pharmacy.
 | 
 (v) "Unique identifier" means an electronic signature,  | 
handwritten
signature or initials, thumb print, or other  | 
acceptable biometric
or electronic identification process as  | 
approved by the Department.
 | 
 (w) "Current usual and customary retail price" means the  | 
price that a pharmacy charges to a non-third-party payor.
 | 
 (x) "Automated pharmacy system" means a mechanical system  | 
located within the confines of the pharmacy or remote location  | 
that performs operations or activities, other than compounding  | 
or administration, relative to storage, packaging, dispensing,  | 
or distribution of medication, and which collects, controls,  | 
and maintains all transaction information. | 
 (y) "Drug regimen review" means and includes the  | 
evaluation of prescription drug orders and patient records for  | 
(1)
known allergies; (2) drug or potential therapy  | 
contraindications;
(3) reasonable dose, duration of use, and  | 
route of administration, taking into consideration factors  | 
such as age, gender, and contraindications; (4) reasonable  | 
directions for use; (5) potential or actual adverse drug  | 
reactions; (6) drug-drug interactions; (7) drug-food  | 
interactions; (8) drug-disease contraindications; (9)  | 
therapeutic duplication; (10) patient laboratory values when  | 
authorized and available; (11) proper utilization (including  | 
 | 
over or under utilization) and optimum therapeutic outcomes;  | 
and (12) abuse and misuse.
 | 
 (z) "Electronically transmitted prescription" means a  | 
prescription that is created, recorded, or stored by  | 
electronic means; issued and validated with an electronic  | 
signature; and transmitted by electronic means directly from  | 
the prescriber to a pharmacy. An electronic prescription is  | 
not an image of a physical prescription that is transferred by  | 
electronic means from computer to computer, facsimile to  | 
facsimile, or facsimile to computer.
 | 
 (aa) "Medication therapy management services" means a  | 
distinct service or group of services offered by licensed  | 
pharmacists, physicians licensed to practice medicine in all  | 
its branches, advanced practice registered nurses authorized  | 
in a written agreement with a physician licensed to practice  | 
medicine in all its branches, or physician assistants  | 
authorized in guidelines by a supervising physician that  | 
optimize therapeutic outcomes for individual patients through  | 
improved medication use. In a retail or other non-hospital  | 
pharmacy, medication therapy management services shall consist  | 
of the evaluation of prescription drug orders and patient  | 
medication records to resolve conflicts with the following: | 
  (1) known allergies; | 
  (2) drug or potential therapy contraindications; | 
  (3) reasonable dose, duration of use, and route of  | 
 administration, taking into consideration factors such as  | 
 | 
 age, gender, and contraindications; | 
  (4) reasonable directions for use; | 
  (5) potential or actual adverse drug reactions; | 
  (6) drug-drug interactions; | 
  (7) drug-food interactions; | 
  (8) drug-disease contraindications; | 
  (9) identification of therapeutic duplication; | 
  (10) patient laboratory values when authorized and  | 
 available; | 
  (11) proper utilization (including over or under  | 
 utilization) and optimum therapeutic outcomes; and | 
  (12) drug abuse and misuse. | 
 "Medication therapy management services" includes the  | 
following: | 
  (1) documenting the services delivered and  | 
 communicating the information provided to patients'  | 
 prescribers within an appropriate time frame, not to  | 
 exceed 48 hours; | 
  (2) providing patient counseling designed to enhance a  | 
 patient's understanding and the appropriate use of his or  | 
 her medications; and | 
  (3) providing information, support services, and  | 
 resources designed to enhance a patient's adherence with  | 
 his or her prescribed therapeutic regimens. | 
 "Medication therapy management services" may also include  | 
patient care functions authorized by a physician licensed to  | 
 | 
practice medicine in all its branches for his or her  | 
identified patient or groups of patients under specified  | 
conditions or limitations in a standing order from the  | 
physician. | 
 "Medication therapy management services" in a licensed  | 
hospital may also include the following: | 
  (1) reviewing assessments of the patient's health  | 
 status; and | 
  (2) following protocols of a hospital pharmacy and  | 
 therapeutics committee with respect to the fulfillment of  | 
 medication orders.
 | 
 (bb) "Pharmacist care" means the provision by a pharmacist  | 
of medication therapy management services, with or without the  | 
dispensing of drugs or devices, intended to achieve outcomes  | 
that improve patient health, quality of life, and comfort and  | 
enhance patient safety.
 | 
 (cc) "Protected health information" means individually  | 
identifiable health information that, except as otherwise  | 
provided, is:
 | 
  (1) transmitted by electronic media; | 
  (2) maintained in any medium set forth in the  | 
 definition of "electronic media" in the federal Health  | 
 Insurance Portability and Accountability Act; or | 
  (3) transmitted or maintained in any other form or  | 
 medium. | 
 "Protected health information" does not include  | 
 | 
individually identifiable health information found in: | 
  (1) education records covered by the federal Family  | 
 Educational Right and Privacy Act; or | 
  (2) employment records held by a licensee in its role  | 
 as an employer. | 
 (dd) "Standing order" means a specific order for a patient  | 
or group of patients issued by a physician licensed to  | 
practice medicine in all its branches in Illinois. | 
 (ee) "Address of record" means the designated address  | 
recorded by the Department in the applicant's application file  | 
or licensee's license file maintained by the Department's  | 
licensure maintenance unit. | 
 (ff) "Home pharmacy" means the location of a pharmacy's  | 
primary operations.
 | 
 (gg) "Email address of record" means the designated email  | 
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.  | 
(Source: P.A. 101-349, eff. 1-1-20; 102-16, eff. 6-17-21;  | 
102-103, eff. 1-1-22; 102-558, eff. 8-20-21; revised  | 
10-26-21.)
 | 
 (225 ILCS 85/4) (from Ch. 111, par. 4124)
 | 
 (Section scheduled to be repealed on January 1, 2023)
 | 
 Sec. 4. Exemptions. Nothing contained in any Section of  | 
this Act shall
apply
to, or in any manner interfere with:
 | 
 | 
  (a) the lawful practice of any physician licensed to  | 
 practice medicine in
all of its branches, dentist,  | 
 podiatric physician,
veterinarian, or therapeutically or  | 
 diagnostically certified optometrist within
the limits of
 | 
 his or her license, or prevent him or her from
supplying to  | 
 his
or her
bona fide patients
such drugs, medicines, or  | 
 poisons as may seem to him appropriate;
 | 
  (b) the sale of compressed gases;
 | 
  (c) the sale of patent or proprietary medicines and  | 
 household remedies
when sold in original and unbroken  | 
 packages only, if such patent or
proprietary medicines and  | 
 household remedies be properly and adequately
labeled as  | 
 to content and usage and generally considered and accepted
 | 
 as harmless and nonpoisonous when used according to the  | 
 directions
on the label, and also do not contain opium or  | 
 coca leaves, or any
compound, salt or derivative thereof,  | 
 or any drug which, according
to the latest editions of the  | 
 following authoritative pharmaceutical
treatises and  | 
 standards, namely, The United States  | 
 Pharmacopoeia/National
Formulary (USP/NF), the United  | 
 States Dispensatory, and the Accepted
Dental Remedies of  | 
 the Council of Dental Therapeutics of the American
Dental  | 
 Association or any or either of them, in use on the  | 
 effective
date of this Act, or according to the existing  | 
 provisions of the Federal
Food, Drug, and Cosmetic Act and  | 
 Regulations of the Department of Health
and Human  | 
 | 
 Services, Food and Drug Administration, promulgated  | 
 thereunder
now in effect, is designated, described or  | 
 considered as a narcotic,
hypnotic, habit forming,  | 
 dangerous, or poisonous drug;
 | 
  (d) the sale of poultry and livestock remedies in  | 
 original and unbroken
packages only, labeled for poultry  | 
 and livestock medication;
 | 
  (e) the sale of poisonous substances or mixture of  | 
 poisonous substances,
in unbroken packages, for  | 
 nonmedicinal use in the arts or industries
or for  | 
 insecticide purposes; provided, they are properly and  | 
 adequately
labeled as to content and such nonmedicinal  | 
 usage, in conformity
with the provisions of all applicable  | 
 federal, state and local laws
and regulations promulgated  | 
 thereunder now in effect relating thereto
and governing  | 
 the same, and those which are required under such  | 
 applicable
laws and regulations to be labeled with the  | 
 word "Poison", are also labeled
with the word "Poison"  | 
 printed
thereon in prominent type and the name of a  | 
 readily obtainable antidote
with directions for its  | 
 administration;
 | 
  (f) the delegation of limited prescriptive authority  | 
 by a physician
licensed to
practice medicine in all its  | 
 branches to a physician assistant
under Section 7.5 of the  | 
 Physician Assistant Practice Act of 1987. This
delegated  | 
 authority under Section 7.5 of the Physician Assistant  | 
 | 
 Practice Act of 1987 may, but is not required to, include  | 
 prescription of
controlled substances, as defined in  | 
 Article II of the
Illinois Controlled Substances Act, in  | 
 accordance with a written supervision agreement;
 | 
  (g) the delegation of prescriptive authority by a  | 
 physician
licensed to practice medicine in all its  | 
 branches or a licensed podiatric physician to an advanced  | 
 practice
registered nurse in accordance with a written  | 
 collaborative
agreement under Sections 65-35 and 65-40 of  | 
 the Nurse Practice Act; | 
  (g-5) the donation or acceptance, or the packaging,
 | 
 repackaging, or labeling, of drugs to the
extent permitted  | 
 under the Illinois Drug Reuse Opportunity Program Act; and 
 | 
  (h) the sale or distribution of dialysate or devices  | 
 necessary to perform home peritoneal renal dialysis for  | 
 patients with end-stage renal disease, provided that all  | 
 of the following conditions are met: | 
   (1) the dialysate, comprised of dextrose or  | 
 icodextrin, or devices are approved or cleared by the  | 
 federal Food and Drug Administration, as required by  | 
 federal law; | 
   (2) the dialysate or devices are lawfully held by  | 
 a manufacturer or the manufacturer's agent, which is  | 
 properly registered with the Board as a manufacturer,  | 
 third-party logistics provider, or wholesaler; | 
   (3) the dialysate or devices are held and  | 
 | 
 delivered to the manufacturer or the manufacturer's  | 
 agent in the original, sealed packaging from the  | 
 manufacturing facility;  | 
   (4) the dialysate or devices are delivered only  | 
 upon receipt of a physician's prescription by a  | 
 licensed pharmacy in which the prescription is  | 
 processed in accordance with provisions set forth in  | 
 this Act, and the transmittal of an order from the  | 
 licensed pharmacy to the manufacturer or the  | 
 manufacturer's agent; and  | 
   (5) the manufacturer or the manufacturer's agent  | 
 delivers the dialysate or devices directly to: (i) a  | 
 patient with end-stage renal disease, or his or her  | 
 designee, for the patient's self-administration of the  | 
 dialysis therapy or (ii) a health care provider or  | 
 institution for administration or delivery of the  | 
 dialysis therapy to a patient with end-stage renal  | 
 disease.  | 
  This paragraph (h) does not include any other drugs  | 
 for peritoneal dialysis, except dialysate, as described in  | 
 item (1) of this paragraph (h). All records of sales and  | 
 distribution of dialysate to patients made pursuant to  | 
 this paragraph (h) must be retained in accordance with  | 
 Section 18 of this Act. A student pharmacist or licensed  | 
 pharmacy technician engaged in remote prescription  | 
 processing under Section 25.10 of this Act at a licensed  | 
 | 
 pharmacy described in item (4) of this paragraph (h) shall  | 
 be permitted to access an employer pharmacy's database  | 
 from his or her home or other remote location while under  | 
 the supervision of a pharmacist for the purpose of  | 
 performing certain prescription processing functions,  | 
 provided that the pharmacy establishes controls to protect  | 
 the privacy and security of confidential records. | 
(Source: P.A. 101-420, eff. 8-16-19; 102-84, eff. 7-9-21;  | 
102-389, eff. 1-1-22; revised 10-8-21.)
 | 
 (225 ILCS 85/43) | 
 (Section scheduled to be repealed on January 1, 2023) | 
 Sec. 43. Dispensation of hormonal contraceptives. | 
 (a) The dispensing of hormonal contraceptives to a patient  | 
shall be pursuant to a valid prescription or standing order by  | 
a physician licensed to practice medicine in all its branches  | 
or the medical director of a local health department, pursuant  | 
to the following: | 
  (1) a pharmacist may dispense no more than a 12-month  | 
 supply of hormonal contraceptives to a patient; | 
  (2) a pharmacist must complete an educational training  | 
 program accredited by the Accreditation Council for  | 
 Pharmacy Education and approved by the Department that is  | 
 related to the patient self-screening risk assessment,  | 
 patient assessment contraceptive counseling and education,  | 
 and dispensation of hormonal contraceptives; | 
 | 
  (3) a pharmacist shall have the patient complete the  | 
 self-screening risk assessment tool; the self-screening  | 
 risk assessment tool is to be based on the most current  | 
 version of the United States Medical Eligibility Criteria  | 
 for Contraceptive Use published by the federal Centers for  | 
 Disease Control and Prevention; | 
  (4) based upon the results of the self-screening risk  | 
 assessment and the patient assessment, the pharmacist  | 
 shall use his or her professional and clinical judgment as  | 
 to when a patient should be referred to the patient's  | 
 physician or another health care provider; | 
  (5) a pharmacist shall provide, during the patient  | 
 assessment and consultation, counseling and education  | 
 about all methods of contraception, including methods not  | 
 covered under the standing order, and their proper use and  | 
 effectiveness; | 
  (6) the patient consultation shall take place in a  | 
 private manner; and | 
  (7) a pharmacist and pharmacy must maintain  | 
 appropriate records. | 
 (b) The Department may adopt rules to implement this  | 
Section. | 
 (c) Nothing in this Section shall be interpreted to  | 
require a pharmacist to dispense hormonal contraception under  | 
a standing order issued by a physician licensed to practice  | 
medicine in all its branches or
the medical director of a local  | 
 | 
health department.
 | 
(Source: P.A. 102-103, eff. 1-1-22.)
 | 
 (225 ILCS 85/44)
 | 
 (Section scheduled to be repealed on January 1, 2023) | 
 Sec. 44 43. Disclosure of pharmacy retail price. | 
 (a) For the purpose of this Section: | 
 "Pharmacy retail price" means the price an individual  | 
without prescription drug coverage or not using any other  | 
prescription medication benefit or discount would pay at a  | 
retail pharmacy, not including a pharmacist dispensing fee. | 
 "Cost-sharing amount" means the amount owed by a  | 
policyholder under the terms of his or her health insurance  | 
policy or as required by a pharmacy benefit manager as defined  | 
in subsection (a) of Section 513b1 of the Illinois Insurance  | 
Code. | 
 (b) A pharmacist or his or her authorized employee must  | 
disclose to the consumer at the point of sale the current  | 
pharmacy retail price for each prescription medication the  | 
consumer intends to purchase. If the consumer's cost-sharing  | 
amount for a prescription exceeds the current pharmacy retail  | 
price, the pharmacist or his or her authorized employee must  | 
disclose to the consumer that the pharmacy retail price is  | 
less than the patient's cost-sharing amount.
 | 
(Source: P.A. 102-400, eff. 1-1-22; revised 11-4-21.)
 | 
 | 
 Section 475. The Landscape Architecture Registration Act  | 
is amended by changing Section 125 as follows:
 | 
 (225 ILCS 316/125) | 
 (Section scheduled to be repealed on January 1, 2027)
 | 
 Sec. 125. Restoration of suspended or revoked  | 
registration.
 | 
 (a) At any time after the successful completion of a term  | 
of probation, suspension, or revocation of a registration  | 
under this Act, the Department may restore it to the  | 
registrant unless after an investigation and hearing the  | 
Department determines that restoration is not in the public  | 
interest. | 
 (b) Where circumstances of suspension or revocation so  | 
indicate, the Department may require an examination of the  | 
registrant prior to restoring his or her registration. | 
 (c) No person whose registration has been revoked as  | 
authorized in this Act may apply for restoration of that  | 
registration until such time as provided for in the Civil  | 
Administrative Code of Illinois. | 
 (d) A registration that has been suspended or revoked  | 
shall be considered nonrenewed for purposes of restoration and  | 
a person registration restoring a their registration from  | 
suspension or revocation must comply with the requirements for  | 
restoration as set forth in Section 50 of this Act and any  | 
rules adopted pursuant to this Act.
 | 
 | 
(Source: P.A. 102-284, eff. 8-6-21; revised 1-9-22.)
 | 
 Section 480. The Private Detective, Private Alarm, Private  | 
Security, Fingerprint Vendor, and
Locksmith Act of 2004 is  | 
amended by changing Section 5-10 as follows:
 | 
 (225 ILCS 447/5-10)
 | 
 (Section scheduled to be repealed on January 1, 2024)
 | 
 Sec. 5-10. Definitions. As used in this Act:
 | 
 "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.  | 
 "Advertisement" means any public media, including printed  | 
or electronic material, that is published or displayed in a  | 
phone book,
newspaper, magazine, pamphlet, newsletter,  | 
website, or other similar type of publication or electronic  | 
format
that is
intended to either attract business or merely  | 
provide contact information to
the public for
an agency or  | 
licensee. Advertisement shall not include a licensee's or an
 | 
agency's
letterhead, business cards, or other stationery used  | 
in routine business
correspondence or
customary name, address,  | 
and number type listings in a telephone directory.
 | 
 "Alarm system" means any system, including an electronic  | 
access control
system, a
surveillance video system, a security  | 
video system, a burglar alarm system, a
fire alarm
system, or  | 
 | 
any other electronic system that activates an audible,  | 
visible,
remote, or
recorded signal that is designed for the  | 
protection or detection of intrusion,
entry, theft,
fire,  | 
vandalism, escape, or trespass, or other electronic systems  | 
designed for the protection of life by indicating the  | 
existence of an emergency situation. "Alarm system" also  | 
includes an emergency communication system and a mass  | 
notification system. 
 | 
 "Applicant" means a person or business applying for  | 
licensure, registration, or authorization under this Act. Any  | 
applicant or person who holds himself or herself out as an  | 
applicant is considered a licensee or registrant for the  | 
purposes of enforcement, investigation, hearings, and the  | 
Illinois Administrative Procedure Act.  | 
 "Armed employee" means a licensee or registered person who  | 
is employed by an
agency licensed or an armed proprietary  | 
security force registered under this
Act who carries a weapon  | 
while engaged in the
performance
of official duties within the  | 
course and scope of his or her employment during
the hours
and  | 
times the employee is scheduled to work or is commuting  | 
between his or her
home or
place of employment.
 | 
 "Armed proprietary security force" means a security force  | 
made up of one or
more
armed individuals employed by a  | 
commercial or industrial operation or
by a financial  | 
institution as security officers
for the
protection of persons  | 
or property.
 | 
 | 
 "Board" means the Private Detective, Private Alarm,  | 
Private Security, Fingerprint Vendor, and
Locksmith Board.
 | 
 "Branch office" means a business location removed from the  | 
place of business
for which an agency license has been issued,  | 
including, but not limited to,
locations where active employee  | 
records that are required to be maintained
under this Act are  | 
kept, where prospective new
employees
are processed, or where  | 
members of the public are invited in to transact
business. A
 | 
branch office does not include an office or other facility  | 
located on the
property of an
existing client that is utilized  | 
solely for the benefit of that client and is
not owned or
 | 
leased by the agency.
 | 
 "Canine handler" means a person who uses or handles a  | 
trained dog
to protect persons or property or
to conduct  | 
investigations. | 
 "Canine handler authorization card" means a card issued by  | 
the Department that authorizes
the holder to use or handle a  | 
trained dog to protect persons or property or to conduct
 | 
investigations during the performance of his or her duties as  | 
specified in this Act. | 
 "Canine trainer" means a person who acts as a dog trainer  | 
for the purpose of training dogs to protect
persons or  | 
property or to conduct investigations. | 
 "Canine trainer authorization card" means a card issued by  | 
the Department that authorizes the
holder to train a dog to  | 
protect persons or property or to conduct investigations  | 
 | 
during the
performance of his or her duties as specified in  | 
this Act. | 
 "Canine training facility" means a facility operated by a  | 
licensed private detective agency or private
security  | 
contractor agency wherein dogs are trained for the purposes of  | 
protecting persons or property or to
conduct investigations.
 | 
 "Corporation" means an artificial person or legal entity  | 
created by or under
the
authority of the laws of a state,  | 
including without limitation a corporation,
limited liability  | 
company, or any other legal entity.
 | 
 "Department" means the Department of Financial and
 | 
Professional Regulation.
 | 
 "Emergency communication system" means any system that  | 
communicates information about emergencies, including but not  | 
limited to fire, terrorist activities, shootings, other  | 
dangerous situations, accidents, and natural disasters.  | 
 "Employee" means a person who works for a person or agency  | 
that has the
right to
control the details of the work performed  | 
and is not dependent upon whether or
not
federal or state  | 
payroll taxes are withheld.
 | 
 "Fingerprint vendor" means a person that offers,  | 
advertises, or provides services to fingerprint individuals,  | 
through electronic or other means, for the purpose of  | 
providing fingerprint images and associated demographic data  | 
to the Illinois State Police for processing fingerprint based  | 
criminal history record information inquiries. | 
 | 
 "Fingerprint vendor agency" means a person, firm,  | 
corporation, or other legal entity that engages in the  | 
fingerprint vendor business and employs, in addition to the  | 
fingerprint vendor licensee-in-charge, at least one other  | 
person in conducting that business. | 
 "Fingerprint vendor licensee-in-charge" means a person who  | 
has been designated by a fingerprint vendor agency to be the  | 
licensee-in-charge of an agency who is a full-time management  | 
employee or owner who assumes sole responsibility for  | 
maintaining all records required by this Act and who assumes  | 
sole responsibility for assuring the licensed agency's  | 
compliance with its responsibilities as stated in this Act.  | 
The Department shall adopt rules mandating licensee-in-charge  | 
participation in agency affairs.
 | 
 "Fire alarm system" means any system that is activated by  | 
an automatic or
manual device in the detection of smoke, heat,  | 
or fire that activates an
audible, visible, or
remote signal  | 
requiring a response.
 | 
 "Firearm control card" means a card issued by the  | 
Department that
authorizes
the holder, who has complied with  | 
the training and other requirements of this Act, to carry a  | 
weapon during the performance of his or her duties as
 | 
specified in
this Act.
 | 
 "Firm" means an unincorporated business entity, including  | 
but not limited to
proprietorships and partnerships.
 | 
 "Licensee" means a person or business licensed under this  | 
 | 
Act. Anyone who holds himself or herself out as a licensee or  | 
who is accused of unlicensed practice is considered a licensee  | 
for purposes of enforcement, investigation, hearings, and the  | 
Illinois Administrative Procedure Act.  | 
 "Locksmith" means
a person who engages in a business or  | 
holds himself out to the public as
providing a service that  | 
includes, but is not limited to, the servicing,
installing,  | 
originating first keys, re-coding, repairing, maintaining,
 | 
manipulating, or bypassing of a mechanical or electronic  | 
locking device, access
control or video surveillance system at  | 
premises, vehicles, safes, vaults, safe
deposit boxes, or  | 
automatic teller machines.
 | 
 "Locksmith agency" means a person, firm, corporation, or  | 
other legal entity
that engages
in the
locksmith business and  | 
employs, in addition to the locksmith
licensee-in-charge, at  | 
least
one other person in conducting such business.
 | 
 "Locksmith licensee-in-charge" means a person who has been  | 
designated by
agency to be the licensee-in-charge of an  | 
agency,
who is a
full-time management employee or owner who  | 
assumes sole responsibility
for
maintaining all records  | 
required by this Act, and who assumes sole
responsibility for
 | 
assuring the licensed agency's compliance with its  | 
responsibilities as stated
in this Act. The Department shall  | 
adopt rules mandating licensee-in-charge
participation in  | 
agency affairs.
 | 
 "Mass notification system" means any system that is used  | 
 | 
to provide information and instructions to people in a  | 
building or other space using voice communications, including  | 
visible signals, text, graphics, tactile, or other  | 
communication methods.  | 
 "Peace officer" or "police officer" means a person who, by  | 
virtue of office
or
public
employment, is vested by law with a  | 
duty to maintain public order or to make
arrests for
offenses,  | 
whether that duty extends to all offenses or is limited to  | 
specific
offenses.
Officers, agents, or employees of the  | 
federal government commissioned by
federal
statute
to make  | 
arrests for violations of federal laws are considered peace  | 
officers.
 | 
 "Permanent employee registration card" means a card issued  | 
by the Department
to an
individual who has applied to the  | 
Department and meets the requirements for
employment by a  | 
licensed agency under this Act.
 | 
 "Person" means a natural person.
 | 
 "Private alarm contractor" means a person who engages in a  | 
business that
individually or through others undertakes,  | 
offers to undertake, purports to
have the
capacity to  | 
undertake, or submits a bid to sell, install, design, monitor,  | 
maintain, test, inspect,
alter, repair,
replace, or service  | 
alarm and other security-related systems or parts thereof,
 | 
including fire
alarm systems, at protected premises or  | 
premises to be protected or responds to
alarm
systems at a  | 
protected premises on an emergency basis and not as a  | 
 | 
full-time
security officer. "Private alarm contractor" does  | 
not include a person, firm,
or
corporation that
manufactures  | 
or sells alarm systems
only from its place of business and does  | 
not sell, install, monitor, maintain,
alter, repair, replace,  | 
service, or respond to alarm systems at protected
premises or  | 
premises to be protected.
 | 
 "Private alarm contractor agency" means a person,  | 
corporation, or other
entity
that
engages in the private alarm  | 
contracting business and employs, in addition to
the private
 | 
alarm contractor-in-charge, at least one other person in  | 
conducting such
business.
 | 
 "Private alarm contractor licensee-in-charge" means a  | 
person who has been
designated by an
agency to be the  | 
licensee-in-charge of an agency, who is a full-time management
 | 
employee or owner who
assumes sole
responsibility for  | 
maintaining all records required by this Act, and who
assumes
 | 
sole
responsibility for assuring the licensed agency's  | 
compliance with its
responsibilities as
stated in this Act.
 | 
The Department shall adopt rules mandating licensee-in-charge  | 
participation in
agency affairs.
 | 
 "Private detective" means any person who by any means,  | 
including, but not
limited to, manual, canine odor detection,
 | 
or electronic methods, engages in the business of, accepts
 | 
employment
to furnish, or agrees to make or makes  | 
investigations for a fee or other
consideration to
obtain  | 
information relating to:
 | 
 | 
  (1) Crimes or wrongs done or threatened against the  | 
 United States, any
state or
territory of the United  | 
 States, or any local government of a state or
territory.
 | 
  (2) The identity, habits, conduct, business  | 
 occupation, honesty,
integrity,
credibility, knowledge,  | 
 trustworthiness, efficiency, loyalty, activity,
 | 
 movements, whereabouts, affiliations, associations,  | 
 transactions, acts,
reputation, or character of any  | 
 person, firm, or other entity by any means,
manual or  | 
 electronic.
 | 
  (3) The location, disposition, or recovery of lost or  | 
 stolen property.
 | 
  (4) The cause, origin, or responsibility for fires,  | 
 accidents, or injuries
to
individuals or real or personal  | 
 property.
 | 
  (5) The truth or falsity of any statement or  | 
 representation.
 | 
  (6) Securing evidence to be used before any court,  | 
 board, or investigating
body.
 | 
  (7) The protection of individuals from bodily harm or  | 
 death (bodyguard
functions).
 | 
  (8) Service of process in criminal and civil  | 
 proceedings.
 | 
 "Private detective agency" means a person, firm,  | 
corporation, or other legal
entity that engages
in the
private  | 
detective business and employs, in addition to the  | 
 | 
licensee-in-charge,
one or more
persons in conducting such  | 
business.
 | 
 "Private detective licensee-in-charge" means a person who  | 
has been designated
by an agency
to be the licensee-in-charge  | 
of an
agency,
who is a full-time management employee or owner
 | 
who assumes sole
responsibility
for
maintaining all records  | 
required by this Act, and who assumes sole
responsibility
for  | 
assuring
the licensed agency's compliance with its  | 
responsibilities as stated in this
Act. The Department shall  | 
adopt rules mandating licensee-in-charge
participation in  | 
agency affairs.
 | 
 "Private security contractor" means a person who engages  | 
in the business of
providing a private security officer,  | 
watchman, patrol, guard dog, canine odor detection, or a  | 
similar service by
any other
title or name on a contractual  | 
basis for another person, firm, corporation, or
other entity
 | 
for a fee or other consideration and performing one or more of  | 
the following
functions:
 | 
  (1) The prevention or detection of intrusion, entry,  | 
 theft, vandalism,
abuse, fire,
or trespass on private or  | 
 governmental property.
 | 
  (2) The prevention, observation, or detection of any  | 
 unauthorized activity
on
private or governmental property.
 | 
  (3) The protection of persons authorized to be on the  | 
 premises of the
person,
firm, or other entity for which  | 
 the security contractor contractually provides
security  | 
 | 
 services.
 | 
  (4) The prevention of the misappropriation or  | 
 concealment of goods, money,
bonds, stocks, notes,  | 
 documents, or papers.
 | 
  (5) The control, regulation, or direction of the  | 
 movement of the public
for
the
time specifically required  | 
 for the protection of property owned or controlled
by the  | 
 client.
 | 
  (6) The protection of individuals from bodily harm or  | 
 death (bodyguard
functions).
 | 
 "Private security contractor agency" means a person, firm,  | 
corporation, or
other legal entity that
engages in
the private  | 
security contractor business and that employs, in addition to  | 
the
licensee-in-charge, one or more persons in conducting such  | 
business.
 | 
 "Private security contractor licensee-in-charge" means a  | 
person who has been
designated by an agency to be the
 | 
licensee-in-charge of an
agency, who is a full-time management  | 
employee or owner
who assumes sole responsibility for  | 
maintaining all records required by this
Act, and who
assumes  | 
sole responsibility for assuring the licensed agency's  | 
compliance with
its
responsibilities as
stated in this Act.  | 
The Department shall adopt rules mandating
licensee-in-charge  | 
participation in agency affairs.
 | 
 "Public member" means a person who is not a licensee or  | 
related to a
licensee, or who is not an employer or employee of  | 
 | 
a licensee. The term
"related to" shall be determined by the  | 
rules of the Department.
 | 
 "Secretary" means the Secretary of the Department of  | 
Financial and Professional Regulation.
 | 
(Source: P.A. 102-152, eff. 1-1-22; 102-538, eff. 8-20-21;  | 
revised 10-26-21.)
 | 
 Section 485. The Real Estate Appraiser Licensing Act of  | 
2002 is amended by changing Section 5-22 as follows:
 | 
 (225 ILCS 458/5-22) | 
 (Section scheduled to be repealed on January 1, 2027) | 
 Sec. 5-22. Criminal history records check.  | 
 (a) An application for licensure by examination or  | 
restoration shall include the applicant's fingerprints  | 
submitted to the Illinois State Police in an electronic format  | 
that complies with the form and manner for requesting and  | 
furnishing criminal history record information as prescribed  | 
by the Illinois State Police. These fingerprints shall be  | 
checked against the Illinois State Police and Federal Bureau  | 
of Investigation criminal history record databases now and  | 
hereafter filed. The Illinois State Police shall charge  | 
applicants a fee for conducting the criminal history records  | 
check, which shall be deposited into the State Police Services  | 
Fund and shall not exceed the actual cost of the records check.  | 
The Illinois State Police shall
furnish, pursuant to positive  | 
 | 
identification, records of Illinois convictions to the  | 
Department. The Department may require applicants to pay a  | 
separate fingerprinting fee, either to the Department or to a  | 
vendor. The Department may adopt any rules necessary to  | 
implement this Section.
 | 
 (b) The Secretary may designate a multi-state licensing  | 
system to perform the functions described in subsection (a).  | 
The Department may require applicants to pay a separate  | 
fingerprinting fee, either to the Department or to the  | 
multi-state licensing system. The Department may adopt any  | 
rules necessary to implement this subsection.  | 
 (c) The Department shall not consider the following  | 
criminal history records in connection with an application for  | 
licensure: | 
  (1) juvenile adjudications of delinquent minors as  | 
 defined in Section 5-105 of the Juvenile Court Act of 1987  | 
 subject to the restrictions set forth in Section 5-130 of  | 
 that Act; | 
  (2) law enforcement records, court records, and  | 
 conviction records of an individual who was 17 years old  | 
 at the time of the offense and before January 1, 2014,  | 
 unless the nature of the offense required the individual  | 
 to be tried as an adult; | 
  (3) records of arrest not followed by a charge or  | 
 conviction; | 
  (4) records of arrest in which the charges were  | 
 | 
 dismissed unless related to the practice of the  | 
 profession; however, applicants shall not be asked to  | 
 report any arrests, and an arrest not followed by a  | 
 conviction shall not be the basis of a denial and may be  | 
 used only to assess an applicant's rehabilitation; | 
  (5) convictions overturned by a higher court; or | 
  (6) convictions or arrests that have been sealed or  | 
 expunged. | 
 (d) If an applicant makes a false statement of material  | 
fact on the application, the false statement may in itself be  | 
sufficient grounds to revoke or refuse to issue a license. | 
 (e) An applicant or licensee shall report to the  | 
Department, in a manner prescribed by the Department, upon  | 
application and within 30 days after the occurrence, if during  | 
the term of licensure, (i) any conviction of or plea of guilty  | 
or nolo contendere to forgery, embezzlement, obtaining money  | 
under false pretenses, larceny, extortion, conspiracy to  | 
defraud, or any similar offense or offenses or any conviction  | 
of a felony involving moral turpitude, (ii) the entry of an  | 
administrative sanction by a government agency in this State  | 
or any other jurisdiction that has as an essential element  | 
dishonesty or fraud or involves larceny, embezzlement, or  | 
obtaining money, property, or credit by false pretenses, or  | 
(iii) a crime that subjects the licensee to compliance with  | 
the requirements of the Sex Offender Registration Act.  | 
(Source: P.A. 102-20, eff. 1-1-22; 102-538, eff. 8-20-21;  | 
 | 
revised 1-4-22.)
 | 
 Section 490. The Illinois Horse Racing Act of 1975 is  | 
amended by changing Sections 26 and 28 as follows:
 | 
 (230 ILCS 5/26) (from Ch. 8, par. 37-26)
 | 
 Sec. 26. Wagering. 
 | 
 (a) Any licensee may conduct and supervise the pari-mutuel  | 
system of
wagering, as defined in Section 3.12 of this Act, on  | 
horse races conducted by
an Illinois organization
licensee or  | 
conducted at a racetrack located in another state or country  | 
in accordance with subsection (g) of Section 26 of this
Act.  | 
Subject to the prior consent of the Board, licensees may  | 
supplement any
pari-mutuel pool in order to guarantee a  | 
minimum distribution. Such
pari-mutuel method of wagering  | 
shall not,
under any circumstances if conducted under the  | 
provisions of this Act,
be held or construed to be unlawful,  | 
other statutes of this State to the
contrary notwithstanding.
 | 
Subject to rules for advance wagering promulgated by the  | 
Board, any
licensee
may accept wagers in advance of the day of
 | 
the race wagered upon occurs.
 | 
 (b) Except for those gaming activities for which a license  | 
is obtained and authorized under the Illinois Lottery Law, the  | 
Charitable Games Act, the Raffles and Poker Runs Act, or the  | 
Illinois Gambling Act, no other method of betting, pool  | 
making, wagering or
gambling shall be used or permitted by the  | 
 | 
licensee. Each licensee
may retain, subject to the payment of  | 
all applicable
taxes and purses, an amount not to exceed 17% of  | 
all money wagered
under subsection (a) of this Section, except  | 
as may otherwise be permitted
under this Act.
 | 
 (b-5) An individual may place a wager under the  | 
pari-mutuel system from
any licensed location authorized under  | 
this Act provided that wager is
electronically recorded in the  | 
manner described in Section 3.12 of this Act.
Any wager made  | 
electronically by an individual while physically on the  | 
premises
of a licensee shall be deemed to have been made at the  | 
premises of that
licensee.
 | 
 (c) (Blank).
 | 
 (c-5) The sum held by any licensee for payment
of
 | 
outstanding pari-mutuel tickets, if unclaimed prior to  | 
December 31 of the
next year, shall be retained by the licensee  | 
for payment of
such tickets until that date. Within 10 days  | 
thereafter, the balance of
such sum remaining unclaimed, less  | 
any uncashed supplements contributed by such
licensee for the  | 
purpose of guaranteeing minimum distributions
of any  | 
pari-mutuel pool, shall be evenly distributed to the purse  | 
account of
the organization licensee and the organization  | 
licensee, except that the balance of the sum of all  | 
outstanding pari-mutuel tickets generated from simulcast  | 
wagering and inter-track wagering by an organization licensee  | 
located in a county with a population in excess of 230,000 and  | 
borders the Mississippi River or any licensee that derives its  | 
 | 
license from that organization licensee shall be evenly  | 
distributed to the purse account of the organization licensee  | 
and the organization licensee.
 | 
 (d) A pari-mutuel ticket shall be honored until December  | 
31 of the
next calendar year, and the licensee shall pay the  | 
same and may
charge the amount thereof against unpaid money  | 
similarly accumulated on account
of pari-mutuel tickets not  | 
presented for payment.
 | 
 (e) No licensee shall knowingly permit any minor, other
 | 
than an employee of such licensee or an owner, trainer,
 | 
jockey, driver, or employee thereof, to be admitted during a  | 
racing
program unless accompanied by a parent or guardian, or  | 
any minor to be a
patron of the pari-mutuel system of wagering  | 
conducted or
supervised by it. The admission of any  | 
unaccompanied minor, other than
an employee of the licensee or  | 
an owner, trainer, jockey,
driver, or employee thereof at a  | 
race track is a Class C
misdemeanor.
 | 
 (f) Notwithstanding the other provisions of this Act, an
 | 
organization licensee may contract
with an entity in another  | 
state or country to permit any legal
wagering entity in  | 
another state or country to accept wagers solely within
such  | 
other state or country on races conducted by the organization  | 
licensee
in this State.
Beginning January 1, 2000, these  | 
wagers
shall not be subject to State
taxation. Until January  | 
1, 2000,
when the out-of-State entity conducts a pari-mutuel  | 
pool
separate from the organization licensee, a privilege tax  | 
 | 
equal to 7 1/2% of
all monies received by the organization  | 
licensee from entities in other states
or countries pursuant  | 
to such contracts is imposed on the organization
licensee, and  | 
such privilege tax shall be remitted to the
Department of  | 
Revenue
within 48 hours of receipt of the moneys from the  | 
simulcast. When the
out-of-State entity conducts a
combined  | 
pari-mutuel pool with the organization licensee, the tax shall  | 
be 10%
of all monies received by the organization licensee  | 
with 25% of the
receipts from this 10% tax to be distributed to  | 
the county
in which the race was conducted.
 | 
 An organization licensee may permit one or more of its  | 
races to be
utilized for
pari-mutuel wagering at one or more  | 
locations in other states and may
transmit audio and visual  | 
signals of races the organization licensee
conducts to one or
 | 
more locations outside the State or country and may also  | 
permit pari-mutuel
pools in other states or countries to be  | 
combined with its gross or net
wagering pools or with wagering  | 
pools established by other states.
 | 
 (g) A host track may accept interstate simulcast wagers on
 | 
horse
races conducted in other states or countries and shall  | 
control the
number of signals and types of breeds of racing in  | 
its simulcast program,
subject to the disapproval of the  | 
Board. The Board may prohibit a simulcast
program only if it  | 
finds that the simulcast program is clearly
adverse to the  | 
integrity of racing. The host track
simulcast program shall
 | 
include the signal of live racing of all organization  | 
 | 
licensees.
All non-host licensees and advance deposit wagering  | 
licensees shall carry the signal of and accept wagers on live  | 
racing of all organization licensees. Advance deposit wagering  | 
licensees shall not be permitted to accept out-of-state wagers  | 
on any Illinois signal provided pursuant to this Section  | 
without the approval and consent of the organization licensee  | 
providing the signal. For one year after August 15, 2014 (the  | 
effective date of Public Act 98-968), non-host licensees may  | 
carry the host track simulcast program and
shall accept wagers  | 
on all races included as part of the simulcast
program of horse  | 
races conducted at race tracks located within North America  | 
upon which wagering is permitted. For a period of one year  | 
after August 15, 2014 (the effective date of Public Act  | 
98-968), on horse races conducted at race tracks located  | 
outside of North America, non-host licensees may accept wagers  | 
on all races included as part of the simulcast program upon  | 
which wagering is permitted. Beginning August 15, 2015 (one  | 
year after the effective date of Public Act 98-968), non-host  | 
licensees may carry the host track simulcast program and shall  | 
accept wagers on all races included as part of the simulcast  | 
program upon which wagering is permitted.
All organization  | 
licensees shall provide their live signal to all advance  | 
deposit wagering licensees for a simulcast commission fee not  | 
to exceed 6% of the advance deposit wagering licensee's  | 
Illinois handle on the organization licensee's signal without  | 
prior approval by the Board. The Board may adopt rules under  | 
 | 
which it may permit simulcast commission fees in excess of 6%.  | 
The Board shall adopt rules limiting the interstate commission  | 
fees charged to an advance deposit wagering licensee. The  | 
Board shall adopt rules regarding advance deposit wagering on  | 
interstate simulcast races that shall reflect, among other  | 
things, the General Assembly's desire to maximize revenues to  | 
the State, horsemen purses, and organization licensees.  | 
However, organization licensees providing live signals  | 
pursuant to the requirements of this subsection (g) may  | 
petition the Board to withhold their live signals from an  | 
advance deposit wagering licensee if the organization licensee  | 
discovers and the Board finds reputable or credible  | 
information that the advance deposit wagering licensee is  | 
under investigation by another state or federal governmental  | 
agency, the advance deposit wagering licensee's license has  | 
been suspended in another state, or the advance deposit  | 
wagering licensee's license is in revocation proceedings in  | 
another state. The organization licensee's provision of their  | 
live signal to an advance deposit wagering licensee under this  | 
subsection (g) pertains to wagers placed from within Illinois.  | 
Advance deposit wagering licensees may place advance deposit  | 
wagering terminals at wagering facilities as a convenience to  | 
customers. The advance deposit wagering licensee shall not  | 
charge or collect any fee from purses for the placement of the  | 
advance deposit wagering terminals. The costs and expenses
of  | 
the host track and non-host licensees associated
with  | 
 | 
interstate simulcast
wagering, other than the interstate
 | 
commission fee, shall be borne by the host track and all
 | 
non-host licensees
incurring these costs.
The interstate  | 
commission fee shall not exceed 5% of Illinois handle on the
 | 
interstate simulcast race or races without prior approval of  | 
the Board. The
Board shall promulgate rules under which it may  | 
permit
interstate commission
fees in excess of 5%. The  | 
interstate commission
fee and other fees charged by the  | 
sending racetrack, including, but not
limited to, satellite  | 
decoder fees, shall be uniformly applied
to the host track and  | 
all non-host licensees.
 | 
 Notwithstanding any other provision of this Act, an  | 
organization licensee, with the consent of the horsemen  | 
association representing the largest number of owners,  | 
trainers, jockeys, or standardbred drivers who race horses at  | 
that organization licensee's racing meeting, may maintain a  | 
system whereby advance deposit wagering may take place or an  | 
organization licensee, with the consent of the horsemen  | 
association representing the largest number of owners,  | 
trainers, jockeys, or standardbred drivers who race horses at  | 
that organization licensee's racing meeting, may contract with  | 
another person to carry out a system of advance deposit  | 
wagering. Such consent may not be unreasonably withheld. Only  | 
with respect to an appeal to the Board that consent for an  | 
organization licensee that maintains its own advance deposit  | 
wagering system is being unreasonably withheld, the Board  | 
 | 
shall issue a final order within 30 days after initiation of  | 
the appeal, and the organization licensee's advance deposit  | 
wagering system may remain operational during that 30-day  | 
period. The actions of any organization licensee who conducts  | 
advance deposit wagering or any person who has a contract with  | 
an organization licensee to conduct advance deposit wagering  | 
who conducts advance deposit wagering on or after January 1,  | 
2013 and prior to June 7, 2013 (the effective date of Public  | 
Act 98-18) taken in reliance on the changes made to this  | 
subsection (g) by Public Act 98-18 are hereby validated,  | 
provided payment of all applicable pari-mutuel taxes are  | 
remitted to the Board. All advance deposit wagers placed from  | 
within Illinois must be placed through a Board-approved  | 
advance deposit wagering licensee; no other entity may accept  | 
an advance deposit wager from a person within Illinois. All  | 
advance deposit wagering is subject to any rules adopted by  | 
the Board. The Board may adopt rules necessary to regulate  | 
advance deposit wagering through the use of emergency  | 
rulemaking in accordance with Section 5-45 of the Illinois  | 
Administrative Procedure Act. The General Assembly finds that  | 
the adoption of rules to regulate advance deposit wagering is  | 
deemed an emergency and necessary for the public interest,  | 
safety, and welfare. An advance deposit wagering licensee may  | 
retain all moneys as agreed to by contract with an  | 
organization licensee. Any moneys retained by the organization  | 
licensee from advance deposit wagering, not including moneys  | 
 | 
retained by the advance deposit wagering licensee, shall be  | 
paid 50% to the organization licensee's purse account and 50%  | 
to the organization licensee. With the exception of any  | 
organization licensee that is owned by a publicly traded  | 
company that is incorporated in a state other than Illinois  | 
and advance deposit wagering licensees under contract with  | 
such organization licensees, organization licensees that  | 
maintain advance deposit wagering systems and advance deposit  | 
wagering licensees that contract with organization licensees  | 
shall provide sufficiently detailed monthly accountings to the  | 
horsemen association representing the largest number of  | 
owners, trainers, jockeys, or standardbred drivers who race  | 
horses at that organization licensee's racing meeting so that  | 
the horsemen association, as an interested party, can confirm  | 
the accuracy of the amounts paid to the purse account at the  | 
horsemen association's affiliated organization licensee from  | 
advance deposit wagering. If more than one breed races at the  | 
same race track facility, then the 50% of the moneys to be paid  | 
to an organization licensee's purse account shall be allocated  | 
among all organization licensees' purse accounts operating at  | 
that race track facility proportionately based on the actual  | 
number of host days that the Board grants to that breed at that  | 
race track facility in the current calendar year. To the  | 
extent any fees from advance deposit wagering conducted in  | 
Illinois for wagers in Illinois or other states have been  | 
placed in escrow or otherwise withheld from wagers pending a  | 
 | 
determination of the legality of advance deposit wagering, no  | 
action shall be brought to declare such wagers or the  | 
disbursement of any fees previously escrowed illegal. | 
  (1) Between the hours of 6:30 a.m. and 6:30 p.m. an
 | 
 inter-track wagering
licensee other than the host track  | 
 may supplement the host track simulcast
program with  | 
 additional simulcast races or race programs, provided that  | 
 between
January 1 and the third Friday in February of any  | 
 year, inclusive, if no live
thoroughbred racing is  | 
 occurring in Illinois during this period, only
 | 
 thoroughbred races may be used
for supplemental interstate  | 
 simulcast purposes. The Board shall withhold
approval for  | 
 a supplemental interstate simulcast only if it finds that  | 
 the
simulcast is clearly adverse to the integrity of  | 
 racing. A supplemental
interstate simulcast may be  | 
 transmitted from an inter-track wagering licensee to
its  | 
 affiliated non-host licensees. The interstate commission  | 
 fee for a
supplemental interstate simulcast shall be paid  | 
 by the non-host licensee and
its affiliated non-host  | 
 licensees receiving the simulcast.
 | 
  (2) Between the hours of 6:30 p.m. and 6:30 a.m. an
 | 
 inter-track wagering
licensee other than the host track  | 
 may receive supplemental interstate
simulcasts only with  | 
 the consent of the host track, except when the Board
finds  | 
 that the simulcast is
clearly adverse to the integrity of  | 
 racing. Consent granted under this
paragraph (2) to any  | 
 | 
 inter-track wagering licensee shall be deemed consent to
 | 
 all non-host licensees. The interstate commission fee for  | 
 the supplemental
interstate simulcast shall be paid
by all  | 
 participating non-host licensees.
 | 
  (3) Each licensee conducting interstate simulcast  | 
 wagering may retain,
subject to the payment of all  | 
 applicable taxes and the purses, an amount not to
exceed  | 
 17% of all money wagered. If any licensee conducts the  | 
 pari-mutuel
system wagering on races conducted at  | 
 racetracks in another state or country,
each such race or  | 
 race program shall be considered a separate racing day for
 | 
 the purpose of determining the daily handle and computing  | 
 the privilege tax of
that daily handle as provided in  | 
 subsection (a) of Section 27.
Until January 1, 2000,
from  | 
 the sums permitted to be retained pursuant to this  | 
 subsection, each
inter-track wagering location licensee  | 
 shall pay 1% of the pari-mutuel handle
wagered on  | 
 simulcast wagering to the Horse Racing Tax Allocation  | 
 Fund, subject
to the provisions of subparagraph (B) of  | 
 paragraph (11) of subsection (h) of
Section 26 of this  | 
 Act.
 | 
  (4) A licensee who receives an interstate simulcast  | 
 may combine its gross
or net pools with pools at the  | 
 sending racetracks pursuant to rules established
by the  | 
 Board. All licensees combining their gross pools
at a
 | 
 sending racetrack shall adopt the takeout percentages of  | 
 | 
 the sending
racetrack.
A licensee may also establish a  | 
 separate pool and takeout structure for
wagering purposes  | 
 on races conducted at race tracks outside of the
State of  | 
 Illinois. The licensee may permit pari-mutuel wagers  | 
 placed in other
states or
countries to be combined with  | 
 its gross or net wagering pools or other
wagering pools.
 | 
  (5) After the payment of the interstate commission fee  | 
 (except for the
interstate commission
fee on a  | 
 supplemental interstate simulcast, which shall be paid by  | 
 the host
track and by each non-host licensee through the  | 
 host track) and all applicable
State and local
taxes,  | 
 except as provided in subsection (g) of Section 27 of this  | 
 Act, the
remainder of moneys retained from simulcast  | 
 wagering pursuant to this
subsection (g), and Section 26.2  | 
 shall be divided as follows:
 | 
   (A) For interstate simulcast wagers made at a host  | 
 track, 50% to the
host
track and 50% to purses at the  | 
 host track.
 | 
   (B) For wagers placed on interstate simulcast  | 
 races, supplemental
simulcasts as defined in  | 
 subparagraphs (1) and (2), and separately pooled races
 | 
 conducted outside of the State of Illinois made at a  | 
 non-host
licensee, 25% to the host
track, 25% to the  | 
 non-host licensee, and 50% to the purses at the host  | 
 track.
 | 
  (6) Notwithstanding any provision in this Act to the  | 
 | 
 contrary, non-host
licensees
who derive their licenses  | 
 from a track located in a county with a population in
 | 
 excess of 230,000 and that borders the Mississippi River  | 
 may receive
supplemental interstate simulcast races at all  | 
 times subject to Board approval,
which shall be withheld  | 
 only upon a finding that a supplemental interstate
 | 
 simulcast is clearly adverse to the integrity of racing.
 | 
  (7) Effective January 1, 2017, notwithstanding any  | 
 provision of this Act to the contrary, after
payment of  | 
 all applicable State and local taxes and interstate  | 
 commission fees,
non-host licensees who derive their  | 
 licenses from a track located in a county
with a  | 
 population in excess of 230,000 and that borders the  | 
 Mississippi River
shall retain 50% of the retention from  | 
 interstate simulcast wagers and shall
pay 50% to purses at  | 
 the track from which the non-host licensee derives its
 | 
 license.
 | 
  (7.1) Notwithstanding any other provision of this Act  | 
 to the contrary,
if
no
standardbred racing is conducted at  | 
 a racetrack located in Madison County
during any
calendar  | 
 year beginning on or after January 1, 2002, all
moneys  | 
 derived by
that racetrack from simulcast wagering and  | 
 inter-track wagering that (1) are to
be used
for purses  | 
 and (2) are generated between the hours of 6:30 p.m. and  | 
 6:30 a.m.
during that
calendar year shall
be paid as  | 
 follows:
 | 
 | 
   (A) If the licensee that conducts horse racing at  | 
 that racetrack
requests from the Board at least as  | 
 many racing dates as were conducted in
calendar year  | 
 2000, 80% shall be paid to its thoroughbred purse  | 
 account; and
 | 
   (B) Twenty percent shall be deposited into the  | 
 Illinois Colt Stakes
Purse
Distribution
Fund and shall  | 
 be paid to purses for standardbred races for Illinois  | 
 conceived
and foaled horses conducted at any county  | 
 fairgrounds.
The moneys deposited into the Fund  | 
 pursuant to this subparagraph (B) shall be
deposited
 | 
 within 2
weeks after the day they were generated,  | 
 shall be in addition to and not in
lieu of any other
 | 
 moneys paid to standardbred purses under this Act, and  | 
 shall not be commingled
with other moneys paid into  | 
 that Fund. The moneys deposited
pursuant to this  | 
 subparagraph (B) shall be allocated as provided by the
 | 
 Department of Agriculture, with the advice and  | 
 assistance of the Illinois
Standardbred
Breeders Fund  | 
 Advisory Board.
 | 
  (7.2) Notwithstanding any other provision of this Act  | 
 to the contrary, if
no
thoroughbred racing is conducted at  | 
 a racetrack located in Madison County
during any
calendar  | 
 year beginning on or after January 1,
2002, all
moneys  | 
 derived by
that racetrack from simulcast wagering and  | 
 inter-track wagering that (1) are to
be used
for purses  | 
 | 
 and (2) are generated between the hours of 6:30 a.m. and  | 
 6:30 p.m.
during that
calendar year shall
be deposited as  | 
 follows:
 | 
   (A) If the licensee that conducts horse racing at  | 
 that racetrack
requests from the
Board at least
as  | 
 many racing dates as were conducted in calendar year  | 
 2000, 80%
shall be deposited into its standardbred  | 
 purse
account; and
 | 
   (B) Twenty percent shall be deposited into the  | 
 Illinois Colt Stakes
Purse
Distribution Fund. Moneys  | 
 deposited into the Illinois Colt Stakes Purse
 | 
 Distribution Fund
pursuant to this subparagraph (B)  | 
 shall be paid to Illinois
conceived and foaled  | 
 thoroughbred breeders' programs
and to thoroughbred  | 
 purses for races conducted at any county fairgrounds  | 
 for
Illinois conceived
and foaled horses at the  | 
 discretion of the
Department of Agriculture, with the  | 
 advice and assistance of
the Illinois Thoroughbred  | 
 Breeders Fund Advisory
Board. The moneys deposited  | 
 into the Illinois Colt Stakes Purse Distribution
Fund
 | 
 pursuant to this subparagraph (B) shall be deposited  | 
 within 2 weeks
after the day they were generated,  | 
 shall be in addition to and not in
lieu of any other  | 
 moneys paid to thoroughbred purses
under this Act, and  | 
 shall not be commingled with other moneys deposited  | 
 into
that Fund.
 | 
 | 
  (8) Notwithstanding any provision in this Act to the  | 
 contrary, an
organization licensee from a track located in  | 
 a county with a population in
excess of 230,000 and that  | 
 borders the Mississippi River and its affiliated
non-host  | 
 licensees shall not be entitled to share in any retention  | 
 generated on
racing, inter-track wagering, or simulcast  | 
 wagering at any other Illinois
wagering facility.
 | 
  (8.1) Notwithstanding any provisions in this Act to  | 
 the contrary, if 2
organization licensees
are conducting  | 
 standardbred race meetings concurrently
between the hours  | 
 of 6:30 p.m. and 6:30 a.m., after payment of all  | 
 applicable
State and local taxes and interstate commission  | 
 fees, the remainder of the
amount retained from simulcast  | 
 wagering otherwise attributable to the host
track and to  | 
 host track purses shall be split daily between the 2
 | 
 organization licensees and the purses at the tracks of the  | 
 2 organization
licensees, respectively, based on each  | 
 organization licensee's share
of the total live handle for  | 
 that day,
provided that this provision shall not apply to  | 
 any non-host licensee that
derives its license from a  | 
 track located in a county with a population in
excess of  | 
 230,000 and that borders the Mississippi River.
 | 
  (9) (Blank).
 | 
  (10) (Blank).
 | 
  (11) (Blank).
 | 
  (12) The Board shall have authority to compel all host  | 
 | 
 tracks to receive
the simulcast of any or all races  | 
 conducted at the Springfield or DuQuoin State
fairgrounds  | 
 and include all such races as part of their simulcast  | 
 programs.
 | 
  (13) Notwithstanding any other provision of this Act,  | 
 in the event that
the total Illinois pari-mutuel handle on  | 
 Illinois horse races at all wagering
facilities in any  | 
 calendar year is less than 75% of the total Illinois
 | 
 pari-mutuel handle on Illinois horse races at all such  | 
 wagering facilities for
calendar year 1994, then each  | 
 wagering facility that has an annual total
Illinois  | 
 pari-mutuel handle on Illinois horse races that is less  | 
 than 75% of
the total Illinois pari-mutuel handle on  | 
 Illinois horse races at such wagering
facility for  | 
 calendar year 1994, shall be permitted to receive, from  | 
 any amount
otherwise
payable to the purse account at the  | 
 race track with which the wagering facility
is affiliated  | 
 in the succeeding calendar year, an amount equal to 2% of  | 
 the
differential in total Illinois pari-mutuel handle on  | 
 Illinois horse
races at the wagering facility between that  | 
 calendar year in question and 1994
provided, however, that  | 
 a
wagering facility shall not be entitled to any such  | 
 payment until the Board
certifies in writing to the  | 
 wagering facility the amount to which the wagering
 | 
 facility is entitled
and a schedule for payment of the  | 
 amount to the wagering facility, based on:
(i) the racing  | 
 | 
 dates awarded to the race track affiliated with the  | 
 wagering
facility during the succeeding year; (ii) the  | 
 sums available or anticipated to
be available in the purse  | 
 account of the race track affiliated with the
wagering  | 
 facility for purses during the succeeding year; and (iii)  | 
 the need to
ensure reasonable purse levels during the  | 
 payment period.
The Board's certification
shall be  | 
 provided no later than January 31 of the succeeding year.
 | 
 In the event a wagering facility entitled to a payment  | 
 under this paragraph
(13) is affiliated with a race track  | 
 that maintains purse accounts for both
standardbred and  | 
 thoroughbred racing, the amount to be paid to the wagering
 | 
 facility shall be divided between each purse account pro  | 
 rata, based on the
amount of Illinois handle on Illinois  | 
 standardbred and thoroughbred racing
respectively at the  | 
 wagering facility during the previous calendar year.
 | 
 Annually, the General Assembly shall appropriate  | 
 sufficient funds from the
General Revenue Fund to the  | 
 Department of Agriculture for payment into the
 | 
 thoroughbred and standardbred horse racing purse accounts  | 
 at
Illinois pari-mutuel tracks. The amount paid to each  | 
 purse account shall be
the amount certified by the  | 
 Illinois Racing Board in January to be
transferred from  | 
 each account to each eligible racing facility in
 | 
 accordance with the provisions of this Section. Beginning  | 
 in the calendar year in which an organization licensee  | 
 | 
 that is eligible to receive payment under this paragraph  | 
 (13) begins to receive funds from gaming pursuant to an  | 
 organization gaming license issued under the Illinois  | 
 Gambling Act, the amount of the payment due to all  | 
 wagering facilities licensed under that organization  | 
 licensee under this paragraph (13) shall be the amount  | 
 certified by the Board in January of that year. An  | 
 organization licensee and its related wagering facilities  | 
 shall no longer be able to receive payments under this  | 
 paragraph (13) beginning in the year subsequent to the  | 
 first year in which the organization licensee begins to  | 
 receive funds from gaming pursuant to an organization  | 
 gaming license issued under the Illinois Gambling Act.
 | 
 (h) The Board may approve and license the conduct of  | 
inter-track wagering
and simulcast wagering by inter-track  | 
wagering licensees and inter-track
wagering location licensees  | 
subject to the following terms and conditions:
 | 
  (1) Any person licensed to conduct a race meeting (i)  | 
 at a track where
60 or more days of racing were conducted  | 
 during the immediately preceding
calendar year or where  | 
 over the 5 immediately preceding calendar years an
average  | 
 of 30 or more days of racing were conducted annually may be  | 
 issued an
inter-track wagering license; (ii) at a track
 | 
 located in a county that is bounded by the Mississippi  | 
 River, which has a
population of less than 150,000  | 
 according to the 1990 decennial census, and an
average of  | 
 | 
 at least 60 days of racing per year between 1985 and 1993  | 
 may be
issued an inter-track wagering license; (iii) at a  | 
 track awarded standardbred racing dates; or (iv) at a  | 
 track
located in Madison
County that conducted at least  | 
 100 days of live racing during the immediately
preceding
 | 
 calendar year may be issued an inter-track wagering  | 
 license, unless a lesser
schedule of
live racing is the  | 
 result of (A) weather, unsafe track conditions, or other
 | 
 acts of God; (B)
an agreement between the organization  | 
 licensee and the associations
representing the
largest  | 
 number of owners, trainers, jockeys, or standardbred  | 
 drivers who race
horses at
that organization licensee's  | 
 racing meeting; or (C) a finding by the Board of
 | 
 extraordinary circumstances and that it was in the best  | 
 interest of the public
and the sport to conduct fewer than  | 
 100 days of live racing. Any such person
having operating  | 
 control of the racing facility may receive
inter-track  | 
 wagering
location licenses. An
eligible race track located  | 
 in a county that has a population of more than
230,000 and  | 
 that is bounded by the Mississippi River may establish up  | 
 to 9
inter-track wagering locations, an eligible race  | 
 track located in Stickney Township in Cook County may  | 
 establish up to 16 inter-track wagering locations, and an  | 
 eligible race track located in Palatine Township in Cook  | 
 County may establish up to 18 inter-track wagering  | 
 locations. An eligible racetrack conducting standardbred  | 
 | 
 racing may have up to 16 inter-track wagering locations.
 | 
 An application for
said license shall be filed with the  | 
 Board prior to such dates as may be
fixed by the Board.  | 
 With an application for an inter-track
wagering
location  | 
 license there shall be delivered to the Board a certified  | 
 check or
bank draft payable to the order of the Board for  | 
 an amount equal to $500.
The application shall be on forms  | 
 prescribed and furnished by the Board. The
application  | 
 shall comply with all other rules,
regulations and  | 
 conditions imposed by the Board in connection therewith.
 | 
  (2) The Board shall examine the applications with  | 
 respect to their
conformity with this Act and the rules  | 
 and regulations imposed by the
Board. If found to be in  | 
 compliance with the Act and rules and regulations
of the  | 
 Board, the Board may then issue a license to conduct  | 
 inter-track
wagering and simulcast wagering to such  | 
 applicant. All such applications
shall be acted upon by  | 
 the Board at a meeting to be held on such date as may be
 | 
 fixed by the Board.
 | 
  (3) In granting licenses to conduct inter-track  | 
 wagering and simulcast
wagering, the Board shall give due  | 
 consideration to
the best interests of the
public, of  | 
 horse racing, and of maximizing revenue to the State.
 | 
  (4) Prior to the issuance of a license to conduct  | 
 inter-track wagering
and simulcast wagering,
the applicant  | 
 shall file with the Board a bond payable to the State of  | 
 | 
 Illinois
in the sum of $50,000, executed by the applicant  | 
 and a surety company or
companies authorized to do  | 
 business in this State, and conditioned upon
(i) the  | 
 payment by the licensee of all taxes due under Section 27  | 
 or 27.1
and any other monies due and payable under this  | 
 Act, and (ii)
distribution by the licensee, upon  | 
 presentation of the winning ticket or
tickets, of all sums  | 
 payable to the patrons of pari-mutuel pools.
 | 
  (5) Each license to conduct inter-track wagering and  | 
 simulcast
wagering shall specify the person
to whom it is  | 
 issued, the dates on which such wagering is permitted, and
 | 
 the track or location where the wagering is to be  | 
 conducted.
 | 
  (6) All wagering under such license is subject to this  | 
 Act and to the
rules and regulations from time to time  | 
 prescribed by the Board, and every
such license issued by  | 
 the Board shall contain a recital to that effect.
 | 
  (7) An inter-track wagering licensee or inter-track  | 
 wagering location
licensee may accept wagers at the track  | 
 or location
where it is licensed, or as otherwise provided  | 
 under this Act.
 | 
  (8) Inter-track wagering or simulcast wagering shall  | 
 not be
conducted
at any track less than 4 miles from a  | 
 track at which a racing meeting is in
progress.
 | 
  (8.1) Inter-track wagering location
licensees who  | 
 derive their licenses from a particular organization  | 
 | 
 licensee
shall conduct inter-track wagering and simulcast  | 
 wagering only at locations that
are within 160 miles of  | 
 that race track
where
the particular organization licensee  | 
 is licensed to conduct racing. However, inter-track  | 
 wagering and simulcast wagering
shall not
be conducted by  | 
 those licensees at any location within 5 miles of any race
 | 
 track at which a
horse race meeting has been licensed in  | 
 the current year, unless the person
having operating  | 
 control of such race track has given its written consent
 | 
 to such inter-track wagering location licensees,
which  | 
 consent
must be filed with the Board at or prior to the  | 
 time application is made. In the case of any inter-track  | 
 wagering location licensee initially licensed after  | 
 December 31, 2013, inter-track wagering and simulcast  | 
 wagering shall not be conducted by those inter-track  | 
 wagering location licensees that are located outside the  | 
 City of Chicago at any location within 8 miles of any race  | 
 track at which a horse race meeting has been licensed in  | 
 the current year, unless the person having operating  | 
 control of such race track has given its written consent  | 
 to such inter-track wagering location licensees, which  | 
 consent must be filed with the Board at or prior to the  | 
 time application is made. 
 | 
  (8.2) Inter-track wagering or simulcast wagering shall  | 
 not be
conducted by an inter-track
wagering location  | 
 licensee at any location within 100 feet of an
existing
 | 
 | 
 church, an existing elementary or secondary public school,  | 
 or an existing elementary or secondary private school  | 
 registered with or recognized by the State Board of  | 
 Education. The
distance of 100 feet shall be measured to  | 
 the nearest part of any
building
used for worship  | 
 services, education programs, or
conducting inter-track  | 
 wagering by an inter-track wagering location
licensee, and  | 
 not to property boundaries. However, inter-track wagering  | 
 or
simulcast wagering may be conducted at a site within  | 
 100 feet of
a church or school if such church or school
has  | 
 been erected
or established after
the Board issues
the  | 
 original inter-track wagering location license at the site  | 
 in question.
Inter-track wagering location licensees may  | 
 conduct inter-track wagering
and simulcast wagering only  | 
 in areas that are zoned for
commercial or manufacturing  | 
 purposes or
in areas for which a special use has been  | 
 approved by the local zoning
authority. However, no  | 
 license to conduct inter-track wagering and simulcast
 | 
 wagering shall be
granted by the Board with respect to any  | 
 inter-track wagering location
within the jurisdiction of  | 
 any local zoning authority which has, by
ordinance or by  | 
 resolution, prohibited the establishment of an inter-track
 | 
 wagering location within its jurisdiction. However,  | 
 inter-track wagering
and simulcast wagering may be  | 
 conducted at a site if such ordinance or
resolution is  | 
 enacted after
the Board licenses the original inter-track  | 
 | 
 wagering location
licensee for the site in question.
 | 
  (9) (Blank).
 | 
  (10) An inter-track wagering licensee or an  | 
 inter-track wagering
location licensee may retain, subject  | 
 to the
payment of the privilege taxes and the purses, an  | 
 amount not to
exceed 17% of all money wagered. Each  | 
 program of racing conducted by
each inter-track wagering  | 
 licensee or inter-track wagering location
licensee shall  | 
 be considered a separate racing day for the purpose of
 | 
 determining the daily handle and computing the privilege  | 
 tax or pari-mutuel
tax on such daily
handle as provided in  | 
 Section 27.
 | 
  (10.1) Except as provided in subsection (g) of Section  | 
 27 of this Act,
inter-track wagering location licensees  | 
 shall pay 1% of the
pari-mutuel handle at each location to  | 
 the municipality in which such
location is situated and 1%  | 
 of the pari-mutuel handle at each location to
the county  | 
 in which such location is situated. In the event that an
 | 
 inter-track wagering location licensee is situated in an  | 
 unincorporated
area of a county, such licensee shall pay  | 
 2% of the pari-mutuel handle from
such location to such  | 
 county. Inter-track wagering location licensees must pay  | 
 the handle percentage required under this paragraph to the  | 
 municipality and county no later than the 20th of the  | 
 month following the month such handle was generated.
 | 
  (10.2) Notwithstanding any other provision of this  | 
 | 
 Act, with respect to inter-track
wagering at a race track  | 
 located in a
county that has a population of
more than  | 
 230,000 and that is bounded by the Mississippi River ("the  | 
 first race
track"), or at a facility operated by an  | 
 inter-track wagering licensee or
inter-track wagering  | 
 location licensee that derives its license from the
 | 
 organization licensee that operates the first race track,  | 
 on races conducted at
the first race track or on races  | 
 conducted at another Illinois race track
and  | 
 simultaneously televised to the first race track or to a  | 
 facility operated
by an inter-track wagering licensee or  | 
 inter-track wagering location licensee
that derives its  | 
 license from the organization licensee that operates the  | 
 first
race track, those moneys shall be allocated as  | 
 follows:
 | 
   (A) That portion of all moneys wagered on  | 
 standardbred racing that is
required under this Act to  | 
 be paid to purses shall be paid to purses for
 | 
 standardbred races.
 | 
   (B) That portion of all moneys wagered on  | 
 thoroughbred racing
that is required under this Act to  | 
 be paid to purses shall be paid to purses
for  | 
 thoroughbred races.
 | 
  (11) (A) After payment of the privilege or pari-mutuel  | 
 tax, any other
applicable
taxes, and
the costs and  | 
 expenses in connection with the gathering, transmission,  | 
 | 
 and
dissemination of all data necessary to the conduct of  | 
 inter-track wagering,
the remainder of the monies retained  | 
 under either Section 26 or Section 26.2
of this Act by the  | 
 inter-track wagering licensee on inter-track wagering
 | 
 shall be allocated with 50% to be split between the
2  | 
 participating licensees and 50% to purses, except
that an  | 
 inter-track wagering licensee that derives its
license  | 
 from a track located in a county with a population in  | 
 excess of 230,000
and that borders the Mississippi River  | 
 shall not divide any remaining
retention with the Illinois  | 
 organization licensee that provides the race or
races, and  | 
 an inter-track wagering licensee that accepts wagers on  | 
 races
conducted by an organization licensee that conducts  | 
 a race meet in a county
with a population in excess of  | 
 230,000 and that borders the Mississippi River
shall not  | 
 divide any remaining retention with that organization  | 
 licensee.
 | 
  (B) From the
sums permitted to be retained pursuant to  | 
 this Act each inter-track wagering
location licensee shall  | 
 pay (i) the privilege or pari-mutuel tax to the
State;  | 
 (ii) 4.75% of the
pari-mutuel handle on inter-track  | 
 wagering at such location on
races as purses, except that
 | 
 an inter-track wagering location licensee that derives its  | 
 license from a
track located in a county with a population  | 
 in excess of 230,000 and that
borders the Mississippi  | 
 River shall retain all purse moneys for its own purse
 | 
 | 
 account consistent with distribution set forth in this  | 
 subsection (h), and inter-track
wagering location  | 
 licensees that accept wagers on races
conducted
by an  | 
 organization licensee located in a county with a  | 
 population in excess of
230,000 and that borders the  | 
 Mississippi River shall distribute all purse
moneys to  | 
 purses at the operating host track; (iii) until January 1,  | 
 2000,
except as
provided in
subsection (g) of Section 27  | 
 of this Act, 1% of the
pari-mutuel handle wagered on  | 
 inter-track wagering and simulcast wagering at
each  | 
 inter-track wagering
location licensee facility to the  | 
 Horse Racing Tax Allocation Fund, provided
that, to the  | 
 extent the total amount collected and distributed to the  | 
 Horse
Racing Tax Allocation Fund under this subsection (h)  | 
 during any calendar year
exceeds the amount collected and  | 
 distributed to the Horse Racing Tax Allocation
Fund during  | 
 calendar year 1994, that excess amount shall be  | 
 redistributed (I)
to all inter-track wagering location  | 
 licensees, based on each licensee's pro rata
share of the  | 
 total handle from inter-track wagering and simulcast
 | 
 wagering for all inter-track wagering location licensees  | 
 during the calendar
year in which this provision is  | 
 applicable; then (II) the amounts redistributed
to each  | 
 inter-track wagering location licensee as described in  | 
 subpart (I)
shall be further redistributed as provided in  | 
 subparagraph (B) of paragraph (5)
of subsection (g) of  | 
 | 
 this Section 26 provided first, that the shares of those
 | 
 amounts, which are to be redistributed to the host track  | 
 or to purses at the
host track under subparagraph (B) of  | 
 paragraph (5) of subsection (g) of this
Section 26 shall  | 
 be
redistributed based on each host track's pro rata share  | 
 of the total
inter-track
wagering and simulcast wagering  | 
 handle at all host tracks during the calendar
year in  | 
 question, and second, that any amounts redistributed as  | 
 described in
part (I) to an inter-track wagering location  | 
 licensee that accepts
wagers on races conducted by an  | 
 organization licensee that conducts a race meet
in a  | 
 county with a population in excess of 230,000 and that  | 
 borders the
Mississippi River shall be further  | 
 redistributed, effective January 1, 2017, as provided in  | 
 paragraph (7) of subsection (g) of this Section 26, with  | 
 the
portion of that
further redistribution allocated to  | 
 purses at that organization licensee to be
divided between  | 
 standardbred purses and thoroughbred purses based on the
 | 
 amounts otherwise allocated to purses at that organization  | 
 licensee during the
calendar year in question; and (iv) 8%  | 
 of the pari-mutuel handle on
inter-track wagering wagered  | 
 at
such location to satisfy all costs and expenses of  | 
 conducting its wagering. The
remainder of the monies  | 
 retained by the inter-track wagering location licensee
 | 
 shall be allocated 40% to the location licensee and 60% to  | 
 the organization
licensee which provides the Illinois  | 
 | 
 races to the location, except that an inter-track
wagering  | 
 location
licensee that derives its license from a track  | 
 located in a county with a
population in excess of 230,000  | 
 and that borders the Mississippi River shall
not divide  | 
 any remaining retention with the organization licensee  | 
 that provides
the race or races and an inter-track  | 
 wagering location licensee that accepts
wagers on races  | 
 conducted by an organization licensee that conducts a race  | 
 meet
in a county with a population in excess of 230,000 and  | 
 that borders the
Mississippi River shall not divide any  | 
 remaining retention with the
organization licensee.
 | 
 Notwithstanding the provisions of clauses (ii) and (iv) of  | 
 this
paragraph, in the case of the additional inter-track  | 
 wagering location licenses
authorized under paragraph (1)  | 
 of this subsection (h) by Public Act 87-110, those  | 
 licensees shall pay the following amounts as purses:
 | 
 during the first 12 months the licensee is in operation,  | 
 5.25% of
the
pari-mutuel handle wagered at the location on  | 
 races; during the second 12
months, 5.25%; during the  | 
 third 12 months, 5.75%;
during
the fourth 12 months,
 | 
 6.25%; and during the fifth 12 months and thereafter,  | 
 6.75%. The
following amounts shall be retained by the  | 
 licensee to satisfy all costs
and expenses of conducting  | 
 its wagering: during the first 12 months the
licensee is  | 
 in operation, 8.25% of the pari-mutuel handle wagered
at  | 
 the
location; during the second 12 months, 8.25%; during  | 
 | 
 the third 12
months, 7.75%;
during the fourth 12 months,  | 
 7.25%; and during the fifth 12 months
and
thereafter,  | 
 6.75%.
For additional inter-track wagering location  | 
 licensees authorized under Public Act 89-16, purses for  | 
 the first 12 months the licensee is in operation shall
be  | 
 5.75% of the pari-mutuel wagered
at the location, purses  | 
 for the second 12 months the licensee is in operation
 | 
 shall be 6.25%, and purses
thereafter shall be 6.75%. For  | 
 additional inter-track location
licensees
authorized under  | 
 Public Act 89-16, the licensee shall be allowed to retain  | 
 to satisfy
all costs and expenses: 7.75% of the  | 
 pari-mutuel handle wagered at
the location
during its  | 
 first 12 months of operation, 7.25% during its second
12
 | 
 months of
operation, and 6.75% thereafter.
 | 
  (C) There is hereby created the Horse Racing Tax  | 
 Allocation Fund
which shall remain in existence until  | 
 December 31, 1999. Moneys
remaining in the Fund after  | 
 December 31, 1999
shall be paid into the
General Revenue  | 
 Fund. Until January 1, 2000,
all monies paid into the  | 
 Horse Racing Tax Allocation Fund pursuant to this
 | 
 paragraph (11) by inter-track wagering location licensees  | 
 located in park
districts of 500,000 population or less,  | 
 or in a municipality that is not
included within any park  | 
 district but is included within a conservation
district  | 
 and is the county seat of a county that (i) is contiguous  | 
 to the state
of Indiana and (ii) has a 1990 population of  | 
 | 
 88,257 according to the United
States Bureau of the  | 
 Census, and operating on May 1, 1994 shall be
allocated by  | 
 appropriation as follows:
 | 
   Two-sevenths to the Department of Agriculture.  | 
 Fifty percent of
this two-sevenths shall be used to  | 
 promote the Illinois horse racing and
breeding  | 
 industry, and shall be distributed by the Department  | 
 of Agriculture
upon the advice of a 9-member committee  | 
 appointed by the Governor consisting of
the following  | 
 members: the Director of Agriculture, who shall serve  | 
 as
chairman; 2 representatives of organization  | 
 licensees conducting thoroughbred
race meetings in  | 
 this State, recommended by those licensees; 2  | 
 representatives
of organization licensees conducting  | 
 standardbred race meetings in this State,
recommended  | 
 by those licensees; a representative of the Illinois
 | 
 Thoroughbred Breeders and Owners Foundation,  | 
 recommended by that
Foundation; a representative of  | 
 the Illinois Standardbred Owners and
Breeders  | 
 Association, recommended
by that Association; a  | 
 representative of
the Horsemen's Benevolent and  | 
 Protective Association or any successor
organization  | 
 thereto established in Illinois comprised of the  | 
 largest number of
owners and trainers, recommended by  | 
 that
Association or that successor organization; and a
 | 
 representative of the Illinois Harness Horsemen's
 | 
 | 
 Association, recommended by that Association.  | 
 Committee members shall
serve for terms of 2 years,  | 
 commencing January 1 of each even-numbered
year. If a  | 
 representative of any of the above-named entities has  | 
 not been
recommended by January 1 of any even-numbered  | 
 year, the Governor shall
appoint a committee member to  | 
 fill that position. Committee members shall
receive no  | 
 compensation for their services as members but shall  | 
 be
reimbursed for all actual and necessary expenses  | 
 and disbursements incurred
in the performance of their  | 
 official duties. The remaining 50% of this
 | 
 two-sevenths shall be distributed to county fairs for  | 
 premiums and
rehabilitation as set forth in the  | 
 Agricultural Fair Act;
 | 
   Four-sevenths to park districts or municipalities  | 
 that do not have a
park district of 500,000 population  | 
 or less for museum purposes (if an
inter-track  | 
 wagering location licensee is located in such a park  | 
 district) or
to conservation districts for museum  | 
 purposes (if an inter-track wagering
location licensee  | 
 is located in a municipality that is not included  | 
 within any
park district but is included within a  | 
 conservation district and is the county
seat of a  | 
 county that (i) is contiguous to the state of Indiana  | 
 and (ii) has a
1990 population of 88,257 according to  | 
 the United States Bureau of the Census,
except that if  | 
 | 
 the conservation district does not maintain a museum,  | 
 the monies
shall be allocated equally between the  | 
 county and the municipality in which the
inter-track  | 
 wagering location licensee is located for general  | 
 purposes) or to a
municipal recreation board for park  | 
 purposes (if an inter-track wagering
location licensee  | 
 is located in a municipality that is not included  | 
 within any
park district and park maintenance is the  | 
 function of the municipal recreation
board and the  | 
 municipality has a 1990 population of 9,302 according  | 
 to the
United States Bureau of the Census); provided  | 
 that the monies are distributed
to each park district  | 
 or conservation district or municipality that does not
 | 
 have a park district in an amount equal to  | 
 four-sevenths of the amount
collected by each  | 
 inter-track wagering location licensee within the park
 | 
 district or conservation district or municipality for  | 
 the Fund. Monies that
were paid into the Horse Racing  | 
 Tax Allocation Fund before August 9, 1991 (the  | 
 effective date
of Public Act 87-110) by an inter-track  | 
 wagering location licensee
located in a municipality  | 
 that is not included within any park district but is
 | 
 included within a conservation district as provided in  | 
 this paragraph shall, as
soon as practicable after  | 
 August 9, 1991 (the effective date of Public Act  | 
 87-110), be
allocated and paid to that conservation  | 
 | 
 district as provided in this paragraph.
Any park  | 
 district or municipality not maintaining a museum may  | 
 deposit the
monies in the corporate fund of the park  | 
 district or municipality where the
inter-track  | 
 wagering location is located, to be used for general  | 
 purposes;
and
 | 
   One-seventh to the Agricultural Premium Fund to be  | 
 used for distribution
to agricultural home economics  | 
 extension councils in accordance with "An
Act in  | 
 relation to additional support and finances for the  | 
 Agricultural and
Home Economic Extension Councils in  | 
 the several counties of this State and
making an  | 
 appropriation therefor", approved July 24, 1967.
 | 
  Until January 1, 2000, all other
monies paid into the  | 
 Horse Racing Tax
Allocation Fund pursuant to
this  | 
 paragraph (11) shall be allocated by appropriation as  | 
 follows:
 | 
   Two-sevenths to the Department of Agriculture.  | 
 Fifty percent of this
two-sevenths shall be used to  | 
 promote the Illinois horse racing and breeding
 | 
 industry, and shall be distributed by the Department  | 
 of Agriculture upon the
advice of a 9-member committee  | 
 appointed by the Governor consisting of the
following  | 
 members: the Director of Agriculture, who shall serve  | 
 as chairman; 2
representatives of organization  | 
 licensees conducting thoroughbred race meetings
in  | 
 | 
 this State, recommended by those licensees; 2  | 
 representatives of
organization licensees conducting  | 
 standardbred race meetings in this State,
recommended  | 
 by those licensees; a representative of the Illinois  | 
 Thoroughbred
Breeders and Owners Foundation,  | 
 recommended by that Foundation; a
representative of  | 
 the Illinois Standardbred Owners and Breeders  | 
 Association,
recommended by that Association; a  | 
 representative of the Horsemen's Benevolent
and  | 
 Protective Association or any successor organization  | 
 thereto established
in Illinois comprised of the  | 
 largest number of owners and trainers,
recommended by  | 
 that Association or that successor organization; and a
 | 
 representative of the Illinois Harness Horsemen's  | 
 Association, recommended by
that Association.  | 
 Committee members shall serve for terms of 2 years,
 | 
 commencing January 1 of each even-numbered year. If a  | 
 representative of any of
the above-named entities has  | 
 not been recommended by January 1 of any
even-numbered  | 
 year, the Governor shall appoint a committee member to  | 
 fill that
position. Committee members shall receive no  | 
 compensation for their services
as members but shall  | 
 be reimbursed for all actual and necessary expenses  | 
 and
disbursements incurred in the performance of their  | 
 official duties. The
remaining 50% of this  | 
 two-sevenths shall be distributed to county fairs for
 | 
 | 
 premiums and rehabilitation as set forth in the  | 
 Agricultural Fair Act;
 | 
   Four-sevenths to museums and aquariums located in  | 
 park districts of over
500,000 population; provided  | 
 that the monies are distributed in accordance with
the  | 
 previous year's distribution of the maintenance tax  | 
 for such museums and
aquariums as provided in Section  | 
 2 of the Park District Aquarium and Museum
Act; and
 | 
   One-seventh to the Agricultural Premium Fund to be  | 
 used for distribution
to agricultural home economics  | 
 extension councils in accordance with "An Act
in  | 
 relation to additional support and finances for the  | 
 Agricultural and
Home Economic Extension Councils in  | 
 the several counties of this State and
making an  | 
 appropriation therefor", approved July 24, 1967.
This  | 
 subparagraph (C) shall be inoperative and of no force  | 
 and effect on and
after January 1, 2000.
 | 
   (D) Except as provided in paragraph (11) of this  | 
 subsection (h),
with respect to purse allocation from  | 
 inter-track wagering, the monies so
retained shall be  | 
 divided as follows:
 | 
    (i) If the inter-track wagering licensee,  | 
 except an inter-track
wagering licensee that  | 
 derives its license from an organization
licensee  | 
 located in a county with a population in excess of  | 
 230,000 and bounded
by the Mississippi River, is  | 
 | 
 not conducting its own
race meeting during the  | 
 same dates, then the entire purse allocation shall  | 
 be
to purses at the track where the races wagered  | 
 on are being conducted.
 | 
    (ii) If the inter-track wagering licensee,  | 
 except an inter-track
wagering licensee that  | 
 derives its license from an organization
licensee  | 
 located in a county with a population in excess of  | 
 230,000 and bounded
by the Mississippi River, is  | 
 also
conducting its own
race meeting during the  | 
 same dates, then the purse allocation shall be as
 | 
 follows: 50% to purses at the track where the  | 
 races wagered on are
being conducted; 50% to  | 
 purses at the track where the inter-track
wagering  | 
 licensee is accepting such wagers.
 | 
    (iii) If the inter-track wagering is being  | 
 conducted by an inter-track
wagering location  | 
 licensee, except an inter-track wagering location  | 
 licensee
that derives its license from an  | 
 organization licensee located in a
county with a  | 
 population in excess of 230,000 and bounded by the  | 
 Mississippi
River, the entire purse allocation for  | 
 Illinois races shall
be to purses at the track  | 
 where the race meeting being wagered on is being
 | 
 held.
 | 
  (12) The Board shall have all powers necessary and  | 
 | 
 proper to fully
supervise and control the conduct of
 | 
 inter-track wagering and simulcast
wagering by inter-track  | 
 wagering licensees and inter-track wagering location
 | 
 licensees, including, but not
limited to, the following:
 | 
   (A) The Board is vested with power to promulgate  | 
 reasonable rules and
regulations for the purpose of  | 
 administering the
conduct of this
wagering and to  | 
 prescribe reasonable rules, regulations and conditions  | 
 under
which such wagering shall be held and conducted.  | 
 Such rules and regulations
are to provide for the  | 
 prevention of practices detrimental to the public
 | 
 interest and for
the best interests of said wagering  | 
 and to impose penalties
for violations thereof.
 | 
   (B) The Board, and any person or persons to whom it  | 
 delegates this
power, is vested with the power to  | 
 enter the
facilities of any licensee to determine  | 
 whether there has been
compliance with the provisions  | 
 of this Act and the rules and regulations
relating to  | 
 the conduct of such wagering.
 | 
   (C) The Board, and any person or persons to whom it  | 
 delegates this
power, may eject or exclude from any  | 
 licensee's facilities, any person whose
conduct or  | 
 reputation
is such that his presence on such premises  | 
 may, in the opinion of the Board,
call into the  | 
 question the honesty and integrity of, or interfere  | 
 with the
orderly conduct of such wagering; provided,  | 
 | 
 however, that no person shall
be excluded or ejected  | 
 from such premises solely on the grounds of race,
 | 
 color, creed, national origin, ancestry, or sex.
 | 
   (D) (Blank).
 | 
   (E) The Board is vested with the power to appoint  | 
 delegates to execute
any of the powers granted to it  | 
 under this Section for the purpose of
administering  | 
 this wagering and any
rules and
regulations
 | 
 promulgated in accordance with this Act.
 | 
   (F) The Board shall name and appoint a State  | 
 director of this wagering
who shall be a  | 
 representative of the Board and whose
duty it shall
be  | 
 to supervise the conduct of inter-track wagering as  | 
 may be provided for
by the rules and regulations of the  | 
 Board; such rules and regulation shall
specify the  | 
 method of appointment and the Director's powers,  | 
 authority and
duties.
 | 
   (G) The Board is vested with the power to impose  | 
 civil penalties of up
to $5,000 against individuals  | 
 and up to $10,000 against
licensees for each violation  | 
 of any provision of
this Act relating to the conduct of  | 
 this wagering, any
rules adopted
by the Board, any  | 
 order of the Board or any other action which in the  | 
 Board's
discretion, is a detriment or impediment to  | 
 such wagering.
 | 
  (13) The Department of Agriculture may enter into  | 
 | 
 agreements with
licensees authorizing such licensees to  | 
 conduct inter-track
wagering on races to be held at the  | 
 licensed race meetings conducted by the
Department of  | 
 Agriculture. Such
agreement shall specify the races of the  | 
 Department of Agriculture's
licensed race meeting upon  | 
 which the licensees will conduct wagering. In the
event  | 
 that a licensee
conducts inter-track pari-mutuel wagering  | 
 on races from the Illinois State Fair
or DuQuoin State  | 
 Fair which are in addition to the licensee's previously
 | 
 approved racing program, those races shall be considered a  | 
 separate racing day
for the
purpose of determining the  | 
 daily handle and computing the privilege or
pari-mutuel  | 
 tax on
that daily handle as provided in Sections 27
and  | 
 27.1. Such
agreements shall be approved by the Board  | 
 before such wagering may be
conducted. In determining  | 
 whether to grant approval, the Board shall give
due  | 
 consideration to the best interests of the public and of  | 
 horse racing.
The provisions of paragraphs (1), (8),  | 
 (8.1), and (8.2) of
subsection (h) of this
Section which  | 
 are not specified in this paragraph (13) shall not apply  | 
 to
licensed race meetings conducted by the Department of  | 
 Agriculture at the
Illinois State Fair in Sangamon County  | 
 or the DuQuoin State Fair in Perry
County, or to any  | 
 wagering conducted on
those race meetings. | 
  (14) An inter-track wagering location license  | 
 authorized by the Board in 2016 that is owned and operated  | 
 | 
 by a race track in Rock Island County shall be transferred  | 
 to a commonly owned race track in Cook County on August 12,  | 
 2016 (the effective date of Public Act 99-757). The  | 
 licensee shall retain its status in relation to purse  | 
 distribution under paragraph (11) of this subsection (h)  | 
 following the transfer to the new entity. The pari-mutuel  | 
 tax credit under Section 32.1 shall not be applied toward  | 
 any pari-mutuel tax obligation of the inter-track wagering  | 
 location licensee of the license that is transferred under  | 
 this paragraph (14).
 | 
 (i) Notwithstanding the other provisions of this Act, the  | 
conduct of
wagering at wagering facilities is authorized on  | 
all days, except as limited by
subsection (b) of Section 19 of  | 
this Act.
 | 
(Source: P.A. 101-31, eff. 6-28-19; 101-52, eff. 7-12-19;  | 
101-81, eff. 7-12-19; 101-109, eff. 7-19-19; 102-558, eff.  | 
8-20-21; revised 12-2-21.)
 | 
 (230 ILCS 5/28) (from Ch. 8, par. 37-28)
 | 
 Sec. 28. Except as provided in subsection (g) of Section  | 
27 of this Act,
moneys collected shall be distributed  | 
according to the provisions of this
Section 28.
 | 
 (a) Thirty
per cent of the total of all monies received
by  | 
the State as privilege taxes shall be paid into the  | 
Metropolitan Exposition,
Auditorium and Office Building Fund  | 
in the State treasury Treasury until such Fund is repealed,  | 
 | 
and thereafter shall be paid into the General Revenue Fund in  | 
the State treasury Treasury.
 | 
 (b) In addition, 4.5% of the total of all monies received
 | 
by the State as privilege taxes shall be paid into the State  | 
treasury
into the Metropolitan Exposition,
Auditorium and  | 
Office Building Fund until such Fund is repealed, and  | 
thereafter shall be paid into the General Revenue Fund in the  | 
State treasury Treasury.
 | 
 (c) Fifty per cent of the total of all monies received by  | 
the State
as privilege taxes under the provisions of this Act  | 
shall be paid into
the Agricultural Premium Fund.
 | 
 (d) Seven per cent of the total of all monies received by  | 
the State
as privilege taxes shall be paid into the Fair and  | 
Exposition Fund in
the State treasury; provided, however, that  | 
when all bonds issued prior to
July 1, 1984 by the Metropolitan  | 
Fair and Exposition Authority shall have
been paid or payment  | 
shall have been provided for upon a refunding of those
bonds,  | 
thereafter 1/12 of $1,665,662 of such monies shall be paid  | 
each
month into the Build Illinois Fund, and the remainder  | 
into the Fair and
Exposition Fund. All excess monies shall be  | 
allocated to the Department of
Agriculture for distribution to  | 
county fairs for premiums and
rehabilitation as set forth in  | 
the Agricultural Fair Act.
 | 
 (e) The monies provided for in Section 30 shall be paid  | 
into the
Illinois Thoroughbred Breeders Fund.
 | 
 (f) The monies provided for in Section 31 shall be paid  | 
 | 
into the
Illinois Standardbred Breeders Fund.
 | 
 (g) Until January 1, 2000, that part representing
1/2 of  | 
the total breakage in Thoroughbred,
Harness, Appaloosa,  | 
Arabian, and Quarter Horse racing in the State shall
be paid  | 
into the Illinois Race Track Improvement Fund as established
 | 
in Section 32.
 | 
 (h) All other monies received by the Board under this Act  | 
shall be
paid into the Horse Racing Fund.
 | 
 (i) The salaries of the Board members, secretary,  | 
stewards,
directors of mutuels, veterinarians,  | 
representatives, accountants,
clerks, stenographers,  | 
inspectors and other employees of the Board, and
all expenses  | 
of the Board incident to the administration of this Act,
 | 
including, but not limited to, all expenses and salaries  | 
incident to the
taking of saliva and urine samples in  | 
accordance with the rules and
regulations of the Board shall  | 
be paid out of the Agricultural Premium
Fund.
 | 
 (j) The Agricultural Premium Fund shall also be used:
 | 
  (1) for the expenses of operating the Illinois State  | 
 Fair and the
DuQuoin State Fair, including the
payment of  | 
 prize money or premiums;
 | 
  (2) for the distribution to county fairs, vocational  | 
 agriculture
section fairs, agricultural societies, and  | 
 agricultural extension clubs
in accordance with the  | 
 Agricultural Fair Act, as
amended;
 | 
  (3) for payment of prize monies and premiums awarded  | 
 | 
 and for
expenses incurred in connection with the  | 
 International Livestock
Exposition and the Mid-Continent  | 
 Livestock Exposition held in Illinois,
which premiums, and  | 
 awards must be approved, and paid by the Illinois
 | 
 Department of Agriculture;
 | 
  (4) for personal service of county agricultural  | 
 advisors and county
home advisors;
 | 
  (5) for distribution to agricultural home economic  | 
 extension
councils in accordance with "An Act in relation  | 
 to additional support
and finance for the Agricultural and  | 
 Home Economic Extension Councils in
the several counties  | 
 in this State and making an appropriation
therefor",  | 
 approved July 24, 1967, as amended;
 | 
  (6) for research on equine disease, including a  | 
 development center
therefor;
 | 
  (7) for training scholarships for study on equine  | 
 diseases to
students at the University of Illinois College  | 
 of Veterinary Medicine;
 | 
  (8) for the rehabilitation, repair and maintenance of
 | 
 the Illinois and DuQuoin State Fair Grounds and
the  | 
 structures and facilities thereon and the construction of  | 
 permanent
improvements on such Fair Grounds, including  | 
 such structures, facilities and
property located on such
 | 
 State Fair Grounds which are under the custody and control  | 
 of the
Department of Agriculture;
 | 
  (9) (blank);
 | 
 | 
  (10) for the expenses of the Department of Commerce  | 
 and Economic Opportunity under Sections
605-620, 605-625,  | 
 and
605-630 of the Department of Commerce and Economic  | 
 Opportunity Law;
 | 
  (11) for remodeling, expanding, and reconstructing  | 
 facilities
destroyed by fire of any Fair and Exposition  | 
 Authority in counties with
a population of 1,000,000 or  | 
 more inhabitants;
 | 
  (12) for the purpose of assisting in the care and  | 
 general
rehabilitation of veterans with disabilities of  | 
 any war and their surviving
spouses and orphans;
 | 
  (13) for expenses of the Illinois State Police for  | 
 duties
performed under this Act;
 | 
  (14) for the Department of Agriculture for soil  | 
 surveys and soil and water
conservation purposes;
 | 
  (15) for the Department of Agriculture for grants to  | 
 the City of Chicago
for conducting the Chicagofest;
 | 
  (16) for the State Comptroller for grants and  | 
 operating expenses authorized by the Illinois Global  | 
 Partnership Act.
 | 
 (k) To the extent that monies paid by the Board to the  | 
Agricultural
Premium Fund are in the opinion of the Governor  | 
in excess of the amount
necessary for the purposes herein  | 
stated, the Governor shall notify the
Comptroller and the  | 
State Treasurer of such fact, who, upon receipt of
such  | 
notification, shall transfer such excess monies from the
 | 
 | 
Agricultural Premium Fund to the General Revenue Fund.
 | 
(Source: P.A. 102-16, eff. 6-17-21; 102-538, eff. 8-20-21;  | 
revised 10-14-21.)
 | 
 Section 495. The Illinois Gambling Act is amended by  | 
changing Sections 6 and 18 as follows:
 | 
 (230 ILCS 10/6) (from Ch. 120, par. 2406)
 | 
 Sec. 6. Application for owners license. 
 | 
 (a) A qualified person may
apply to the Board for an owners  | 
license to
conduct a gambling operation as provided in this  | 
Act. The
application shall be made on forms provided by the  | 
Board and shall contain
such information as the Board  | 
prescribes, including, but not limited to, the
identity of the  | 
riverboat on which such gambling operation is to be
conducted,  | 
if applicable, and the exact location where such riverboat or  | 
casino will be located, a
certification that the riverboat  | 
will be registered under this Act at all
times during which  | 
gambling operations are conducted on board, detailed
 | 
information regarding the ownership and management of the  | 
applicant, and
detailed personal information regarding the  | 
applicant. Any application for an
owners license to be  | 
re-issued on or after June 1, 2003 shall also
include the  | 
applicant's license bid in a form prescribed by the Board.
 | 
Information
provided on the application shall be used as a  | 
basis for a thorough
background investigation which the Board  | 
 | 
shall conduct with respect to each
applicant. An incomplete  | 
application shall be cause for denial of a license
by the  | 
Board.
 | 
 (a-5) In addition to any other information required under  | 
this Section, each application for an owners license must  | 
include the following information: | 
  (1) The history and success of the applicant and each  | 
 person and entity disclosed under subsection (c) of this  | 
 Section in developing tourism facilities ancillary to  | 
 gaming, if applicable. | 
  (2) The likelihood that granting a license to the  | 
 applicant will lead to the creation of quality, living  | 
 wage jobs and permanent, full-time jobs for residents of  | 
 the State and residents of the unit of local government  | 
 that is designated as the home dock of the proposed  | 
 facility where gambling is to be conducted by the  | 
 applicant. | 
  (3) The projected number of jobs that would be created  | 
 if the license is granted and the projected number of new  | 
 employees at the proposed facility where gambling is to be  | 
 conducted by the applicant. | 
  (4) The record, if any, of the applicant and its  | 
 developer in meeting commitments to local agencies,  | 
 community-based organizations, and employees at other  | 
 locations where the applicant or its developer has  | 
 performed similar functions as they would perform if the  | 
 | 
 applicant were granted a license. | 
  (5) Identification of adverse effects that might be  | 
 caused by the proposed facility where gambling is to be  | 
 conducted by the applicant, including the costs of meeting  | 
 increased demand for public health care, child care,  | 
 public transportation, affordable housing, and social  | 
 services, and a plan to mitigate those adverse effects. | 
  (6) The record, if any, of the applicant and its  | 
 developer regarding compliance with: | 
   (A) federal, state, and local discrimination, wage  | 
 and hour, disability, and occupational and  | 
 environmental health and safety laws; and | 
   (B) state and local labor relations and employment  | 
 laws. | 
  (7) The applicant's record, if any, in dealing with  | 
 its employees and their representatives at other  | 
 locations. | 
  (8) A plan concerning the utilization of  | 
 minority-owned and women-owned businesses and concerning  | 
 the hiring of minorities and women.  | 
  (9) Evidence the applicant used its best efforts to  | 
 reach a goal of 25% ownership representation by minority  | 
 persons and 5% ownership representation by women. | 
  (10) Evidence the applicant has entered into a fully  | 
 executed project labor agreement with the applicable local  | 
 building trades council. For any pending application  | 
 | 
 before the Board on June 10, 2021 (the effective date of  | 
 Public Act 102-13) this amendatory Act of the 102nd  | 
 General Assembly, the applicant shall submit evidence  | 
 complying with this paragraph within 30 days after June  | 
 10, 2021 (the effective date of Public Act 102-13) this  | 
 amendatory Act of the 102nd General Assembly. The Board  | 
 shall not award any pending applications until the  | 
 applicant has submitted this information.  | 
 (b) Applicants shall submit with their application all  | 
documents,
resolutions, and letters of support from the  | 
governing body that represents
the municipality or county  | 
wherein the licensee will be located.
 | 
 (c) Each applicant shall disclose the identity of every  | 
person or entity having a greater than 1% direct or
indirect  | 
pecuniary interest in the gambling operation with
respect to  | 
which the license is sought. If the disclosed entity is a
 | 
trust, the application shall disclose the names and addresses  | 
of all
beneficiaries; if a corporation, the names and
 | 
addresses of all stockholders and directors; if a partnership,  | 
the names
and addresses of all partners, both general and  | 
limited.
 | 
 (d) An application shall be filed and considered in  | 
accordance with the rules of the Board. Each application shall  | 
be accompanied by a nonrefundable
application fee of $250,000.  | 
In addition, a nonrefundable fee of $50,000 shall be paid at  | 
the time of filing
to defray the costs associated with the
 | 
 | 
background investigation conducted by the Board. If the costs  | 
of the
investigation exceed $50,000, the applicant shall pay  | 
the additional amount
to the Board within 7 days after  | 
requested by the Board. If the costs of the investigation are  | 
less than $50,000, the
applicant shall receive a refund of the  | 
remaining amount. All
information, records, interviews,  | 
reports, statements, memoranda, or other
data supplied to or  | 
used by the Board in the course of its review or
investigation  | 
of an application for a license or a renewal under this Act  | 
shall be
privileged and , strictly confidential and shall be  | 
used only for the purpose of
evaluating an applicant for a  | 
license or a renewal. Such information, records, interviews,  | 
reports,
statements, memoranda, or other data shall not be  | 
admissible as evidence,
nor discoverable in any action of any  | 
kind in any court or before any
tribunal, board, agency or  | 
person, except for any action deemed necessary
by the Board.  | 
The application fee shall be deposited into the State Gaming  | 
Fund.
 | 
 (e) The Board shall charge each applicant a fee set by the  | 
Illinois
State Police to defray the costs associated with the  | 
search and
classification of fingerprints obtained by the  | 
Board with respect to the
applicant's application. These fees  | 
shall be paid into the State Police
Services Fund. In order to  | 
expedite the application process, the Board may establish  | 
rules allowing applicants to acquire criminal background  | 
checks and financial integrity reviews as part of the initial  | 
 | 
application process from a list of vendors approved by the  | 
Board. 
 | 
 (f) The licensed owner shall be the person primarily  | 
responsible for the
boat or casino itself. Only one gambling  | 
operation may be authorized
by the Board on any riverboat or in  | 
any casino. The applicant must identify the riverboat or  | 
premises
it intends to use and certify that the riverboat or  | 
premises: (1) has the authorized
capacity required in this  | 
Act; (2) is accessible to persons with disabilities; and
(3)  | 
is fully registered and licensed in accordance
with any  | 
applicable laws.
 | 
 (g) A person who knowingly makes a false statement on an  | 
application is
guilty of a Class A misdemeanor.
 | 
(Source: P.A. 101-31, eff. 6-28-19; 102-13, eff. 6-10-21;  | 
102-538, eff. 8-20-21; revised 10-14-21.)
 | 
 (230 ILCS 10/18) (from Ch. 120, par. 2418)
 | 
 Sec. 18. Prohibited activities; penalty Activities -  | 
Penalty. 
 | 
 (a) A person is guilty of a Class A misdemeanor for doing  | 
any of the
following:
 | 
  (1) Conducting gambling where wagering
is used or to  | 
 be used
without a license issued by the Board.
 | 
  (2) Conducting gambling where wagering
is permitted  | 
 other
than in the manner specified by Section 11.
 | 
 (b) A person is guilty of a Class B misdemeanor for doing  | 
 | 
any of the
following:
 | 
  (1) permitting a person under 21 years to make a  | 
 wager; or
 | 
  (2) violating paragraph (12) of subsection (a) of  | 
 Section 11 of this Act.
 | 
 (c) A person wagering or accepting a wager at any location  | 
outside the
riverboat, casino, or organization gaming facility  | 
in violation of paragraph (1) or (2) of
subsection (a) of  | 
Section 28-1 of the Criminal Code of 2012 is subject to the  | 
penalties provided in that Section.
 | 
 (d) A person commits a Class 4 felony and, in addition,  | 
shall be barred
for life from gambling operations under the  | 
jurisdiction of the
Board, if the person does any of the  | 
following:
 | 
  (1) Offers, promises, or gives anything of value or  | 
 benefit to a person
who is connected with a riverboat or  | 
 casino owner or organization gaming licensee, including,  | 
 but
not limited to, an officer or employee of a licensed  | 
 owner, organization gaming licensee, or holder of an
 | 
 occupational license pursuant to an agreement or  | 
 arrangement or with the
intent that the promise or thing  | 
 of value or benefit will influence the
actions of the  | 
 person to whom the offer, promise, or gift was made in  | 
 order
to affect or attempt to affect the outcome of a  | 
 gambling game, or to
influence official action of a member  | 
 of the Board.
 | 
 | 
  (2) Solicits or knowingly accepts or receives a  | 
 promise of anything of
value or benefit while the person  | 
 is connected with a riverboat, casino, or organization  | 
 gaming facility,
including, but not limited to, an officer  | 
 or employee of a licensed owner or organization gaming  | 
 licensee,
or the holder of an occupational license,  | 
 pursuant to an understanding or
arrangement or with the  | 
 intent that the promise or thing of value or
benefit will  | 
 influence the actions of the person to affect or attempt  | 
 to
affect the outcome of a gambling game, or to influence  | 
 official action of a
member of the Board.
 | 
  (3) Uses or possesses with the intent to use a device  | 
 to assist:
 | 
   (i) In projecting the outcome of the game.
 | 
   (ii) In keeping track of the cards played.
 | 
   (iii) In analyzing the probability of the  | 
 occurrence of an event
relating to the gambling game.
 | 
   (iv) In analyzing the strategy for playing or  | 
 betting to be used in the
game except as permitted by  | 
 the Board.
 | 
  (4) Cheats at a gambling game.
 | 
  (5) Manufactures, sells, or distributes any cards,  | 
 chips, dice, game or
device which is intended to be used to  | 
 violate any provision of this Act.
 | 
  (6) Alters or misrepresents the outcome of a gambling  | 
 game on which
wagers have been made after the outcome is  | 
 | 
 made sure but before it is
revealed to the players.
 | 
  (7) Places a bet after acquiring knowledge, not  | 
 available to all players,
of the outcome of the gambling  | 
 game which is the subject of the bet or to aid a
person in  | 
 acquiring the knowledge for the purpose of placing a bet
 | 
 contingent on that outcome.
 | 
  (8) Claims, collects, or takes, or attempts to claim,  | 
 collect, or take,
money or anything of value in or from the  | 
 gambling games, with intent to
defraud, without having  | 
 made a wager contingent on winning a gambling game,
or  | 
 claims, collects, or takes an amount of money or thing of  | 
 value of
greater value than the amount won.
 | 
  (9) Uses counterfeit chips or tokens in a gambling  | 
 game.
 | 
  (10) Possesses any key or device designed for the  | 
 purpose of opening,
entering, or affecting the operation  | 
 of a gambling game, drop box, or an
electronic or  | 
 mechanical device connected with the gambling game or for
 | 
 removing coins, tokens, chips or other contents of a  | 
 gambling game. This
paragraph (10) does not apply to a  | 
 gambling licensee or employee of a
gambling licensee  | 
 acting in furtherance of the employee's employment.
 | 
 (e) The possession of more than one of the devices  | 
described in
subsection (d), paragraphs (3), (5), and or (10)  | 
of subsection (d) permits a rebuttable
presumption that the  | 
possessor intended to use the devices for cheating.
 | 
 | 
 (f) A person under the age of 21 who, except as authorized  | 
under paragraph (10) of Section 11, enters upon a riverboat or  | 
in a casino or organization gaming facility commits a petty  | 
offense and is subject to a fine of not less than $100 or more  | 
than $250 for a first offense and of not less than $200 or more  | 
than $500 for a second or subsequent offense.  | 
 An action to prosecute any crime occurring on a riverboat
 | 
shall be tried in the county of the dock at which the riverboat  | 
is based. An action to prosecute any crime occurring in a  | 
casino or organization gaming facility
shall be tried in the  | 
county in which the casino or organization gaming facility is  | 
located.
 | 
(Source: P.A. 101-31, eff. 6-28-19; revised 12-2-21.)
 | 
 Section 500. The Liquor Control Act of 1934 is amended by  | 
changing Sections 3-12 and 6-5 and by setting forth and  | 
renumbering multiple versions of Section 6-37 as follows:
 | 
 (235 ILCS 5/3-12)
 | 
 Sec. 3-12. Powers and duties of State Commission.
 | 
 (a) The State Commission shall have the following powers,  | 
functions, and
duties:
 | 
  (1) To receive applications and to issue licenses to  | 
 manufacturers,
foreign importers, importing distributors,  | 
 distributors, non-resident dealers,
on premise consumption  | 
 retailers, off premise sale retailers, special event
 | 
 | 
 retailer licensees, special use permit licenses, auction  | 
 liquor licenses, brew
pubs, caterer retailers,  | 
 non-beverage users, railroads, including owners and
 | 
 lessees of sleeping, dining and cafe cars, airplanes,  | 
 boats, brokers, and wine
maker's premises licensees in  | 
 accordance with the provisions of this Act, and
to suspend  | 
 or revoke such licenses upon the State Commission's  | 
 determination,
upon notice after hearing, that a licensee  | 
 has violated any provision of this
Act or any rule or  | 
 regulation issued pursuant thereto and in effect for 30  | 
 days
prior to such violation. Except in the case of an  | 
 action taken pursuant to a
violation of Section 6-3, 6-5,  | 
 or 6-9, any action by the State Commission to
suspend or  | 
 revoke a licensee's license may be limited to the license  | 
 for the
specific premises where the violation occurred.
An  | 
 action for a violation of this Act shall be commenced by  | 
 the State Commission within 2 years after the date the  | 
 State Commission becomes aware of the violation. 
 | 
  In lieu of suspending or revoking a license, the  | 
 commission may impose
a fine, upon the State Commission's  | 
 determination and notice after hearing,
that a licensee  | 
 has violated any provision of this Act or any rule or
 | 
 regulation issued pursuant thereto and in effect for 30  | 
 days prior to such
violation. | 
  For the purpose of this paragraph (1), when  | 
 determining multiple violations for the sale of alcohol to  | 
 | 
 a person under the age of 21, a second or subsequent  | 
 violation for the sale of alcohol to a person under the age  | 
 of 21 shall only be considered if it was committed within 5  | 
 years after the date when a prior violation for the sale of  | 
 alcohol to a person under the age of 21 was committed.  | 
  The fine imposed under this paragraph may not exceed  | 
 $500 for each
violation. Each day that the activity, which  | 
 gave rise to the original fine,
continues is a separate  | 
 violation. The maximum fine that may be levied against
any  | 
 licensee, for the period of the license, shall not exceed  | 
 $20,000.
The maximum penalty that may be imposed on a  | 
 licensee for selling a bottle of
alcoholic liquor with a  | 
 foreign object in it or serving from a bottle of
alcoholic  | 
 liquor with a foreign object in it shall be the  | 
 destruction of that
bottle of alcoholic liquor for the  | 
 first 10 bottles so sold or served from by
the licensee.  | 
 For the eleventh bottle of alcoholic liquor and for each  | 
 third
bottle thereafter sold or served from by the  | 
 licensee with a foreign object in
it, the maximum penalty  | 
 that may be imposed on the licensee is the destruction
of  | 
 the bottle of alcoholic liquor and a fine of up to $50.
 | 
  Any notice issued by the State Commission to a  | 
 licensee for a violation of this Act or any notice with  | 
 respect to settlement or offer in compromise shall include  | 
 the field report, photographs, and any other supporting  | 
 documentation necessary to reasonably inform the licensee  | 
 | 
 of the nature and extent of the violation or the conduct  | 
 alleged to have occurred. The failure to include such  | 
 required documentation shall result in the dismissal of  | 
 the action. | 
  (2) To adopt such rules and regulations consistent  | 
 with the
provisions of this Act which shall be necessary  | 
 to carry on its
functions and duties to the end that the  | 
 health, safety and welfare of
the People of the State of  | 
 Illinois shall be protected and temperance in
the  | 
 consumption of alcoholic liquors shall be fostered and  | 
 promoted and
to distribute copies of such rules and  | 
 regulations to all licensees
affected thereby.
 | 
  (3) To call upon other administrative departments of  | 
 the State,
county and municipal governments, county and  | 
 city police departments and
upon prosecuting officers for  | 
 such information and assistance as it
deems necessary in  | 
 the performance of its duties.
 | 
  (4) To recommend to local commissioners rules and  | 
 regulations, not
inconsistent with the law, for the  | 
 distribution and sale of alcoholic
liquors throughout the  | 
 State.
 | 
  (5) To inspect, or cause to be inspected, any
premises  | 
 in this State
where alcoholic liquors are manufactured,  | 
 distributed, warehoused, or
sold. Nothing in this Act
 | 
 authorizes an agent of the State Commission to inspect  | 
 private
areas within the premises without reasonable  | 
 | 
 suspicion or a warrant
during an inspection. "Private  | 
 areas" include, but are not limited to, safes, personal  | 
 property, and closed desks.
 | 
  (5.1) Upon receipt of a complaint or upon having  | 
 knowledge that any person
is engaged in business as a  | 
 manufacturer, importing distributor, distributor,
or  | 
 retailer without a license or valid license, to conduct an  | 
 investigation. If, after conducting an investigation, the  | 
 State Commission is satisfied that the alleged conduct  | 
 occurred or is occurring, it may issue a cease and desist  | 
 notice as provided in this Act, impose civil penalties as  | 
 provided in this Act, notify the local liquor
authority,  | 
 or file a complaint with the State's Attorney's Office of  | 
 the county
where the incident occurred or the Attorney  | 
 General.
 | 
  (5.2) Upon receipt of a complaint or upon having  | 
 knowledge that any person is shipping alcoholic
liquor
 | 
 into this State from a point outside of this State if the  | 
 shipment is in
violation of this Act, to conduct an  | 
 investigation. If, after conducting an investigation, the  | 
 State Commission is satisfied that the alleged conduct  | 
 occurred or is occurring, it may issue a cease and desist  | 
 notice as provided in this Act, impose civil penalties as  | 
 provided in this Act, notify the foreign jurisdiction, or  | 
 file a complaint with the State's Attorney's Office of the  | 
 county where the incident occurred or the Attorney  | 
 | 
 General.
 | 
  (5.3) To receive complaints from licensees, local  | 
 officials, law
enforcement agencies, organizations, and  | 
 persons stating that any licensee has
been or is violating  | 
 any provision of this Act or the rules and regulations
 | 
 issued pursuant to this Act. Such complaints shall be in  | 
 writing, signed and
sworn to by the person making the  | 
 complaint, and shall state with specificity
the facts in  | 
 relation to the alleged violation. If the State Commission  | 
 has
reasonable grounds to believe that the complaint  | 
 substantially alleges a
violation of this Act or rules and  | 
 regulations adopted pursuant to this Act, it
shall conduct  | 
 an investigation. If, after conducting an investigation,  | 
 the
State Commission is satisfied that the alleged  | 
 violation did occur, it shall proceed
with disciplinary  | 
 action against the licensee as provided in this Act.
 | 
  (5.4) To make arrests and issue notices of civil  | 
 violations where necessary for the enforcement of this  | 
 Act.  | 
  (5.5) To investigate any and all unlicensed activity.  | 
  (5.6) To impose civil penalties or fines to any person  | 
 who, without holding a valid license, engages in conduct  | 
 that requires a license pursuant to this Act, in an amount  | 
 not to exceed $20,000 for each offense as determined by  | 
 the State Commission. A civil penalty shall be assessed by  | 
 the State Commission after a hearing is held in accordance  | 
 | 
 with the provisions set forth in this Act regarding the  | 
 provision of a hearing for the revocation or suspension of  | 
 a license.  | 
  (6) To hear and determine appeals from orders of a  | 
 local commission
in accordance with the provisions of this  | 
 Act, as hereinafter set forth.
Hearings under this  | 
 subsection shall be held in Springfield or Chicago,
at  | 
 whichever location is the more convenient for the majority  | 
 of persons
who are parties to the hearing.
 | 
  (7) The State Commission shall establish uniform  | 
 systems of accounts to be
kept by all retail licensees  | 
 having more than 4 employees, and for this
purpose the  | 
 State Commission may classify all retail licensees having  | 
 more
than 4 employees and establish a uniform system of  | 
 accounts for each
class and prescribe the manner in which  | 
 such accounts shall be kept.
The State Commission may also  | 
 prescribe the forms of accounts to be kept by
all retail  | 
 licensees having more than 4 employees, including, but not
 | 
 limited to, accounts of earnings and expenses and any  | 
 distribution,
payment, or other distribution of earnings  | 
 or assets, and any other
forms, records, and memoranda  | 
 which in the judgment of the commission may
be necessary  | 
 or appropriate to carry out any of the provisions of this
 | 
 Act, including, but not limited to, such forms, records,  | 
 and memoranda as
will readily and accurately disclose at  | 
 all times the beneficial
ownership of such retail licensed  | 
 | 
 business. The accounts, forms,
records, and memoranda  | 
 shall be available at all reasonable times for
inspection  | 
 by authorized representatives of the State Commission or  | 
 by
any local liquor control commissioner or his or her  | 
 authorized representative.
The commission may, from time  | 
 to time, alter, amend, or repeal, in whole
or in part, any  | 
 uniform system of accounts, or the form and manner of
 | 
 keeping accounts.
 | 
  (8) In the conduct of any hearing authorized to be  | 
 held by the State Commission, to appoint, at the  | 
 commission's discretion, hearing officers
to conduct  | 
 hearings involving complex issues or issues that will  | 
 require a
protracted period of time to resolve, to  | 
 examine, or cause to be examined,
under oath, any  | 
 licensee, and to examine or cause to be examined the books  | 
 and
records
of such licensee; to hear testimony and take  | 
 proof material for its
information in the discharge of its  | 
 duties hereunder; to administer or
cause to be  | 
 administered oaths; for any such purpose to issue
subpoena  | 
 or subpoenas to require the attendance of witnesses and  | 
 the
production of books, which shall be effective in any  | 
 part of this State, and
to adopt rules to implement its  | 
 powers under this paragraph (8).
 | 
  Any circuit court may, by order duly entered,
require  | 
 the attendance of witnesses and the production of relevant  | 
 books
subpoenaed by the State Commission and the court may  | 
 | 
 compel
obedience to its order by proceedings for contempt.
 | 
  (9) To investigate the administration of laws in  | 
 relation to
alcoholic liquors in this and other states and  | 
 any foreign countries,
and to recommend from time to time  | 
 to the Governor and through him or
her to the legislature  | 
 of this State, such amendments to this Act, if any, as
it  | 
 may think desirable and as will serve to further the  | 
 general broad
purposes contained in Section 1-2 hereof.
 | 
  (10) To adopt such rules and regulations consistent  | 
 with the
provisions of this Act which shall be necessary  | 
 for the control, sale, or
disposition of alcoholic liquor  | 
 damaged as a result of an accident, wreck,
flood, fire, or  | 
 other similar occurrence.
 | 
  (11) To develop industry educational programs related  | 
 to responsible
serving and selling, particularly in the  | 
 areas of overserving consumers and
illegal underage  | 
 purchasing and consumption of alcoholic beverages.
 | 
  (11.1) To license persons providing education and  | 
 training to alcohol
beverage sellers and servers for  | 
 mandatory and non-mandatory training under the
Beverage  | 
 Alcohol Sellers and Servers
Education and Training  | 
 (BASSET) programs and to develop and administer a public
 | 
 awareness program in Illinois to reduce or eliminate the  | 
 illegal purchase and
consumption of alcoholic beverage  | 
 products by persons under the age of 21.
Application for a  | 
 license shall be made on forms provided by the State
 | 
 | 
 Commission.
 | 
  (12) To develop and maintain a repository of license  | 
 and regulatory
information.
 | 
  (13) (Blank).
 | 
  (14) On or before April 30, 2008 and every 2 years
 | 
 thereafter, the State Commission shall present a written
 | 
 report to the Governor and the General Assembly that shall
 | 
 be based on a study of the impact of Public Act 95-634 on  | 
 the business of soliciting,
selling, and shipping wine  | 
 from inside and outside of this
State directly to  | 
 residents of this State. As part of its
report, the State  | 
 Commission shall provide all of the
following information: | 
   (A) The amount of State excise and sales tax
 | 
 revenues generated. | 
   (B) The amount of licensing fees received. | 
   (C) The number of cases of wine shipped from  | 
 inside
and outside of this State directly to residents  | 
 of this
State. | 
   (D) The number of alcohol compliance operations
 | 
 conducted. | 
   (E) The number of winery shipper's licenses
 | 
 issued. | 
   (F) The number of each of the following: reported
 | 
 violations; cease and desist notices issued by the
 | 
 Commission; notices of violations issued by
the  | 
 Commission and to the Department of Revenue;
and  | 
 | 
 notices and complaints of violations to law
 | 
 enforcement officials, including, without limitation,
 | 
 the Illinois Attorney General and the U.S. Department
 | 
 of Treasury's Alcohol and Tobacco Tax and Trade  | 
 Bureau. | 
  (15) As a means to reduce the underage consumption of
 | 
 alcoholic liquors, the State Commission shall conduct
 | 
 alcohol compliance operations to investigate whether
 | 
 businesses that are soliciting, selling, and shipping wine
 | 
 from inside or outside of this State directly to residents
 | 
 of this State are licensed by this State or are selling or
 | 
 attempting to sell wine to persons under 21 years of age in
 | 
 violation of this Act. | 
  (16) The State Commission shall, in addition to
 | 
 notifying any appropriate law enforcement agency, submit
 | 
 notices of complaints or violations of Sections 6-29 and
 | 
 6-29.1 by persons who do not hold a winery shipper's
 | 
 license under this Act to the Illinois Attorney General  | 
 and
to the U.S. Department of Treasury's Alcohol and  | 
 Tobacco Tax and Trade Bureau. | 
  (17)(A) A person licensed to make wine under the laws  | 
 of another state who has a winery shipper's license under  | 
 this Act and annually produces less than 25,000 gallons of  | 
 wine or a person who has a first-class or second-class  | 
 wine manufacturer's license, a first-class or second-class  | 
 wine-maker's license, or a limited wine manufacturer's  | 
 | 
 license under this Act and annually produces less than  | 
 25,000 gallons of wine may make application to the  | 
 Commission for a self-distribution exemption to allow the  | 
 sale of not more than 5,000 gallons of the exemption  | 
 holder's wine to retail licensees per year and to sell  | 
 cider, mead, or both cider and mead to brewers, class 1  | 
 brewers, class 2 brewers, and class 3 brewers that,  | 
 pursuant to subsection (e) of Section 6-4 of this Act,  | 
 sell beer, cider, mead, or any combination thereof to  | 
 non-licensees at their breweries. | 
  (B) In the application, which shall be sworn under  | 
 penalty of perjury, such person shall state (1) the date  | 
 it was established; (2) its volume of production and sales  | 
 for each year since its establishment; (3) its efforts to  | 
 establish distributor relationships; (4) that a  | 
 self-distribution exemption is necessary to facilitate the  | 
 marketing of its wine; and (5) that it will comply with the  | 
 liquor and revenue laws of the United States, this State,  | 
 and any other state where it is licensed. | 
  (C) The State Commission shall approve the application  | 
 for a self-distribution exemption if such person: (1) is  | 
 in compliance with State revenue and liquor laws; (2) is  | 
 not a member of any affiliated group that produces  | 
 directly or indirectly more than 25,000 gallons of wine  | 
 per annum, 930,000 gallons of beer per annum, or 50,000  | 
 gallons of spirits per annum; (3) will not annually  | 
 | 
 produce for sale more than 25,000 gallons of wine, 930,000  | 
 gallons of beer, or 50,000 gallons of spirits; and (4)  | 
 will not annually sell more than 5,000 gallons of its wine  | 
 to retail licensees. | 
  (D) A self-distribution exemption holder shall  | 
 annually certify to the State Commission its production of  | 
 wine in the previous 12 months and its anticipated  | 
 production and sales for the next 12 months. The State  | 
 Commission may fine, suspend, or revoke a  | 
 self-distribution exemption after a hearing if it finds  | 
 that the exemption holder has made a material  | 
 misrepresentation in its application, violated a revenue  | 
 or liquor law of Illinois, exceeded production of 25,000  | 
 gallons of wine, 930,000 gallons of beer, or 50,000  | 
 gallons of spirits in any calendar year, or become part of  | 
 an affiliated group producing more than 25,000 gallons of  | 
 wine, 930,000 gallons of beer, or 50,000 gallons of  | 
 spirits. | 
  (E) Except in hearings for violations of this Act or  | 
 Public Act 95-634 or a bona fide investigation by duly  | 
 sworn law enforcement officials, the State Commission, or  | 
 its agents, the State Commission shall maintain the  | 
 production and sales information of a self-distribution  | 
 exemption holder as confidential and shall not release  | 
 such information to any person. | 
  (F) The State Commission shall issue regulations  | 
 | 
 governing self-distribution exemptions consistent with  | 
 this Section and this Act. | 
  (G) Nothing in this paragraph (17) shall prohibit a  | 
 self-distribution exemption holder from entering into or  | 
 simultaneously having a distribution agreement with a  | 
 licensed Illinois distributor. | 
  (H) It is the intent of this paragraph (17) to promote  | 
 and continue orderly markets. The General Assembly finds  | 
 that, in order to preserve Illinois' regulatory  | 
 distribution system, it is necessary to create an  | 
 exception for smaller makers of wine as their wines are  | 
 frequently adjusted in varietals, mixes, vintages, and  | 
 taste to find and create market niches sometimes too small  | 
 for distributor or importing distributor business  | 
 strategies. Limited self-distribution rights will afford  | 
 and allow smaller makers of wine access to the marketplace  | 
 in order to develop a customer base without impairing the  | 
 integrity of the 3-tier system.
 | 
  (18)(A) A class 1 brewer licensee, who must also be  | 
 either a licensed brewer or licensed non-resident dealer  | 
 and annually manufacture less than 930,000 gallons of  | 
 beer, may make application to the State Commission for a  | 
 self-distribution exemption to allow the sale of not more  | 
 than 232,500 gallons per year of the exemption holder's  | 
 beer to retail licensees and to brewers, class 1 brewers,  | 
 and class 2 brewers that, pursuant to subsection (e) of  | 
 | 
 Section 6-4 of this Act, sell beer, cider,, mead, or any  | 
 combination thereof to non-licensees at their breweries. | 
  (B) In the application, which shall be sworn under  | 
 penalty of perjury, the class 1 brewer licensee shall  | 
 state (1) the date it was established; (2) its volume of  | 
 beer manufactured and sold for each year since its  | 
 establishment; (3) its efforts to establish distributor  | 
 relationships; (4) that a self-distribution exemption is  | 
 necessary to facilitate the marketing of its beer; and (5)  | 
 that it will comply with the alcoholic beverage and  | 
 revenue laws of the United States, this State, and any  | 
 other state where it is licensed. | 
  (C) Any application submitted shall be posted on the  | 
 State Commission's website at least 45 days prior to  | 
 action by the State Commission. The State Commission shall  | 
 approve the application for a self-distribution exemption  | 
 if the class 1 brewer licensee: (1) is in compliance with  | 
 the State, revenue, and alcoholic beverage laws; (2) is  | 
 not a member of any affiliated group that manufactures,  | 
 directly or indirectly, more than 930,000 gallons of beer  | 
 per annum, 25,000 gallons of wine per annum, or 50,000  | 
 gallons of spirits per annum; (3) shall not annually  | 
 manufacture for sale more than 930,000 gallons of beer,  | 
 25,000 gallons of wine, or 50,000 gallons of spirits; (4)  | 
 shall not annually sell more than 232,500 gallons of its  | 
 beer to retail licensees and class 3 brewers and to  | 
 | 
 brewers, class 1 brewers, and class 2 brewers that,  | 
 pursuant to subsection (e) of Section 6-4 of this Act,  | 
 sell beer, cider, mead, or any combination thereof to  | 
 non-licensees at their breweries; and (5) has relinquished  | 
 any brew pub license held by the licensee, including any  | 
 ownership interest it held in the licensed brew pub. | 
  (D) A self-distribution exemption holder shall  | 
 annually certify to the State Commission its manufacture  | 
 of beer during the previous 12 months and its anticipated  | 
 manufacture and sales of beer for the next 12 months. The  | 
 State Commission may fine, suspend, or revoke a  | 
 self-distribution exemption after a hearing if it finds  | 
 that the exemption holder has made a material  | 
 misrepresentation in its application, violated a revenue  | 
 or alcoholic beverage law of Illinois, exceeded the  | 
 manufacture of 930,000 gallons of beer, 25,000 gallons of  | 
 wine, or 50,000 gallons of spirits in any calendar year or  | 
 became part of an affiliated group manufacturing more than  | 
 930,000 gallons of beer, 25,000 gallons of wine, or 50,000  | 
 gallons of spirits. | 
  (E) The State Commission shall issue rules and  | 
 regulations governing self-distribution exemptions  | 
 consistent with this Act. | 
  (F) Nothing in this paragraph (18) shall prohibit a  | 
 self-distribution exemption holder from entering into or  | 
 simultaneously having a distribution agreement with a  | 
 | 
 licensed Illinois importing distributor or a distributor.  | 
 If a self-distribution exemption holder enters into a  | 
 distribution agreement and has assigned distribution  | 
 rights to an importing distributor or distributor, then  | 
 the self-distribution exemption holder's distribution  | 
 rights in the assigned territories shall cease in a  | 
 reasonable time not to exceed 60 days. | 
  (G) It is the intent of this paragraph (18) to promote  | 
 and continue orderly markets. The General Assembly finds  | 
 that in order to preserve Illinois' regulatory  | 
 distribution system, it is necessary to create an  | 
 exception for smaller manufacturers in order to afford and  | 
 allow such smaller manufacturers of beer access to the  | 
 marketplace in order to develop a customer base without  | 
 impairing the integrity of the 3-tier system.  | 
  (19)(A) A class 1 craft distiller licensee or a  | 
 non-resident dealer who manufactures less than 50,000  | 
 gallons of distilled spirits per year may make application  | 
 to the State Commission for a self-distribution exemption  | 
 to allow the sale of not more
than 5,000 gallons of the  | 
 exemption holder's spirits to retail licensees per year.  | 
  (B) In the application, which shall be sworn under  | 
 penalty of perjury, the class 1 craft distiller licensee  | 
 or non-resident dealer shall state (1) the date it was  | 
 established; (2) its volume of spirits manufactured and  | 
 sold for each year since its establishment; (3) its  | 
 | 
 efforts to establish distributor relationships; (4) that a  | 
 self-distribution exemption is necessary to facilitate the  | 
 marketing of its spirits; and (5) that it will comply with  | 
 the alcoholic beverage and revenue laws of the United  | 
 States, this State, and any other state where it is  | 
 licensed.  | 
  (C) Any application submitted shall be posted on the  | 
 State Commission's website at least 45 days prior to  | 
 action by the State Commission. The State Commission shall  | 
 approve the application for a self-distribution exemption  | 
 if the applicant: (1) is in compliance with State revenue  | 
 and alcoholic beverage laws; (2) is not a member of any  | 
 affiliated group that produces more than 50,000 gallons of  | 
 spirits per annum, 930,000 gallons of beer per annum, or  | 
 25,000 gallons of wine per annum; (3) does not annually  | 
 manufacture for sale more than 50,000 gallons of spirits,  | 
 930,000 gallons of beer, or 25,000 gallons of wine; and  | 
 (4) does not annually sell more than 5,000 gallons of its  | 
 spirits to retail licensees.  | 
  (D) A self-distribution exemption holder shall  | 
 annually certify to the State Commission its manufacture  | 
 of spirits during the previous 12 months and its  | 
 anticipated manufacture and sales of spirits for the next  | 
 12 months. The State Commission may fine, suspend, or  | 
 revoke a self-distribution exemption after a hearing if it  | 
 finds that the exemption holder has made a material  | 
 | 
 misrepresentation in its application, violated a revenue  | 
 or alcoholic beverage law of Illinois, exceeded the  | 
 manufacture of 50,000 gallons of spirits, 930,000 gallons  | 
 of beer, or 25,000 gallons of wine in any calendar year, or  | 
 has become part of an affiliated group manufacturing more  | 
 than 50,000 gallons of spirits, 930,000 gallons of beer,  | 
 or 25,000 gallons of wine.  | 
  (E) The State Commission shall adopt rules governing  | 
 self-distribution exemptions consistent with this Act.  | 
  (F) Nothing in this paragraph (19) shall prohibit a  | 
 self-distribution exemption holder from entering into or  | 
 simultaneously having a distribution agreement with a  | 
 licensed Illinois importing distributor or a distributor.  | 
  (G) It is the intent of this paragraph (19) to promote  | 
 and continue orderly markets. The General Assembly finds  | 
 that in order to preserve Illinois' regulatory  | 
 distribution system, it is necessary to create an  | 
 exception for smaller manufacturers in order to afford and  | 
 allow such smaller manufacturers of spirits access to the  | 
 marketplace in order to develop a customer base without  | 
 impairing the
integrity of the 3-tier system.  | 
  (20)(A) A class 3 brewer licensee who must manufacture  | 
 less than 465,000 gallons of beer in the aggregate and not  | 
 more than 155,000 gallons at any single brewery premises  | 
 may make application to the State Commission for a  | 
 self-distribution exemption to allow the sale of not more  | 
 | 
 than 6,200 gallons of beer from each in-state or  | 
 out-of-state class 3 brewery premises, which shall not  | 
 exceed 18,600 gallons annually in the aggregate, that is  | 
 manufactured at a wholly owned class 3 brewer's in-state  | 
 or out-of-state licensed premises to retail licensees and  | 
 class 3 brewers and to brewers, class 1 brewers, class 2  | 
 brewers that, pursuant to subsection (e) of Section 6-4,  | 
 sell beer, cider, or both beer and cider to non-licensees  | 
 at their licensed breweries. | 
  (B) In the application, which shall be sworn under  | 
 penalty of perjury, the class 3 brewer licensee shall  | 
 state: | 
   (1) the date it was established; | 
   (2) its volume of beer manufactured and sold for  | 
 each year since its establishment; | 
   (3) its efforts to establish distributor  | 
 relationships; | 
   (4) that a self-distribution exemption is  | 
 necessary to facilitate the marketing of its beer; and | 
   (5) that it will comply with the alcoholic  | 
 beverage and revenue laws of the United States, this  | 
 State, and any other state where it is licensed. | 
  (C) Any application submitted shall be posted on the  | 
 State Commission's website at least 45 days before action  | 
 by the State Commission. The State Commission shall  | 
 approve the application for a self-distribution exemption  | 
 | 
 if the class 3 brewer licensee: (1) is in compliance with  | 
 the State, revenue, and alcoholic beverage laws; (2) is  | 
 not a member of any affiliated group that manufacturers,  | 
 directly or indirectly, more than 465,000 gallons of beer  | 
 per annum; , (3) shall not annually manufacture for sale  | 
 more than 465,000 gallons of beer or more than 155,000  | 
 gallons at any single brewery premises; and (4) shall not  | 
 annually sell more than 6,200 gallons of beer from each  | 
 in-state or out-of-state class 3 brewery premises, and  | 
 shall not exceed 18,600 gallons annually in the aggregate,  | 
 to retail licensees and class 3 brewers and to brewers,  | 
 class 1 brewers, and class 2 brewers that, pursuant to  | 
 subsection (e) of Section 6-4 of this Act, sell beer,  | 
 cider, or both beer and cider to non-licensees at their  | 
 breweries. | 
  (D) A self-distribution exemption holder shall  | 
 annually certify to the State Commission its manufacture  | 
 of beer during the previous 12 months and its anticipated  | 
 manufacture and sales of beer for the next 12 months. The  | 
 State Commission may fine, suspend, or revoke a  | 
 self-distribution exemption after a hearing if it finds  | 
 that the exemption holder has made a material  | 
 misrepresentation in its application, violated a revenue  | 
 or alcoholic beverage law of Illinois, exceeded the  | 
 manufacture of 465,000 gallons of beer in any calendar  | 
 year or became part of an affiliated group manufacturing  | 
 | 
 more than 465,000 gallons of beer, or exceeded the sale to  | 
 retail licensees, brewers, class 1 brewers, class 2  | 
 brewers, and class 3 brewers of 6,200 gallons per brewery  | 
 location or 18,600 gallons in the aggregate. | 
  (E) The State Commission may adopt rules governing  | 
 self-distribution exemptions consistent with this Act. | 
  (F) Nothing in this paragraph shall prohibit a  | 
 self-distribution exemption holder from entering into or  | 
 simultaneously having a distribution agreement with a  | 
 licensed Illinois importing distributor or a distributor.  | 
 If a self-distribution exemption holder enters into a  | 
 distribution agreement and has assigned distribution  | 
 rights to an importing distributor or distributor, then  | 
 the self-distribution exemption holder's distribution  | 
 rights in the assigned territories shall cease in a  | 
 reasonable time not to exceed 60 days. | 
  (G) It is the intent of this paragraph to promote and  | 
 continue orderly markets. The General Assembly finds that  | 
 in order to preserve Illinois' regulatory distribution  | 
 system, it is necessary to create an exception for smaller  | 
 manufacturers in order to afford and allow such smaller  | 
 manufacturers of beer access to the marketplace in order  | 
 to develop a customer base without impairing the integrity  | 
 of the 3-tier system.  | 
 (b) On or before April 30, 1999, the Commission shall  | 
present a written
report to the Governor and the General  | 
 | 
Assembly that shall be based on a study
of the impact of Public  | 
Act 90-739 on the business of soliciting,
selling, and  | 
shipping
alcoholic liquor from outside of this State directly  | 
to residents of this
State.
 | 
 As part of its report, the Commission shall provide the  | 
following
information:
 | 
  (i) the amount of State excise and sales tax revenues  | 
 generated as a
result of Public Act 90-739;
 | 
  (ii) the amount of licensing fees received as a result  | 
 of Public Act 90-739;
 | 
  (iii) the number of reported violations, the number of  | 
 cease and desist
notices issued by the Commission, the  | 
 number of notices of violations issued
to the Department  | 
 of Revenue, and the number of notices and complaints of
 | 
 violations to law enforcement officials.
 | 
(Source: P.A. 101-37, eff. 7-3-19; 101-81, eff. 7-12-19;  | 
101-482, eff. 8-23-19; 102-442, eff. 8-20-21; 102-558, eff.  | 
8-20-21; revised 12-13-21.)
 | 
 (235 ILCS 5/6-5) (from Ch. 43, par. 122)
 | 
 Sec. 6-5. 
Except as otherwise provided in this Section, it  | 
is unlawful
for any person having a retailer's license or
any  | 
officer, associate, member, representative or agent of such  | 
licensee
to accept, receive or borrow money, or anything else  | 
of value, or accept
or receive credit (other than  | 
merchandising credit in the ordinary
course of business for a  | 
 | 
period not to exceed 30 days) directly or
indirectly from any  | 
manufacturer, importing distributor or distributor
of  | 
alcoholic liquor, or from any person connected with or in any  | 
way
representing, or from any member of the family of, such  | 
manufacturer,
importing distributor, distributor or  | 
wholesaler, or from any
stockholders in any corporation  | 
engaged in manufacturing, distributing
or wholesaling of such  | 
liquor, or from any officer, manager, agent or
representative  | 
of said manufacturer. Except as provided below, it is
unlawful  | 
for any manufacturer
or distributor or importing distributor  | 
to give or lend money or
anything of value, or otherwise loan  | 
or extend credit (except such
merchandising credit) directly  | 
or indirectly to any retail licensee or
to the manager,  | 
representative, agent, officer or director of such
licensee. A  | 
manufacturer, distributor or importing distributor may furnish
 | 
free advertising, posters,
signs, brochures, hand-outs, or  | 
other promotional devices or materials to
any unit of  | 
government owning or operating any auditorium, exhibition  | 
hall,
recreation facility or other similar facility holding a  | 
retailer's license,
provided that the primary purpose of such  | 
promotional devices or materials
is to promote public events  | 
being held at such facility. A unit of government
owning or  | 
operating such a facility holding a retailer's license may  | 
accept
such promotional devices or materials designed  | 
primarily to promote public
events held at the facility. No  | 
retail licensee delinquent beyond the
30 day period specified  | 
 | 
in this Section shall
solicit, accept or receive credit,  | 
purchase or acquire alcoholic
liquors, directly or indirectly  | 
from any other licensee, and no
manufacturer, distributor or  | 
importing distributor shall knowingly grant
or extend credit,  | 
sell, furnish or supply alcoholic liquors to any such
 | 
delinquent retail licensee; provided that the purchase price  | 
of all beer
sold to a retail licensee shall be paid by the  | 
retail licensee in cash
on or before delivery of the beer, and  | 
unless the purchase price payable
by a retail licensee for  | 
beer sold to him in returnable bottles shall
expressly include  | 
a charge for the bottles and cases, the retail
licensee shall,  | 
on or before delivery of such beer, pay the seller in
cash a  | 
deposit in an amount not less than the deposit required to be
 | 
paid by the distributor to the brewer; but where the brewer  | 
sells direct
to the retailer, the deposit shall be an amount no  | 
less than that
required by the brewer from his own  | 
distributors; and provided further,
that in no instance shall  | 
this deposit be less than 50 cents for each
case of beer in  | 
pint or smaller bottles and 60 cents for each case of
beer in  | 
quart or half-gallon bottles; and provided further, that the
 | 
purchase price of all beer sold to an importing distributor or
 | 
distributor shall be paid by such importing distributor or  | 
distributor
in cash on or before the 15th day (Sundays and  | 
holidays excepted) after
delivery of such beer to such  | 
purchaser; and unless the purchase price
payable by such  | 
importing distributor or distributor for beer sold in
 | 
 | 
returnable bottles and cases shall expressly include a charge  | 
for the
bottles and cases, such importing distributor or  | 
distributor shall, on
or before the 15th day (Sundays and  | 
holidays excepted) after delivery of
such beer to such  | 
purchaser, pay the seller in cash a required amount as
a  | 
deposit to assure the return of such bottles and cases.  | 
Nothing herein
contained shall prohibit any licensee from  | 
crediting or refunding to a
purchaser the actual amount of  | 
money paid for bottles, cases, kegs or
barrels returned by the  | 
purchaser to the seller or paid by the purchaser
as a deposit  | 
on bottles, cases, kegs or barrels, when such containers or
 | 
packages are returned to the seller. Nothing herein contained  | 
shall
prohibit any manufacturer, importing distributor or  | 
distributor from
extending usual and customary credit for  | 
alcoholic liquor sold to
customers or purchasers who live in  | 
or maintain places of business
outside of this State when such  | 
alcoholic liquor is actually transported
and delivered to such  | 
points outside of this State.
 | 
 A manufacturer, distributor, or importing distributor may  | 
furnish free social media advertising to a retail licensee if  | 
the social media advertisement does not contain the retail  | 
price of any alcoholic liquor and the social media  | 
advertisement complies with any applicable rules or  | 
regulations issued by the Alcohol and Tobacco Tax and Trade  | 
Bureau of the United States Department of the Treasury. A  | 
manufacturer, distributor, or importing distributor may list  | 
 | 
the names of one or more unaffiliated retailers in the  | 
advertisement of alcoholic liquor through social media.  | 
Nothing in this Section shall prohibit a retailer from  | 
communicating with a manufacturer, distributor, or importing  | 
distributor on social media or sharing media on the social  | 
media of a manufacturer, distributor, or importing  | 
distributor. A retailer may request free social media  | 
advertising from a manufacturer, distributor, or importing  | 
distributor. Nothing in this Section shall prohibit a  | 
manufacturer, distributor, or importing distributor from  | 
sharing, reposting, or otherwise forwarding a social media  | 
post by a retail licensee, so long as the sharing, reposting,  | 
or forwarding of the social media post does not contain the  | 
retail price of any alcoholic liquor. No manufacturer,  | 
distributor, or importing distributor shall pay or reimburse a  | 
retailer, directly or indirectly, for any social media  | 
advertising services, except as specifically permitted in this  | 
Act. No retailer shall accept any payment or reimbursement,  | 
directly or indirectly, for any social media advertising  | 
services offered by a manufacturer, distributor, or importing  | 
distributor, except as specifically permitted in this Act. For  | 
the purposes of this Section, "social media" means a service,  | 
platform, or site where users communicate with one another and  | 
share media, such as pictures, videos, music, and blogs, with  | 
other users free of charge.  | 
 No right of action shall exist for the collection of any  | 
 | 
claim based
upon credit extended to a distributor, importing  | 
distributor or retail
licensee contrary to the provisions of  | 
this Section.
 | 
 Every manufacturer, importing distributor and distributor  | 
shall
submit or cause to be submitted, to the State  | 
Commission, in triplicate,
not later than Thursday of each  | 
calendar week, a verified written list
of the names and  | 
respective addresses of each retail licensee purchasing
 | 
spirits or wine from such manufacturer, importing distributor  | 
or
distributor who, on the first business day of that calendar  | 
week, was
delinquent beyond the above mentioned permissible  | 
merchandising credit
period of 30 days; or, if such is the  | 
fact, a verified written statement
that no retail licensee  | 
purchasing spirits or wine was then delinquent
beyond such  | 
permissible merchandising credit period of 30 days.
 | 
 Every manufacturer, importing distributor and distributor  | 
shall
submit or cause to be submitted, to the State  | 
Commission, in triplicate,
a verified written list of the  | 
names and respective addresses of each
previously reported  | 
delinquent retail licensee who has cured such
delinquency by  | 
payment, which list shall be submitted not later than the
 | 
close of the second full business day following the day such  | 
delinquency
was so cured.
 | 
 The written list of delinquent retail licensees shall be  | 
developed, administered, and maintained only by the State  | 
Commission. The State Commission shall notify each retail  | 
 | 
licensee that it has been placed on the delinquency list.  | 
Determinations of delinquency or nondelinquency shall be made  | 
only by the State Commission.  | 
 Such written verified reports required to be submitted by  | 
this
Section shall be posted by the State Commission in each of  | 
its offices
in places available for public inspection not  | 
later than the day
following receipt thereof by the State  | 
Commission. The reports so posted shall
constitute notice to  | 
every manufacturer, importing distributor and
distributor of  | 
the information contained therein. Actual notice to
 | 
manufacturers, importing distributors and distributors of the
 | 
information contained in any such posted reports, however  | 
received,
shall also constitute notice of such information.
 | 
 The 30-day 30 day merchandising credit period allowed by  | 
this Section shall
commence with the day immediately following  | 
the date of invoice and
shall include all successive days  | 
including Sundays and holidays to and
including the 30th  | 
successive day.
 | 
 In addition to other methods allowed by law, payment by  | 
check or credit card during
the period for which merchandising  | 
credit may be extended under the
provisions of this Section  | 
shall be considered payment. All checks
received in payment  | 
for alcoholic liquor shall be promptly deposited for
 | 
collection. A post dated check or a check dishonored on  | 
presentation for
payment shall not be deemed payment.
 | 
 A credit card payment in dispute by a retailer shall not be  | 
 | 
deemed payment, and the debt uncured for merchandising credit  | 
shall be reported as delinquent. Nothing in this Section shall  | 
prevent a distributor, self-distributing manufacturer, or  | 
importing distributor from assessing a usual and customary  | 
transaction fee representative of the actual finance charges  | 
incurred for processing a credit card payment. This  | 
transaction fee shall be disclosed on the invoice. It shall be  | 
considered unlawful for a distributor, importing distributor,  | 
or self-distributing manufacturer to waive finance charges for  | 
retailers.  | 
 A retail licensee shall not be deemed to be delinquent in  | 
payment for
any alleged sale to him of alcoholic liquor when  | 
there exists a bona fide
dispute between such retailer and a  | 
manufacturer, importing distributor
or distributor with  | 
respect to the amount of indebtedness existing
because of such  | 
alleged sale. A retail licensee shall not be deemed to be  | 
delinquent under this provision and 11 Ill. Adm. Code 100.90  | 
until 30 days after the date on which the region in which the  | 
retail licensee is located enters Phase 4 of the Governor's  | 
Restore Illinois Plan as issued on May 5, 2020.  | 
 A delinquent retail licensee who engages in the retail  | 
liquor
business at 2 or more locations shall be deemed to be  | 
delinquent with
respect to each such location.
 | 
 The license of any person who violates any provision of  | 
this Section
shall be subject to suspension or revocation in  | 
the manner provided by
this Act.
 | 
 | 
 If any part or provision of this Article or the  | 
application thereof
to any person or circumstances shall be  | 
adjudged invalid by a court of
competent jurisdiction, such  | 
judgment shall be confined by its operation
to the controversy  | 
in which it was mentioned and shall not affect or
invalidate  | 
the remainder of this Article or the application thereof to
 | 
any other person or circumstance and to this and the  | 
provisions of this
Article are declared severable.
 | 
(Source: P.A. 101-631, eff. 6-2-20; 102-8, eff. 6-2-21;  | 
102-442, eff. 1-1-22; revised 9-21-21.)
 | 
 (235 ILCS 5/6-37) | 
 Sec. 6-37. (Repealed). | 
(Source: P.A. 102-8, eff. 6-2-21. Repealed internally, eff.  | 
7-11-21.)
 | 
 (235 ILCS 5/6-37.5)
 | 
 Sec. 6-37.5 6-37. Transfer of wine or spirits by a retail  | 
licensee with multiple licenses. | 
 (a) No original package of wine or spirits may be  | 
transferred from one retail licensee to any other retail  | 
licensee without prior permission from the State Commission;  | 
however, if the same retailer owns more than one licensed  | 
retail location, an off-premise retailer may transfer up to 3%  | 
of its average monthly purchases by volume and an on-premise  | 
retailer may transfer up to 5% of its average monthly  | 
 | 
purchases by volume of original package of wine or spirits  | 
from one or more of such retailer's licensed locations to  | 
another of that retailer's licensed locations each month  | 
without prior permission from the State Commission, subject to  | 
the following conditions: | 
  (1) notice is provided to the distributor responsible  | 
 for the geographic area of the brand, size, and quantity  | 
 of the wine or spirits to be transferred within the  | 
 geographic area; and | 
  (2) the transfer is made by common carrier, a licensed  | 
 distributor's or importing distributor's vehicle, or a  | 
 vehicle owned and operated by the licensee. | 
 (b) All transfers must be properly documented on a form  | 
provided by the State Commission that includes the following  | 
information: | 
  (1) the license number of the retail licensee's  | 
 location from which the transfer is to be made and the  | 
 license number of the retail licensee's location to which  | 
 the transfer is to be made; | 
  (2) the brand, size, and quantity of the wine or  | 
 spirits to be transferred; and | 
  (3) the date the transfer is made. | 
 (c) A retail licensee location that transfers or receives  | 
an original package of wine or spirits as authorized by this  | 
Section shall not be deemed to be engaged in business as a  | 
wholesaler or distributor based upon the transfer authorized  | 
 | 
by this Section. | 
 (d) A transfer authorized by this Section shall not be  | 
deemed a sale. | 
 (e) A retailer that is delinquent in payment pursuant to  | 
Section 6-5 shall be prohibited from transferring wine or  | 
spirits to a commonly owned retailer pursuant to this Section  | 
until the indebtedness is cured. | 
 (f) As used in this Section: | 
 "Average monthly purchases" is calculated using a 12-month  | 
rolling average of the total volume purchased over the 12 most  | 
recent months previous to the month in which the transfer is  | 
made and dividing that total by 12. | 
 "Month" means a calendar month.
 | 
(Source: P.A. 102-442, eff. 8-20-21; revised 11-10-21.)
 | 
 Section 505. The Illinois Public Aid Code is amended by  | 
changing Sections 5-2, 5-4.2, 5-5, 5-5f, 5-16.8, 5-30.1,  | 
9A-11, 10-1, and 12-4.35 and by setting forth and renumbering  | 
multiple versions of Sections 5-5.12d, 5-41, and 12-4.54 as  | 
follows:
 | 
 (305 ILCS 5/5-2) (from Ch. 23, par. 5-2)
 | 
 Sec. 5-2. Classes of persons eligible. Medical assistance  | 
under this
Article shall be available to any of the following  | 
classes of persons in
respect to whom a plan for coverage has  | 
been submitted to the Governor
by the Illinois Department and  | 
 | 
approved by him. If changes made in this Section 5-2 require  | 
federal approval, they shall not take effect until such  | 
approval has been received:
 | 
  1. Recipients of basic maintenance grants under  | 
 Articles III and IV.
 | 
  2. Beginning January 1, 2014, persons otherwise  | 
 eligible for basic maintenance under Article
III,  | 
 excluding any eligibility requirements that are  | 
 inconsistent with any federal law or federal regulation,  | 
 as interpreted by the U.S. Department of Health and Human  | 
 Services, but who fail to qualify thereunder on the basis  | 
 of need, and
who have insufficient income and resources to  | 
 meet the costs of
necessary medical care, including, but  | 
 not limited to, the following:
 | 
   (a) All persons otherwise eligible for basic  | 
 maintenance under Article
III but who fail to qualify  | 
 under that Article on the basis of need and who
meet  | 
 either of the following requirements:
 | 
    (i) their income, as determined by the  | 
 Illinois Department in
accordance with any federal  | 
 requirements, is equal to or less than 100% of the  | 
 federal poverty level; or
 | 
    (ii) their income, after the deduction of  | 
 costs incurred for medical
care and for other  | 
 types of remedial care, is equal to or less than  | 
 100% of the federal poverty level.
 | 
 | 
   (b) (Blank).
 | 
  3. (Blank).
 | 
  4. Persons not eligible under any of the preceding  | 
 paragraphs who fall
sick, are injured, or die, not having  | 
 sufficient money, property or other
resources to meet the  | 
 costs of necessary medical care or funeral and burial
 | 
 expenses.
 | 
  5.(a) Beginning January 1, 2020, individuals during  | 
 pregnancy and during the
12-month period beginning on the  | 
 last day of the pregnancy, together with
their infants,
 | 
 whose income is at or below 200% of the federal poverty  | 
 level. Until September 30, 2019, or sooner if the  | 
 maintenance of effort requirements under the Patient  | 
 Protection and Affordable Care Act are eliminated or may  | 
 be waived before then, individuals during pregnancy and  | 
 during the 12-month period beginning on the last day of  | 
 the pregnancy, whose countable monthly income, after the  | 
 deduction of costs incurred for medical care and for other  | 
 types of remedial care as specified in administrative  | 
 rule, is equal to or less than the Medical Assistance-No  | 
 Grant(C) (MANG(C)) Income Standard in effect on April 1,  | 
 2013 as set forth in administrative rule.
 | 
  (b) The plan for coverage shall provide ambulatory  | 
 prenatal care to pregnant individuals during a
presumptive  | 
 eligibility period and establish an income eligibility  | 
 standard
that is equal to 200% of the federal poverty  | 
 | 
 level, provided that costs incurred
for medical care are  | 
 not taken into account in determining such income
 | 
 eligibility.
 | 
  (c) The Illinois Department may conduct a  | 
 demonstration in at least one
county that will provide  | 
 medical assistance to pregnant individuals together
with  | 
 their infants and children up to one year of age,
where the  | 
 income
eligibility standard is set up to 185% of the  | 
 nonfarm income official
poverty line, as defined by the  | 
 federal Office of Management and Budget.
The Illinois  | 
 Department shall seek and obtain necessary authorization
 | 
 provided under federal law to implement such a  | 
 demonstration. Such
demonstration may establish resource  | 
 standards that are not more
restrictive than those  | 
 established under Article IV of this Code.
 | 
  6. (a) Subject to federal approval, children younger  | 
 than age 19 when countable income is at or below 313% of  | 
 the federal poverty level, as determined by the Department  | 
 and in accordance with all applicable federal  | 
 requirements. The Department is authorized to adopt  | 
 emergency rules to implement the changes made to this  | 
 paragraph by Public Act 102-43 this amendatory Act of the  | 
 102nd General Assembly. Until September 30, 2019, or  | 
 sooner if the maintenance of effort requirements under the  | 
 Patient Protection and Affordable Care Act are eliminated  | 
 or may be waived before then, children younger than age 19  | 
 | 
 whose countable monthly income, after the deduction of  | 
 costs incurred for medical care and for other types of  | 
 remedial care as specified in administrative rule, is  | 
 equal to or less than the Medical Assistance-No Grant(C)  | 
 (MANG(C)) Income Standard in effect on April 1, 2013 as  | 
 set forth in administrative rule. | 
  (b) Children and youth who are under temporary custody  | 
 or guardianship of the Department of Children and Family  | 
 Services or who receive financial assistance in support of  | 
 an adoption or guardianship placement from the Department  | 
 of Children and Family Services. 
 | 
  7. (Blank).
 | 
  8. As required under federal law, persons who are  | 
 eligible for Transitional Medical Assistance as a result  | 
 of an increase in earnings or child or spousal support  | 
 received. The plan for coverage for this class of persons  | 
 shall:
 | 
   (a) extend the medical assistance coverage to the  | 
 extent required by federal law; and
 | 
   (b) offer persons who have initially received 6  | 
 months of the
coverage provided in paragraph (a)  | 
 above, the option of receiving an
additional 6 months  | 
 of coverage, subject to the following:
 | 
    (i) such coverage shall be pursuant to  | 
 provisions of the federal
Social Security Act;
 | 
    (ii) such coverage shall include all services  | 
 | 
 covered under Illinois' State Medicaid Plan;
 | 
    (iii) no premium shall be charged for such  | 
 coverage; and
 | 
    (iv) such coverage shall be suspended in the  | 
 event of a person's
failure without good cause to  | 
 file in a timely fashion reports required for
this  | 
 coverage under the Social Security Act and  | 
 coverage shall be reinstated
upon the filing of  | 
 such reports if the person remains otherwise  | 
 eligible.
 | 
  9. Persons with acquired immunodeficiency syndrome  | 
 (AIDS) or with
AIDS-related conditions with respect to  | 
 whom there has been a determination
that but for home or  | 
 community-based services such individuals would
require  | 
 the level of care provided in an inpatient hospital,  | 
 skilled
nursing facility or intermediate care facility the  | 
 cost of which is
reimbursed under this Article. Assistance  | 
 shall be provided to such
persons to the maximum extent  | 
 permitted under Title
XIX of the Federal Social Security  | 
 Act.
 | 
  10. Participants in the long-term care insurance  | 
 partnership program
established under the Illinois  | 
 Long-Term Care Partnership Program Act who meet the
 | 
 qualifications for protection of resources described in  | 
 Section 15 of that
Act.
 | 
  11. Persons with disabilities who are employed and  | 
 | 
 eligible for Medicaid,
pursuant to Section  | 
 1902(a)(10)(A)(ii)(xv) of the Social Security Act, and,  | 
 subject to federal approval, persons with a medically  | 
 improved disability who are employed and eligible for  | 
 Medicaid pursuant to Section 1902(a)(10)(A)(ii)(xvi) of  | 
 the Social Security Act, as
provided by the Illinois  | 
 Department by rule. In establishing eligibility standards  | 
 under this paragraph 11, the Department shall, subject to  | 
 federal approval: | 
   (a) set the income eligibility standard at not  | 
 lower than 350% of the federal poverty level; | 
   (b) exempt retirement accounts that the person  | 
 cannot access without penalty before the age
of 59  | 
 1/2, and medical savings accounts established pursuant  | 
 to 26 U.S.C. 220; | 
   (c) allow non-exempt assets up to $25,000 as to  | 
 those assets accumulated during periods of eligibility  | 
 under this paragraph 11; and
 | 
   (d) continue to apply subparagraphs (b) and (c) in  | 
 determining the eligibility of the person under this  | 
 Article even if the person loses eligibility under  | 
 this paragraph 11.
 | 
  12. Subject to federal approval, persons who are  | 
 eligible for medical
assistance coverage under applicable  | 
 provisions of the federal Social Security
Act and the  | 
 federal Breast and Cervical Cancer Prevention and  | 
 | 
 Treatment Act of
2000. Those eligible persons are defined  | 
 to include, but not be limited to,
the following persons:
 | 
   (1) persons who have been screened for breast or  | 
 cervical cancer under
the U.S. Centers for Disease  | 
 Control and Prevention Breast and Cervical Cancer
 | 
 Program established under Title XV of the federal  | 
 Public Health Service Act in
accordance with the  | 
 requirements of Section 1504 of that Act as  | 
 administered by
the Illinois Department of Public  | 
 Health; and
 | 
   (2) persons whose screenings under the above  | 
 program were funded in whole
or in part by funds  | 
 appropriated to the Illinois Department of Public  | 
 Health
for breast or cervical cancer screening.
 | 
  "Medical assistance" under this paragraph 12 shall be  | 
 identical to the benefits
provided under the State's  | 
 approved plan under Title XIX of the Social Security
Act.  | 
 The Department must request federal approval of the  | 
 coverage under this
paragraph 12 within 30 days after July  | 
 3, 2001 (the effective date of Public Act 92-47).
 | 
  In addition to the persons who are eligible for  | 
 medical assistance pursuant to subparagraphs (1) and (2)  | 
 of this paragraph 12, and to be paid from funds  | 
 appropriated to the Department for its medical programs,  | 
 any uninsured person as defined by the Department in rules  | 
 residing in Illinois who is younger than 65 years of age,  | 
 | 
 who has been screened for breast and cervical cancer in  | 
 accordance with standards and procedures adopted by the  | 
 Department of Public Health for screening, and who is  | 
 referred to the Department by the Department of Public  | 
 Health as being in need of treatment for breast or  | 
 cervical cancer is eligible for medical assistance  | 
 benefits that are consistent with the benefits provided to  | 
 those persons described in subparagraphs (1) and (2).  | 
 Medical assistance coverage for the persons who are  | 
 eligible under the preceding sentence is not dependent on  | 
 federal approval, but federal moneys may be used to pay  | 
 for services provided under that coverage upon federal  | 
 approval.  | 
  13. Subject to appropriation and to federal approval,  | 
 persons living with HIV/AIDS who are not otherwise  | 
 eligible under this Article and who qualify for services  | 
 covered under Section 5-5.04 as provided by the Illinois  | 
 Department by rule.
 | 
  14. Subject to the availability of funds for this  | 
 purpose, the Department may provide coverage under this  | 
 Article to persons who reside in Illinois who are not  | 
 eligible under any of the preceding paragraphs and who  | 
 meet the income guidelines of paragraph 2(a) of this  | 
 Section and (i) have an application for asylum pending  | 
 before the federal Department of Homeland Security or on  | 
 appeal before a court of competent jurisdiction and are  | 
 | 
 represented either by counsel or by an advocate accredited  | 
 by the federal Department of Homeland Security and  | 
 employed by a not-for-profit organization in regard to  | 
 that application or appeal, or (ii) are receiving services  | 
 through a federally funded torture treatment center.  | 
 Medical coverage under this paragraph 14 may be provided  | 
 for up to 24 continuous months from the initial  | 
 eligibility date so long as an individual continues to  | 
 satisfy the criteria of this paragraph 14. If an  | 
 individual has an appeal pending regarding an application  | 
 for asylum before the Department of Homeland Security,  | 
 eligibility under this paragraph 14 may be extended until  | 
 a final decision is rendered on the appeal. The Department  | 
 may adopt rules governing the implementation of this  | 
 paragraph 14.
 | 
  15. Family Care Eligibility. | 
   (a) On and after July 1, 2012, a parent or other  | 
 caretaker relative who is 19 years of age or older when  | 
 countable income is at or below 133% of the federal  | 
 poverty level. A person may not spend down to become  | 
 eligible under this paragraph 15.  | 
   (b) Eligibility shall be reviewed annually. | 
   (c) (Blank). | 
   (d) (Blank). | 
   (e) (Blank). | 
   (f) (Blank). | 
 | 
   (g) (Blank). | 
   (h) (Blank). | 
   (i) Following termination of an individual's  | 
 coverage under this paragraph 15, the individual must  | 
 be determined eligible before the person can be  | 
 re-enrolled. | 
  16. Subject to appropriation, uninsured persons who  | 
 are not otherwise eligible under this Section who have  | 
 been certified and referred by the Department of Public  | 
 Health as having been screened and found to need  | 
 diagnostic evaluation or treatment, or both diagnostic  | 
 evaluation and treatment, for prostate or testicular  | 
 cancer. For the purposes of this paragraph 16, uninsured  | 
 persons are those who do not have creditable coverage, as  | 
 defined under the Health Insurance Portability and  | 
 Accountability Act, or have otherwise exhausted any  | 
 insurance benefits they may have had, for prostate or  | 
 testicular cancer diagnostic evaluation or treatment, or  | 
 both diagnostic evaluation and treatment.
To be eligible,  | 
 a person must furnish a Social Security number.
A person's  | 
 assets are exempt from consideration in determining  | 
 eligibility under this paragraph 16.
Such persons shall be  | 
 eligible for medical assistance under this paragraph 16  | 
 for so long as they need treatment for the cancer. A person  | 
 shall be considered to need treatment if, in the opinion  | 
 of the person's treating physician, the person requires  | 
 | 
 therapy directed toward cure or palliation of prostate or  | 
 testicular cancer, including recurrent metastatic cancer  | 
 that is a known or presumed complication of prostate or  | 
 testicular cancer and complications resulting from the  | 
 treatment modalities themselves. Persons who require only  | 
 routine monitoring services are not considered to need  | 
 treatment.
"Medical assistance" under this paragraph 16  | 
 shall be identical to the benefits provided under the  | 
 State's approved plan under Title XIX of the Social  | 
 Security Act.
Notwithstanding any other provision of law,  | 
 the Department (i) does not have a claim against the  | 
 estate of a deceased recipient of services under this  | 
 paragraph 16 and (ii) does not have a lien against any  | 
 homestead property or other legal or equitable real  | 
 property interest owned by a recipient of services under  | 
 this paragraph 16. | 
  17. Persons who, pursuant to a waiver approved by the  | 
 Secretary of the U.S. Department of Health and Human  | 
 Services, are eligible for medical assistance under Title  | 
 XIX or XXI of the federal Social Security Act.  | 
 Notwithstanding any other provision of this Code and  | 
 consistent with the terms of the approved waiver, the  | 
 Illinois Department, may by rule:  | 
   (a) Limit the geographic areas in which the waiver  | 
 program operates.  | 
   (b) Determine the scope, quantity, duration, and  | 
 | 
 quality, and the rate and method of reimbursement, of  | 
 the medical services to be provided, which may differ  | 
 from those for other classes of persons eligible for  | 
 assistance under this Article.  | 
   (c) Restrict the persons' freedom in choice of  | 
 providers.  | 
  18. Beginning January 1, 2014, persons aged 19 or  | 
 older, but younger than 65, who are not otherwise eligible  | 
 for medical assistance under this Section 5-2, who qualify  | 
 for medical assistance pursuant to 42 U.S.C.  | 
 1396a(a)(10)(A)(i)(VIII) and applicable federal  | 
 regulations, and who have income at or below 133% of the  | 
 federal poverty level plus 5% for the applicable family  | 
 size as determined pursuant to 42 U.S.C. 1396a(e)(14) and  | 
 applicable federal regulations. Persons eligible for  | 
 medical assistance under this paragraph 18 shall receive  | 
 coverage for the Health Benefits Service Package as that  | 
 term is defined in subsection (m) of Section 5-1.1 of this  | 
 Code. If Illinois' federal medical assistance percentage  | 
 (FMAP) is reduced below 90% for persons eligible for  | 
 medical
assistance under this paragraph 18, eligibility  | 
 under this paragraph 18 shall cease no later than the end  | 
 of the third month following the month in which the  | 
 reduction in FMAP takes effect.  | 
  19. Beginning January 1, 2014, as required under 42  | 
 U.S.C. 1396a(a)(10)(A)(i)(IX), persons older than age 18  | 
 | 
 and younger than age 26 who are not otherwise eligible for  | 
 medical assistance under paragraphs (1) through (17) of  | 
 this Section who (i) were in foster care under the  | 
 responsibility of the State on the date of attaining age  | 
 18 or on the date of attaining age 21 when a court has  | 
 continued wardship for good cause as provided in Section  | 
 2-31 of the Juvenile Court Act of 1987 and (ii) received  | 
 medical assistance under the Illinois Title XIX State Plan  | 
 or waiver of such plan while in foster care.  | 
  20. Beginning January 1, 2018, persons who are  | 
 foreign-born victims of human trafficking, torture, or  | 
 other serious crimes as defined in Section 2-19 of this  | 
 Code and their derivative family members if such persons:  | 
 (i) reside in Illinois; (ii) are not eligible under any of  | 
 the preceding paragraphs; (iii) meet the income guidelines  | 
 of subparagraph (a) of paragraph 2; and (iv) meet the  | 
 nonfinancial eligibility requirements of Sections 16-2,  | 
 16-3, and 16-5 of this Code. The Department may extend  | 
 medical assistance for persons who are foreign-born  | 
 victims of human trafficking, torture, or other serious  | 
 crimes whose medical assistance would be terminated  | 
 pursuant to subsection (b) of Section 16-5 if the  | 
 Department determines that the person, during the year of  | 
 initial eligibility (1) experienced a health crisis, (2)  | 
 has been unable, after reasonable attempts, to obtain  | 
 necessary information from a third party, or (3) has other  | 
 | 
 extenuating circumstances that prevented the person from  | 
 completing his or her application for status. The  | 
 Department may adopt any rules necessary to implement the  | 
 provisions of this paragraph. | 
  21. Persons who are not otherwise eligible for medical  | 
 assistance under this Section who may qualify for medical  | 
 assistance pursuant to 42 U.S.C.  | 
 1396a(a)(10)(A)(ii)(XXIII) and 42 U.S.C. 1396(ss) for the  | 
 duration of any federal or State declared emergency due to  | 
 COVID-19. Medical assistance to persons eligible for  | 
 medical assistance solely pursuant to this paragraph 21  | 
 shall be limited to any in vitro diagnostic product (and  | 
 the administration of such product) described in 42 U.S.C.  | 
 1396d(a)(3)(B) on or after March 18, 2020, any visit  | 
 described in 42 U.S.C. 1396o(a)(2)(G), or any other  | 
 medical assistance that may be federally authorized for  | 
 this class of persons. The Department may also cover  | 
 treatment of COVID-19 for this class of persons, or any  | 
 similar category of uninsured individuals, to the extent  | 
 authorized under a federally approved 1115 Waiver or other  | 
 federal authority. Notwithstanding the provisions of  | 
 Section 1-11 of this Code, due to the nature of the  | 
 COVID-19 public health emergency, the Department may cover  | 
 and provide the medical assistance described in this  | 
 paragraph 21 to noncitizens who would otherwise meet the  | 
 eligibility requirements for the class of persons  | 
 | 
 described in this paragraph 21 for the duration of the  | 
 State emergency period.  | 
 In implementing the provisions of Public Act 96-20, the  | 
Department is authorized to adopt only those rules necessary,  | 
including emergency rules. Nothing in Public Act 96-20 permits  | 
the Department to adopt rules or issue a decision that expands  | 
eligibility for the FamilyCare Program to a person whose  | 
income exceeds 185% of the Federal Poverty Level as determined  | 
from time to time by the U.S. Department of Health and Human  | 
Services, unless the Department is provided with express  | 
statutory authority. 
 | 
 The eligibility of any such person for medical assistance  | 
under this
Article is not affected by the payment of any grant  | 
under the Senior
Citizens and Persons with Disabilities  | 
Property Tax Relief Act or any distributions or items of  | 
income described under
subparagraph (X) of
paragraph (2) of  | 
subsection (a) of Section 203 of the Illinois Income Tax
Act. | 
 The Department shall by rule establish the amounts of
 | 
assets to be disregarded in determining eligibility for  | 
medical assistance,
which shall at a minimum equal the amounts  | 
to be disregarded under the
Federal Supplemental Security  | 
Income Program. The amount of assets of a
single person to be  | 
disregarded
shall not be less than $2,000, and the amount of  | 
assets of a married couple
to be disregarded shall not be less  | 
than $3,000.
 | 
 To the extent permitted under federal law, any person  | 
 | 
found guilty of a
second violation of Article VIIIA
shall be  | 
ineligible for medical assistance under this Article, as  | 
provided
in Section 8A-8.
 | 
 The eligibility of any person for medical assistance under  | 
this Article
shall not be affected by the receipt by the person  | 
of donations or benefits
from fundraisers held for the person  | 
in cases of serious illness,
as long as neither the person nor  | 
members of the person's family
have actual control over the  | 
donations or benefits or the disbursement
of the donations or  | 
benefits.
 | 
 Notwithstanding any other provision of this Code, if the  | 
United States Supreme Court holds Title II, Subtitle A,  | 
Section 2001(a) of Public Law 111-148 to be unconstitutional,  | 
or if a holding of Public Law 111-148 makes Medicaid  | 
eligibility allowed under Section 2001(a) inoperable, the  | 
State or a unit of local government shall be prohibited from  | 
enrolling individuals in the Medical Assistance Program as the  | 
result of federal approval of a State Medicaid waiver on or  | 
after June 14, 2012 (the effective date of Public Act 97-687),  | 
and any individuals enrolled in the Medical Assistance Program  | 
pursuant to eligibility permitted as a result of such a State  | 
Medicaid waiver shall become immediately ineligible.  | 
 Notwithstanding any other provision of this Code, if an  | 
Act of Congress that becomes a Public Law eliminates Section  | 
2001(a) of Public Law 111-148, the State or a unit of local  | 
government shall be prohibited from enrolling individuals in  | 
 | 
the Medical Assistance Program as the result of federal  | 
approval of a State Medicaid waiver on or after June 14, 2012  | 
(the effective date of Public Act 97-687), and any individuals  | 
enrolled in the Medical Assistance Program pursuant to  | 
eligibility permitted as a result of such a State Medicaid  | 
waiver shall become immediately ineligible.  | 
 Effective October 1, 2013, the determination of  | 
eligibility of persons who qualify under paragraphs 5, 6, 8,  | 
15, 17, and 18 of this Section shall comply with the  | 
requirements of 42 U.S.C. 1396a(e)(14) and applicable federal  | 
regulations.  | 
 The Department of Healthcare and Family Services, the  | 
Department of Human Services, and the Illinois health  | 
insurance marketplace shall work cooperatively to assist  | 
persons who would otherwise lose health benefits as a result  | 
of changes made under Public Act 98-104 to transition to other  | 
health insurance coverage.  | 
(Source: P.A. 101-10, eff. 6-5-19; 101-649, eff. 7-7-20;  | 
102-43, eff. 7-6-21; 102-558, eff. 8-20-21; 102-665, eff.  | 
10-8-21; revised 11-18-21.)
 | 
 (305 ILCS 5/5-4.2)
 | 
 Sec. 5-4.2. Ambulance services payments.  | 
 (a) For
ambulance
services provided to a recipient of aid  | 
under this Article on or after
January 1, 1993, the Illinois  | 
Department shall reimburse ambulance service
providers at  | 
 | 
rates calculated in accordance with this Section. It is the  | 
intent
of the General Assembly to provide adequate  | 
reimbursement for ambulance
services so as to ensure adequate  | 
access to services for recipients of aid
under this Article  | 
and to provide appropriate incentives to ambulance service
 | 
providers to provide services in an efficient and  | 
cost-effective manner. Thus,
it is the intent of the General  | 
Assembly that the Illinois Department implement
a  | 
reimbursement system for ambulance services that, to the  | 
extent practicable
and subject to the availability of funds  | 
appropriated by the General Assembly
for this purpose, is  | 
consistent with the payment principles of Medicare. To
ensure  | 
uniformity between the payment principles of Medicare and  | 
Medicaid, the
Illinois Department shall follow, to the extent  | 
necessary and practicable and
subject to the availability of  | 
funds appropriated by the General Assembly for
this purpose,  | 
the statutes, laws, regulations, policies, procedures,
 | 
principles, definitions, guidelines, and manuals used to  | 
determine the amounts
paid to ambulance service providers  | 
under Title XVIII of the Social Security
Act (Medicare).
 | 
 (b) For ambulance services provided to a recipient of aid  | 
under this Article
on or after January 1, 1996, the Illinois  | 
Department shall reimburse ambulance
service providers based  | 
upon the actual distance traveled if a natural
disaster,  | 
weather conditions, road repairs, or traffic congestion  | 
necessitates
the use of a
route other than the most direct  | 
 | 
route.
 | 
 (c) For purposes of this Section, "ambulance services"  | 
includes medical
transportation services provided by means of  | 
an ambulance, medi-car, service
car, or
taxi.
 | 
 (c-1) For purposes of this Section, "ground ambulance  | 
service" means medical transportation services that are  | 
described as ground ambulance services by the Centers for  | 
Medicare and Medicaid Services and provided in a vehicle that  | 
is licensed as an ambulance by the Illinois Department of  | 
Public Health pursuant to the Emergency Medical Services (EMS)  | 
Systems Act. | 
 (c-2) For purposes of this Section, "ground ambulance  | 
service provider" means a vehicle service provider as  | 
described in the Emergency Medical Services (EMS) Systems Act  | 
that operates licensed ambulances for the purpose of providing  | 
emergency ambulance services, or non-emergency ambulance  | 
services, or both. For purposes of this Section, this includes  | 
both ambulance providers and ambulance suppliers as described  | 
by the Centers for Medicare and Medicaid Services. | 
 (c-3) For purposes of this Section, "medi-car" means  | 
transportation services provided to a patient who is confined  | 
to a wheelchair and requires the use of a hydraulic or electric  | 
lift or ramp and wheelchair lockdown when the patient's  | 
condition does not require medical observation, medical  | 
supervision, medical equipment, the administration of  | 
medications, or the administration of oxygen.  | 
 | 
 (c-4) For purposes of this Section, "service car" means  | 
transportation services provided to a patient by a passenger  | 
vehicle where that patient does not require the specialized  | 
modes described in subsection (c-1) or (c-3).  | 
 (d) This Section does not prohibit separate billing by  | 
ambulance service
providers for oxygen furnished while  | 
providing advanced life support
services.
 | 
 (e) Beginning with services rendered on or after July 1,  | 
2008, all providers of non-emergency medi-car and service car  | 
transportation must certify that the driver and employee  | 
attendant, as applicable, have completed a safety program  | 
approved by the Department to protect both the patient and the  | 
driver, prior to transporting a patient.
The provider must  | 
maintain this certification in its records. The provider shall  | 
produce such documentation upon demand by the Department or  | 
its representative. Failure to produce documentation of such  | 
training shall result in recovery of any payments made by the  | 
Department for services rendered by a non-certified driver or  | 
employee attendant. Medi-car and service car providers must  | 
maintain legible documentation in their records of the driver  | 
and, as applicable, employee attendant that actually  | 
transported the patient. Providers must recertify all drivers  | 
and employee attendants every 3 years.
If they meet the  | 
established training components set forth by the Department,  | 
providers of non-emergency medi-car and service car  | 
transportation that are either directly or through an  | 
 | 
affiliated company licensed by the Department of Public Health  | 
shall be approved by the Department to have in-house safety  | 
programs for training their own staff.  | 
 Notwithstanding the requirements above, any public  | 
transportation provider of medi-car and service car  | 
transportation that receives federal funding under 49 U.S.C.  | 
5307 and 5311 need not certify its drivers and employee  | 
attendants under this Section, since safety training is  | 
already federally mandated.
 | 
 (f) With respect to any policy or program administered by  | 
the Department or its agent regarding approval of  | 
non-emergency medical transportation by ground ambulance  | 
service providers, including, but not limited to, the  | 
Non-Emergency Transportation Services Prior Approval Program  | 
(NETSPAP), the Department shall establish by rule a process by  | 
which ground ambulance service providers of non-emergency  | 
medical transportation may appeal any decision by the  | 
Department or its agent for which no denial was received prior  | 
to the time of transport that either (i) denies a request for  | 
approval for payment of non-emergency transportation by means  | 
of ground ambulance service or (ii) grants a request for  | 
approval of non-emergency transportation by means of ground  | 
ambulance service at a level of service that entitles the  | 
ground ambulance service provider to a lower level of  | 
compensation from the Department than the ground ambulance  | 
service provider would have received as compensation for the  | 
 | 
level of service requested. The rule shall be filed by  | 
December 15, 2012 and shall provide that, for any decision  | 
rendered by the Department or its agent on or after the date  | 
the rule takes effect, the ground ambulance service provider  | 
shall have 60 days from the date the decision is received to  | 
file an appeal. The rule established by the Department shall  | 
be, insofar as is practical, consistent with the Illinois  | 
Administrative Procedure Act. The Director's decision on an  | 
appeal under this Section shall be a final administrative  | 
decision subject to review under the Administrative Review  | 
Law.  | 
 (f-5) Beginning 90 days after July 20, 2012 (the effective  | 
date of Public Act 97-842), (i) no denial of a request for  | 
approval for payment of non-emergency transportation by means  | 
of ground ambulance service, and (ii) no approval of  | 
non-emergency transportation by means of ground ambulance  | 
service at a level of service that entitles the ground  | 
ambulance service provider to a lower level of compensation  | 
from the Department than would have been received at the level  | 
of service submitted by the ground ambulance service provider,  | 
may be issued by the Department or its agent unless the  | 
Department has submitted the criteria for determining the  | 
appropriateness of the transport for first notice publication  | 
in the Illinois Register pursuant to Section 5-40 of the  | 
Illinois Administrative Procedure Act.  | 
 (f-7) For non-emergency ground ambulance claims properly  | 
 | 
denied under Department policy at the time the claim is filed  | 
due to failure to submit a valid Medical Certification for  | 
Non-Emergency Ambulance on and after December 15, 2012 and  | 
prior to January 1, 2021, the Department shall allot  | 
$2,000,000 to a pool to reimburse such claims if the provider  | 
proves medical necessity for the service by other means.  | 
Providers must submit any such denied claims for which they  | 
seek compensation to the Department no later than December 31,  | 
2021 along with documentation of medical necessity. No later  | 
than May 31, 2022, the Department shall determine for which  | 
claims medical necessity was established. Such claims for  | 
which medical necessity was established shall be paid at the  | 
rate in effect at the time of the service, provided the  | 
$2,000,000 is sufficient to pay at those rates. If the pool is  | 
not sufficient, claims shall be paid at a uniform percentage  | 
of the applicable rate such that the pool of $2,000,000 is  | 
exhausted. The appeal process described in subsection (f)  | 
shall not be applicable to the Department's determinations  | 
made in accordance with this subsection.  | 
 (g) Whenever a patient covered by a medical assistance  | 
program under this Code or by another medical program  | 
administered by the Department, including a patient covered  | 
under the State's Medicaid managed care program, is being  | 
transported from a facility and requires non-emergency  | 
transportation including ground ambulance, medi-car, or  | 
service car transportation, a Physician Certification  | 
 | 
Statement as described in this Section shall be required for  | 
each patient. Facilities shall develop procedures for a  | 
licensed medical professional to provide a written and signed  | 
Physician Certification Statement. The Physician Certification  | 
Statement shall specify the level of transportation services  | 
needed and complete a medical certification establishing the  | 
criteria for approval of non-emergency ambulance  | 
transportation, as published by the Department of Healthcare  | 
and Family Services, that is met by the patient. This  | 
certification shall be completed prior to ordering the  | 
transportation service and prior to patient discharge. The  | 
Physician Certification Statement is not required prior to  | 
transport if a delay in transport can be expected to  | 
negatively affect the patient outcome. If the ground ambulance  | 
provider, medi-car provider, or service car provider is unable  | 
to obtain the required Physician Certification Statement  | 
within 10 calendar days following the date of the service, the  | 
ground ambulance provider, medi-car provider, or service car  | 
provider must document its attempt to obtain the requested  | 
certification and may then submit the claim for payment.  | 
Acceptable documentation includes a signed return receipt from  | 
the U.S. Postal Service, facsimile receipt, email receipt, or  | 
other similar service that evidences that the ground ambulance  | 
provider, medi-car provider, or service car provider attempted  | 
to obtain the required Physician Certification Statement.  | 
 The medical certification specifying the level and type of  | 
 | 
non-emergency transportation needed shall be in the form of  | 
the Physician Certification Statement on a standardized form  | 
prescribed by the Department of Healthcare and Family  | 
Services. Within 75 days after July 27, 2018 (the effective  | 
date of Public Act 100-646), the Department of Healthcare and  | 
Family Services shall develop a standardized form of the  | 
Physician Certification Statement specifying the level and  | 
type of transportation services needed in consultation with  | 
the Department of Public Health, Medicaid managed care  | 
organizations, a statewide association representing ambulance  | 
providers, a statewide association representing hospitals, 3  | 
statewide associations representing nursing homes, and other  | 
stakeholders. The Physician Certification Statement shall  | 
include, but is not limited to, the criteria necessary to  | 
demonstrate medical necessity for the level of transport  | 
needed as required by (i) the Department of Healthcare and  | 
Family Services and (ii) the federal Centers for Medicare and  | 
Medicaid Services as outlined in the Centers for Medicare and  | 
Medicaid Services' Medicare Benefit Policy Manual, Pub.  | 
100-02, Chap. 10, Sec. 10.2.1, et seq. The use of the Physician  | 
Certification Statement shall satisfy the obligations of  | 
hospitals under Section 6.22 of the Hospital Licensing Act and  | 
nursing homes under Section 2-217 of the Nursing Home Care  | 
Act. Implementation and acceptance of the Physician  | 
Certification Statement shall take place no later than 90 days  | 
after the issuance of the Physician Certification Statement by  | 
 | 
the Department of Healthcare and Family Services.  | 
 Pursuant to subsection (E) of Section 12-4.25 of this  | 
Code, the Department is entitled to recover overpayments paid  | 
to a provider or vendor, including, but not limited to, from  | 
the discharging physician, the discharging facility, and the  | 
ground ambulance service provider, in instances where a  | 
non-emergency ground ambulance service is rendered as the  | 
result of improper or false certification.  | 
 Beginning October 1, 2018, the Department of Healthcare  | 
and Family Services shall collect data from Medicaid managed  | 
care organizations and transportation brokers, including the  | 
Department's NETSPAP broker, regarding denials and appeals  | 
related to the missing or incomplete Physician Certification  | 
Statement forms and overall compliance with this subsection.  | 
The Department of Healthcare and Family Services shall publish  | 
quarterly results on its website within 15 days following the  | 
end of each quarter.  | 
 (h) On and after July 1, 2012, the Department shall reduce  | 
any rate of reimbursement for services or other payments or  | 
alter any methodologies authorized by this Code to reduce any  | 
rate of reimbursement for services or other payments in  | 
accordance with Section 5-5e.  | 
 (i) On and after July 1, 2018, the Department shall  | 
increase the base rate of reimbursement for both base charges  | 
and mileage charges for ground ambulance service providers for  | 
medical transportation services provided by means of a ground  | 
 | 
ambulance to a level not lower than 112% of the base rate in  | 
effect as of June 30, 2018. | 
(Source: P.A. 101-81, eff. 7-12-19; 101-649, eff. 7-7-20;  | 
102-364, eff. 1-1-22; 102-650, eff. 8-27-21; revised 11-8-21.)
 | 
 (305 ILCS 5/5-5) (from Ch. 23, par. 5-5)
 | 
 Sec. 5-5. Medical services.  The Illinois Department, by  | 
rule, shall
determine the quantity and quality of and the rate  | 
of reimbursement for the
medical assistance for which
payment  | 
will be authorized, and the medical services to be provided,
 | 
which may include all or part of the following: (1) inpatient  | 
hospital
services; (2) outpatient hospital services; (3) other  | 
laboratory and
X-ray services; (4) skilled nursing home  | 
services; (5) physicians'
services whether furnished in the  | 
office, the patient's home, a
hospital, a skilled nursing  | 
home, or elsewhere; (6) medical care, or any
other type of  | 
remedial care furnished by licensed practitioners; (7)
home  | 
health care services; (8) private duty nursing service; (9)  | 
clinic
services; (10) dental services, including prevention  | 
and treatment of periodontal disease and dental caries disease  | 
for pregnant individuals, provided by an individual licensed  | 
to practice dentistry or dental surgery; for purposes of this  | 
item (10), "dental services" means diagnostic, preventive, or  | 
corrective procedures provided by or under the supervision of  | 
a dentist in the practice of his or her profession; (11)  | 
physical therapy and related
services; (12) prescribed drugs,  | 
 | 
dentures, and prosthetic devices; and
eyeglasses prescribed by  | 
a physician skilled in the diseases of the eye,
or by an  | 
optometrist, whichever the person may select; (13) other
 | 
diagnostic, screening, preventive, and rehabilitative  | 
services, including to ensure that the individual's need for  | 
intervention or treatment of mental disorders or substance use  | 
disorders or co-occurring mental health and substance use  | 
disorders is determined using a uniform screening, assessment,  | 
and evaluation process inclusive of criteria, for children and  | 
adults; for purposes of this item (13), a uniform screening,  | 
assessment, and evaluation process refers to a process that  | 
includes an appropriate evaluation and, as warranted, a  | 
referral; "uniform" does not mean the use of a singular  | 
instrument, tool, or process that all must utilize; (14)
 | 
transportation and such other expenses as may be necessary;  | 
(15) medical
treatment of sexual assault survivors, as defined  | 
in
Section 1a of the Sexual Assault Survivors Emergency  | 
Treatment Act, for
injuries sustained as a result of the  | 
sexual assault, including
examinations and laboratory tests to  | 
discover evidence which may be used in
criminal proceedings  | 
arising from the sexual assault; (16) the
diagnosis and  | 
treatment of sickle cell anemia; (16.5) services performed by  | 
a chiropractic physician licensed under the Medical Practice  | 
Act of 1987 and acting within the scope of his or her license,  | 
including, but not limited to, chiropractic manipulative  | 
treatment; and (17)
any other medical care, and any other type  | 
 | 
of remedial care recognized
under the laws of this State. The  | 
term "any other type of remedial care" shall
include nursing  | 
care and nursing home service for persons who rely on
 | 
treatment by spiritual means alone through prayer for healing.
 | 
 Notwithstanding any other provision of this Section, a  | 
comprehensive
tobacco use cessation program that includes  | 
purchasing prescription drugs or
prescription medical devices  | 
approved by the Food and Drug Administration shall
be covered  | 
under the medical assistance
program under this Article for  | 
persons who are otherwise eligible for
assistance under this  | 
Article.
 | 
 Notwithstanding any other provision of this Code,  | 
reproductive health care that is otherwise legal in Illinois  | 
shall be covered under the medical assistance program for  | 
persons who are otherwise eligible for medical assistance  | 
under this Article.  | 
 Notwithstanding any other provision of this Section, all  | 
tobacco cessation medications approved by the United States  | 
Food and Drug Administration and all individual and group  | 
tobacco cessation counseling services and telephone-based  | 
counseling services and tobacco cessation medications provided  | 
through the Illinois Tobacco Quitline shall be covered under  | 
the medical assistance program for persons who are otherwise  | 
eligible for assistance under this Article. The Department  | 
shall comply with all federal requirements necessary to obtain  | 
federal financial participation, as specified in 42 CFR  | 
 | 
433.15(b)(7), for telephone-based counseling services provided  | 
through the Illinois Tobacco Quitline, including, but not  | 
limited to: (i) entering into a memorandum of understanding or  | 
interagency agreement with the Department of Public Health, as  | 
administrator of the Illinois Tobacco Quitline; and (ii)  | 
developing a cost allocation plan for Medicaid-allowable  | 
Illinois Tobacco Quitline services in accordance with 45 CFR  | 
95.507. The Department shall submit the memorandum of  | 
understanding or interagency agreement, the cost allocation  | 
plan, and all other necessary documentation to the Centers for  | 
Medicare and Medicaid Services for review and approval.  | 
Coverage under this paragraph shall be contingent upon federal  | 
approval. | 
 Notwithstanding any other provision of this Code, the  | 
Illinois
Department may not require, as a condition of payment  | 
for any laboratory
test authorized under this Article, that a  | 
physician's handwritten signature
appear on the laboratory  | 
test order form. The Illinois Department may,
however, impose  | 
other appropriate requirements regarding laboratory test
order  | 
documentation.
 | 
 Upon receipt of federal approval of an amendment to the  | 
Illinois Title XIX State Plan for this purpose, the Department  | 
shall authorize the Chicago Public Schools (CPS) to procure a  | 
vendor or vendors to manufacture eyeglasses for individuals  | 
enrolled in a school within the CPS system. CPS shall ensure  | 
that its vendor or vendors are enrolled as providers in the  | 
 | 
medical assistance program and in any capitated Medicaid  | 
managed care entity (MCE) serving individuals enrolled in a  | 
school within the CPS system. Under any contract procured  | 
under this provision, the vendor or vendors must serve only  | 
individuals enrolled in a school within the CPS system. Claims  | 
for services provided by CPS's vendor or vendors to recipients  | 
of benefits in the medical assistance program under this Code,  | 
the Children's Health Insurance Program, or the Covering ALL  | 
KIDS Health Insurance Program shall be submitted to the  | 
Department or the MCE in which the individual is enrolled for  | 
payment and shall be reimbursed at the Department's or the  | 
MCE's established rates or rate methodologies for eyeglasses.  | 
 On and after July 1, 2012, the Department of Healthcare  | 
and Family Services may provide the following services to
 | 
persons
eligible for assistance under this Article who are  | 
participating in
education, training or employment programs  | 
operated by the Department of Human
Services as successor to  | 
the Department of Public Aid:
 | 
  (1) dental services provided by or under the  | 
 supervision of a dentist; and
 | 
  (2) eyeglasses prescribed by a physician skilled in  | 
 the diseases of the
eye, or by an optometrist, whichever  | 
 the person may select.
 | 
 On and after July 1, 2018, the Department of Healthcare  | 
and Family Services shall provide dental services to any adult  | 
who is otherwise eligible for assistance under the medical  | 
 | 
assistance program. As used in this paragraph, "dental  | 
services" means diagnostic, preventative, restorative, or  | 
corrective procedures, including procedures and services for  | 
the prevention and treatment of periodontal disease and dental  | 
caries disease, provided by an individual who is licensed to  | 
practice dentistry or dental surgery or who is under the  | 
supervision of a dentist in the practice of his or her  | 
profession. | 
 On and after July 1, 2018, targeted dental services, as  | 
set forth in Exhibit D of the Consent Decree entered by the  | 
United States District Court for the Northern District of  | 
Illinois, Eastern Division, in the matter of Memisovski v.  | 
Maram, Case No. 92 C 1982, that are provided to adults under  | 
the medical assistance program shall be established at no less  | 
than the rates set forth in the "New Rate" column in Exhibit D  | 
of the Consent Decree for targeted dental services that are  | 
provided to persons under the age of 18 under the medical  | 
assistance program.  | 
 Notwithstanding any other provision of this Code and  | 
subject to federal approval, the Department may adopt rules to  | 
allow a dentist who is volunteering his or her service at no  | 
cost to render dental services through an enrolled  | 
not-for-profit health clinic without the dentist personally  | 
enrolling as a participating provider in the medical  | 
assistance program. A not-for-profit health clinic shall  | 
include a public health clinic or Federally Qualified Health  | 
 | 
Center or other enrolled provider, as determined by the  | 
Department, through which dental services covered under this  | 
Section are performed. The Department shall establish a  | 
process for payment of claims for reimbursement for covered  | 
dental services rendered under this provision.  | 
 On and after January 1, 2022, the Department of Healthcare  | 
and Family Services shall administer and regulate a  | 
school-based dental program that allows for the out-of-office  | 
delivery of preventative dental services in a school setting  | 
to children under 19 years of age. The Department shall  | 
establish, by rule, guidelines for participation by providers  | 
and set requirements for follow-up referral care based on the  | 
requirements established in the Dental Office Reference Manual  | 
published by the Department that establishes the requirements  | 
for dentists participating in the All Kids Dental School  | 
Program. Every effort shall be made by the Department when  | 
developing the program requirements to consider the different  | 
geographic differences of both urban and rural areas of the  | 
State for initial treatment and necessary follow-up care. No  | 
provider shall be charged a fee by any unit of local government  | 
to participate in the school-based dental program administered  | 
by the Department. Nothing in this paragraph shall be  | 
construed to limit or preempt a home rule unit's or school  | 
district's authority to establish, change, or administer a  | 
school-based dental program in addition to, or independent of,  | 
the school-based dental program administered by the  | 
 | 
Department.  | 
 The Illinois Department, by rule, may distinguish and  | 
classify the
medical services to be provided only in  | 
accordance with the classes of
persons designated in Section  | 
5-2.
 | 
 The Department of Healthcare and Family Services must  | 
provide coverage and reimbursement for amino acid-based  | 
elemental formulas, regardless of delivery method, for the  | 
diagnosis and treatment of (i) eosinophilic disorders and (ii)  | 
short bowel syndrome when the prescribing physician has issued  | 
a written order stating that the amino acid-based elemental  | 
formula is medically necessary.
 | 
 The Illinois Department shall authorize the provision of,  | 
and shall
authorize payment for, screening by low-dose  | 
mammography for the presence of
occult breast cancer for  | 
individuals 35 years of age or older who are eligible
for  | 
medical assistance under this Article, as follows: | 
  (A) A baseline
mammogram for individuals 35 to 39  | 
 years of age.
 | 
  (B) An annual mammogram for individuals 40 years of  | 
 age or older. | 
  (C) A mammogram at the age and intervals considered  | 
 medically necessary by the individual's health care  | 
 provider for individuals under 40 years of age and having  | 
 a family history of breast cancer, prior personal history  | 
 of breast cancer, positive genetic testing, or other risk  | 
 | 
 factors. | 
  (D) A comprehensive ultrasound screening and MRI of an  | 
 entire breast or breasts if a mammogram demonstrates  | 
 heterogeneous or dense breast tissue or when medically  | 
 necessary as determined by a physician licensed to  | 
 practice medicine in all of its branches.  | 
  (E) A screening MRI when medically necessary, as  | 
 determined by a physician licensed to practice medicine in  | 
 all of its branches.  | 
  (F) A diagnostic mammogram when medically necessary,  | 
 as determined by a physician licensed to practice medicine  | 
 in all its branches, advanced practice registered nurse,  | 
 or physician assistant.  | 
 The Department shall not impose a deductible, coinsurance,  | 
copayment, or any other cost-sharing requirement on the  | 
coverage provided under this paragraph; except that this  | 
sentence does not apply to coverage of diagnostic mammograms  | 
to the extent such coverage would disqualify a high-deductible  | 
health plan from eligibility for a health savings account  | 
pursuant to Section 223 of the Internal Revenue Code (26  | 
U.S.C. 223).  | 
 All screenings
shall
include a physical breast exam,  | 
instruction on self-examination and
information regarding the  | 
frequency of self-examination and its value as a
preventative  | 
tool. | 
  For purposes of this Section: | 
 | 
 "Diagnostic
mammogram" means a mammogram obtained using  | 
diagnostic mammography. | 
 "Diagnostic
mammography" means a method of screening that  | 
is designed to
evaluate an abnormality in a breast, including  | 
an abnormality seen
or suspected on a screening mammogram or a  | 
subjective or objective
abnormality otherwise detected in the  | 
breast. | 
 "Low-dose mammography" means
the x-ray examination of the  | 
breast using equipment dedicated specifically
for mammography,  | 
including the x-ray tube, filter, compression device,
and  | 
image receptor, with an average radiation exposure delivery
of  | 
less than one rad per breast for 2 views of an average size  | 
breast.
The term also includes digital mammography and  | 
includes breast tomosynthesis. | 
 "Breast tomosynthesis" means a radiologic procedure that  | 
involves the acquisition of projection images over the  | 
stationary breast to produce cross-sectional digital  | 
three-dimensional images of the breast. | 
 If, at any time, the Secretary of the United States  | 
Department of Health and Human Services, or its successor  | 
agency, promulgates rules or regulations to be published in  | 
the Federal Register or publishes a comment in the Federal  | 
Register or issues an opinion, guidance, or other action that  | 
would require the State, pursuant to any provision of the  | 
Patient Protection and Affordable Care Act (Public Law  | 
111-148), including, but not limited to, 42 U.S.C.  | 
 | 
18031(d)(3)(B) or any successor provision, to defray the cost  | 
of any coverage for breast tomosynthesis outlined in this  | 
paragraph, then the requirement that an insurer cover breast  | 
tomosynthesis is inoperative other than any such coverage  | 
authorized under Section 1902 of the Social Security Act, 42  | 
U.S.C. 1396a, and the State shall not assume any obligation  | 
for the cost of coverage for breast tomosynthesis set forth in  | 
this paragraph.
 | 
 On and after January 1, 2016, the Department shall ensure  | 
that all networks of care for adult clients of the Department  | 
include access to at least one breast imaging Center of  | 
Imaging Excellence as certified by the American College of  | 
Radiology. | 
 On and after January 1, 2012, providers participating in a  | 
quality improvement program approved by the Department shall  | 
be reimbursed for screening and diagnostic mammography at the  | 
same rate as the Medicare program's rates, including the  | 
increased reimbursement for digital mammography. | 
 The Department shall convene an expert panel including  | 
representatives of hospitals, free-standing mammography  | 
facilities, and doctors, including radiologists, to establish  | 
quality standards for mammography. | 
 On and after January 1, 2017, providers participating in a  | 
breast cancer treatment quality improvement program approved  | 
by the Department shall be reimbursed for breast cancer  | 
treatment at a rate that is no lower than 95% of the Medicare  | 
 | 
program's rates for the data elements included in the breast  | 
cancer treatment quality program. | 
 The Department shall convene an expert panel, including  | 
representatives of hospitals, free-standing breast cancer  | 
treatment centers, breast cancer quality organizations, and  | 
doctors, including breast surgeons, reconstructive breast  | 
surgeons, oncologists, and primary care providers to establish  | 
quality standards for breast cancer treatment. | 
 Subject to federal approval, the Department shall  | 
establish a rate methodology for mammography at federally  | 
qualified health centers and other encounter-rate clinics.  | 
These clinics or centers may also collaborate with other  | 
hospital-based mammography facilities. By January 1, 2016, the  | 
Department shall report to the General Assembly on the status  | 
of the provision set forth in this paragraph. | 
 The Department shall establish a methodology to remind  | 
individuals who are age-appropriate for screening mammography,  | 
but who have not received a mammogram within the previous 18  | 
months, of the importance and benefit of screening  | 
mammography. The Department shall work with experts in breast  | 
cancer outreach and patient navigation to optimize these  | 
reminders and shall establish a methodology for evaluating  | 
their effectiveness and modifying the methodology based on the  | 
evaluation. | 
 The Department shall establish a performance goal for  | 
primary care providers with respect to their female patients  | 
 | 
over age 40 receiving an annual mammogram. This performance  | 
goal shall be used to provide additional reimbursement in the  | 
form of a quality performance bonus to primary care providers  | 
who meet that goal. | 
 The Department shall devise a means of case-managing or  | 
patient navigation for beneficiaries diagnosed with breast  | 
cancer. This program shall initially operate as a pilot  | 
program in areas of the State with the highest incidence of  | 
mortality related to breast cancer. At least one pilot program  | 
site shall be in the metropolitan Chicago area and at least one  | 
site shall be outside the metropolitan Chicago area. On or  | 
after July 1, 2016, the pilot program shall be expanded to  | 
include one site in western Illinois, one site in southern  | 
Illinois, one site in central Illinois, and 4 sites within  | 
metropolitan Chicago. An evaluation of the pilot program shall  | 
be carried out measuring health outcomes and cost of care for  | 
those served by the pilot program compared to similarly  | 
situated patients who are not served by the pilot program.  | 
 The Department shall require all networks of care to  | 
develop a means either internally or by contract with experts  | 
in navigation and community outreach to navigate cancer  | 
patients to comprehensive care in a timely fashion. The  | 
Department shall require all networks of care to include  | 
access for patients diagnosed with cancer to at least one  | 
academic commission on cancer-accredited cancer program as an  | 
in-network covered benefit. | 
 | 
 On or after July 1, 2022, individuals who are otherwise  | 
eligible for medical assistance under this Article shall  | 
receive coverage for perinatal depression screenings for the  | 
12-month period beginning on the last day of their pregnancy.  | 
Medical assistance coverage under this paragraph shall be  | 
conditioned on the use of a screening instrument approved by  | 
the Department. | 
 Any medical or health care provider shall immediately  | 
recommend, to
any pregnant individual who is being provided  | 
prenatal services and is suspected
of having a substance use  | 
disorder as defined in the Substance Use Disorder Act,  | 
referral to a local substance use disorder treatment program  | 
licensed by the Department of Human Services or to a licensed
 | 
hospital which provides substance abuse treatment services.  | 
The Department of Healthcare and Family Services
shall assure  | 
coverage for the cost of treatment of the drug abuse or
 | 
addiction for pregnant recipients in accordance with the  | 
Illinois Medicaid
Program in conjunction with the Department  | 
of Human Services.
 | 
 All medical providers providing medical assistance to  | 
pregnant individuals
under this Code shall receive information  | 
from the Department on the
availability of services under any
 | 
program providing case management services for addicted  | 
individuals,
including information on appropriate referrals  | 
for other social services
that may be needed by addicted  | 
individuals in addition to treatment for addiction.
 | 
 | 
 The Illinois Department, in cooperation with the  | 
Departments of Human
Services (as successor to the Department  | 
of Alcoholism and Substance
Abuse) and Public Health, through  | 
a public awareness campaign, may
provide information  | 
concerning treatment for alcoholism and drug abuse and
 | 
addiction, prenatal health care, and other pertinent programs  | 
directed at
reducing the number of drug-affected infants born  | 
to recipients of medical
assistance.
 | 
 Neither the Department of Healthcare and Family Services  | 
nor the Department of Human
Services shall sanction the  | 
recipient solely on the basis of the recipient's
substance  | 
abuse.
 | 
 The Illinois Department shall establish such regulations  | 
governing
the dispensing of health services under this Article  | 
as it shall deem
appropriate. The Department
should
seek the  | 
advice of formal professional advisory committees appointed by
 | 
the Director of the Illinois Department for the purpose of  | 
providing regular
advice on policy and administrative matters,  | 
information dissemination and
educational activities for  | 
medical and health care providers, and
consistency in  | 
procedures to the Illinois Department.
 | 
 The Illinois Department may develop and contract with  | 
Partnerships of
medical providers to arrange medical services  | 
for persons eligible under
Section 5-2 of this Code.  | 
Implementation of this Section may be by
demonstration  | 
projects in certain geographic areas. The Partnership shall
be  | 
 | 
represented by a sponsor organization. The Department, by  | 
rule, shall
develop qualifications for sponsors of  | 
Partnerships. Nothing in this
Section shall be construed to  | 
require that the sponsor organization be a
medical  | 
organization.
 | 
 The sponsor must negotiate formal written contracts with  | 
medical
providers for physician services, inpatient and  | 
outpatient hospital care,
home health services, treatment for  | 
alcoholism and substance abuse, and
other services determined  | 
necessary by the Illinois Department by rule for
delivery by  | 
Partnerships. Physician services must include prenatal and
 | 
obstetrical care. The Illinois Department shall reimburse  | 
medical services
delivered by Partnership providers to clients  | 
in target areas according to
provisions of this Article and  | 
the Illinois Health Finance Reform Act,
except that:
 | 
  (1) Physicians participating in a Partnership and  | 
 providing certain
services, which shall be determined by  | 
 the Illinois Department, to persons
in areas covered by  | 
 the Partnership may receive an additional surcharge
for  | 
 such services.
 | 
  (2) The Department may elect to consider and negotiate  | 
 financial
incentives to encourage the development of  | 
 Partnerships and the efficient
delivery of medical care.
 | 
  (3) Persons receiving medical services through  | 
 Partnerships may receive
medical and case management  | 
 services above the level usually offered
through the  | 
 | 
 medical assistance program.
 | 
 Medical providers shall be required to meet certain  | 
qualifications to
participate in Partnerships to ensure the  | 
delivery of high quality medical
services. These  | 
qualifications shall be determined by rule of the Illinois
 | 
Department and may be higher than qualifications for  | 
participation in the
medical assistance program. Partnership  | 
sponsors may prescribe reasonable
additional qualifications  | 
for participation by medical providers, only with
the prior  | 
written approval of the Illinois Department.
 | 
 Nothing in this Section shall limit the free choice of  | 
practitioners,
hospitals, and other providers of medical  | 
services by clients.
In order to ensure patient freedom of  | 
choice, the Illinois Department shall
immediately promulgate  | 
all rules and take all other necessary actions so that
 | 
provided services may be accessed from therapeutically  | 
certified optometrists
to the full extent of the Illinois  | 
Optometric Practice Act of 1987 without
discriminating between  | 
service providers.
 | 
 The Department shall apply for a waiver from the United  | 
States Health
Care Financing Administration to allow for the  | 
implementation of
Partnerships under this Section.
 | 
 The Illinois Department shall require health care  | 
providers to maintain
records that document the medical care  | 
and services provided to recipients
of Medical Assistance  | 
under this Article. Such records must be retained for a period  | 
 | 
of not less than 6 years from the date of service or as  | 
provided by applicable State law, whichever period is longer,  | 
except that if an audit is initiated within the required  | 
retention period then the records must be retained until the  | 
audit is completed and every exception is resolved. The  | 
Illinois Department shall
require health care providers to  | 
make available, when authorized by the
patient, in writing,  | 
the medical records in a timely fashion to other
health care  | 
providers who are treating or serving persons eligible for
 | 
Medical Assistance under this Article. All dispensers of  | 
medical services
shall be required to maintain and retain  | 
business and professional records
sufficient to fully and  | 
accurately document the nature, scope, details and
receipt of  | 
the health care provided to persons eligible for medical
 | 
assistance under this Code, in accordance with regulations  | 
promulgated by
the Illinois Department. The rules and  | 
regulations shall require that proof
of the receipt of  | 
prescription drugs, dentures, prosthetic devices and
 | 
eyeglasses by eligible persons under this Section accompany  | 
each claim
for reimbursement submitted by the dispenser of  | 
such medical services.
No such claims for reimbursement shall  | 
be approved for payment by the Illinois
Department without  | 
such proof of receipt, unless the Illinois Department
shall  | 
have put into effect and shall be operating a system of  | 
post-payment
audit and review which shall, on a sampling  | 
basis, be deemed adequate by
the Illinois Department to assure  | 
 | 
that such drugs, dentures, prosthetic
devices and eyeglasses  | 
for which payment is being made are actually being
received by  | 
eligible recipients. Within 90 days after September 16, 1984  | 
(the effective date of Public Act 83-1439), the Illinois  | 
Department shall establish a
current list of acquisition costs  | 
for all prosthetic devices and any
other items recognized as  | 
medical equipment and supplies reimbursable under
this Article  | 
and shall update such list on a quarterly basis, except that
 | 
the acquisition costs of all prescription drugs shall be  | 
updated no
less frequently than every 30 days as required by  | 
Section 5-5.12.
 | 
 Notwithstanding any other law to the contrary, the  | 
Illinois Department shall, within 365 days after July 22, 2013  | 
(the effective date of Public Act 98-104), establish  | 
procedures to permit skilled care facilities licensed under  | 
the Nursing Home Care Act to submit monthly billing claims for  | 
reimbursement purposes. Following development of these  | 
procedures, the Department shall, by July 1, 2016, test the  | 
viability of the new system and implement any necessary  | 
operational or structural changes to its information  | 
technology platforms in order to allow for the direct  | 
acceptance and payment of nursing home claims.  | 
 Notwithstanding any other law to the contrary, the  | 
Illinois Department shall, within 365 days after August 15,  | 
2014 (the effective date of Public Act 98-963), establish  | 
procedures to permit ID/DD facilities licensed under the ID/DD  | 
 | 
Community Care Act and MC/DD facilities licensed under the  | 
MC/DD Act to submit monthly billing claims for reimbursement  | 
purposes. Following development of these procedures, the  | 
Department shall have an additional 365 days to test the  | 
viability of the new system and to ensure that any necessary  | 
operational or structural changes to its information  | 
technology platforms are implemented.  | 
 The Illinois Department shall require all dispensers of  | 
medical
services, other than an individual practitioner or  | 
group of practitioners,
desiring to participate in the Medical  | 
Assistance program
established under this Article to disclose  | 
all financial, beneficial,
ownership, equity, surety or other  | 
interests in any and all firms,
corporations, partnerships,  | 
associations, business enterprises, joint
ventures, agencies,  | 
institutions or other legal entities providing any
form of  | 
health care services in this State under this Article.
 | 
 The Illinois Department may require that all dispensers of  | 
medical
services desiring to participate in the medical  | 
assistance program
established under this Article disclose,  | 
under such terms and conditions as
the Illinois Department may  | 
by rule establish, all inquiries from clients
and attorneys  | 
regarding medical bills paid by the Illinois Department, which
 | 
inquiries could indicate potential existence of claims or  | 
liens for the
Illinois Department.
 | 
 Enrollment of a vendor
shall be
subject to a provisional  | 
period and shall be conditional for one year. During the  | 
 | 
period of conditional enrollment, the Department may
terminate  | 
the vendor's eligibility to participate in, or may disenroll  | 
the vendor from, the medical assistance
program without cause.  | 
Unless otherwise specified, such termination of eligibility or  | 
disenrollment is not subject to the
Department's hearing  | 
process.
However, a disenrolled vendor may reapply without  | 
penalty. 
 | 
 The Department has the discretion to limit the conditional  | 
enrollment period for vendors based upon category of risk of  | 
the vendor. | 
 Prior to enrollment and during the conditional enrollment  | 
period in the medical assistance program, all vendors shall be  | 
subject to enhanced oversight, screening, and review based on  | 
the risk of fraud, waste, and abuse that is posed by the  | 
category of risk of the vendor. The Illinois Department shall  | 
establish the procedures for oversight, screening, and review,  | 
which may include, but need not be limited to: criminal and  | 
financial background checks; fingerprinting; license,  | 
certification, and authorization verifications; unscheduled or  | 
unannounced site visits; database checks; prepayment audit  | 
reviews; audits; payment caps; payment suspensions; and other  | 
screening as required by federal or State law. | 
 The Department shall define or specify the following: (i)  | 
by provider notice, the "category of risk of the vendor" for  | 
each type of vendor, which shall take into account the level of  | 
screening applicable to a particular category of vendor under  | 
 | 
federal law and regulations; (ii) by rule or provider notice,  | 
the maximum length of the conditional enrollment period for  | 
each category of risk of the vendor; and (iii) by rule, the  | 
hearing rights, if any, afforded to a vendor in each category  | 
of risk of the vendor that is terminated or disenrolled during  | 
the conditional enrollment period.  | 
 To be eligible for payment consideration, a vendor's  | 
payment claim or bill, either as an initial claim or as a  | 
resubmitted claim following prior rejection, must be received  | 
by the Illinois Department, or its fiscal intermediary, no  | 
later than 180 days after the latest date on the claim on which  | 
medical goods or services were provided, with the following  | 
exceptions: | 
  (1) In the case of a provider whose enrollment is in  | 
 process by the Illinois Department, the 180-day period  | 
 shall not begin until the date on the written notice from  | 
 the Illinois Department that the provider enrollment is  | 
 complete. | 
  (2) In the case of errors attributable to the Illinois  | 
 Department or any of its claims processing intermediaries  | 
 which result in an inability to receive, process, or  | 
 adjudicate a claim, the 180-day period shall not begin  | 
 until the provider has been notified of the error. | 
  (3) In the case of a provider for whom the Illinois  | 
 Department initiates the monthly billing process. | 
  (4) In the case of a provider operated by a unit of  | 
 | 
 local government with a population exceeding 3,000,000  | 
 when local government funds finance federal participation  | 
 for claims payments.  | 
 For claims for services rendered during a period for which  | 
a recipient received retroactive eligibility, claims must be  | 
filed within 180 days after the Department determines the  | 
applicant is eligible. For claims for which the Illinois  | 
Department is not the primary payer, claims must be submitted  | 
to the Illinois Department within 180 days after the final  | 
adjudication by the primary payer. | 
 In the case of long term care facilities, within 120  | 
calendar days of receipt by the facility of required  | 
prescreening information, new admissions with associated  | 
admission documents shall be submitted through the Medical  | 
Electronic Data Interchange (MEDI) or the Recipient  | 
Eligibility Verification (REV) System or shall be submitted  | 
directly to the Department of Human Services using required  | 
admission forms. Effective September
1, 2014, admission  | 
documents, including all prescreening
information, must be  | 
submitted through MEDI or REV. Confirmation numbers assigned  | 
to an accepted transaction shall be retained by a facility to  | 
verify timely submittal. Once an admission transaction has  | 
been completed, all resubmitted claims following prior  | 
rejection are subject to receipt no later than 180 days after  | 
the admission transaction has been completed. | 
 Claims that are not submitted and received in compliance  | 
 | 
with the foregoing requirements shall not be eligible for  | 
payment under the medical assistance program, and the State  | 
shall have no liability for payment of those claims. | 
 To the extent consistent with applicable information and  | 
privacy, security, and disclosure laws, State and federal  | 
agencies and departments shall provide the Illinois Department  | 
access to confidential and other information and data  | 
necessary to perform eligibility and payment verifications and  | 
other Illinois Department functions. This includes, but is not  | 
limited to: information pertaining to licensure;  | 
certification; earnings; immigration status; citizenship; wage  | 
reporting; unearned and earned income; pension income;  | 
employment; supplemental security income; social security  | 
numbers; National Provider Identifier (NPI) numbers; the  | 
National Practitioner Data Bank (NPDB); program and agency  | 
exclusions; taxpayer identification numbers; tax delinquency;  | 
corporate information; and death records. | 
 The Illinois Department shall enter into agreements with  | 
State agencies and departments, and is authorized to enter  | 
into agreements with federal agencies and departments, under  | 
which such agencies and departments shall share data necessary  | 
for medical assistance program integrity functions and  | 
oversight. The Illinois Department shall develop, in  | 
cooperation with other State departments and agencies, and in  | 
compliance with applicable federal laws and regulations,  | 
appropriate and effective methods to share such data. At a  | 
 | 
minimum, and to the extent necessary to provide data sharing,  | 
the Illinois Department shall enter into agreements with State  | 
agencies and departments, and is authorized to enter into  | 
agreements with federal agencies and departments, including,  | 
but not limited to: the Secretary of State; the Department of  | 
Revenue; the Department of Public Health; the Department of  | 
Human Services; and the Department of Financial and  | 
Professional Regulation. | 
 Beginning in fiscal year 2013, the Illinois Department  | 
shall set forth a request for information to identify the  | 
benefits of a pre-payment, post-adjudication, and post-edit  | 
claims system with the goals of streamlining claims processing  | 
and provider reimbursement, reducing the number of pending or  | 
rejected claims, and helping to ensure a more transparent  | 
adjudication process through the utilization of: (i) provider  | 
data verification and provider screening technology; and (ii)  | 
clinical code editing; and (iii) pre-pay, pre- or  | 
post-adjudicated predictive modeling with an integrated case  | 
management system with link analysis. Such a request for  | 
information shall not be considered as a request for proposal  | 
or as an obligation on the part of the Illinois Department to  | 
take any action or acquire any products or services.  | 
 The Illinois Department shall establish policies,  | 
procedures,
standards and criteria by rule for the  | 
acquisition, repair and replacement
of orthotic and prosthetic  | 
devices and durable medical equipment. Such
rules shall  | 
 | 
provide, but not be limited to, the following services: (1)
 | 
immediate repair or replacement of such devices by recipients;  | 
and (2) rental, lease, purchase or lease-purchase of
durable  | 
medical equipment in a cost-effective manner, taking into
 | 
consideration the recipient's medical prognosis, the extent of  | 
the
recipient's needs, and the requirements and costs for  | 
maintaining such
equipment. Subject to prior approval, such  | 
rules shall enable a recipient to temporarily acquire and
use  | 
alternative or substitute devices or equipment pending repairs  | 
or
replacements of any device or equipment previously  | 
authorized for such
recipient by the Department.  | 
Notwithstanding any provision of Section 5-5f to the contrary,  | 
the Department may, by rule, exempt certain replacement  | 
wheelchair parts from prior approval and, for wheelchairs,  | 
wheelchair parts, wheelchair accessories, and related seating  | 
and positioning items, determine the wholesale price by  | 
methods other than actual acquisition costs. | 
 The Department shall require, by rule, all providers of  | 
durable medical equipment to be accredited by an accreditation  | 
organization approved by the federal Centers for Medicare and  | 
Medicaid Services and recognized by the Department in order to  | 
bill the Department for providing durable medical equipment to  | 
recipients. No later than 15 months after the effective date  | 
of the rule adopted pursuant to this paragraph, all providers  | 
must meet the accreditation requirement.
 | 
 In order to promote environmental responsibility, meet the  | 
 | 
needs of recipients and enrollees, and achieve significant  | 
cost savings, the Department, or a managed care organization  | 
under contract with the Department, may provide recipients or  | 
managed care enrollees who have a prescription or Certificate  | 
of Medical Necessity access to refurbished durable medical  | 
equipment under this Section (excluding prosthetic and  | 
orthotic devices as defined in the Orthotics, Prosthetics, and  | 
Pedorthics Practice Act and complex rehabilitation technology  | 
products and associated services) through the State's  | 
assistive technology program's reutilization program, using  | 
staff with the Assistive Technology Professional (ATP)  | 
Certification if the refurbished durable medical equipment:  | 
(i) is available; (ii) is less expensive, including shipping  | 
costs, than new durable medical equipment of the same type;  | 
(iii) is able to withstand at least 3 years of use; (iv) is  | 
cleaned, disinfected, sterilized, and safe in accordance with  | 
federal Food and Drug Administration regulations and guidance  | 
governing the reprocessing of medical devices in health care  | 
settings; and (v) equally meets the needs of the recipient or  | 
enrollee. The reutilization program shall confirm that the  | 
recipient or enrollee is not already in receipt of the same or  | 
similar equipment from another service provider, and that the  | 
refurbished durable medical equipment equally meets the needs  | 
of the recipient or enrollee. Nothing in this paragraph shall  | 
be construed to limit recipient or enrollee choice to obtain  | 
new durable medical equipment or place any additional prior  | 
 | 
authorization conditions on enrollees of managed care  | 
organizations.  | 
 The Department shall execute, relative to the nursing home  | 
prescreening
project, written inter-agency agreements with the  | 
Department of Human
Services and the Department on Aging, to  | 
effect the following: (i) intake
procedures and common  | 
eligibility criteria for those persons who are receiving
 | 
non-institutional services; and (ii) the establishment and  | 
development of
non-institutional services in areas of the  | 
State where they are not currently
available or are  | 
undeveloped; and (iii) notwithstanding any other provision of  | 
law, subject to federal approval, on and after July 1, 2012, an  | 
increase in the determination of need (DON) scores from 29 to  | 
37 for applicants for institutional and home and  | 
community-based long term care; if and only if federal  | 
approval is not granted, the Department may, in conjunction  | 
with other affected agencies, implement utilization controls  | 
or changes in benefit packages to effectuate a similar savings  | 
amount for this population; and (iv) no later than July 1,  | 
2013, minimum level of care eligibility criteria for  | 
institutional and home and community-based long term care; and  | 
(v) no later than October 1, 2013, establish procedures to  | 
permit long term care providers access to eligibility scores  | 
for individuals with an admission date who are seeking or  | 
receiving services from the long term care provider. In order  | 
to select the minimum level of care eligibility criteria, the  | 
 | 
Governor shall establish a workgroup that includes affected  | 
agency representatives and stakeholders representing the  | 
institutional and home and community-based long term care  | 
interests. This Section shall not restrict the Department from  | 
implementing lower level of care eligibility criteria for  | 
community-based services in circumstances where federal  | 
approval has been granted.
 | 
 The Illinois Department shall develop and operate, in  | 
cooperation
with other State Departments and agencies and in  | 
compliance with
applicable federal laws and regulations,  | 
appropriate and effective
systems of health care evaluation  | 
and programs for monitoring of
utilization of health care  | 
services and facilities, as it affects
persons eligible for  | 
medical assistance under this Code.
 | 
 The Illinois Department shall report annually to the  | 
General Assembly,
no later than the second Friday in April of  | 
1979 and each year
thereafter, in regard to:
 | 
  (a) actual statistics and trends in utilization of  | 
 medical services by
public aid recipients;
 | 
  (b) actual statistics and trends in the provision of  | 
 the various medical
services by medical vendors;
 | 
  (c) current rate structures and proposed changes in  | 
 those rate structures
for the various medical vendors; and
 | 
  (d) efforts at utilization review and control by the  | 
 Illinois Department.
 | 
 The period covered by each report shall be the 3 years  | 
 | 
ending on the June
30 prior to the report. The report shall  | 
include suggested legislation
for consideration by the General  | 
Assembly. The requirement for reporting to the General  | 
Assembly shall be satisfied
by filing copies of the report as  | 
required by Section 3.1 of the General Assembly Organization  | 
Act, and filing such additional
copies
with the State  | 
Government Report Distribution Center for the General
Assembly  | 
as is required under paragraph (t) of Section 7 of the State
 | 
Library Act.
 | 
 Rulemaking authority to implement Public Act 95-1045, if  | 
any, is conditioned on the rules being adopted in accordance  | 
with all provisions of the Illinois Administrative Procedure  | 
Act and all rules and procedures of the Joint Committee on  | 
Administrative Rules; any purported rule not so adopted, for  | 
whatever reason, is unauthorized.  | 
 On and after July 1, 2012, the Department shall reduce any  | 
rate of reimbursement for services or other payments or alter  | 
any methodologies authorized by this Code to reduce any rate  | 
of reimbursement for services or other payments in accordance  | 
with Section 5-5e.  | 
 Because kidney transplantation can be an appropriate,  | 
cost-effective
alternative to renal dialysis when medically  | 
necessary and notwithstanding the provisions of Section 1-11  | 
of this Code, beginning October 1, 2014, the Department shall  | 
cover kidney transplantation for noncitizens with end-stage  | 
renal disease who are not eligible for comprehensive medical  | 
 | 
benefits, who meet the residency requirements of Section 5-3  | 
of this Code, and who would otherwise meet the financial  | 
requirements of the appropriate class of eligible persons  | 
under Section 5-2 of this Code. To qualify for coverage of  | 
kidney transplantation, such person must be receiving  | 
emergency renal dialysis services covered by the Department.  | 
Providers under this Section shall be prior approved and  | 
certified by the Department to perform kidney transplantation  | 
and the services under this Section shall be limited to  | 
services associated with kidney transplantation.  | 
 Notwithstanding any other provision of this Code to the  | 
contrary, on or after July 1, 2015, all FDA approved forms of  | 
medication assisted treatment prescribed for the treatment of  | 
alcohol dependence or treatment of opioid dependence shall be  | 
covered under both fee for service and managed care medical  | 
assistance programs for persons who are otherwise eligible for  | 
medical assistance under this Article and shall not be subject  | 
to any (1) utilization control, other than those established  | 
under the American Society of Addiction Medicine patient  | 
placement criteria,
(2) prior authorization mandate, or (3)  | 
lifetime restriction limit
mandate.  | 
 On or after July 1, 2015, opioid antagonists prescribed  | 
for the treatment of an opioid overdose, including the  | 
medication product, administration devices, and any pharmacy  | 
fees or hospital fees related to the dispensing, distribution,  | 
and administration of the opioid antagonist, shall be covered  | 
 | 
under the medical assistance program for persons who are  | 
otherwise eligible for medical assistance under this Article.  | 
As used in this Section, "opioid antagonist" means a drug that  | 
binds to opioid receptors and blocks or inhibits the effect of  | 
opioids acting on those receptors, including, but not limited  | 
to, naloxone hydrochloride or any other similarly acting drug  | 
approved by the U.S. Food and Drug Administration. | 
 Upon federal approval, the Department shall provide  | 
coverage and reimbursement for all drugs that are approved for  | 
marketing by the federal Food and Drug Administration and that  | 
are recommended by the federal Public Health Service or the  | 
United States Centers for Disease Control and Prevention for  | 
pre-exposure prophylaxis and related pre-exposure prophylaxis  | 
services, including, but not limited to, HIV and sexually  | 
transmitted infection screening, treatment for sexually  | 
transmitted infections, medical monitoring, assorted labs, and  | 
counseling to reduce the likelihood of HIV infection among  | 
individuals who are not infected with HIV but who are at high  | 
risk of HIV infection. | 
 A federally qualified health center, as defined in Section  | 
1905(l)(2)(B) of the federal
Social Security Act, shall be  | 
reimbursed by the Department in accordance with the federally  | 
qualified health center's encounter rate for services provided  | 
to medical assistance recipients that are performed by a  | 
dental hygienist, as defined under the Illinois Dental  | 
Practice Act, working under the general supervision of a  | 
 | 
dentist and employed by a federally qualified health center.  | 
 Within 90 days after October 8, 2021 (the effective date  | 
of Public Act 102-665) this amendatory Act of the 102nd  | 
General Assembly, the Department shall seek federal approval  | 
of a State Plan amendment to expand coverage for family  | 
planning services that includes presumptive eligibility to  | 
individuals whose income is at or below 208% of the federal  | 
poverty level. Coverage under this Section shall be effective  | 
beginning no later than December 1, 2022. | 
 Subject to approval by the federal Centers for Medicare  | 
and Medicaid Services of a Title XIX State Plan amendment  | 
electing the Program of All-Inclusive Care for the Elderly  | 
(PACE) as a State Medicaid option, as provided for by Subtitle  | 
I (commencing with Section 4801) of Title IV of the Balanced  | 
Budget Act of 1997 (Public Law 105-33) and Part 460  | 
(commencing with Section 460.2) of Subchapter E of Title 42 of  | 
the Code of Federal Regulations, PACE program services shall  | 
become a covered benefit of the medical assistance program,  | 
subject to criteria established in accordance with all  | 
applicable laws. | 
 Notwithstanding any other provision of this Code,  | 
community-based pediatric palliative care from a trained  | 
interdisciplinary team shall be covered under the medical  | 
assistance program as provided in Section 15 of the Pediatric  | 
Palliative
Care Act. | 
(Source: P.A. 101-209, eff. 8-5-19; 101-580, eff. 1-1-20;  | 
 | 
102-43, Article 30, Section 30-5, eff. 7-6-21; 102-43, Article  | 
35, Section 35-5, eff. 7-6-21; 102-43, Article 55, Section  | 
55-5, eff. 7-6-21; 102-95, eff. 1-1-22; 102-123, eff. 1-1-22;  | 
102-558, eff. 8-20-21; 102-598, eff. 1-1-22; 102-655, eff.  | 
1-1-22; 102-665, eff. 10-8-21; revised 11-18-21.)
 | 
 (305 ILCS 5/5-5.12d) | 
 Sec. 5-5.12d. Coverage for patient care services for  | 
hormonal contraceptives provided by a pharmacist. | 
 (a) Subject to approval by the federal Centers for  | 
Medicare and Medicaid Services, the medical assistance  | 
program, including both the fee-for-service and managed care  | 
medical assistance programs established under this Article,  | 
shall cover patient care services provided by a pharmacist for  | 
hormonal contraceptives assessment and consultation. | 
 (b) The Department shall establish a fee schedule for  | 
patient care services provided by a pharmacist for hormonal  | 
contraceptives assessment and consultation. | 
 (c) The rate of reimbursement for patient care services  | 
provided by a pharmacist for hormonal contraceptives  | 
assessment and consultation shall be at 85% of the fee  | 
schedule for physician services by the medical assistance  | 
program. | 
 (d) A pharmacist must be enrolled in the medical  | 
assistance program as an ordering and referring provider prior  | 
to providing hormonal contraceptives assessment and  | 
 | 
consultation that is submitted by a pharmacy or pharmacist  | 
provider for reimbursement pursuant to this Section. | 
 (e) The Department shall apply for any necessary federal  | 
waivers or approvals to implement this Section by January 1,  | 
2022. | 
 (f) This Section does not restrict or prohibit any  | 
services currently provided by pharmacists as authorized by  | 
law, including, but not limited to, pharmacist services  | 
provided under this Code or authorized under the Illinois  | 
Title XIX State Plan. | 
 (g) The Department shall submit to the Joint Committee on  | 
Administrative Rules administrative rules for this Section as  | 
soon as practicable but no later than 6 months after federal  | 
approval is received.
 | 
(Source: P.A. 102-103, eff. 1-1-22.)
 | 
 (305 ILCS 5/5-5.12e)
 | 
 Sec. 5-5.12e 5-5.12d. Managed care organization prior  | 
authorization of health care services. | 
 (a) As used in this Section, "health care service" has the  | 
meaning given to that term in the Prior Authorization Reform  | 
Act. | 
 (b) Notwithstanding any other provision of law to the  | 
contrary, all managed care organizations shall comply with the  | 
requirements of the Prior Authorization Reform Act.
 | 
(Source: P.A. 102-409, eff. 1-1-22; revised 11-10-21.)
 | 
 | 
 (305 ILCS 5/5-5f)
 | 
 Sec. 5-5f. Elimination and limitations of medical  | 
assistance services. Notwithstanding any other provision of  | 
this Code to the contrary, on and after July 1, 2012: | 
  (a) The following service shall no longer be a covered  | 
 service available under this Code: group psychotherapy for  | 
 residents of any facility licensed under the Nursing Home  | 
 Care Act or the Specialized Mental Health Rehabilitation  | 
 Act of 2013.  | 
  (b) The Department shall place the following  | 
 limitations on services: (i) the Department shall limit  | 
 adult eyeglasses to one pair every 2 years; however, the  | 
 limitation does not apply to an individual who needs  | 
 different eyeglasses following a surgical procedure such  | 
 as cataract surgery; (ii) the Department shall set an  | 
 annual limit of a maximum of 20 visits for each of the  | 
 following services: adult speech, hearing, and language  | 
 therapy services, adult occupational therapy services, and  | 
 physical therapy services; on or after October 1, 2014,  | 
 the annual maximum limit of 20 visits shall expire but the  | 
 Department may require prior approval for all individuals  | 
 for speech, hearing, and language therapy services,  | 
 occupational therapy services, and physical therapy  | 
 services; (iii) the Department shall limit adult podiatry  | 
 services to individuals with diabetes; on or after October  | 
 | 
 1, 2014, podiatry services shall not be limited to  | 
 individuals with diabetes; (iv) the Department shall pay  | 
 for caesarean sections at the normal vaginal delivery rate  | 
 unless a caesarean section was medically necessary; (v)  | 
 the Department shall limit adult dental services to  | 
 emergencies; beginning July 1, 2013, the Department shall  | 
 ensure that the following conditions are recognized as  | 
 emergencies: (A) dental services necessary for an  | 
 individual in order for the individual to be cleared for a  | 
 medical procedure, such as a transplant;
(B) extractions  | 
 and dentures necessary for a diabetic to receive proper  | 
 nutrition;
(C) extractions and dentures necessary as a  | 
 result of cancer treatment; and (D) dental services  | 
 necessary for the health of a pregnant woman prior to  | 
 delivery of her baby; on or after July 1, 2014, adult  | 
 dental services shall no longer be limited to emergencies,  | 
 and dental services necessary for the health of a pregnant  | 
 woman prior to delivery of her baby shall continue to be  | 
 covered; and (vi) effective July 1, 2012 through June 30,  | 
 2021, the Department shall place limitations and require  | 
 concurrent review on every inpatient detoxification stay  | 
 to prevent repeat admissions to any hospital for  | 
 detoxification within 60 days of a previous inpatient  | 
 detoxification stay. The Department shall convene a  | 
 workgroup of hospitals, substance abuse providers, care  | 
 coordination entities, managed care plans, and other  | 
 | 
 stakeholders to develop recommendations for quality  | 
 standards, diversion to other settings, and admission  | 
 criteria for patients who need inpatient detoxification,  | 
 which shall be published on the Department's website no  | 
 later than September 1, 2013.  | 
  (c) The Department shall require prior approval of the  | 
 following services: wheelchair repairs costing more than  | 
 $750, coronary artery bypass graft, and bariatric surgery  | 
 consistent with Medicare standards concerning patient  | 
 responsibility. Wheelchair repair prior approval requests  | 
 shall be adjudicated within one business day of receipt of  | 
 complete supporting documentation. Providers may not break  | 
 wheelchair repairs into separate claims for purposes of  | 
 staying under the $750 threshold for requiring prior  | 
 approval. The wholesale price of manual and power  | 
 wheelchairs, durable medical equipment and supplies, and  | 
 complex rehabilitation technology products and services  | 
 shall be defined as actual acquisition cost including all  | 
 discounts.  | 
  (d) The Department shall establish benchmarks for  | 
 hospitals to measure and align payments to reduce  | 
 potentially preventable hospital readmissions, inpatient  | 
 complications, and unnecessary emergency room visits. In  | 
 doing so, the Department shall consider items, including,  | 
 but not limited to, historic and current acuity of care  | 
 and historic and current trends in readmission. The  | 
 | 
 Department shall publish provider-specific historical  | 
 readmission data and anticipated potentially preventable  | 
 targets 60 days prior to the start of the program. In the  | 
 instance of readmissions, the Department shall adopt  | 
 policies and rates of reimbursement for services and other  | 
 payments provided under this Code to ensure that, by June  | 
 30, 2013, expenditures to hospitals are reduced by, at a  | 
 minimum, $40,000,000.  | 
  (e) The Department shall establish utilization  | 
 controls for the hospice program such that it shall not  | 
 pay for other care services when an individual is in  | 
 hospice.  | 
  (f) For home health services, the Department shall  | 
 require Medicare certification of providers participating  | 
 in the program and implement the Medicare face-to-face  | 
 encounter rule. The Department shall require providers to  | 
 implement auditable electronic service verification based  | 
 on global positioning systems or other cost-effective  | 
 technology.  | 
  (g) For the Home Services Program operated by the  | 
 Department of Human Services and the Community Care  | 
 Program operated by the Department on Aging, the  | 
 Department of Human Services, in cooperation with the  | 
 Department on Aging, shall implement an electronic service  | 
 verification based on global positioning systems or other  | 
 cost-effective technology.  | 
 | 
  (h) Effective with inpatient hospital admissions on or  | 
 after July 1, 2012, the Department shall reduce the  | 
 payment for a claim that indicates the occurrence of a  | 
 provider-preventable condition during the admission as  | 
 specified by the Department in rules. The Department shall  | 
 not pay for services related to an other  | 
 provider-preventable condition. | 
  As used in this subsection (h): | 
  "Provider-preventable condition" means a health care  | 
 acquired condition as defined under the federal Medicaid  | 
 regulation found at 42 CFR 447.26 or an other  | 
 provider-preventable condition. | 
  "Other provider-preventable condition" means a wrong  | 
 surgical or other invasive procedure performed on a  | 
 patient, a surgical or other invasive procedure performed  | 
 on the wrong body part, or a surgical procedure or other  | 
 invasive procedure performed on the wrong patient.  | 
  (i) The Department shall implement cost savings  | 
 initiatives for advanced imaging services, cardiac imaging  | 
 services, pain management services, and back surgery. Such  | 
 initiatives shall be designed to achieve annual costs  | 
 savings. 
 | 
  (j) The Department shall ensure that beneficiaries  | 
 with a diagnosis of epilepsy or seizure disorder in  | 
 Department records will not require prior approval for  | 
 anticonvulsants.  | 
 | 
(Source: P.A. 101-209, eff. 8-5-19; 102-43, Article 5, Section  | 
5-5, eff. 7-6-21; 102-43, Article 30, Section 30-5, eff.  | 
7-6-21; 102-43, Article 80, Section 80-5, eff. 7-6-21; revised  | 
7-15-21.)
 | 
 (305 ILCS 5/5-16.8)
 | 
 Sec. 5-16.8. Required health benefits. The medical  | 
assistance program
shall
(i) provide the post-mastectomy care  | 
benefits required to be covered by a policy of
accident and  | 
health insurance under Section 356t and the coverage required
 | 
under Sections 356g.5, 356q, 356u, 356w, 356x, 356z.6,  | 
356z.26, 356z.29, 356z.32, 356z.33, 356z.34, 356z.35, 356z.46,  | 
356z.47, and 356z.51 and 356z.43 of the Illinois
Insurance  | 
Code, (ii) be subject to the provisions of Sections 356z.19,  | 
356z.43, 356z.44, 356z.49, 364.01, 370c, and 370c.1 of the  | 
Illinois
Insurance Code, and (iii) be subject to the  | 
provisions of subsection (d-5) of Section 10 of the Network  | 
Adequacy and Transparency Act.
 | 
 The Department, by rule, shall adopt a model similar to  | 
the requirements of Section 356z.39 of the Illinois Insurance  | 
Code.  | 
 On and after July 1, 2012, the Department shall reduce any  | 
rate of reimbursement for services or other payments or alter  | 
any methodologies authorized by this Code to reduce any rate  | 
of reimbursement for services or other payments in accordance  | 
with Section 5-5e.  | 
 | 
 To ensure full access to the benefits set forth in this  | 
Section, on and after January 1, 2016, the Department shall  | 
ensure that provider and hospital reimbursement for  | 
post-mastectomy care benefits required under this Section are  | 
no lower than the Medicare reimbursement rate.  | 
(Source: P.A. 101-81, eff. 7-12-19; 101-218, eff. 1-1-20;  | 
101-281, eff. 1-1-20; 101-371, eff. 1-1-20; 101-574, eff.  | 
1-1-20; 101-649, eff. 7-7-20; 102-30, eff. 1-1-22; 102-144,  | 
eff. 1-1-22; 102-203, eff. 1-1-22; 102-306, eff. 1-1-22;  | 
102-530, eff. 1-1-22; 102-642, eff. 1-1-22; revised 10-27-21.)
 | 
 (305 ILCS 5/5-30.1) | 
 Sec. 5-30.1. Managed care protections. | 
 (a) As used in this Section: | 
 "Managed care organization" or "MCO" means any entity  | 
which contracts with the Department to provide services where  | 
payment for medical services is made on a capitated basis. | 
 "Emergency services" include: | 
  (1) emergency services, as defined by Section 10 of  | 
 the Managed Care Reform and Patient Rights Act; | 
  (2) emergency medical screening examinations, as  | 
 defined by Section 10 of the Managed Care Reform and  | 
 Patient Rights Act; | 
  (3) post-stabilization medical services, as defined by  | 
 Section 10 of the Managed Care Reform and Patient Rights  | 
 Act; and | 
 | 
  (4) emergency medical conditions, as defined by
 | 
 Section 10 of the Managed Care Reform and Patient Rights
 | 
 Act.  | 
 (b) As provided by Section 5-16.12, managed care  | 
organizations are subject to the provisions of the Managed  | 
Care Reform and Patient Rights Act. | 
 (c) An MCO shall pay any provider of emergency services  | 
that does not have in effect a contract with the contracted  | 
Medicaid MCO. The default rate of reimbursement shall be the  | 
rate paid under Illinois Medicaid fee-for-service program  | 
methodology, including all policy adjusters, including but not  | 
limited to Medicaid High Volume Adjustments, Medicaid  | 
Percentage Adjustments, Outpatient High Volume Adjustments,  | 
and all outlier add-on adjustments to the extent such  | 
adjustments are incorporated in the development of the  | 
applicable MCO capitated rates. | 
 (d) An MCO shall pay for all post-stabilization services  | 
as a covered service in any of the following situations: | 
  (1) the MCO authorized such services; | 
  (2) such services were administered to maintain the  | 
 enrollee's stabilized condition within one hour after a  | 
 request to the MCO for authorization of further  | 
 post-stabilization services; | 
  (3) the MCO did not respond to a request to authorize  | 
 such services within one hour; | 
  (4) the MCO could not be contacted; or | 
 | 
  (5) the MCO and the treating provider, if the treating  | 
 provider is a non-affiliated provider, could not reach an  | 
 agreement concerning the enrollee's care and an affiliated  | 
 provider was unavailable for a consultation, in which case  | 
 the MCO
must pay for such services rendered by the  | 
 treating non-affiliated provider until an affiliated  | 
 provider was reached and either concurred with the  | 
 treating non-affiliated provider's plan of care or assumed  | 
 responsibility for the enrollee's care. Such payment shall  | 
 be made at the default rate of reimbursement paid under  | 
 Illinois Medicaid fee-for-service program methodology,  | 
 including all policy adjusters, including but not limited  | 
 to Medicaid High Volume Adjustments, Medicaid Percentage  | 
 Adjustments, Outpatient High Volume Adjustments and all  | 
 outlier add-on adjustments to the extent that such  | 
 adjustments are incorporated in the development of the  | 
 applicable MCO capitated rates. | 
 (e) The following requirements apply to MCOs in  | 
determining payment for all emergency services: | 
  (1) MCOs shall not impose any requirements for prior  | 
 approval of emergency services. | 
  (2) The MCO shall cover emergency services provided to  | 
 enrollees who are temporarily away from their residence  | 
 and outside the contracting area to the extent that the  | 
 enrollees would be entitled to the emergency services if  | 
 they still were within the contracting area. | 
 | 
  (3) The MCO shall have no obligation to cover medical  | 
 services provided on an emergency basis that are not  | 
 covered services under the contract. | 
  (4) The MCO shall not condition coverage for emergency  | 
 services on the treating provider notifying the MCO of the  | 
 enrollee's screening and treatment within 10 days after  | 
 presentation for emergency services. | 
  (5) The determination of the attending emergency  | 
 physician, or the provider actually treating the enrollee,  | 
 of whether an enrollee is sufficiently stabilized for  | 
 discharge or transfer to another facility, shall be  | 
 binding on the MCO. The MCO shall cover emergency services  | 
 for all enrollees whether the emergency services are  | 
 provided by an affiliated or non-affiliated provider. | 
  (6) The MCO's financial responsibility for  | 
 post-stabilization care services it has not pre-approved  | 
 ends when:  | 
   (A) a plan physician with privileges at the  | 
 treating hospital assumes responsibility for the  | 
 enrollee's care;  | 
   (B) a plan physician assumes responsibility for  | 
 the enrollee's care through transfer;  | 
   (C) a contracting entity representative and the  | 
 treating physician reach an agreement concerning the  | 
 enrollee's care; or  | 
   (D) the enrollee is discharged.  | 
 | 
 (f) Network adequacy and transparency. | 
  (1) The Department shall: | 
   (A) ensure that an adequate provider network is in  | 
 place, taking into consideration health professional  | 
 shortage areas and medically underserved areas; | 
   (B) publicly release an explanation of its process  | 
 for analyzing network adequacy; | 
   (C) periodically ensure that an MCO continues to  | 
 have an adequate network in place; | 
   (D) require MCOs, including Medicaid Managed Care  | 
 Entities as defined in Section 5-30.2, to meet  | 
 provider directory requirements under Section 5-30.3;  | 
 and | 
   (E) require MCOs to ensure that any  | 
 Medicaid-certified provider
under contract with an MCO  | 
 and previously submitted on a roster on the date of  | 
 service is
paid for any medically necessary,  | 
 Medicaid-covered, and authorized service rendered to
 | 
 any of the MCO's enrollees, regardless of inclusion on
 | 
 the MCO's published and publicly available directory  | 
 of
available providers; and . | 
   (F) (E) require MCOs, including Medicaid Managed  | 
 Care Entities as defined in Section 5-30.2, to meet  | 
 each of the requirements under subsection (d-5) of  | 
 Section 10 of the Network Adequacy and Transparency  | 
 Act; with necessary exceptions to the MCO's network to  | 
 | 
 ensure that admission and treatment with a provider or  | 
 at a treatment facility in accordance with the network  | 
 adequacy standards in paragraph (3) of subsection  | 
 (d-5) of Section 10 of the Network Adequacy and  | 
 Transparency Act is limited to providers or facilities  | 
 that are Medicaid certified.  | 
  (2) Each MCO shall confirm its receipt of information  | 
 submitted specific to physician or dentist additions or  | 
 physician or dentist deletions from the MCO's provider  | 
 network within 3 days after receiving all required  | 
 information from contracted physicians or dentists, and  | 
 electronic physician and dental directories must be  | 
 updated consistent with current rules as published by the  | 
 Centers for Medicare and Medicaid Services or its  | 
 successor agency. | 
 (g) Timely payment of claims. | 
  (1) The MCO shall pay a claim within 30 days of  | 
 receiving a claim that contains all the essential  | 
 information needed to adjudicate the claim. | 
  (2) The MCO shall notify the billing party of its  | 
 inability to adjudicate a claim within 30 days of  | 
 receiving that claim. | 
  (3) The MCO shall pay a penalty that is at least equal  | 
 to the timely payment interest penalty imposed under  | 
 Section 368a of the Illinois Insurance Code for any claims  | 
 not timely paid. | 
 | 
   (A) When an MCO is required to pay a timely payment  | 
 interest penalty to a provider, the MCO must calculate  | 
 and pay the timely payment interest penalty that is  | 
 due to the provider within 30 days after the payment of  | 
 the claim. In no event shall a provider be required to  | 
 request or apply for payment of any owed timely  | 
 payment interest penalties.  | 
   (B) Such payments shall be reported separately  | 
 from the claim payment for services rendered to the  | 
 MCO's enrollee and clearly identified as interest  | 
 payments.  | 
  (4)(A) The Department shall require MCOs to expedite  | 
 payments to providers identified on the Department's  | 
 expedited provider list, determined in accordance with 89  | 
 Ill. Adm. Code 140.71(b), on a schedule at least as  | 
 frequently as the providers are paid under the  | 
 Department's fee-for-service expedited provider schedule. | 
  (B) Compliance with the expedited provider requirement  | 
 may be satisfied by an MCO through the use of a Periodic  | 
 Interim Payment (PIP) program that has been mutually  | 
 agreed to and documented between the MCO and the provider,  | 
 if the PIP program ensures that any expedited provider  | 
 receives regular and periodic payments based on prior  | 
 period payment experience from that MCO. Total payments  | 
 under the PIP program may be reconciled against future PIP  | 
 payments on a schedule mutually agreed to between the MCO  | 
 | 
 and the provider. | 
  (C) The Department shall share at least monthly its  | 
 expedited provider list and the frequency with which it  | 
 pays providers on the expedited list. | 
 (g-5) Recognizing that the rapid transformation of the  | 
Illinois Medicaid program may have unintended operational  | 
challenges for both payers and providers: | 
  (1) in no instance shall a medically necessary covered  | 
 service rendered in good faith, based upon eligibility  | 
 information documented by the provider, be denied coverage  | 
 or diminished in payment amount if the eligibility or  | 
 coverage information available at the time the service was  | 
 rendered is later found to be inaccurate in the assignment  | 
 of coverage responsibility between MCOs or the  | 
 fee-for-service system, except for instances when an  | 
 individual is deemed to have not been eligible for  | 
 coverage under the Illinois Medicaid program; and | 
  (2) the Department shall, by December 31, 2016, adopt  | 
 rules establishing policies that shall be included in the  | 
 Medicaid managed care policy and procedures manual  | 
 addressing payment resolutions in situations in which a  | 
 provider renders services based upon information obtained  | 
 after verifying a patient's eligibility and coverage plan  | 
 through either the Department's current enrollment system  | 
 or a system operated by the coverage plan identified by  | 
 the patient presenting for services: | 
 | 
   (A) such medically necessary covered services  | 
 shall be considered rendered in good faith; | 
   (B) such policies and procedures shall be  | 
 developed in consultation with industry  | 
 representatives of the Medicaid managed care health  | 
 plans and representatives of provider associations  | 
 representing the majority of providers within the  | 
 identified provider industry; and | 
   (C) such rules shall be published for a review and  | 
 comment period of no less than 30 days on the  | 
 Department's website with final rules remaining  | 
 available on the Department's website. | 
  The rules on payment resolutions shall include, but  | 
 not be limited to: | 
   (A) the extension of the timely filing period; | 
   (B) retroactive prior authorizations; and | 
   (C) guaranteed minimum payment rate of no less  | 
 than the current, as of the date of service,  | 
 fee-for-service rate, plus all applicable add-ons,  | 
 when the resulting service relationship is out of  | 
 network. | 
  The rules shall be applicable for both MCO coverage  | 
 and fee-for-service coverage.  | 
 If the fee-for-service system is ultimately determined to  | 
have been responsible for coverage on the date of service, the  | 
Department shall provide for an extended period for claims  | 
 | 
submission outside the standard timely filing requirements.  | 
 (g-6) MCO Performance Metrics Report. | 
  (1) The Department shall publish, on at least a  | 
 quarterly basis, each MCO's operational performance,  | 
 including, but not limited to, the following categories of  | 
 metrics: | 
   (A) claims payment, including timeliness and  | 
 accuracy; | 
   (B) prior authorizations; | 
   (C) grievance and appeals; | 
   (D) utilization statistics; | 
   (E) provider disputes; | 
   (F) provider credentialing; and | 
   (G) member and provider customer service.  | 
  (2) The Department shall ensure that the metrics  | 
 report is accessible to providers online by January 1,  | 
 2017. | 
  (3) The metrics shall be developed in consultation  | 
 with industry representatives of the Medicaid managed care  | 
 health plans and representatives of associations  | 
 representing the majority of providers within the  | 
 identified industry. | 
  (4) Metrics shall be defined and incorporated into the  | 
 applicable Managed Care Policy Manual issued by the  | 
 Department. | 
 (g-7) MCO claims processing and performance analysis. In  | 
 | 
order to monitor MCO payments to hospital providers, pursuant  | 
to Public Act 100-580 this amendatory Act of the 100th General  | 
Assembly, the Department shall post an analysis of MCO claims  | 
processing and payment performance on its website every 6  | 
months. Such analysis shall include a review and evaluation of  | 
a representative sample of hospital claims that are rejected  | 
and denied for clean and unclean claims and the top 5 reasons  | 
for such actions and timeliness of claims adjudication, which  | 
identifies the percentage of claims adjudicated within 30, 60,  | 
90, and over 90 days, and the dollar amounts associated with  | 
those claims. | 
 (g-8) Dispute resolution process. The Department shall  | 
maintain a provider complaint portal through which a provider  | 
can submit to the Department unresolved disputes with an MCO.  | 
An unresolved dispute means an MCO's decision that denies in  | 
whole or in part a claim for reimbursement to a provider for  | 
health care services rendered by the provider to an enrollee  | 
of the MCO with which the provider disagrees. Disputes shall  | 
not be submitted to the portal until the provider has availed  | 
itself of the MCO's internal dispute resolution process.  | 
Disputes that are submitted to the MCO internal dispute  | 
resolution process may be submitted to the Department of  | 
Healthcare and Family Services' complaint portal no sooner  | 
than 30 days after submitting to the MCO's internal process  | 
and not later than 30 days after the unsatisfactory resolution  | 
of the internal MCO process or 60 days after submitting the  | 
 | 
dispute to the MCO internal process. Multiple claim disputes  | 
involving the same MCO may be submitted in one complaint,  | 
regardless of whether the claims are for different enrollees,  | 
when the specific reason for non-payment of the claims  | 
involves a common question of fact or policy. Within 10  | 
business days of receipt of a complaint, the Department shall  | 
present such disputes to the appropriate MCO, which shall then  | 
have 30 days to issue its written proposal to resolve the  | 
dispute. The Department may grant one 30-day extension of this  | 
time frame to one of the parties to resolve the dispute. If the  | 
dispute remains unresolved at the end of this time frame or the  | 
provider is not satisfied with the MCO's written proposal to  | 
resolve the dispute, the provider may, within 30 days, request  | 
the Department to review the dispute and make a final  | 
determination. Within 30 days of the request for Department  | 
review of the dispute, both the provider and the MCO shall  | 
present all relevant information to the Department for  | 
resolution and make individuals with knowledge of the issues  | 
available to the Department for further inquiry if needed.  | 
Within 30 days of receiving the relevant information on the  | 
dispute, or the lapse of the period for submitting such  | 
information, the Department shall issue a written decision on  | 
the dispute based on contractual terms between the provider  | 
and the MCO, contractual terms between the MCO and the  | 
Department of Healthcare and Family Services and applicable  | 
Medicaid policy. The decision of the Department shall be  | 
 | 
final. By January 1, 2020, the Department shall establish by  | 
rule further details of this dispute resolution process.  | 
Disputes between MCOs and providers presented to the  | 
Department for resolution are not contested cases, as defined  | 
in Section 1-30 of the Illinois Administrative Procedure Act,  | 
conferring any right to an administrative hearing.  | 
 (g-9)(1) The Department shall publish annually on its  | 
website a report on the calculation of each managed care  | 
organization's medical loss ratio showing the following:  | 
  (A) Premium revenue, with appropriate adjustments.  | 
  (B) Benefit expense, setting forth the aggregate  | 
 amount spent for the following:  | 
   (i) Direct paid claims. | 
   (ii) Subcapitation payments. | 
   (iii)
Other claim payments. | 
   (iv)
Direct reserves. | 
   (v)
Gross recoveries. | 
   (vi)
Expenses for activities that improve health  | 
 care quality as allowed by the Department.  | 
 (2) The medical loss ratio shall be calculated consistent  | 
with federal law and regulation following a claims runout  | 
period determined by the Department.  | 
 (g-10)(1) "Liability effective date" means the date on  | 
which an MCO becomes responsible for payment for medically  | 
necessary and covered services rendered by a provider to one  | 
of its enrollees in accordance with the contract terms between  | 
 | 
the MCO and the provider. The liability effective date shall  | 
be the later of:  | 
  (A) The execution date of a network participation  | 
 contract agreement. | 
  (B) The date the provider or its representative  | 
 submits to the MCO the complete and accurate standardized  | 
 roster form for the provider in the format approved by the  | 
 Department.  | 
  (C) The provider effective date contained within the  | 
 Department's provider enrollment subsystem within the  | 
 Illinois Medicaid Program Advanced Cloud Technology  | 
 (IMPACT) System.  | 
 (2) The standardized roster form may be submitted to the  | 
MCO at the same time that the provider submits an enrollment  | 
application to the Department through IMPACT. | 
 (3) By October 1, 2019, the Department shall require all  | 
MCOs to update their provider directory with information for  | 
new practitioners of existing contracted providers within 30  | 
days of receipt of a complete and accurate standardized roster  | 
template in the format approved by the Department provided  | 
that the provider is effective in the Department's provider  | 
enrollment subsystem within the IMPACT system. Such provider  | 
directory shall be readily accessible for purposes of  | 
selecting an approved health care provider and comply with all  | 
other federal and State requirements.  | 
 (g-11) The Department shall work with relevant  | 
 | 
stakeholders on the development of operational guidelines to  | 
enhance and improve operational performance of Illinois'  | 
Medicaid managed care program, including, but not limited to,  | 
improving provider billing practices, reducing claim  | 
rejections and inappropriate payment denials, and  | 
standardizing processes, procedures, definitions, and response  | 
timelines, with the goal of reducing provider and MCO  | 
administrative burdens and conflict. The Department shall  | 
include a report on the progress of these program improvements  | 
and other topics in its Fiscal Year 2020 annual report to the  | 
General Assembly.  | 
 (g-12) Notwithstanding any other provision of law, if the
 | 
Department or an MCO requires submission of a claim for  | 
payment
in a non-electronic format, a provider shall always be  | 
afforded
a period of no less than 90 business days, as a  | 
correction
period, following any notification of rejection by  | 
either the
Department or the MCO to correct errors or  | 
omissions in the
original submission.  | 
 Under no circumstances, either by an MCO or under the
 | 
State's fee-for-service system, shall a provider be denied
 | 
payment for failure to comply with any timely submission
 | 
requirements under this Code or under any existing contract,
 | 
unless the non-electronic format claim submission occurs after
 | 
the initial 180 days following the latest date of service on
 | 
the claim, or after the 90 business days correction period
 | 
following notification to the provider of rejection or denial
 | 
 | 
of payment.  | 
 (h) The Department shall not expand mandatory MCO  | 
enrollment into new counties beyond those counties already  | 
designated by the Department as of June 1, 2014 for the  | 
individuals whose eligibility for medical assistance is not  | 
the seniors or people with disabilities population until the  | 
Department provides an opportunity for accountable care  | 
entities and MCOs to participate in such newly designated  | 
counties. | 
 (i) The requirements of this Section apply to contracts  | 
with accountable care entities and MCOs entered into, amended,  | 
or renewed after June 16, 2014 (the effective date of Public  | 
Act 98-651).
 | 
 (j) Health care information released to managed care  | 
organizations. A health care provider shall release to a  | 
Medicaid managed care organization, upon request, and subject  | 
to the Health Insurance Portability and Accountability Act of  | 
1996 and any other law applicable to the release of health  | 
information, the health care information of the MCO's  | 
enrollee, if the enrollee has completed and signed a general  | 
release form that grants to the health care provider  | 
permission to release the recipient's health care information  | 
to the recipient's insurance carrier.  | 
 (k) The Department of Healthcare and Family Services,  | 
managed care organizations, a statewide organization  | 
representing hospitals, and a statewide organization  | 
 | 
representing safety-net hospitals shall explore ways to  | 
support billing departments in safety-net hospitals.  | 
 (l) The requirements of this Section added by Public Act  | 
102-4 this
amendatory Act of the 102nd General Assembly shall  | 
apply to
services provided on or after the first day of the  | 
month that
begins 60 days after April 27, 2021 (the effective  | 
date of Public Act 102-4) this amendatory Act
of the 102nd  | 
General Assembly.  | 
(Source: P.A. 101-209, eff. 8-5-19; 102-4, eff. 4-27-21;  | 
102-43, eff. 7-6-21; 102-144, eff. 1-1-22; 102-454, eff.  | 
8-20-21; revised 10-5-21.)
 | 
 (305 ILCS 5/5-41) | 
 Sec. 5-41. Inpatient hospitalization for opioid-related  | 
overdose or withdrawal patients. Due to the disproportionately  | 
high opioid-related fatality rates among African Americans in  | 
under-resourced communities in Illinois, the lack of community  | 
resources, the comorbidities experienced by these patients,  | 
and the high rate of hospital inpatient recidivism associated  | 
with this population when improperly treated, the Department  | 
shall ensure that patients, whether enrolled under the Medical  | 
Assistance Fee For Service program or enrolled with a Medicaid  | 
Managed Care Organization, experiencing opioid-related  | 
overdose or withdrawal are admitted on an inpatient status and  | 
the provider shall be reimbursed accordingly, when deemed  | 
medically necessary, as determined by either the patient's  | 
 | 
primary care physician, or the physician or other practitioner  | 
responsible for the patient's care at the hospital to which  | 
the patient presents, using criteria established by the  | 
American Society of Addiction Medicine. If it is determined by  | 
the physician or other practitioner responsible for the  | 
patient's care at the hospital to which the patient presents,  | 
that a patient does not meet medical necessity criteria for  | 
the admission, then the patient may be treated via observation  | 
and the provider shall seek reimbursement accordingly. Nothing  | 
in this Section shall diminish the requirements of a provider  | 
to document medical necessity in the patient's record.
 | 
(Source: P.A. 102-43, eff. 7-6-21.)
 | 
 (305 ILCS 5/5-44)
 | 
 Sec. 5-44 5-41. Screening, Brief Intervention, and  | 
Referral to Treatment. As used in this Section, "SBIRT" means  | 
a comprehensive, integrated, public health approach to the  | 
delivery of early intervention and treatment
services for  | 
persons who are at risk of developing substance use disorders  | 
or have substance use disorders including, but not limited to,  | 
an addiction to alcohol, opioids,
tobacco, or cannabis.
SBIRT  | 
services include all of the following:  | 
  (1) Screening to quickly assess the severity of  | 
 substance use and to identify the appropriate level of  | 
 treatment.  | 
  (2) Brief intervention focused on increasing insight  | 
 | 
 and awareness regarding substance use and motivation  | 
 toward behavioral change.  | 
  (3) Referral to treatment provided to those identified  | 
 as needing more extensive treatment with access to  | 
 specialty care.  | 
 SBIRT services may include, but are not limited to, the  | 
following settings and programs: primary care centers,  | 
hospital emergency rooms, hospital in-patient units,
trauma  | 
centers, community behavioral health programs, and other  | 
community settings that provide opportunities for early  | 
intervention with at-risk substance users before more severe
 | 
consequences occur.  | 
 The Department of Healthcare and Family Services shall  | 
develop and seek federal approval of a SBIRT benefit for which
 | 
qualified providers shall be reimbursed under the medical  | 
assistance program. | 
 In conjunction with the Department of Human Services'  | 
Division of Substance Use Prevention and Recovery, the  | 
Department of Healthcare and
Family Services may develop a  | 
methodology and reimbursement rate for SBIRT services provided  | 
by qualified providers in approved
settings.  | 
 For opioid specific SBIRT services provided in a hospital  | 
emergency department, the Department of Healthcare and
Family  | 
Services shall develop a bundled reimbursement
methodology and  | 
rate for a package of opioid treatment services, which include  | 
initiation of medication for the treatment of opioid use  | 
 | 
disorder in
the emergency department setting, including  | 
assessment, referral to ongoing care, and arranging access to  | 
supportive services when necessary. This
package of opioid  | 
related services shall be billed on a separate claim and shall  | 
be reimbursed outside of the Enhanced Ambulatory Patient
 | 
Grouping system.
 | 
(Source: P.A. 102-598, eff. 1-1-22; revised 11-18-21.)
 | 
 (305 ILCS 5/9A-11) (from Ch. 23, par. 9A-11)
 | 
 Sec. 9A-11. Child care. 
 | 
 (a) The General Assembly recognizes that families with  | 
children need child
care in order to work. Child care is  | 
expensive and families with low incomes,
including those who  | 
are transitioning from welfare to work, often struggle to
pay  | 
the costs of day care. The
General Assembly understands the  | 
importance of helping low-income working
families become and  | 
remain self-sufficient. The General Assembly also believes
 | 
that it is the responsibility of families to share in the costs  | 
of child care.
It is also the preference of the General  | 
Assembly that all working poor
families should be treated  | 
equally, regardless of their welfare status.
 | 
 (b) To the extent resources permit, the Illinois  | 
Department shall provide
child care services to parents or  | 
other relatives as defined by rule who are
working or  | 
participating in employment or Department approved
education  | 
or training programs. At a minimum, the Illinois Department  | 
 | 
shall
cover the following categories of families:
 | 
  (1) recipients of TANF under Article IV participating  | 
 in work and training
activities as specified in the  | 
 personal plan for employment and
self-sufficiency;
 | 
  (2) families transitioning from TANF to work;
 | 
  (3) families at risk of becoming recipients of TANF;
 | 
  (4) families with special needs as defined by rule;
 | 
  (5) working families with very low incomes as defined  | 
 by rule;
 | 
  (6) families that are not recipients of TANF and that  | 
 need child care assistance to participate in education and  | 
 training activities; and  | 
  (7) families with children under the age of 5 who have  | 
 an open intact family services case with the Department of  | 
 Children and Family Services. Any family that receives  | 
 child care assistance in accordance with this paragraph  | 
 shall remain eligible for child care assistance 6 months  | 
 after the child's intact family services case is closed,  | 
 regardless of whether the child's parents or other  | 
 relatives as defined by rule are working or participating  | 
 in Department approved employment or education or training  | 
 programs. The Department of Human Services, in  | 
 consultation with the Department of Children and Family  | 
 Services, shall adopt rules to protect the privacy of  | 
 families who are the subject of an open intact family  | 
 services case when such families enroll in child care  | 
 | 
 services. Additional rules shall be adopted to offer  | 
 children who have an open intact family services case the  | 
 opportunity to receive an Early Intervention screening and  | 
 other services that their families may be eligible for as  | 
 provided by the Department of Human Services.  | 
 The Department shall specify by rule the conditions of  | 
eligibility, the
application process, and the types, amounts,  | 
and duration of services.
Eligibility for
child care benefits  | 
and the amount of child care provided may vary based on
family  | 
size, income,
and other factors as specified by rule.
 | 
 The Department shall update the Child Care Assistance  | 
Program Eligibility Calculator posted on its website to  | 
include a question on whether a family is applying for child  | 
care assistance for the first time or is applying for a  | 
redetermination of eligibility.  | 
 A family's eligibility for child care services shall be  | 
redetermined no sooner than 12 months following the initial  | 
determination or most recent redetermination. During the  | 
12-month periods, the family shall remain eligible for child  | 
care services regardless of (i) a change in family income,  | 
unless family income exceeds 85% of State median income, or  | 
(ii) a temporary change in the ongoing status of the parents or  | 
other relatives, as defined by rule, as working or attending a  | 
job training or educational program.  | 
 In determining income eligibility for child care benefits,  | 
the Department
annually, at the beginning of each fiscal year,  | 
 | 
shall
establish, by rule, one income threshold for each family  | 
size, in relation to
percentage of State median income for a  | 
family of that size, that makes
families with incomes below  | 
the specified threshold eligible for assistance
and families  | 
with incomes above the specified threshold ineligible for
 | 
assistance. Through and including fiscal year 2007, the  | 
specified threshold must be no less than 50% of the
 | 
then-current State median income for each family size.  | 
Beginning in fiscal year 2008, the specified threshold must be  | 
no less than 185% of the then-current federal poverty level  | 
for each family size. Notwithstanding any other provision of  | 
law or administrative rule to the contrary, beginning in  | 
fiscal year 2019, the specified threshold for working families  | 
with very low incomes as defined by rule must be no less than  | 
185% of the then-current federal poverty level for each family  | 
size. Notwithstanding any other provision of law or  | 
administrative rule to the contrary, beginning in State fiscal  | 
year 2022, the specified
income threshold shall be no less  | 
than 200% of the
then-current federal poverty level for each  | 
family size. 
 | 
 In determining eligibility for
assistance, the Department  | 
shall not give preference to any category of
recipients
or  | 
give preference to individuals based on their receipt of  | 
benefits under this
Code.
 | 
 Nothing in this Section shall be
construed as conferring  | 
entitlement status to eligible families.
 | 
 | 
 The Illinois
Department is authorized to lower income  | 
eligibility ceilings, raise parent
co-payments, create waiting  | 
lists, or take such other actions during a fiscal
year as are  | 
necessary to ensure that child care benefits paid under this
 | 
Article do not exceed the amounts appropriated for those child  | 
care benefits.
These changes may be accomplished by emergency  | 
rule under Section 5-45 of the
Illinois Administrative  | 
Procedure Act, except that the limitation on the number
of  | 
emergency rules that may be adopted in a 24-month period shall  | 
not apply.
 | 
 The Illinois Department may contract with other State  | 
agencies or child care
organizations for the administration of  | 
child care services.
 | 
 (c) Payment shall be made for child care that otherwise  | 
meets the
requirements of this Section and applicable  | 
standards of State and local
law and regulation, including any  | 
requirements the Illinois Department
promulgates by rule in  | 
addition to the licensure
requirements
promulgated by the  | 
Department of Children and Family Services and Fire
Prevention  | 
and Safety requirements promulgated by the Office of the State
 | 
Fire Marshal, and is provided in any of the following:
 | 
  (1) a child care center which is licensed or exempt  | 
 from licensure
pursuant to Section 2.09 of the Child Care  | 
 Act of 1969;
 | 
  (2) a licensed child care home or home exempt from  | 
 licensing;
 | 
 | 
  (3) a licensed group child care home;
 | 
  (4) other types of child care, including child care  | 
 provided
by relatives or persons living in the same home  | 
 as the child, as determined by
the Illinois Department by  | 
 rule.
 | 
 (c-5)
Solely for the purposes of coverage under the  | 
Illinois Public Labor Relations Act, child and day care home  | 
providers, including licensed and license exempt,  | 
participating in the Department's child care assistance  | 
program shall be considered to be public employees and the  | 
State of Illinois shall be considered to be their employer as  | 
of January 1, 2006 (the effective date of Public Act 94-320),  | 
but not before. The State shall engage in collective  | 
bargaining with an exclusive representative of child and day  | 
care home providers participating in the child care assistance  | 
program concerning their terms and conditions of employment  | 
that are within the State's control. Nothing in this  | 
subsection shall be understood to limit the right of families  | 
receiving services defined in this Section to select child and  | 
day care home providers or supervise them within the limits of  | 
this Section. The State shall not be considered to be the  | 
employer of child and day care home providers for any purposes  | 
not specifically provided in Public Act 94-320, including, but  | 
not limited to, purposes of vicarious liability in tort and  | 
purposes of statutory retirement or health insurance benefits.  | 
Child and day care home providers shall not be covered by the  | 
 | 
State Employees Group Insurance Act of 1971. | 
 In according child and day care home providers and their  | 
selected representative rights under the Illinois Public Labor  | 
Relations Act, the State intends that the State action  | 
exemption to application of federal and State antitrust laws  | 
be fully available to the extent that their activities are  | 
authorized by Public Act 94-320.
 | 
 (d) The Illinois Department shall establish, by rule, a  | 
co-payment scale that provides for cost sharing by families  | 
that receive
child care services, including parents whose only  | 
income is from
assistance under this Code. The co-payment  | 
shall be based on family income and family size and may be  | 
based on other factors as appropriate. Co-payments may be  | 
waived for families whose incomes are at or below the federal  | 
poverty level.
 | 
 (d-5) The Illinois Department, in consultation with its  | 
Child Care and Development Advisory Council, shall develop a  | 
plan to revise the child care assistance program's co-payment  | 
scale. The plan shall be completed no later than February 1,  | 
2008, and shall include: | 
  (1) findings as to the percentage of income that the  | 
 average American family spends on child care and the  | 
 relative amounts that low-income families and the average  | 
 American family spend on other necessities of life;
 | 
  (2) recommendations for revising the child care  | 
 co-payment scale to assure that families receiving child  | 
 | 
 care services from the Department are paying no more than  | 
 they can reasonably afford; | 
  (3) recommendations for revising the child care  | 
 co-payment scale to provide at-risk children with complete  | 
 access to Preschool for All and Head Start; and | 
  (4) recommendations for changes in child care program  | 
 policies that affect the affordability of child care.
 | 
 (e) (Blank).
 | 
 (f) The Illinois Department shall, by rule, set rates to  | 
be paid for the
various types of child care. Child care may be  | 
provided through one of the
following methods:
 | 
  (1) arranging the child care through eligible  | 
 providers by use of
purchase of service contracts or  | 
 vouchers;
 | 
  (2) arranging with other agencies and community  | 
 volunteer groups for
non-reimbursed child care;
 | 
  (3) (blank); or
 | 
  (4) adopting such other arrangements as the Department  | 
 determines
appropriate.
 | 
 (f-1) Within 30 days after June 4, 2018 (the effective  | 
date of Public Act 100-587), the Department of Human Services  | 
shall establish rates for child care providers that are no  | 
less than the rates in effect on January 1, 2018 increased by  | 
4.26%.  | 
 (f-5) (Blank). | 
 (g) Families eligible for assistance under this Section  | 
 | 
shall be given the
following options:
 | 
  (1) receiving a child care certificate issued by the  | 
 Department or a
subcontractor of the Department that may  | 
 be used by the parents as payment for
child care and  | 
 development services only; or
 | 
  (2) if space is available, enrolling the child with a  | 
 child care provider
that has a purchase of service  | 
 contract with the Department or a subcontractor
of the  | 
 Department for the provision of child care and development  | 
 services.
The Department may identify particular priority  | 
 populations for whom they may
request special  | 
 consideration by a provider with purchase of service
 | 
 contracts, provided that the providers shall be permitted  | 
 to maintain a balance
of clients in terms of household  | 
 incomes and families and children with special
needs, as  | 
 defined by rule.
 | 
(Source: P.A. 101-81, eff. 7-12-19; 101-657, eff. 3-23-21;  | 
102-491, eff. 8-20-21; revised 11-8-21.)
 | 
 (305 ILCS 5/10-1) (from Ch. 23, par. 10-1)
 | 
 Sec. 10-1. Declaration of public policy; persons eligible  | 
for child support
enforcement services; fees for  | 
non-applicants and
non-recipients. Declaration of Public  | 
Policy - Persons Eligible for Child Support
Enforcement  | 
Services - Fees for Non-Applicants and
Non-Recipients.) It is  | 
the intent of this Code that the financial aid
and social  | 
 | 
welfare services herein provided supplement rather than
 | 
supplant the primary and continuing obligation of the family  | 
unit for
self-support to the fullest extent permitted by the  | 
resources available
to it. This primary and continuing  | 
obligation applies whether the family
unit of parents and  | 
children or of husband and wife remains intact and
resides in a  | 
common household or whether the unit has been broken by
 | 
absence of one or more members of the unit. The obligation of  | 
the
family unit is particularly applicable when a member is in  | 
necessitous
circumstances and lacks the means of a livelihood  | 
compatible with health
and well-being.
 | 
 It is the purpose of this Article to provide for locating  | 
an absent
parent or spouse, for determining his financial  | 
circumstances, and for
enforcing his legal obligation of  | 
support, if he is able to furnish
support, in whole or in part.  | 
The Department of Healthcare and Family Services shall give
 | 
priority to establishing, enforcing,
and collecting the  | 
current support obligation, and then to past due support
owed  | 
to the family unit, except with respect to collections  | 
effected
through the intercept programs provided for in this  | 
Article. The establishment or enforcement actions provided in  | 
this Article do not require a previous court order for  | 
custody/allocation of parental responsibilities.
 | 
 The child support enforcement services provided hereunder
 | 
shall be
furnished dependents of an absent parent or spouse  | 
who are applicants
for or recipients of financial aid under  | 
 | 
this Code. It is not,
however, a condition of eligibility for  | 
financial aid that there be no
responsible relatives who are  | 
reasonably able to provide support. Nor,
except as provided in  | 
Sections 4-1.7 and 10-8, shall the existence of
such relatives  | 
or their payment of support contributions disqualify a
needy  | 
person for financial aid.
 | 
 By accepting financial aid under this Code, a spouse or a  | 
parent or
other person having physical or legal custody of a  | 
child shall be deemed to have made
assignment to the Illinois  | 
Department for aid under Articles III, IV,
V, and VII or to a  | 
local governmental unit for aid under Article VI of
any and all  | 
rights, title, and interest in any support obligation,  | 
including statutory interest thereon, up to
the amount of  | 
financial aid provided. The rights to support assigned to
the  | 
Department of Healthcare and Family Services (formerly
 | 
Illinois Department of Public Aid) or local governmental unit  | 
shall
constitute an
obligation owed the State or local  | 
governmental unit by the person who
is responsible for  | 
providing the support, and shall be collectible under
all  | 
applicable processes.
 | 
 The Department of Healthcare and Family Services shall  | 
also furnish the child support enforcement services  | 
established under this Article in
behalf of persons who
are  | 
not applicants for or recipients of financial aid
under this  | 
Code in accordance with the requirements of Title IV, Part D of  | 
the
Social Security Act. The Department may
establish a  | 
 | 
schedule of reasonable fees, to be paid for the services
 | 
provided and may deduct a collection fee, not to exceed 10% of  | 
the amount
collected, from such collection.
The
Department of  | 
Healthcare and Family Services shall cause to be published and
 | 
distributed publications
reasonably calculated to inform the  | 
public that individuals who are not
recipients of or  | 
applicants for public aid under this Code are eligible
for the  | 
child support enforcement services under this
Article X. Such
 | 
publications
shall set forth an explanation, in plain  | 
language, that the child
support enforcement services program  | 
is independent of any public
aid program under the Code and  | 
that the receiving of child
support
enforcement services in no  | 
way implies that the person
receiving such services is  | 
receiving
public aid.
 | 
(Source: P.A. 102-541, eff. 8-20-21; revised 11-24-21.)
 | 
 (305 ILCS 5/12-4.35)
 | 
 Sec. 12-4.35. Medical services for certain noncitizens. 
 | 
 (a) Notwithstanding
Section 1-11 of this Code or Section  | 
20(a) of the Children's Health Insurance
Program Act, the  | 
Department of Healthcare and Family Services may provide  | 
medical services to
noncitizens who have not yet attained 19  | 
years of age and who are not eligible
for medical assistance  | 
under Article V of this Code or under the Children's
Health  | 
Insurance Program created by the Children's Health Insurance  | 
Program Act
due to their not meeting the otherwise applicable  | 
 | 
provisions of Section 1-11
of this Code or Section 20(a) of the  | 
Children's Health Insurance Program Act.
The medical services  | 
available, standards for eligibility, and other conditions
of  | 
participation under this Section shall be established by rule  | 
by the
Department; however, any such rule shall be at least as  | 
restrictive as the
rules for medical assistance under Article  | 
V of this Code or the Children's
Health Insurance Program  | 
created by the Children's Health Insurance Program
Act.
 | 
 (a-5) Notwithstanding Section 1-11 of this Code, the  | 
Department of Healthcare and Family Services may provide  | 
medical assistance in accordance with Article V of this Code  | 
to noncitizens over the age of 65 years of age who are not  | 
eligible for medical assistance under Article V of this Code  | 
due to their not meeting the otherwise applicable provisions  | 
of Section 1-11 of this Code, whose income is at or below 100%  | 
of the federal poverty level after deducting the costs of  | 
medical or other remedial care, and who would otherwise meet  | 
the eligibility requirements in Section 5-2 of this Code. The  | 
medical services available, standards for eligibility, and  | 
other conditions of participation under this Section shall be  | 
established by rule by the Department; however, any such rule  | 
shall be at least as restrictive as the rules for medical  | 
assistance under Article V of this Code.  | 
 (a-6) By May 30, 2022, notwithstanding Section 1-11 of  | 
this Code, the Department of Healthcare and Family Services  | 
may provide medical services to noncitizens 55 years of age  | 
 | 
through 64 years of age who (i) are not eligible for medical  | 
assistance under Article V of this Code due to their not  | 
meeting the otherwise applicable provisions of Section 1-11 of  | 
this Code and (ii) have income at or below 133% of the federal  | 
poverty level plus 5% for the applicable family size as  | 
determined under applicable federal law and regulations.  | 
Persons eligible for medical services under Public Act 102-16  | 
this amendatory Act of the 102nd General Assembly shall  | 
receive benefits identical to the benefits provided under the  | 
Health Benefits Service Package as that term is defined in  | 
subsection (m) of Section 5-1.1 of this Code.  | 
 (a-10) Notwithstanding the provisions of Section 1-11, the  | 
Department shall cover immunosuppressive drugs and related  | 
services associated with post-kidney transplant management,  | 
excluding long-term care costs, for noncitizens who: (i) are  | 
not eligible for comprehensive medical benefits; (ii) meet the  | 
residency requirements of Section 5-3; and (iii) would meet  | 
the financial eligibility requirements of Section 5-2.  | 
 (b) The Department is authorized to take any action that  | 
would not otherwise be prohibited by applicable law,  | 
including, without
limitation, cessation or limitation of  | 
enrollment, reduction of available medical services,
and  | 
changing standards for eligibility, that is deemed necessary  | 
by the
Department during a State fiscal year to assure that  | 
payments under this
Section do not exceed available funds.
 | 
 (c) (Blank).
 | 
 | 
 (d) (Blank).
 | 
(Source: P.A. 101-636, eff. 6-10-20; 102-16, eff. 6-17-21;  | 
102-43, Article 25, Section 25-15, eff. 7-6-21; 102-43,  | 
Article 45, Section 45-5, eff. 7-6-21; revised 7-15-21.)
 | 
 (305 ILCS 5/12-4.54) | 
 Sec. 12-4.54. SNAP, WIC; diapers, menstrual hygiene  | 
products. If the United States Department of Agriculture's  | 
Food and Nutrition Service creates and makes available to the  | 
states a waiver permitting recipients of benefits provided  | 
under the Supplemental Nutrition Assistance Program or the  | 
Special Supplemental Nutrition Program for Women, Infants, and  | 
Children to use their benefits to purchase diapers or  | 
menstrual hygiene products such as tampons, sanitary napkins,  | 
and feminine wipes, then the Department of Human Services  | 
shall apply for the waiver. If the United States Department of  | 
Agriculture approves the Department of Human Services' waiver  | 
application, then the Department of Human Services shall adopt  | 
rules and make other changes as necessary to implement the  | 
approved waiver.
 | 
(Source: P.A. 102-248, eff. 1-1-22.)
 | 
 (305 ILCS 5/12-4.55)
 | 
 Sec. 12-4.55 12-4.54. Community-based long-term services;  | 
application for federal funding. The Department of Healthcare  | 
and Family Services shall apply for all available federal  | 
 | 
funding to promote community inclusion and integration for  | 
persons with disabilities, regardless of age, and older adults  | 
so that those persons have the option to transition out of  | 
institutions and receive long-term care services and supports  | 
in the settings of their choice.
 | 
(Source: P.A. 102-536, eff. 8-20-21; revised 11-10-21.)
 | 
 Section 510. The Housing Authorities Act is amended by  | 
changing Sections 17 and 25 as follows:
 | 
 (310 ILCS 10/17) (from Ch. 67 1/2, par. 17)
 | 
 Sec. 17. Definitions. The following terms, wherever used  | 
or referred to in this
Act shall have the following respective  | 
meanings, unless in any case a
different meaning clearly  | 
appears from the context:
 | 
 (a) "Authority" or "housing authority" shall mean a  | 
municipal
corporation organized in accordance with the  | 
provisions of this Act for
the purposes, with the powers and  | 
subject to the restrictions herein set
forth.
 | 
 (b) "Area" or "area of operation" shall mean: (1) in the  | 
case of an
authority which is created hereunder for a city,  | 
village, or incorporated
town, the area within the territorial  | 
boundaries of said city, village, or
incorporated town, and so  | 
long as no county housing authority has
jurisdiction therein,  | 
the area within three miles from such territorial
boundaries,  | 
except any part of such area located within the territorial
 | 
 | 
boundaries of any other city, village, or incorporated town;  | 
and (2) in the
case of a county shall include all of the county  | 
except the area of any
city, village or incorporated town  | 
located therein in which there is an
Authority. When an  | 
authority is created for a county subsequent to the
creation  | 
of an authority for a city, village or incorporated town  | 
within
the same county, the area of operation of the authority  | 
for such city,
village or incorporated town shall thereafter  | 
be limited to the territory
of such city, village or  | 
incorporated town, but the authority for such
city, village or  | 
incorporated town may continue to operate any project
 | 
developed in whole or in part in an area previously a part of  | 
its area of
operation, or may contract with the county housing  | 
authority with respect
to the sale, lease, development or  | 
administration of such project. When an
authority is created  | 
for a city, village or incorporated town subsequent to
the  | 
creation of a county housing authority which previously  | 
included such
city, village or incorporated town within its  | 
area of operation, such
county housing authority shall have no  | 
power to create any additional
project within the city,  | 
village or incorporated town, but any existing
project in the  | 
city, village or incorporated town currently owned and
 | 
operated by the county housing authority shall remain in the  | 
ownership,
operation, custody and control of the county  | 
housing authority.
 | 
 (b-5) "Criminal history record" means a record of arrest,  | 
 | 
complaint, indictment, or any disposition arising therefrom.  | 
 (b-6) "Criminal history report" means any written, oral,  | 
or other communication of information that includes criminal  | 
history record information about a natural person that is  | 
produced by a law enforcement agency, a court, a consumer  | 
reporting agency, or a housing screening agency or business.  | 
 (c) "Presiding officer" shall mean the presiding officer  | 
of the
board of a county, or the mayor or president of a city,  | 
village or
incorporated town, as the case may be, for which an  | 
Authority is created
hereunder.
 | 
 (d) "Commissioner" shall mean one of the members of an  | 
Authority
appointed in accordance with the provisions of this  | 
Act.
 | 
 (e) "Government" shall include the State and Federal  | 
governments and
the governments of any subdivisions, agency or  | 
instrumentality,
corporate or otherwise, of either of them.
 | 
 (f) "Department" shall mean the Department of Commerce and
 | 
Economic Opportunity.
 | 
 (g) "Project" shall include all lands, buildings, and  | 
improvements,
acquired, owned, leased, managed or operated by  | 
a housing authority, and
all buildings and improvements  | 
constructed, reconstructed or repaired by
a housing authority,  | 
designed to provide housing accommodations and
facilities  | 
appurtenant thereto (including community facilities and
 | 
stores) which are planned as a unit, whether or not acquired or
 | 
constructed at one time even though all or a portion of the  | 
 | 
buildings
are not contiguous or adjacent to one another; and  | 
the planning of
buildings and improvements, the acquisition of  | 
property, the demolition
of existing structures, the clearing  | 
of land, the construction,
reconstruction, and repair of  | 
buildings or improvements and all other
work in connection  | 
therewith. As provided in Sections 8.14 to 8.18,
inclusive,  | 
"project" also means, for Housing Authorities for
 | 
municipalities of less than 500,000 population and for  | 
counties, the
conservation of urban areas in accordance with  | 
an approved conservation
plan. "Project" shall also include:  | 
  (1) acquisition of:  | 
   (i) a slum or
blighted area or a deteriorated or  | 
 deteriorating area which is
predominantly residential  | 
 in character, or  | 
   (ii) any other deteriorated
or deteriorating area  | 
 which is to be developed or redeveloped for
 | 
 predominantly residential uses, or  | 
   (iii) platted urban or suburban land
which is  | 
 predominantly open and which because of obsolete  | 
 platting,
diversity of ownership, deterioration of  | 
 structures or of site
improvements, or otherwise  | 
 substantially impairs or arrests the sound
growth of  | 
 the community and which is to be developed for  | 
 predominantly
residential uses, or  | 
   (iv) open unplatted urban or suburban land
 | 
 necessary for sound community growth which is to be  | 
 | 
 developed for
predominantly residential uses, or  | 
   (v) any other area where parcels of
land remain  | 
 undeveloped because of improper platting, delinquent  | 
 taxes
or special assessments, scattered or uncertain  | 
 ownerships, clouds on
title, artificial values due to  | 
 excessive utility costs, or any other
impediments to  | 
 the use of such area for predominantly residential  | 
 uses;
 | 
  (2) installation, construction, or reconstruction of  | 
 streets, utilities,
and other site improvements essential  | 
 to the preparation of sites for
uses in accordance with  | 
 the development or redevelopment plan; and  | 
  (3)
making the land available for development or  | 
 redevelopment by private
enterprise or public agencies  | 
 (including sale, initial leasing, or
retention by the  | 
 local public agency itself).  | 
 If, in any city, village,
or incorporated town, there  | 
exists a land clearance commission created
under the Blighted  | 
Areas Redevelopment Act of 1947 (repealed) prior to August 20,  | 
2021 (the effective date of Public Act 102-510) this  | 
amendatory Act of the 102nd General Assembly having the same
 | 
area of operation as a housing authority created in and for any  | 
such
municipality, such housing authority shall have no power  | 
to acquire land
of the character described in subparagraph  | 
(iii), (iv), or (v) of
paragraph (1) 1 of the definition of  | 
"project" for the purpose of
development or redevelopment by  | 
 | 
private enterprise.
 | 
 (h) "Community facilities" shall include lands, buildings,  | 
and
equipment for recreation or social assembly, for  | 
education, health or
welfare activities and other necessary  | 
utilities primarily for use and
benefit of the occupants of  | 
housing accommodations to be constructed,
reconstructed,  | 
repaired or operated hereunder.
 | 
 (i) "Real property" shall include lands, lands under  | 
water,
structures, and any and all easements, franchises and  | 
incorporeal
hereditaments and estates, and rights, legal and  | 
equitable, including
terms for years and liens by way of  | 
judgment, mortgage or otherwise.
 | 
 (j) The term "governing body" shall include the city  | 
council of any
city, the president and board of trustees of any  | 
village or incorporated
town, the council of any city or  | 
village, and the county board of any
county.
 | 
 (k) The phrase "individual, association, corporation or
 | 
organization" shall include any individual, private  | 
corporation, limited or general partnership, limited liability  | 
company,
insurance company, housing corporation, neighborhood  | 
redevelopment
corporation, non-profit corporation,  | 
incorporated or unincorporated
group or association,  | 
educational institution, hospital, or charitable
organization,  | 
and any mutual ownership or cooperative organization.
 | 
 (l) "Conservation area", for the purpose of the exercise  | 
of the
powers granted in Sections 8.14 to 8.18, inclusive, for  | 
 | 
housing
authorities for municipalities of less than 500,000  | 
population and for
counties, means an area of not less than 2  | 
acres in which the structures
in 50% or more of the area are  | 
residential having an average age of 35
years or more. Such an  | 
area by reason of dilapidation, obsolescence, deterioration or  | 
illegal
use of individual structures, overcrowding of  | 
structures and community
facilities, conversion of residential  | 
units into non-residential use,
deleterious land use or  | 
layout, decline of physical maintenance, lack of
community  | 
planning, or any combination of these factors may become a
 | 
slum and blighted area.
 | 
 (m) "Conservation plan" means the comprehensive program  | 
for the
physical development and replanning of a "Conservation  | 
Area" as defined
in paragraph (l) embodying the steps required  | 
to prevent such
Conservation Area from becoming a slum and  | 
blighted area.
 | 
 (n) "Fair use value" means the fair cash market value of  | 
real
property when employed for the use contemplated by a  | 
"Conservation Plan"
in municipalities of less than 500,000  | 
population and in counties.
 | 
 (o) "Community facilities" means, in relation to a  | 
"Conservation
Plan", those physical plants which implement,  | 
support and facilitate the
activities, services and interests  | 
of education, recreation, shopping,
health, welfare, religion  | 
and general culture.
 | 
 (p) "Loan agreement" means any agreement pursuant to which  | 
 | 
an Authority
agrees to loan the proceeds of its revenue bonds  | 
issued with respect to a
multifamily rental housing project or  | 
other funds of the Authority to any
person upon terms  | 
providing for
loan repayment installments at least sufficient  | 
to pay when due all principal
of, premium, if any, and interest  | 
on the revenue bonds of the Authority issued
with respect to  | 
the multifamily rental housing project, and providing for
 | 
maintenance, insurance, and
other matters as may be deemed  | 
desirable by the Authority.
 | 
 (q) "Multifamily rental housing" means any rental project  | 
designed for
mixed-income or low-income occupancy.
 | 
(Source: P.A. 101-659, eff. 3-23-21; 102-510, eff. 8-20-21;  | 
revised 11-9-21.)
 | 
 (310 ILCS 10/25)
 (from Ch. 67 1/2, par. 25)
 | 
 Sec. 25. Rentals and tenant selection. In the operation or  | 
management
of housing projects an Authority
shall at all times  | 
observe the following duties with respect to rentals and
 | 
tenant selection:
 | 
 (a) It shall not accept any person as a tenant in any
 | 
dwelling in a housing project if the persons who would occupy  | 
the dwelling
have an aggregate annual income which equals or  | 
exceeds the amount which
the Authority determines (which  | 
determination shall be conclusive) to be
necessary in order to  | 
enable such persons to secure safe, sanitary and
uncongested  | 
dwelling accommodations within the area of operation of the
 | 
 | 
Authority and to provide an adequate standard of living for  | 
themselves.
 | 
 (b) It may rent or lease the dwelling accommodations  | 
therein only at rentals
within the financial reach of persons  | 
who lack the amount of income which
it determines (pursuant to  | 
(a) of this Section) to be necessary in order to
obtain safe,  | 
sanitary and uncongested dwelling accommodations within the
 | 
area of operation of the Authority and to provide an adequate  | 
standard of
living.
 | 
 (c) It may rent or lease to a tenant a dwelling consisting  | 
of the
number of rooms (but no greater number) which it deems  | 
necessary to provide
safe and sanitary accommodations to the  | 
proposed occupants thereof, without
overcrowding.
 | 
 (d) It shall not change the residency preference of any  | 
prospective
tenant once the application has been accepted by  | 
the authority.
 | 
 (e)
If an Authority desires a criminal history records  | 
check of all 50 states
or a 50-state confirmation of a  | 
conviction record, the Authority shall submit
the fingerprints  | 
of the relevant applicant, tenant, or other household member
 | 
to the Illinois State Police in a manner prescribed by the  | 
Illinois
State Police. These
fingerprints shall be checked  | 
against the fingerprint records now and hereafter
filed in the
 | 
Illinois State Police and
Federal Bureau of Investigation  | 
criminal history records databases.
The Illinois State Police  | 
shall charge a fee
for conducting the criminal history records  | 
 | 
check, which shall be deposited in
the State Police Services  | 
Fund and shall not exceed the actual cost of the
records check.  | 
The Illinois State Police shall furnish pursuant to
positive  | 
identification, records of conviction to the Authority. An  | 
Authority that requests a criminal history report of an  | 
applicant or other household member shall inform the applicant  | 
at the time of the request that the applicant or other  | 
household member may provide additional mitigating information  | 
for consideration with the application for housing. 
 | 
 (e-5) Criminal history record assessment. The Authority  | 
shall use the following process when evaluating the criminal  | 
history report of an applicant or other household member to  | 
determine whether to rent or lease to the applicant:  | 
  (1) Unless required by federal law, the Authority  | 
 shall not consider the following information when  | 
 determining whether to rent or lease to an applicant for  | 
 housing:  | 
   (A) an arrest or detention; | 
   (B) criminal charges or indictments, and the  | 
 nature of any disposition arising therefrom, that do  | 
 not result in a conviction; | 
   (C) a conviction that has been vacated, ordered,  | 
 expunged, sealed, or impounded by a court; | 
   (D) matters under the jurisdiction of the Illinois  | 
 Juvenile Court; | 
   (E) the amount of time since the applicant or  | 
 | 
 other household member completed his or her sentence  | 
 in prison or jail or was released from prison or jail;  | 
 or | 
   (F) convictions occurring more than 180 days prior  | 
 to the date the applicant submitted his or her  | 
 application for housing.  | 
  (2) The Authority shall create a system for the  | 
 independent review of criminal history reports:  | 
   (A) the reviewer shall examine the applicant's or  | 
 other household member's criminal history report and  | 
 report only those records not prohibited under  | 
 paragraph (1) to the person or persons making the  | 
 decision about whether to offer housing to the  | 
 applicant; and | 
   (B) the reviewer shall not participate in any  | 
 final decisions on an applicant's application for  | 
 housing.  | 
  (3) The Authority may deny an applicant's application  | 
 for housing because of the applicant's or another  | 
 household member's criminal history record, only if the  | 
 Authority:  | 
   (A) determines that the denial is required under  | 
 federal law; or | 
   (B)
determines that there is a direct relationship  | 
 between the applicant or the other household member's  | 
 criminal history record and a risk to the health,  | 
 | 
 safety, and peaceful enjoyment of fellow tenants. The  | 
 mere existence of a criminal history record does not  | 
 demonstrate such a risk.  | 
 (f) It may, if a tenant has created or maintained a threat
 | 
constituting a serious and clear danger to the health or  | 
safety of other
tenants or Authority employees, after 3 days'  | 
written notice
of termination and without a hearing, file suit  | 
against any such tenant for
recovery of possession of the  | 
premises. The tenant shall be given the
opportunity to contest  | 
the termination in the court proceedings. A serious
and clear  | 
danger to the health or safety of other tenants or Authority
 | 
employees shall include, but not be limited to, any of the  | 
following
activities of the tenant or of any other person on  | 
the premises with the
consent of the tenant:
 | 
  (1) Physical assault or the threat of physical  | 
 assault.
 | 
  (2) Illegal use of a firearm or other weapon or the  | 
 threat to use in
an illegal manner a firearm or other  | 
 weapon.
 | 
  (3) Possession of a controlled substance by the tenant  | 
 or any other person
on the premises with the consent of the  | 
 tenant if the tenant knew or should
have known of the  | 
 possession by the other person of a controlled
substance,  | 
 unless the controlled substance was obtained
directly from  | 
 or pursuant to a valid prescription.
 | 
  (4) Streetgang membership as defined in the Illinois
 | 
 | 
 Streetgang Terrorism Omnibus Prevention Act.
 | 
 The management of low-rent public housing projects  | 
financed and developed
under the U.S. Housing Act of 1937  | 
shall
be in accordance with that Act.
 | 
 Nothing contained in this Section or any other Section of  | 
this Act shall
be construed as limiting the power of an  | 
Authority to vest in a bondholder
or trustee the right, in the  | 
event of a default by the Authority, to take
possession and  | 
operate a housing project or cause the appointment of a
 | 
receiver thereof, free from all restrictions imposed by this  | 
Section or any
other Section of this Act.
 | 
(Source: P.A. 101-659, eff. 3-23-21; 102-538, eff. 8-20-21;  | 
revised 11-9-21.)
 | 
 Section 515. The Adult Protective Services Act is amended  | 
by changing Section 3.5 as follows:
 | 
 (320 ILCS 20/3.5) | 
 Sec. 3.5. Other responsibilities. The Department shall  | 
also be
responsible for the following activities, contingent  | 
upon adequate funding; implementation shall be expanded to  | 
adults with disabilities upon the effective date of this  | 
amendatory Act of the 98th General Assembly, except those  | 
responsibilities under subsection (a), which shall be  | 
undertaken as soon as practicable: | 
  (a) promotion of a wide range of endeavors for the  | 
 | 
 purpose of preventing
abuse, abandonment, neglect,  | 
 financial exploitation, and self-neglect, including, but  | 
 not limited to, promotion of public
and professional  | 
 education to increase awareness of abuse, abandonment,  | 
 neglect,
financial exploitation, and self-neglect; to  | 
 increase reports; to establish access to and use of the  | 
 Registry established under Section 7.5; and to improve  | 
 response by
various legal, financial, social, and health  | 
 systems; | 
  (b) coordination of efforts with other agencies,  | 
 councils, and like
entities, to include but not be limited  | 
 to, the Administrative Office of the Illinois Courts, the  | 
 Office of the Attorney General,
the Illinois State Police,  | 
 the Illinois Law Enforcement Training Standards
Board, the  | 
 State Triad, the Illinois Criminal Justice Information
 | 
 Authority, the
Departments of Public Health, Healthcare  | 
 and Family Services, and Human Services, the Illinois  | 
 Guardianship and Advocacy Commission, the Family
Violence  | 
 Coordinating Council, the Illinois Violence Prevention  | 
 Authority,
and other
entities which may impact awareness  | 
 of, and response to, abuse, abandonment, neglect,
 | 
 financial exploitation, and self-neglect; | 
  (c) collection and analysis of data; | 
  (d) monitoring of the performance of regional  | 
 administrative agencies and adult protective services
 | 
 agencies; | 
 | 
  (e) promotion of prevention activities; | 
  (f) establishing and coordinating an aggressive  | 
 training program on the unique
nature of adult abuse cases  | 
 with other agencies, councils, and like entities,
to  | 
 include but not be limited to the Office of the Attorney  | 
 General, the
Illinois State Police, the Illinois Law  | 
 Enforcement Training Standards Board, the
State Triad, the  | 
 Illinois Criminal Justice Information Authority, the State
 | 
 Departments of Public Health, Healthcare and Family  | 
 Services, and Human Services, the Family
Violence  | 
 Coordinating Council, the Illinois Violence Prevention  | 
 Authority,
the agency designated by the Governor under  | 
 Section 1 of the Protection and Advocacy for Persons with  | 
 Developmental Disabilities Act, and other entities that  | 
 may impact awareness of and response to
abuse,  | 
 abandonment, neglect, financial exploitation, and  | 
 self-neglect; | 
  (g) solicitation of financial institutions for the  | 
 purpose of making
information available to the general  | 
 public warning of financial exploitation
of adults and  | 
 related financial fraud or abuse, including such
 | 
 information and warnings available through signage or  | 
 other written
materials provided by the Department on the  | 
 premises of such financial
institutions, provided that the  | 
 manner of displaying or distributing such
information is  | 
 subject to the sole discretion of each financial  | 
 | 
 institution;
 | 
  (g-1) developing by joint rulemaking with the  | 
 Department of Financial and Professional Regulation  | 
 minimum training standards which shall be used by  | 
 financial institutions for their current and new employees  | 
 with direct customer contact; the Department of Financial  | 
 and Professional Regulation shall retain sole visitation  | 
 and enforcement authority under this subsection (g-1); the  | 
 Department of Financial and Professional Regulation shall  | 
 provide bi-annual reports to the Department setting forth  | 
 aggregate statistics on the training programs required  | 
 under this subsection (g-1); and  | 
  (h) coordinating efforts with utility and electric  | 
 companies to send
notices in utility bills to
explain to  | 
 persons 60 years of age or older
their rights regarding  | 
 telemarketing and home repair fraud. | 
(Source: P.A. 102-244, eff. 1-1-22; 102-538, eff. 8-20-21;  | 
revised 11-9-21.)
 | 
 Section 520. The Abused and Neglected Child Reporting Act  | 
is amended by changing Sections 3 and 7.8 as follows:
 | 
 (325 ILCS 5/3) (from Ch. 23, par. 2053) | 
 Sec. 3. As used in this Act unless the context otherwise  | 
requires:  | 
 "Adult resident" means any person between 18 and 22 years  | 
 | 
of age who resides in any facility licensed by the Department  | 
under the Child Care Act of 1969. For purposes of this Act, the  | 
criteria set forth in the definitions of "abused child" and  | 
"neglected child" shall be used in determining whether an  | 
adult resident is abused or neglected. | 
 "Agency" means a child care facility licensed under  | 
Section 2.05 or Section 2.06 of the Child Care Act of 1969 and  | 
includes a transitional living program that accepts children  | 
and adult residents for placement who are in the guardianship  | 
of the Department.  | 
 "Blatant disregard" means an incident where the real,  | 
significant, and imminent risk of harm would be so obvious to a  | 
reasonable parent or caretaker that it is unlikely that a  | 
reasonable parent or caretaker would have exposed the child to  | 
the danger without exercising precautionary measures to  | 
protect the child from harm. With respect to a person working  | 
at an agency in his or her professional capacity with a child  | 
or adult resident, "blatant disregard" includes a failure by  | 
the person to perform job responsibilities intended to protect  | 
the child's or adult resident's health, physical well-being,  | 
or welfare, and, when viewed in light of the surrounding  | 
circumstances, evidence exists that would cause a reasonable  | 
person to believe that the child was neglected. With respect  | 
to an agency, "blatant disregard" includes a failure to  | 
implement practices that ensure the health, physical  | 
well-being, or welfare of the children and adult residents  | 
 | 
residing in the facility.  | 
 "Child" means any person under the age of 18 years, unless  | 
legally
emancipated by reason of marriage or entry into a  | 
branch of the United
States armed services. | 
 "Department" means Department of Children and Family  | 
Services. | 
 "Local law enforcement agency" means the police of a city,  | 
town,
village or other incorporated area or the sheriff of an  | 
unincorporated
area or any sworn officer of the Illinois  | 
Department of State Police. | 
 "Abused child"
means a child whose parent or immediate  | 
family
member,
or any person responsible for the child's  | 
welfare, or any individual
residing in the same home as the  | 
child, or a paramour of the child's parent: | 
  (a) inflicts, causes to be inflicted, or allows to be
 | 
 inflicted upon
such child physical injury, by other than  | 
 accidental means, which causes
death, disfigurement,  | 
 impairment of physical or
emotional health, or loss or  | 
 impairment of any bodily function; | 
  (b) creates a substantial risk of physical injury to  | 
 such
child by
other than accidental means which would be  | 
 likely to cause death,
disfigurement, impairment of  | 
 physical or emotional health, or loss or
impairment of any  | 
 bodily function; | 
  (c) commits or allows to be committed any sex offense  | 
 against
such child,
as such sex offenses are defined in  | 
 | 
 the Criminal Code of 2012 or in the Wrongs to Children Act,
 | 
 and extending those definitions of sex offenses to include  | 
 children under
18 years of age; | 
  (d) commits or allows to be committed an act or acts of
 | 
 torture upon
such child; | 
  (e) inflicts excessive corporal punishment or, in the  | 
 case of a person working for an agency who is prohibited  | 
 from using corporal punishment, inflicts corporal  | 
 punishment upon a child or adult resident with whom the  | 
 person is working in his or her professional capacity;  | 
  (f) commits or allows to be committed
the offense of
 | 
 female
genital mutilation, as defined in Section 12-34 of  | 
 the Criminal Code of
2012, against the child; | 
  (g) causes to be sold, transferred, distributed, or  | 
 given to
such child
under 18 years of age, a controlled  | 
 substance as defined in Section 102 of the
Illinois  | 
 Controlled Substances Act in violation of Article IV of  | 
 the Illinois
Controlled Substances Act or in violation of  | 
 the Methamphetamine Control and Community Protection Act,  | 
 except for controlled substances that are prescribed
in  | 
 accordance with Article III of the Illinois Controlled  | 
 Substances Act and
are dispensed to such child in a manner  | 
 that substantially complies with the
prescription;  | 
  (h) commits or allows to be committed the offense of  | 
 involuntary servitude, involuntary sexual servitude of a  | 
 minor, or trafficking in persons as defined in Section  | 
 | 
 10-9 of the Criminal Code of 2012 against the child; or  | 
  (i) commits the offense of grooming, as defined in  | 
 Section 11-25 of the Criminal Code of 2012, against the  | 
 child. | 
 A child shall not be considered abused for the sole reason  | 
that the child
has been relinquished in accordance with the  | 
Abandoned Newborn Infant
Protection Act. | 
 "Neglected child" means any child who is not receiving the  | 
proper or
necessary nourishment or medically indicated  | 
treatment including food or care
not provided solely on the  | 
basis of the present or anticipated mental or
physical  | 
impairment as determined by a physician acting alone or in
 | 
consultation with other physicians or otherwise is not  | 
receiving the proper or
necessary support or medical or other  | 
remedial care recognized under State law
as necessary for a  | 
child's well-being, or other care necessary for his or her
 | 
well-being, including adequate food, clothing and shelter; or  | 
who is subjected to an environment which is injurious insofar  | 
as (i) the child's environment creates a likelihood of harm to  | 
the child's health, physical well-being, or welfare and (ii)  | 
the likely harm to the child is the result of a blatant  | 
disregard of parent, caretaker, person responsible for the  | 
child's welfare, or agency responsibilities; or who is  | 
abandoned
by his or her parents or other person responsible  | 
for the child's welfare
without a proper plan of care; or who  | 
has been provided with interim crisis intervention services  | 
 | 
under
Section 3-5 of
the Juvenile Court Act of 1987 and whose  | 
parent, guardian, or custodian refuses to
permit
the child to  | 
return home and no other living arrangement agreeable
to the  | 
parent, guardian, or custodian can be made, and the parent,  | 
guardian, or custodian has not made any other appropriate  | 
living arrangement for the child; or who is a newborn infant  | 
whose blood, urine,
or meconium
contains any amount of a  | 
controlled substance as defined in subsection (f) of
Section  | 
102 of the Illinois Controlled Substances Act or a metabolite  | 
thereof,
with the exception of a controlled substance or  | 
metabolite thereof whose
presence in the newborn infant is the  | 
result of medical treatment administered
to the mother or the  | 
newborn infant. A child shall not be considered neglected
for  | 
the sole reason that the child's parent or other person  | 
responsible for his
or her welfare has left the child in the  | 
care of an adult relative for any
period of time. A child shall  | 
not be considered neglected for the sole reason
that the child  | 
has been relinquished in accordance with the Abandoned Newborn
 | 
Infant Protection Act. A child shall not be considered  | 
neglected or abused
for the
sole reason that such child's  | 
parent or other person responsible for his or her
welfare  | 
depends upon spiritual means through prayer alone for the  | 
treatment or
cure of disease or remedial care as provided  | 
under Section 4 of this Act. A
child shall not be considered  | 
neglected or abused solely because the child is
not attending  | 
school in accordance with the requirements of Article 26 of  | 
 | 
The
School Code, as amended. | 
 "Child Protective Service Unit" means certain specialized  | 
State employees of
the Department assigned by the Director to  | 
perform the duties and
responsibilities as provided under  | 
Section 7.2 of this Act. | 
 "Near fatality" means an act that, as certified by a  | 
physician, places the child in serious or critical condition,  | 
including acts of great bodily harm inflicted upon children  | 
under 13 years of age, and as otherwise defined by Department  | 
rule. | 
 "Great bodily harm" includes bodily injury which creates a  | 
high probability of death, or which causes serious permanent  | 
disfigurement, or which causes a permanent or protracted loss  | 
or impairment of the function of any bodily member or organ, or  | 
other serious bodily harm. | 
 "Person responsible for the child's welfare" means the  | 
child's parent;
guardian; foster parent; relative caregiver;  | 
any person responsible for the
child's welfare in a public or  | 
private residential agency or institution; any
person  | 
responsible for the child's welfare within a public or private  | 
profit or
not for profit child care facility; or any other  | 
person responsible for the
child's welfare at the time of the  | 
alleged abuse or neglect, including any person who commits or  | 
allows to be committed, against the child, the offense of  | 
involuntary servitude, involuntary sexual servitude of a  | 
minor, or trafficking in persons for forced labor or services,  | 
 | 
as provided in Section 10-9 of the Criminal Code of 2012,  | 
including, but not limited to, the custodian of the minor, or  | 
any person who
came to know the child through an official  | 
capacity or position of trust,
including, but not limited to,  | 
health care professionals, educational personnel,
recreational  | 
supervisors, members of the clergy, and volunteers or
support  | 
personnel in any setting
where children may be subject to  | 
abuse or neglect. | 
 "Temporary protective custody" means custody within a  | 
hospital or
other medical facility or a place previously  | 
designated for such custody
by the Department, subject to  | 
review by the Court, including a licensed
foster home, group  | 
home, or other institution; but such place shall not
be a jail  | 
or other place for the detention of criminal or juvenile  | 
offenders. | 
 "An unfounded report" means any report made under this Act  | 
for which
it is determined after an investigation that no  | 
credible evidence of
abuse or neglect exists. | 
 "An indicated report" means a report made under this Act  | 
if an
investigation determines that credible evidence of the  | 
alleged
abuse or neglect exists. | 
 "An undetermined report" means any report made under this  | 
Act in
which it was not possible to initiate or complete an  | 
investigation on
the basis of information provided to the  | 
Department. | 
 "Subject of report" means any child reported to the  | 
 | 
central register
of child abuse and neglect established under  | 
Section 7.7 of this Act as an alleged victim of child abuse or  | 
neglect and
the parent or guardian of the alleged victim or  | 
other person responsible for the alleged victim's welfare who  | 
is named in the report or added to the report as an alleged  | 
perpetrator of child abuse or neglect. | 
 "Perpetrator" means a person who, as a result of  | 
investigation, has
been determined by the Department to have  | 
caused child abuse or neglect. | 
 "Member of the clergy" means a clergyman or practitioner  | 
of any religious
denomination accredited by the religious body  | 
to which he or she belongs. | 
(Source: P.A. 102-567, eff. 1-1-22; 102-676, eff. 12-3-21;  | 
revised 1-15-22.)
 | 
 (325 ILCS 5/7.8)
 | 
 Sec. 7.8. 
Upon receiving an oral or written report of  | 
suspected
child abuse or neglect, the Department shall  | 
immediately notify, either
orally or electronically, the Child  | 
Protective Service Unit of a previous
report concerning a  | 
subject of the present report or other pertinent
information.  | 
In addition, upon satisfactory identification procedures, to
 | 
be established by Department regulation, any person authorized  | 
to have
access to records under Section 11.1 relating to child  | 
abuse and neglect
may request and shall be immediately  | 
provided the information requested in
accordance with this  | 
 | 
Act. However, no information shall be released unless
it  | 
prominently states the report is "indicated", and only  | 
information from
"indicated" reports shall be released, except  | 
that:  | 
  (1) Information concerning
pending reports may be  | 
 released pursuant to Sections 7.14 and 7.22 of this Act to  | 
 the attorney or guardian ad litem appointed under Section  | 
 2-17 of the Juvenile Court Act of 1987 and to any person  | 
 authorized under
paragraphs (1), (2), (3), and (11) of  | 
 subsection (a) of Section 11.1. | 
  (2) State's
Attorneys are authorized to receive  | 
 unfounded reports: | 
   (A) for prosecution
purposes related to the  | 
 transmission of false reports of child abuse or
 | 
 neglect in violation of subsection (a), paragraph (7)  | 
 of Section 26-1
of the Criminal Code of 2012; or | 
   (B) for the purposes of screening and prosecuting  | 
 a petition filed under Article II of the Juvenile  | 
 Court Act of 1987 alleging abuse or neglect relating  | 
 to the same child, a sibling of the child, the same  | 
 perpetrator, or a child or perpetrator in the same  | 
 household as the child for whom the petition is being  | 
 filed. | 
  (3) The parties to the proceedings
filed under Article  | 
 II of the Juvenile Court Act of 1987 are entitled to  | 
 receive
copies of unfounded reports regarding the same  | 
 | 
 child, a sibling of the
child, the same perpetrator, or a  | 
 child or perpetrator in the same household as the child  | 
 for purposes of hearings under Sections 2-10 and 2-21 of  | 
 the Juvenile Court Act of 1987. | 
  (4) Attorneys and guardians ad litem appointed under
 | 
 Article II of the Juvenile Court Act of 1987 shall receive  | 
 the
reports set forth in Section 7.14 of this Act in  | 
 conformance with paragraph
(19) of subsection (a) of  | 
 Section 11.1 and Section 7.14 of this Act.  | 
  (5) The Department of Public Health shall receive  | 
 information from unfounded reports involving children  | 
 alleged to have been abused or neglected while  | 
 hospitalized, including while hospitalized in freestanding  | 
 psychiatric hospitals licensed by the Department of Public  | 
 Health, as necessary for the Department of Public Health  | 
 to conduct its licensing investigation.  | 
  (6) The Department is authorized and required to  | 
 release information from unfounded reports, upon request  | 
 by a person who has access to the unfounded report as  | 
 provided in this Act, as necessary in its determination to  | 
 protect children and adult residents who are in child care  | 
 facilities licensed by the Department under the Child Care  | 
 Act of 1969. The names and other
identifying data and the  | 
 dates and the circumstances of any persons
requesting or  | 
 receiving information from the central register shall be
 | 
 entered in the register record.
 | 
 | 
(Source: P.A. 101-43, eff. 1-1-20; 102-532, eff. 8-20-21;  | 
revised 11-24-21.)
 | 
 Section 525. The Early Intervention Services System Act is  | 
amended by changing Section 11 as follows:
 | 
 (325 ILCS 20/11) (from Ch. 23, par. 4161)
 | 
 Sec. 11. Individualized Family Service Plans. 
 | 
 (a) Each eligible infant or toddler and that infant's or  | 
toddler's family
shall receive:
 | 
  (1) timely, comprehensive, multidisciplinary  | 
 assessment of the unique
strengths and needs of each  | 
 eligible infant and toddler, and assessment of the  | 
 concerns
and priorities of the families to appropriately  | 
 assist them in meeting
their needs and identify supports  | 
 and services to meet those needs; and
 | 
  (2) a written Individualized Family Service Plan  | 
 developed by a
multidisciplinary team which includes the  | 
 parent or guardian. The
individualized family service plan  | 
 shall be based on the
multidisciplinary team's assessment  | 
 of the resources, priorities,
and concerns of the family  | 
 and its identification of the supports
and services  | 
 necessary to enhance the family's capacity to meet the
 | 
 developmental needs of the infant or toddler, and shall  | 
 include the
identification of services appropriate to meet  | 
 those needs, including the
frequency, intensity, and  | 
 | 
 method of delivering services. During and as part of
the  | 
 initial development of the individualized family services  | 
 plan, and any
periodic reviews of the plan, the  | 
 multidisciplinary team may seek consultation from the lead
 | 
 agency's designated experts, if any, to help
determine  | 
 appropriate services and the frequency and intensity of  | 
 those
services. All services in the individualized family  | 
 services plan must be
justified by the multidisciplinary  | 
 assessment of the unique strengths and
needs of the infant  | 
 or toddler and must be appropriate to meet those needs.
At  | 
 the periodic reviews, the team shall determine whether  | 
 modification or
revision of the outcomes or services is  | 
 necessary.
 | 
 (b) The Individualized Family Service Plan shall be  | 
evaluated once a year
and the family shall be provided a review  | 
of the Plan at 6-month 6 month intervals or
more often where  | 
appropriate based on infant or toddler and family needs.
The  | 
lead agency shall create a quality review process regarding  | 
Individualized
Family Service Plan development and changes  | 
thereto, to monitor
and help ensure assure that resources are  | 
being used to provide appropriate early
intervention services.
 | 
 (c) The initial evaluation and initial assessment and  | 
initial
Plan meeting must be held within 45 days after the  | 
initial
contact with the early intervention services system.  | 
The 45-day timeline does not apply for any period when the  | 
child or parent is unavailable to complete the initial  | 
 | 
evaluation, the initial assessments of the child and family,  | 
or the initial Plan meeting, due to exceptional family  | 
circumstances that are documented in the child's early  | 
intervention records, or when the parent has not provided  | 
consent for the initial evaluation or the initial assessment  | 
of the child despite documented, repeated attempts to obtain  | 
parental consent. As soon as exceptional family circumstances  | 
no longer exist or parental consent has been obtained, the  | 
initial evaluation, the initial assessment, and the initial  | 
Plan meeting must be completed as soon as possible. With  | 
parental consent,
early intervention services may commence  | 
before the completion of the
comprehensive assessment and  | 
development of the Plan.
 | 
 (d) Parents must be informed that early
intervention
 | 
services shall be provided to each eligible infant and  | 
toddler, to the maximum extent appropriate, in the natural
 | 
environment, which may include the home or other community  | 
settings. Parents must also be informed of the availability of  | 
early intervention services provided through telehealth  | 
services. Parents
shall make
the final decision to accept or  | 
decline
early intervention services, including whether  | 
accepted services are delivered in person or via telehealth  | 
services. A decision to decline such services shall
not be a  | 
basis for administrative determination of parental fitness, or
 | 
other findings or sanctions against the parents. Parameters of  | 
the Plan
shall be set forth in rules.
 | 
 | 
 (e) The regional intake offices shall explain to each  | 
family, orally and
in
writing, all of the following:
 | 
  (1) That the early intervention program will pay for  | 
 all early
intervention services set forth in the  | 
 individualized family service plan that
are not
covered or  | 
 paid under the family's public or private insurance plan  | 
 or policy
and not
eligible for payment through any other  | 
 third party payor.
 | 
  (2) That services will not be delayed due to any rules  | 
 or restrictions
under the family's insurance plan or  | 
 policy.
 | 
  (3) That the family may request, with appropriate  | 
 documentation
supporting the request, a
determination of  | 
 an exemption from private insurance use under
Section  | 
 13.25.
 | 
  (4) That responsibility for co-payments or
 | 
 co-insurance under a family's private insurance
plan or  | 
 policy will be transferred to the lead
agency's central  | 
 billing office.
 | 
  (5) That families will be responsible
for payments of  | 
 family fees,
which will be based on a sliding scale
 | 
 according to the State's definition of ability to pay  | 
 which is comparing household size and income to the  | 
 sliding scale and considering out-of-pocket medical or  | 
 disaster expenses, and that these fees
are payable to the  | 
 central billing office. Families who fail to provide  | 
 | 
 income information shall be charged the maximum amount on  | 
 the sliding scale. 
 | 
 (f) The individualized family service plan must state  | 
whether the family
has private insurance coverage and, if the  | 
family has such coverage, must
have attached to it a copy of  | 
the family's insurance identification card or
otherwise
 | 
include all of the following information:
 | 
  (1) The name, address, and telephone number of the  | 
 insurance
carrier.
 | 
  (2) The contract number and policy number of the  | 
 insurance plan.
 | 
  (3) The name, address, and social security number of  | 
 the primary
insured.
 | 
  (4) The beginning date of the insurance benefit year.
 | 
 (g) A copy of the individualized family service plan must  | 
be provided to
each enrolled provider who is providing early  | 
intervention services to the
child
who is the subject of that  | 
plan.
 | 
 (h) Children receiving services under this Act shall  | 
receive a smooth and effective transition by their third  | 
birthday consistent with federal regulations adopted pursuant  | 
to Sections 1431 through 1444 of Title 20 of the United States  | 
Code. Beginning January 1, 2022, children who receive early  | 
intervention services prior to their third birthday and are  | 
found eligible for an individualized education program under  | 
the Individuals with Disabilities Education Act, 20 U.S.C.  | 
 | 
1414(d)(1)(A), and under Section 14-8.02 of the School Code  | 
and whose birthday falls between May 1 and August 31 may  | 
continue to receive early intervention services until the  | 
beginning of the school year following their third birthday in  | 
order to minimize gaps in services, ensure better continuity  | 
of care, and align practices for the enrollment of preschool  | 
children with special needs to the enrollment practices of  | 
typically developing preschool children.  | 
(Source: P.A. 101-654, eff. 3-8-21; 102-104, eff. 7-22-21;  | 
102-209, eff. 11-30-21 (See Section 5 of P.A. 102-671 for  | 
effective date of P.A. 102-209); revised 12-1-21.)
 | 
 Section 530. The Sexual Assault Survivors Emergency  | 
Treatment Act is amended by changing Sections 1a, 5, and 6.4 as  | 
follows:
 | 
 (410 ILCS 70/1a) (from Ch. 111 1/2, par. 87-1a)
 | 
 Sec. 1a. Definitions.   | 
 (a) In this Act:
 | 
 "Advanced practice registered nurse" has the meaning  | 
provided in Section 50-10 of the Nurse Practice Act.  | 
 "Ambulance provider" means an individual or entity that  | 
owns and operates a business or service using ambulances or  | 
emergency medical services vehicles to transport emergency  | 
patients.
 | 
 "Approved pediatric health care facility" means a health  | 
 | 
care facility, other than a hospital, with a sexual assault  | 
treatment plan approved by the Department to provide medical  | 
forensic services to pediatric sexual assault survivors who  | 
present with a complaint of sexual assault within a minimum of  | 
the last 7 days or who have disclosed past sexual assault by a  | 
specific individual and were in the care of that individual  | 
within a minimum of the last 7 days.  | 
 "Areawide sexual assault treatment plan" means a plan,  | 
developed by hospitals or by hospitals and approved pediatric  | 
health care facilities in a community or area to be served,  | 
which provides for medical forensic services to sexual assault  | 
survivors that shall be made available by each of the  | 
participating hospitals and approved pediatric health care  | 
facilities.
 | 
 "Board-certified child abuse pediatrician" means a  | 
physician certified by the American Board of Pediatrics in  | 
child abuse pediatrics. | 
 "Board-eligible child abuse pediatrician" means a  | 
physician who has completed the requirements set forth by the  | 
American Board of Pediatrics to take the examination for  | 
certification in child abuse pediatrics.  | 
 "Department" means the Department of Public Health.
 | 
 "Emergency contraception" means medication as approved by  | 
the federal Food and Drug Administration (FDA) that can  | 
significantly reduce the risk of pregnancy if taken within 72  | 
hours after sexual assault.
 | 
 | 
 "Follow-up healthcare" means healthcare services related  | 
to a sexual assault, including laboratory services and  | 
pharmacy services, rendered within 90 days of the initial  | 
visit for medical forensic services.
 | 
 "Health care professional" means a physician, a physician  | 
assistant, a sexual assault forensic examiner, an advanced  | 
practice registered nurse, a registered professional nurse, a  | 
licensed practical nurse, or a sexual assault nurse examiner.
 | 
 "Hospital" means a hospital licensed under the Hospital  | 
Licensing Act or operated under the University of Illinois  | 
Hospital Act, any outpatient center included in the hospital's  | 
sexual assault treatment plan where hospital employees provide  | 
medical forensic services, and an out-of-state hospital that  | 
has consented to the jurisdiction of the Department under  | 
Section 2.06.
 | 
 "Illinois State Police Sexual Assault Evidence Collection  | 
Kit" means a prepackaged set of materials and forms to be used  | 
for the collection of evidence relating to sexual assault. The  | 
standardized evidence collection kit for the State of Illinois  | 
shall be the Illinois State Police Sexual Assault Evidence  | 
Collection Kit.
 | 
 "Law enforcement agency having jurisdiction" means the law  | 
enforcement agency in the jurisdiction where an alleged sexual  | 
assault or sexual abuse occurred. | 
 "Licensed practical nurse" has the meaning provided in  | 
Section 50-10 of the Nurse Practice Act.  | 
 | 
 "Medical forensic services" means health care delivered to  | 
patients within or under the care and supervision of personnel  | 
working in a designated emergency department of a hospital or  | 
an approved pediatric health care facility. "Medical forensic  | 
services" includes, but is not limited to, taking a medical  | 
history, performing photo documentation, performing a physical  | 
and anogenital examination, assessing the patient for evidence  | 
collection, collecting evidence in accordance with a statewide  | 
sexual assault evidence collection program administered by the  | 
Illinois State Police using the Illinois State Police Sexual  | 
Assault Evidence Collection Kit, if appropriate, assessing the  | 
patient for drug-facilitated or alcohol-facilitated sexual  | 
assault, providing an evaluation of and care for sexually  | 
transmitted infection and human immunodeficiency virus (HIV),  | 
pregnancy risk evaluation and care, and discharge and  | 
follow-up healthcare planning.  | 
 "Pediatric health care facility" means a clinic or  | 
physician's office that provides medical services to pediatric  | 
patients. | 
 "Pediatric sexual assault survivor" means a person under  | 
the age of 13 who presents for medical forensic services in  | 
relation to injuries or trauma resulting from a sexual  | 
assault. | 
 "Photo documentation" means digital photographs or  | 
colposcope videos stored and backed up securely in the  | 
original file format.  | 
 | 
 "Physician" means a person licensed to practice medicine  | 
in all its branches.
 | 
 "Physician assistant" has the meaning provided in Section  | 
4 of the Physician Assistant Practice Act of 1987. | 
 "Prepubescent sexual assault survivor" means a female who  | 
is under the age of 18 years and has not had a first menstrual  | 
cycle or a male who is under the age of 18 years and has not  | 
started to develop secondary sex characteristics who presents  | 
for medical forensic services in relation to injuries or  | 
trauma resulting from a sexual assault. | 
 "Qualified medical provider" means a board-certified child  | 
abuse pediatrician, board-eligible child abuse pediatrician, a  | 
sexual assault forensic examiner, or a sexual assault nurse  | 
examiner who has access to photo documentation tools, and who  | 
participates in peer review.  | 
 "Registered Professional Nurse" has the meaning provided  | 
in Section 50-10 of the Nurse Practice Act.  | 
 "Sexual assault" means: | 
  (1) an act of sexual conduct; as used in this  | 
 paragraph, "sexual conduct" has the meaning provided under  | 
 Section 11-0.1 of the Criminal Code of 2012; or | 
  (2) any act of sexual penetration; as used in this  | 
 paragraph, "sexual penetration" has the meaning provided  | 
 under Section 11-0.1 of the Criminal Code of 2012 and  | 
 includes, without limitation, acts prohibited under  | 
 Sections 11-1.20 through 11-1.60 of the Criminal Code of  | 
 | 
 2012.
 | 
 "Sexual assault forensic examiner" means a physician or  | 
physician assistant who has completed training that meets or  | 
is substantially similar to the Sexual Assault Nurse Examiner  | 
Education Guidelines established by the International  | 
Association of Forensic Nurses. | 
 "Sexual assault nurse examiner" means an advanced practice  | 
registered nurse or registered professional nurse who has  | 
completed a sexual assault nurse examiner training program  | 
that meets the Sexual Assault Nurse Examiner Education  | 
Guidelines established by the International Association of  | 
Forensic Nurses. | 
 "Sexual assault services voucher" means a document  | 
generated by a hospital or approved pediatric health care  | 
facility at the time the sexual assault survivor receives  | 
outpatient medical forensic services that may be used to seek  | 
payment for any ambulance services, medical forensic services,  | 
laboratory services, pharmacy services, and follow-up  | 
healthcare provided as a result of the sexual assault.  | 
 "Sexual assault survivor" means a person who presents for  | 
medical forensic services in relation to injuries or trauma  | 
resulting from a sexual assault.
 | 
 "Sexual assault transfer plan" means a written plan  | 
developed by a hospital and approved by the Department, which  | 
describes the hospital's procedures for transferring sexual  | 
assault survivors to another hospital, and an approved  | 
 | 
pediatric health care facility, if applicable, in order to  | 
receive medical forensic services. | 
 "Sexual assault treatment plan" means a written plan that  | 
describes the procedures and protocols for providing medical  | 
forensic services to sexual assault survivors who present  | 
themselves for such services, either directly or through  | 
transfer from a hospital or an approved pediatric health care  | 
facility.
 | 
 "Transfer hospital" means a hospital with a sexual assault  | 
transfer plan approved by the Department.  | 
 "Transfer services" means the appropriate medical  | 
screening examination and necessary stabilizing treatment  | 
prior to the transfer of a sexual assault survivor to a  | 
hospital or an approved pediatric health care facility that  | 
provides medical forensic services to sexual assault survivors  | 
pursuant to a sexual assault treatment plan or areawide sexual  | 
assault treatment plan.
 | 
 "Treatment hospital" means a hospital with a sexual  | 
assault treatment plan approved by the Department to provide  | 
medical forensic services to all sexual assault survivors who  | 
present with a complaint of sexual assault within a minimum of  | 
the last 7 days or who have disclosed past sexual assault by a  | 
specific individual and were in the care of that individual  | 
within a minimum of the last 7 days. | 
 "Treatment hospital with approved pediatric transfer"  | 
means a hospital with a treatment plan approved by the  | 
 | 
Department to provide medical forensic services to sexual  | 
assault survivors 13 years old or older who present with a  | 
complaint of sexual assault within a minimum of the last 7 days  | 
or who have disclosed past sexual assault by a specific  | 
individual and were in the care of that individual within a  | 
minimum of the last 7 days.  | 
 (b) This Section is effective on and after January 1, 2024  | 
2022.  | 
(Source: P.A. 101-81, eff. 7-12-19; 101-634, eff. 6-5-20;  | 
102-22, eff. 6-25-21; 102-538, eff. 8-20-21; 102-674, eff.  | 
11-30-21; revised 12-16-21.)
 | 
 (410 ILCS 70/5) (from Ch. 111 1/2, par. 87-5)
 | 
 Sec. 5. Minimum requirements for medical forensic services  | 
provided to sexual assault survivors by hospitals and approved  | 
pediatric health care facilities.
 | 
 (a) Every hospital and approved pediatric health care  | 
facility providing medical forensic services to
sexual assault  | 
survivors under this Act
shall, as minimum requirements for  | 
such services, provide, with the consent
of the sexual assault  | 
survivor, and as ordered by the attending
physician, an  | 
advanced practice registered nurse, or a physician assistant,  | 
the services set forth in subsection (a-5).
 | 
 Beginning January 1, 2023, a qualified medical provider  | 
must provide the services set forth in subsection (a-5).  | 
 (a-5) A treatment hospital, a treatment hospital with  | 
 | 
approved pediatric transfer, or an approved pediatric health  | 
care facility shall provide the following services in  | 
accordance with subsection (a):  | 
  (1) Appropriate medical forensic services without  | 
 delay, in a private, age-appropriate or  | 
 developmentally-appropriate space, required to ensure the  | 
 health, safety, and welfare
of a sexual assault survivor  | 
 and which may be
used as evidence in a criminal proceeding  | 
 against a person accused of the
sexual assault, in a  | 
 proceeding under the Juvenile Court Act of 1987, or in an  | 
 investigation under the Abused and Neglected Child  | 
 Reporting Act. | 
  Records of medical forensic services, including  | 
 results of examinations and tests, the Illinois State  | 
 Police Medical Forensic Documentation Forms, the Illinois  | 
 State Police Patient Discharge Materials, and the Illinois  | 
 State Police Patient Consent: Collect and Test Evidence or  | 
 Collect and Hold Evidence Form, shall be maintained by the  | 
 hospital or approved pediatric health care facility as  | 
 part of the patient's electronic medical record.  | 
  Records of medical forensic services of sexual assault  | 
 survivors under the age of 18 shall be retained by the  | 
 hospital for a period of 60 years after the sexual assault  | 
 survivor reaches the age of 18. Records of medical  | 
 forensic services of sexual assault survivors 18 years of  | 
 age or older shall be retained by the hospital for a period  | 
 | 
 of 20 years after the date the record was created.  | 
  Records of medical forensic services may only be  | 
 disseminated in accordance with Section 6.5 of this Act  | 
 and other State and federal law. 
 | 
  (1.5) An offer to complete the Illinois Sexual Assault  | 
 Evidence Collection Kit for any sexual assault survivor  | 
 who presents within a minimum of the last 7 days of the  | 
 assault or who has disclosed past sexual assault by a  | 
 specific individual and was in the care of that individual  | 
 within a minimum of the last 7 days.  | 
   (A) Appropriate oral and written information  | 
 concerning evidence-based guidelines for the  | 
 appropriateness of evidence collection depending on  | 
 the sexual development of the sexual assault survivor,  | 
 the type of sexual assault, and the timing of the  | 
 sexual assault shall be provided to the sexual assault  | 
 survivor. Evidence collection is encouraged for  | 
 prepubescent sexual assault survivors who present to a  | 
 hospital or approved pediatric health care facility  | 
 with a complaint of sexual assault within a minimum of  | 
 96 hours after the sexual assault.  | 
   Before January 1, 2023, the information required  | 
 under this subparagraph shall be provided in person by  | 
 the health care professional providing medical  | 
 forensic services directly to the sexual assault  | 
 survivor. | 
 | 
   On and after January 1, 2023, the information  | 
 required under this subparagraph shall be provided in  | 
 person by the qualified medical provider providing  | 
 medical forensic services directly to the sexual  | 
 assault survivor. | 
   The written information provided shall be the  | 
 information created in accordance with Section 10 of  | 
 this Act.  | 
   (B) Following the discussion regarding the  | 
 evidence-based guidelines for evidence collection in  | 
 accordance with subparagraph (A), evidence collection  | 
 must be completed at the sexual assault survivor's  | 
 request. A sexual assault nurse examiner conducting an  | 
 examination using the Illinois State Police Sexual  | 
 Assault Evidence Collection Kit may do so without the  | 
 presence or participation of a physician. | 
  (2) Appropriate oral and written information  | 
 concerning the possibility
of infection, sexually  | 
 transmitted infection, including an evaluation of the  | 
 sexual assault survivor's risk of contracting human  | 
 immunodeficiency virus (HIV) from sexual assault, and  | 
 pregnancy
resulting from sexual assault.
 | 
  (3) Appropriate oral and written information  | 
 concerning accepted medical
procedures, laboratory tests,  | 
 medication, and possible contraindications of such  | 
 medication
available for the prevention or treatment of  | 
 | 
 infection or disease resulting
from sexual assault.
 | 
  (3.5) After a medical evidentiary or physical  | 
 examination, access to a shower at no cost, unless  | 
 showering facilities are unavailable. | 
  (4) An amount of medication, including HIV  | 
 prophylaxis, for treatment at the hospital or approved  | 
 pediatric health care facility and after discharge as is  | 
 deemed appropriate by the attending physician, an advanced  | 
 practice registered nurse, or a physician assistant in  | 
 accordance with the Centers for Disease Control and  | 
 Prevention guidelines and consistent with the hospital's  | 
 or approved pediatric health care facility's current  | 
 approved protocol for sexual assault survivors.
 | 
  (5) Photo documentation of the sexual assault  | 
 survivor's injuries, anatomy involved in the assault, or  | 
 other visible evidence on the sexual assault survivor's  | 
 body to supplement the medical forensic history and  | 
 written documentation of physical findings and evidence  | 
 beginning July 1, 2019. Photo documentation does not  | 
 replace written documentation of the injury.
 | 
  (6) Written and oral instructions indicating the need  | 
 for follow-up examinations and laboratory tests after the  | 
 sexual assault to determine the presence or absence of
 | 
 sexually transmitted infection.
 | 
  (7) Referral by hospital or approved pediatric health  | 
 care facility personnel for appropriate counseling.
 | 
 | 
  (8) Medical advocacy services provided by a rape  | 
 crisis counselor whose communications are protected under  | 
 Section 8-802.1 of the Code of Civil Procedure, if there  | 
 is a memorandum of understanding between the hospital or  | 
 approved pediatric health care facility and a rape crisis  | 
 center. With the consent of the sexual assault survivor, a  | 
 rape crisis counselor shall remain in the exam room during  | 
 the medical forensic examination.
 | 
  (9) Written information regarding services provided by  | 
 a Children's Advocacy Center and rape crisis center, if  | 
 applicable.  | 
  (10) A treatment hospital, a treatment hospital with  | 
 approved pediatric transfer, an out-of-state hospital as  | 
 defined in Section 5.4, or an approved pediatric health  | 
 care facility shall comply with the rules relating to the  | 
 collection and tracking of sexual assault evidence adopted  | 
 by the Illinois State Police under Section 50 of the  | 
 Sexual Assault Evidence Submission Act.  | 
  (11) Written information regarding the Illinois State  | 
 Police sexual assault evidence tracking system.  | 
 (a-7) By January 1, 2023, every hospital with a treatment  | 
plan approved by the Department shall employ or contract with  | 
a qualified medical provider to initiate medical forensic  | 
services to a sexual assault survivor within 90 minutes of the  | 
patient presenting to the treatment hospital or treatment  | 
hospital with approved pediatric transfer. The provision of  | 
 | 
medical forensic services by a qualified medical provider  | 
shall not delay the provision of life-saving medical care.  | 
 (b) Any person who is a sexual assault survivor who seeks  | 
medical forensic services or follow-up healthcare
under this  | 
Act shall be provided such services without the consent
of any  | 
parent, guardian, custodian, surrogate, or agent. If a sexual  | 
assault survivor is unable to consent to medical forensic  | 
services, the services may be provided under the Consent by  | 
Minors to Health Care Services Medical Procedures Act, the  | 
Health Care Surrogate Act, or other applicable State and  | 
federal laws. 
 | 
 (b-5) Every hospital or approved pediatric health care  | 
facility providing medical forensic services to sexual assault  | 
survivors shall issue a voucher to any sexual assault survivor  | 
who is eligible to receive one in accordance with Section 5.2  | 
of this Act. The hospital shall make a copy of the voucher and  | 
place it in the medical record of the sexual assault survivor.  | 
The hospital shall provide a copy of the voucher to the sexual  | 
assault survivor after discharge upon request. | 
 (c) Nothing in this Section creates a physician-patient  | 
relationship that extends beyond discharge from the hospital  | 
or approved pediatric health care facility.
 | 
 (d) This Section is effective on and after January 1, 2024  | 
2022.  | 
(Source: P.A. 101-81, eff. 7-12-19; 101-377, eff. 8-16-19;  | 
101-634, eff. 6-5-20; 102-22, eff. 6-25-21; 102-538, eff.  | 
 | 
8-20-21; 102-674, eff. 11-30-21; revised 12-16-21.)
 | 
 (410 ILCS 70/6.4) (from Ch. 111 1/2, par. 87-6.4)
 | 
 Sec. 6.4. Sexual assault evidence collection program. 
 | 
 (a) There is created a statewide sexual assault evidence  | 
collection program
to facilitate the prosecution of persons  | 
accused of sexual assault. This
program shall be administered  | 
by the Illinois
State Police. The program shall
consist of the  | 
following: (1) distribution of sexual assault evidence
 | 
collection kits which have been approved by the Illinois
State  | 
Police to hospitals and approved pediatric health care  | 
facilities that request them, or arranging for
such  | 
distribution by the manufacturer of the kits, (2) collection  | 
of the kits
from hospitals and approved pediatric health care  | 
facilities after the kits have been used to collect
evidence,  | 
(3) analysis of the collected evidence and conducting of  | 
laboratory
tests, (4) maintaining the chain of custody and  | 
safekeeping of the evidence
for use in a legal proceeding, and  | 
(5) the comparison of the collected evidence with the genetic  | 
marker grouping analysis information maintained by the  | 
Illinois State Police under Section 5-4-3 of the Unified Code  | 
of Corrections and with the information contained in the  | 
Federal Bureau of Investigation's National DNA database;  | 
provided the amount and quality of genetic marker grouping  | 
results obtained from the evidence in the sexual assault case  | 
meets the requirements of both the Illinois State Police and  | 
 | 
the Federal Bureau of Investigation's Combined DNA Index  | 
System (CODIS) policies. The standardized evidence collection  | 
kit for
the State of Illinois shall be the Illinois State  | 
Police Sexual Assault Evidence Kit and shall include a written  | 
consent form authorizing law enforcement to test the sexual  | 
assault evidence and to provide law enforcement with details  | 
of the sexual assault.
 | 
 (a-5) (Blank).
 | 
 (b) The Illinois State Police shall administer a program  | 
to train hospital and approved pediatric health care facility  | 
personnel participating in the sexual assault evidence  | 
collection
program, in the correct use and application of the  | 
sexual assault evidence
collection kits. The Department
shall
 | 
cooperate with the Illinois State Police in this
program as it  | 
pertains to medical aspects of the evidence collection.
 | 
 (c) (Blank).
 | 
 (d) This Section is effective on and after January 1, 2024  | 
2022.  | 
(Source: P.A. 101-634, eff. 6-5-20; 102-22, eff. 6-25-21;  | 
102-538, eff. 8-20-21; 102-674, eff. 11-30-21; revised  | 
12-16-21.)
 | 
 Section 535. The Compassionate Use of Medical Cannabis  | 
Program Act is amended by changing Sections 100 and 145 as  | 
follows:
 | 
 | 
 (410 ILCS 130/100)
 | 
 Sec. 100. Cultivation center agent identification card.  | 
 (a) The Department of Agriculture shall:
 | 
  (1) verify the information contained in an application  | 
 or renewal for a cultivation center identification card  | 
 submitted under this Act, and approve or deny an  | 
 application or renewal, within 30 days of receiving a  | 
 completed application or renewal application and all  | 
 supporting documentation required by rule;
 | 
  (2) issue a cultivation center agent identification  | 
 card to a qualifying agent within 15 business days of  | 
 approving the application or renewal;
 | 
  (3) enter the registry identification number of the  | 
 cultivation center where the agent works; and
 | 
  (4) allow for an electronic application process, and  | 
 provide a confirmation by electronic or other methods that  | 
 an application has been submitted.
 | 
 (b) A cultivation center agent must keep his or her  | 
identification card visible at all times when on the property  | 
of a cultivation center and during the transportation of  | 
medical cannabis to a registered dispensary organization.
 | 
 (c) The cultivation center agent identification cards  | 
shall contain the following:
 | 
  (1) the name of the cardholder;
 | 
  (2) the date of issuance and expiration date of  | 
 cultivation center agent identification cards;
 | 
 | 
  (3) a random 10-digit 10 digit alphanumeric  | 
 identification number containing at least 4 numbers and at  | 
 least 4 letters; that is unique to the holder; and
 | 
  (4) a photograph of the cardholder.
 | 
 (d) The cultivation center agent identification cards  | 
shall be immediately returned to the cultivation center upon  | 
termination of employment.
 | 
 (e) Any card lost by a cultivation center agent shall be  | 
reported to the Illinois State Police and the Department of  | 
Agriculture immediately upon discovery of the loss.
 | 
 (f) An applicant shall be denied a cultivation center  | 
agent identification card if he or she has been convicted of an  | 
excluded offense.
 | 
 (g) An agent applicant may begin employment at a  | 
cultivation center while the agent applicant's identification  | 
card application is pending. Upon approval, the Department  | 
shall issue the agent's identification card to the agent. If  | 
denied, the cultivation center and the agent applicant shall  | 
be notified and the agent applicant must cease all activity at  | 
the cultivation center immediately. 
 | 
(Source: P.A. 102-98, eff. 7-15-21; 102-538, eff. 8-20-21;  | 
revised 10-14-21.)
 | 
 (410 ILCS 130/145)
 | 
 Sec. 145. Confidentiality.  | 
 (a) The following information received and records kept by  | 
 | 
the
Department of Public Health, Department of Financial and  | 
Professional Regulation, Department of Agriculture, or  | 
Illinois State Police for purposes of administering this Act  | 
are subject to all applicable federal privacy laws,  | 
confidential, and exempt from the Freedom of Information Act,  | 
and not subject to disclosure to any individual or public or  | 
private entity, except as necessary for authorized employees  | 
of those authorized agencies to perform official duties under  | 
this Act and the following information received and records  | 
kept by Department of Public Health, Department of  | 
Agriculture, Department of Financial and Professional  | 
Regulation, and Illinois State Police, excluding any existing  | 
or non-existing Illinois or national criminal history record  | 
information as defined in subsection (d), may be disclosed to  | 
each other upon request:
 | 
  (1) Applications and renewals, their contents, and  | 
 supporting information submitted by qualifying patients  | 
 and designated caregivers, including information regarding  | 
 their designated caregivers and certifying health care  | 
 professionals.
 | 
  (2) Applications and renewals, their contents, and  | 
 supporting information submitted by or on behalf of  | 
 cultivation centers and dispensing organizations in  | 
 compliance with this Act, including their physical  | 
 addresses. This does not preclude the release of ownership  | 
 information of cannabis business establishment licenses.
 | 
 | 
  (3) The individual names and other information  | 
 identifying persons to whom the Department of Public  | 
 Health has issued registry identification cards.
 | 
  (4) Any dispensing information required to be kept  | 
 under Section 135, Section 150, or Department of Public  | 
 Health, Department of Agriculture, or Department of  | 
 Financial and Professional Regulation rules shall identify  | 
 cardholders and registered cultivation centers by their  | 
 registry identification numbers and medical cannabis  | 
 dispensing organizations by their registration number and  | 
 not contain names or other personally identifying  | 
 information.
 | 
  (5) All medical records provided to the Department of  | 
 Public Health in connection with an application for a  | 
 registry card.
 | 
 (b) Nothing in this Section precludes the following:
 | 
  (1) Department of Agriculture, Department of Financial  | 
 and Professional Regulation, or Public Health employees  | 
 may notify law enforcement about falsified or fraudulent  | 
 information submitted to the Departments if the employee  | 
 who suspects that falsified or fraudulent information has  | 
 been submitted conferred with his or her supervisor and  | 
 both agree that circumstances exist that warrant  | 
 reporting.
 | 
  (2) If the employee conferred with his or her  | 
 supervisor and both agree that circumstances exist that  | 
 | 
 warrant reporting, Department of Public Health employees  | 
 may notify the Department of Financial and Professional  | 
 Regulation if there is reasonable cause to believe a  | 
 certifying health care professional:
 | 
   (A) issued a written certification without a bona  | 
 fide health care professional-patient relationship  | 
 under this Act;
 | 
   (B) issued a written certification to a person who  | 
 was not under the certifying health care  | 
 professional's care for the debilitating medical  | 
 condition; or
 | 
   (C) failed to abide by the acceptable and  | 
 prevailing standard of care when evaluating a  | 
 patient's medical condition.
 | 
  (3) The Department of Public Health, Department of  | 
 Agriculture, and Department of Financial and Professional  | 
 Regulation may notify State or local law enforcement about  | 
 apparent criminal violations of this Act if the employee  | 
 who suspects the offense has conferred with his or her  | 
 supervisor and both agree that circumstances exist that  | 
 warrant reporting.
 | 
  (4) Medical cannabis cultivation center agents and  | 
 medical cannabis dispensing organizations may notify the  | 
 Department of Public Health, Department of Financial and  | 
 Professional Regulation, or Department of Agriculture of a  | 
 suspected violation or attempted violation of this Act or  | 
 | 
 the rules issued under it.
 | 
  (5) Each Department may verify registry identification  | 
 cards under Section 150.
 | 
  (6) The submission of the report to the General  | 
 Assembly under Section 160.
 | 
 (b-5) Each Department responsible for licensure under this  | 
Act shall publish on the Department's website a list of the  | 
ownership information of cannabis business establishment  | 
licensees under the Department's jurisdiction. The list shall  | 
include, but shall not be limited to, the name of the person or  | 
entity holding each cannabis business establishment license  | 
and the address at which the entity is operating under this  | 
Act. This list shall be published and updated monthly.  | 
 (c) Except for any ownership information released pursuant  | 
to subsection (b-5) or as otherwise authorized or required by  | 
law, it is a Class B misdemeanor with a $1,000 fine for any  | 
person, including an employee or official of the Department of  | 
Public Health, Department of Financial and Professional  | 
Regulation, or Department of Agriculture or another State  | 
agency or local government, to breach the confidentiality of  | 
information obtained under this Act.
 | 
 (d) The Department of Public Health, the Department of  | 
Agriculture, the Illinois State Police, and the Department of  | 
Financial and Professional Regulation shall not share or  | 
disclose any existing or non-existing Illinois or national  | 
criminal history record information. For the purposes of this  | 
 | 
Section, "any existing or non-existing Illinois or national  | 
criminal history record information" means any Illinois or  | 
national criminal history record information, including but  | 
not limited to the lack of or non-existence of these records.  | 
(Source: P.A. 101-363, eff. 8-9-19; 102-98, eff. 7-15-21;  | 
102-538, eff. 8-20-21; revised 10-12-21.)
 | 
 Section 540. The Cannabis Regulation and Tax Act is  | 
amended by changing Sections 1-10, 15-25, 15-30, 15-40,  | 
15-135, 20-30, 25-30, 25-35, 30-30, 35-25, 35-30, 40-25,  | 
40-30, and 55-30 as follows:
 | 
 (410 ILCS 705/1-10)
 | 
 Sec. 1-10. Definitions. In this Act: | 
 "Adult Use Cultivation Center License" means a license  | 
issued by the Department of Agriculture that permits a person  | 
to act as a cultivation center under this Act and any  | 
administrative rule made in furtherance of this Act. | 
 "Adult Use Dispensing Organization License" means a  | 
license issued by the Department of Financial and Professional  | 
Regulation that permits a person to act as a dispensing  | 
organization under this Act and any administrative rule made  | 
in furtherance of this Act. | 
 "Advertise" means to engage in promotional activities  | 
including, but not limited to: newspaper, radio, Internet and  | 
electronic media, and television advertising; the distribution  | 
 | 
of fliers and circulars; billboard advertising; and the  | 
display of window and interior signs. "Advertise" does not  | 
mean exterior signage displaying only the name of the licensed  | 
cannabis business establishment.  | 
 "Application points" means the number of points a  | 
Dispensary Applicant receives on an application for a  | 
Conditional Adult Use Dispensing Organization License.  | 
 "BLS Region" means a region in Illinois used by the United  | 
States Bureau of Labor Statistics to gather and categorize  | 
certain employment and wage data. The 17 such regions in  | 
Illinois are: Bloomington, Cape Girardeau, Carbondale-Marion,  | 
Champaign-Urbana, Chicago-Naperville-Elgin, Danville,  | 
Davenport-Moline-Rock Island, Decatur, Kankakee, Peoria,  | 
Rockford, St. Louis, Springfield, Northwest Illinois  | 
nonmetropolitan area, West Central Illinois nonmetropolitan  | 
area, East Central Illinois nonmetropolitan area, and South  | 
Illinois nonmetropolitan area.  | 
 "By lot" means a randomized method of choosing between 2  | 
or more Eligible Tied Applicants or 2 or more Qualifying  | 
Applicants. | 
 "Cannabis" means marijuana, hashish, and other substances  | 
that are identified as including any parts of the plant  | 
Cannabis sativa and including derivatives or subspecies, such  | 
as indica, of all strains of cannabis, whether growing or not;  | 
the seeds thereof, the resin extracted from any part of the  | 
plant; and any compound, manufacture, salt, derivative,  | 
 | 
mixture, or preparation of the plant, its seeds, or resin,  | 
including tetrahydrocannabinol (THC) and all other naturally  | 
produced cannabinol derivatives, whether produced directly or  | 
indirectly by extraction; however, "cannabis" does not include  | 
the mature stalks of the plant, fiber produced from the  | 
stalks, oil or cake made from the seeds of the plant, any other  | 
compound, manufacture, salt, derivative, mixture, or  | 
preparation of the mature stalks (except the resin extracted  | 
from it), fiber, oil or cake, or the sterilized seed of the  | 
plant that is incapable of germination. "Cannabis" does not  | 
include industrial hemp as defined and authorized under the  | 
Industrial Hemp Act. "Cannabis" also means cannabis flower,  | 
concentrate, and cannabis-infused products. | 
 "Cannabis business establishment" means a cultivation  | 
center, craft grower, processing organization, infuser  | 
organization, dispensing organization, or transporting  | 
organization. | 
 "Cannabis concentrate" means a product derived from  | 
cannabis that is produced by extracting cannabinoids,  | 
including tetrahydrocannabinol (THC), from the plant through  | 
the use of propylene glycol, glycerin, butter, olive oil, or  | 
other typical cooking fats; water, ice, or dry ice; or butane,  | 
propane, CO2, ethanol, or isopropanol and with the intended  | 
use of smoking or making a cannabis-infused product. The use  | 
of any other solvent is expressly prohibited unless and until  | 
it is approved by the Department of Agriculture. | 
 | 
 "Cannabis container" means a sealed or resealable,  | 
traceable, container, or package used for the purpose of  | 
containment of cannabis or cannabis-infused product during  | 
transportation. | 
 "Cannabis flower" means marijuana, hashish, and other  | 
substances that are identified as including any parts of the  | 
plant Cannabis sativa and including derivatives or subspecies,  | 
such as indica, of all strains of cannabis; including raw  | 
kief, leaves, and buds, but not resin that has been extracted  | 
from any part of such plant; nor any compound, manufacture,  | 
salt, derivative, mixture, or preparation of such plant, its  | 
seeds, or resin. | 
 "Cannabis-infused product" means a beverage, food, oil,  | 
ointment, tincture, topical formulation, or another product  | 
containing cannabis or cannabis concentrate that is not  | 
intended to be smoked. | 
 "Cannabis paraphernalia" means equipment, products, or  | 
materials intended to be used for planting, propagating,  | 
cultivating, growing, harvesting, manufacturing, producing,  | 
processing, preparing, testing, analyzing, packaging,  | 
repackaging, storing, containing, concealing, ingesting, or  | 
otherwise introducing cannabis into the human body.  | 
 "Cannabis plant monitoring system" or "plant monitoring  | 
system" means a system that includes, but is not limited to,  | 
testing and data collection established and maintained by the  | 
cultivation center, craft grower, or processing organization  | 
 | 
and that is available to the Department of Revenue, the  | 
Department of Agriculture, the Department of Financial and  | 
Professional Regulation, and the Illinois State Police for the  | 
purposes of documenting each cannabis plant and monitoring  | 
plant development throughout the life cycle of a cannabis  | 
plant cultivated for the intended use by a customer from seed  | 
planting to final packaging. | 
 "Cannabis testing facility" means an entity registered by  | 
the Department of Agriculture to test cannabis for potency and  | 
contaminants. | 
 "Clone" means a plant section from a female cannabis plant  | 
not yet rootbound, growing in a water solution or other  | 
propagation matrix, that is capable of developing into a new  | 
plant. | 
 "Community College Cannabis Vocational Training Pilot  | 
Program faculty participant" means a person who is 21 years of  | 
age or older, licensed by the Department of Agriculture, and  | 
is employed or contracted by an Illinois community college to  | 
provide student instruction using cannabis plants at an  | 
Illinois Community College. | 
 "Community College Cannabis Vocational Training Pilot  | 
Program faculty participant Agent Identification Card" means a  | 
document issued by the Department of Agriculture that  | 
identifies a person as a Community College Cannabis Vocational  | 
Training Pilot Program faculty participant. | 
 "Conditional Adult Use Dispensing Organization License"  | 
 | 
means a contingent license awarded to applicants for an Adult  | 
Use Dispensing Organization License that reserves the right to  | 
an Adult Use Dispensing Organization License if the applicant  | 
meets certain conditions described in this Act, but does not  | 
entitle the recipient to begin purchasing or selling cannabis  | 
or cannabis-infused products. | 
 "Conditional Adult Use Cultivation Center License" means a  | 
license awarded to top-scoring applicants for an Adult Use  | 
Cultivation Center License that reserves the right to an Adult  | 
Use Cultivation Center License if the applicant meets certain  | 
conditions as determined by the Department of Agriculture by  | 
rule, but does not entitle the recipient to begin growing,  | 
processing, or selling cannabis or cannabis-infused products. | 
 "Craft grower" means a facility operated by an  | 
organization or business that is licensed by the Department of  | 
Agriculture to cultivate, dry, cure, and package cannabis and  | 
perform other necessary activities to make cannabis available  | 
for sale at a dispensing organization or use at a processing  | 
organization. A craft grower may contain up to 5,000 square  | 
feet of canopy space on its premises for plants in the  | 
flowering state. The Department of Agriculture may authorize  | 
an increase or decrease of flowering stage cultivation space  | 
in increments of 3,000 square feet by rule based on market  | 
need, craft grower capacity, and the licensee's history of  | 
compliance or noncompliance, with a maximum space of 14,000  | 
square feet for cultivating plants in the flowering stage,  | 
 | 
which must be cultivated in all stages of growth in an enclosed  | 
and secure area. A craft grower may share premises with a  | 
processing organization or a dispensing organization, or both,  | 
provided each licensee stores currency and cannabis or  | 
cannabis-infused products in a separate secured vault to which  | 
the other licensee does not have access or all licensees  | 
sharing a vault share more than 50% of the same ownership.  | 
 "Craft grower agent" means a principal officer, board  | 
member, employee, or other agent of a craft grower who is 21  | 
years of age or older. | 
 "Craft Grower Agent Identification Card" means a document  | 
issued by the Department of Agriculture that identifies a  | 
person as a craft grower agent. | 
 "Cultivation center" means a facility operated by an  | 
organization or business that is licensed by the Department of  | 
Agriculture to cultivate, process, transport (unless otherwise  | 
limited by this Act), and perform other necessary activities  | 
to provide cannabis and cannabis-infused products to cannabis  | 
business establishments. | 
 "Cultivation center agent" means a principal officer,  | 
board member, employee, or other agent of a cultivation center  | 
who is 21 years of age or older. | 
 "Cultivation Center Agent Identification Card" means a  | 
document issued by the Department of Agriculture that  | 
identifies a person as a cultivation center agent. | 
 "Currency" means currency and coin of the United States. | 
 | 
 "Dispensary" means a facility operated by a dispensing  | 
organization at which activities licensed by this Act may  | 
occur. | 
 "Dispensary Applicant" means the Proposed Dispensing  | 
Organization Name as stated on an application for a  | 
Conditional Adult Use Dispensing Organization License.  | 
 "Dispensing organization" means a facility operated by an  | 
organization or business that is licensed by the Department of  | 
Financial and Professional Regulation to acquire cannabis from  | 
a cultivation center, craft grower, processing organization,  | 
or another dispensary for the purpose of selling or dispensing  | 
cannabis, cannabis-infused products, cannabis seeds,  | 
paraphernalia, or related supplies under this Act to  | 
purchasers or to qualified registered medical cannabis  | 
patients and caregivers. As used in this Act, "dispensing  | 
organization" includes a registered medical cannabis  | 
organization as defined in the Compassionate Use of Medical  | 
Cannabis Program Act or its successor Act that has obtained an  | 
Early Approval Adult Use Dispensing Organization License. | 
 "Dispensing organization agent" means a principal officer,  | 
employee, or agent of a dispensing organization who is 21  | 
years of age or older. | 
 "Dispensing organization agent identification card" means  | 
a document issued by the Department of Financial and  | 
Professional Regulation that identifies a person as a  | 
dispensing organization agent. | 
 | 
 "Disproportionately Impacted Area" means a census tract or  | 
comparable geographic area that satisfies the following  | 
criteria as determined by the Department of Commerce and  | 
Economic Opportunity, that:  | 
  (1) meets at least one of the following criteria:  | 
   (A) the area has a poverty rate of at least 20%  | 
 according to the latest federal decennial census; or  | 
   (B) 75% or more of the children in the area  | 
 participate in the federal free lunch program  | 
 according to reported statistics from the State Board  | 
 of Education; or  | 
   (C) at least 20% of the households in the area  | 
 receive assistance under the Supplemental Nutrition  | 
 Assistance Program; or | 
   (D) the area has an average unemployment rate, as  | 
 determined by the Illinois Department of Employment  | 
 Security, that is more than 120% of the national  | 
 unemployment average, as determined by the United  | 
 States Department of Labor, for a period of at least 2  | 
 consecutive calendar years preceding the date of the  | 
 application; and  | 
  (2) has high rates of arrest, conviction, and  | 
 incarceration related to the sale, possession, use,  | 
 cultivation, manufacture, or transport of cannabis. | 
 "Early Approval Adult Use Cultivation Center License"  | 
means a license that permits a medical cannabis cultivation  | 
 | 
center licensed under the Compassionate Use of Medical  | 
Cannabis Program Act as of the effective date of this Act to  | 
begin cultivating, infusing, packaging, transporting (unless  | 
otherwise provided in this Act), processing, and selling  | 
cannabis or cannabis-infused product to cannabis business  | 
establishments for resale to purchasers as permitted by this  | 
Act as of January 1, 2020. | 
 "Early Approval Adult Use Dispensing Organization License"  | 
means a license that permits a medical cannabis dispensing  | 
organization licensed under the Compassionate Use of Medical  | 
Cannabis Program Act as of the effective date of this Act to  | 
begin selling cannabis or cannabis-infused product to  | 
purchasers as permitted by this Act as of January 1, 2020. | 
 "Early Approval Adult Use Dispensing Organization at a  | 
secondary site" means a license that permits a medical  | 
cannabis dispensing organization licensed under the  | 
Compassionate Use of Medical Cannabis Program Act as of the  | 
effective date of this Act to begin selling cannabis or  | 
cannabis-infused product to purchasers as permitted by this  | 
Act on January 1, 2020 at a different dispensary location from  | 
its existing registered medical dispensary location. | 
 "Eligible Tied Applicant" means a Tied Applicant that is  | 
eligible to participate in the process by which a remaining  | 
available license is distributed by lot pursuant to a Tied  | 
Applicant Lottery.  | 
 "Enclosed, locked facility" means a room, greenhouse,  | 
 | 
building, or other enclosed area equipped with locks or other  | 
security devices that permit access only by cannabis business  | 
establishment agents working for the licensed cannabis  | 
business establishment or acting pursuant to this Act to  | 
cultivate, process, store, or distribute cannabis. | 
 "Enclosed, locked space" means a closet, room, greenhouse,  | 
building, or other enclosed area equipped with locks or other  | 
security devices that permit access only by authorized  | 
individuals under this Act. "Enclosed, locked space" may  | 
include: | 
  (1) a space within a residential building that (i) is  | 
 the primary residence of the individual cultivating 5 or  | 
 fewer cannabis plants that are more than 5 inches tall and  | 
 (ii) includes sleeping quarters and indoor plumbing. The  | 
 space must only be accessible by a key or code that is  | 
 different from any key or code that can be used to access  | 
 the residential building from the exterior; or | 
  (2) a structure, such as a shed or greenhouse, that  | 
 lies on the same plot of land as a residential building  | 
 that (i) includes sleeping quarters and indoor plumbing  | 
 and (ii) is used as a primary residence by the person  | 
 cultivating 5 or fewer cannabis plants that are more than  | 
 5 inches tall, such as a shed or greenhouse. The structure  | 
 must remain locked when it is unoccupied by people.  | 
 "Financial institution" has the same meaning as "financial  | 
organization" as defined in Section 1501 of the Illinois  | 
 | 
Income Tax Act, and also includes the holding companies,  | 
subsidiaries, and affiliates of such financial organizations.  | 
 "Flowering stage" means the stage of cultivation where and  | 
when a cannabis plant is cultivated to produce plant material  | 
for cannabis products. This includes mature plants as follows: | 
  (1) if greater than 2 stigmas are visible at each  | 
 internode of the plant; or | 
  (2) if the cannabis plant is in an area that has been  | 
 intentionally deprived of light for a period of time  | 
 intended to produce flower buds and induce maturation,  | 
 from the moment the light deprivation began through the  | 
 remainder of the marijuana plant growth cycle. | 
 "Individual" means a natural person. | 
 "Infuser organization" or "infuser" means a facility  | 
operated by an organization or business that is licensed by  | 
the Department of Agriculture to directly incorporate cannabis  | 
or cannabis concentrate into a product formulation to produce  | 
a cannabis-infused product.  | 
 "Kief" means the resinous crystal-like trichomes that are  | 
found on cannabis and that are accumulated, resulting in a  | 
higher concentration of cannabinoids, untreated by heat or  | 
pressure, or extracted using a solvent.  | 
 "Labor peace agreement" means an agreement between a  | 
cannabis business establishment and any labor organization  | 
recognized under the National Labor Relations Act, referred to  | 
in this Act as a bona fide labor organization, that prohibits  | 
 | 
labor organizations and members from engaging in picketing,  | 
work stoppages, boycotts, and any other economic interference  | 
with the cannabis business establishment. This agreement means  | 
that the cannabis business establishment has agreed not to  | 
disrupt efforts by the bona fide labor organization to  | 
communicate with, and attempt to organize and represent, the  | 
cannabis business establishment's employees. The agreement  | 
shall provide a bona fide labor organization access at  | 
reasonable times to areas in which the cannabis business  | 
establishment's employees work, for the purpose of meeting  | 
with employees to discuss their right to representation,  | 
employment rights under State law, and terms and conditions of  | 
employment. This type of agreement shall not mandate a  | 
particular method of election or certification of the bona  | 
fide labor organization. | 
 "Limited access area" means a room or other area under the  | 
control of a cannabis dispensing organization licensed under  | 
this Act and upon the licensed premises where cannabis sales  | 
occur with access limited to purchasers, dispensing  | 
organization owners and other dispensing organization agents,  | 
or service professionals conducting business with the  | 
dispensing organization, or, if sales to registered qualifying  | 
patients, caregivers, provisional patients, and Opioid  | 
Alternative Pilot Program participants licensed pursuant to  | 
the Compassionate Use of Medical Cannabis Program Act are also  | 
permitted at the dispensary, registered qualifying patients,  | 
 | 
caregivers, provisional patients, and Opioid Alternative Pilot  | 
Program participants.  | 
 "Member of an impacted family" means an individual who has  | 
a parent, legal guardian, child, spouse, or dependent, or was  | 
a dependent of an individual who, prior to the effective date  | 
of this Act, was arrested for, convicted of, or adjudicated  | 
delinquent for any offense that is eligible for expungement  | 
under this Act. | 
 "Mother plant" means a cannabis plant that is cultivated  | 
or maintained for the purpose of generating clones, and that  | 
will not be used to produce plant material for sale to an  | 
infuser or dispensing organization. | 
 "Ordinary public view" means within the sight line with  | 
normal visual range of a person, unassisted by visual aids,  | 
from a public street or sidewalk adjacent to real property, or  | 
from within an adjacent property.  | 
 "Ownership and control" means ownership of at least 51% of  | 
the business, including corporate stock if a corporation, and  | 
control over the management and day-to-day operations of the  | 
business and an interest in the capital, assets, and profits  | 
and losses of the business proportionate to percentage of  | 
ownership. | 
 "Person" means a natural individual, firm, partnership,  | 
association, joint stock company, joint venture, public or  | 
private corporation, limited liability company, or a receiver,  | 
executor, trustee, guardian, or other representative appointed  | 
 | 
by order of any court. | 
 "Possession limit" means the amount of cannabis under  | 
Section 10-10 that may be possessed at any one time by a person  | 
21 years of age or older or who is a registered qualifying  | 
medical cannabis patient or caregiver under the Compassionate  | 
Use of Medical Cannabis Program Act. | 
 "Principal officer" includes a cannabis business  | 
establishment applicant or licensed cannabis business  | 
establishment's board member, owner with more than 1% interest  | 
of the total cannabis business establishment or more than 5%  | 
interest of the total cannabis business establishment of a  | 
publicly traded company, president, vice president, secretary,  | 
treasurer, partner, officer, member, manager member, or person  | 
with a profit sharing, financial interest, or revenue sharing  | 
arrangement. The definition includes a person with authority  | 
to control the cannabis business establishment, a person who  | 
assumes responsibility for the debts of the cannabis business  | 
establishment and who is further defined in this Act. | 
 "Primary residence" means a dwelling where a person  | 
usually stays or stays more often than other locations. It may  | 
be determined by, without limitation, presence, tax filings;  | 
address on an Illinois driver's license, an Illinois  | 
Identification Card, or an Illinois Person with a Disability  | 
Identification Card; or voter registration. No person may have  | 
more than one primary residence. | 
 "Processing organization" or "processor" means a facility  | 
 | 
operated by an organization or business that is licensed by  | 
the Department of Agriculture to either extract constituent  | 
chemicals or compounds to produce cannabis concentrate or  | 
incorporate cannabis or cannabis concentrate into a product  | 
formulation to produce a cannabis product.  | 
 "Processing organization agent" means a principal officer,  | 
board member, employee, or agent of a processing organization. | 
 "Processing organization agent identification card" means  | 
a document issued by the Department of Agriculture that  | 
identifies a person as a processing organization agent. | 
 "Purchaser" means a person 21 years of age or older who  | 
acquires cannabis for a valuable consideration. "Purchaser"  | 
does not include a cardholder under the Compassionate Use of  | 
Medical Cannabis Program Act. | 
 "Qualifying Applicant" means an applicant that submitted  | 
an application pursuant to Section 15-30 that received at  | 
least 85% of 250 application points available under Section  | 
15-30 as the applicant's final score and meets the definition  | 
of "Social Equity Applicant" as set forth under this Section. | 
 "Qualifying Social Equity Justice Involved Applicant"  | 
means an applicant that submitted an application pursuant to  | 
Section 15-30 that received at least 85% of 250 application  | 
points available under Section 15-30 as the applicant's final  | 
score and meets the criteria of either paragraph (1) or (2) of  | 
the definition of "Social Equity Applicant" as set forth under  | 
this Section.  | 
 | 
 "Qualified Social Equity Applicant" means a Social Equity  | 
Applicant who has been awarded a conditional license under  | 
this Act to operate a cannabis business establishment. | 
 "Resided" means an individual's primary residence was  | 
located within the relevant geographic area as established by  | 
2 of the following: | 
  (1) a signed lease agreement that includes the  | 
 applicant's name; | 
  (2) a property deed that includes the applicant's  | 
 name; | 
  (3) school records; | 
  (4) a voter registration card; | 
  (5) an Illinois driver's license, an Illinois  | 
 Identification Card, or an Illinois Person with a  | 
 Disability Identification Card; | 
  (6) a paycheck stub;  | 
  (7) a utility bill;  | 
  (8) tax records; or | 
  (9) any other proof of residency or other information  | 
 necessary to establish residence as provided by rule. | 
 "Smoking" means the inhalation of smoke caused by the  | 
combustion of cannabis. | 
 "Social Equity Applicant" means an applicant that is an  | 
Illinois resident that meets one of the following criteria: | 
  (1) an applicant with at least 51% ownership and  | 
 control by one or more individuals who have resided for at  | 
 | 
 least 5 of the preceding 10 years in a Disproportionately  | 
 Impacted Area;  | 
  (2) an applicant with at least 51% ownership and  | 
 control by one or more individuals who:
 | 
   (i) have been arrested for, convicted of, or  | 
 adjudicated delinquent for any offense that is  | 
 eligible for expungement under this Act; or
 | 
   (ii) is a member of an impacted family; | 
  (3) for applicants with a minimum of 10 full-time  | 
 employees, an applicant with at least 51% of current  | 
 employees who: | 
   (i) currently reside in a Disproportionately  | 
 Impacted Area; or | 
   (ii) have been arrested for, convicted of, or  | 
 adjudicated delinquent for any offense that is  | 
 eligible for expungement under this Act or member of  | 
 an impacted family. | 
 Nothing in this Act shall be construed to preempt or limit  | 
the duties of any employer under the Job Opportunities for  | 
Qualified Applicants Act. Nothing in this Act shall permit an  | 
employer to require an employee to disclose sealed or expunged  | 
offenses, unless otherwise required by law. | 
 "Tied Applicant" means an application submitted by a  | 
Dispensary Applicant pursuant to Section 15-30 that received  | 
the same number of application points under Section 15-30 as  | 
the Dispensary Applicant's final score as one or more  | 
 | 
top-scoring applications in the same BLS Region and would have  | 
been awarded a license but for the one or more other  | 
top-scoring applications that received the same number of  | 
application points. Each application for which a Dispensary  | 
Applicant was required to pay a required application fee for  | 
the application period ending January 2, 2020 shall be  | 
considered an application of a separate Tied Applicant. | 
 "Tied Applicant Lottery" means the process established  | 
under 68 Ill. Adm. Code 1291.50 for awarding Conditional Adult  | 
Use Dispensing Organization Licenses pursuant to Sections  | 
15-25 and 15-30 among Eligible Tied Applicants.  | 
 "Tincture" means a cannabis-infused solution, typically  | 
comprised of alcohol, glycerin, or vegetable oils, derived  | 
either directly from the cannabis plant or from a processed  | 
cannabis extract. A tincture is not an alcoholic liquor as  | 
defined in the Liquor Control Act of 1934. A tincture shall  | 
include a calibrated dropper or other similar device capable  | 
of accurately measuring servings. | 
 "Transporting organization" or "transporter" means an  | 
organization or business that is licensed by the Department of  | 
Agriculture to transport cannabis or cannabis-infused product  | 
on behalf of a cannabis business establishment or a community  | 
college licensed under the Community
College Cannabis  | 
Vocational Training Pilot Program.
 | 
 "Transporting organization agent" means a principal  | 
officer, board member, employee, or agent of a transporting  | 
 | 
organization. | 
 "Transporting organization agent identification card"  | 
means a document issued by the Department of Agriculture that  | 
identifies a person as a transporting organization agent. | 
 "Unit of local government" means any county, city,  | 
village, or incorporated town. | 
 "Vegetative stage" means the stage of cultivation in which  | 
a cannabis plant is propagated to produce additional cannabis  | 
plants or reach a sufficient size for production. This  | 
includes seedlings, clones, mothers, and other immature  | 
cannabis plants as follows:  | 
  (1) if the cannabis plant is in an area that has not  | 
 been intentionally deprived of light for a period of time  | 
 intended to produce flower buds and induce maturation, it  | 
 has no more than 2 stigmas visible at each internode of the  | 
 cannabis plant; or  | 
  (2) any cannabis plant that is cultivated solely for  | 
 the purpose of propagating clones and is never used to  | 
 produce cannabis.
 | 
(Source: P.A. 101-27, eff. 6-25-19; 101-593, eff. 12-4-19;  | 
102-98, eff. 7-15-21; 102-538, eff. 8-20-21; revised  | 
10-13-21.)
 | 
 (410 ILCS 705/15-25)
 | 
 Sec. 15-25. Awarding of Conditional Adult Use Dispensing  | 
Organization Licenses prior to January 1, 2021.  | 
 | 
  (16) East Central Illinois nonmetropolitan: 2 | 
  (17) South Illinois nonmetropolitan: 2 | 
 (d) An applicant seeking issuance of a Conditional Adult  | 
Use Dispensing Organization License shall submit an  | 
application on forms provided by the Department. An applicant  | 
must meet the following requirements: | 
  (1) Payment of a nonrefundable application fee of  | 
 $5,000 for each license for which the applicant is  | 
 applying, which shall be deposited into the Cannabis  | 
 Regulation Fund; | 
  (2) Certification that the applicant will comply with  | 
 the requirements contained in this Act; | 
  (3) The legal name of the proposed dispensing  | 
 organization; | 
  (4) A statement that the dispensing organization  | 
 agrees to respond to the Department's supplemental  | 
 requests for information;  | 
  (5) From each principal officer, a statement  | 
 indicating whether that person: | 
   (A) has previously held or currently holds an  | 
 ownership interest in a cannabis business  | 
 establishment in Illinois; or | 
   (B) has held an ownership interest in a dispensing  | 
 organization or its equivalent in another state or  | 
 territory of the United States that had the dispensing  | 
 organization registration or license suspended,  | 
 | 
 revoked, placed on probationary status, or subjected  | 
 to other disciplinary action; | 
  (6) Disclosure of whether any principal officer has  | 
 ever filed for bankruptcy or defaulted on spousal support  | 
 or child support obligation; | 
  (7) A resume for each principal officer, including  | 
 whether that person has an academic degree, certification,  | 
 or relevant experience with a cannabis business  | 
 establishment or in a related industry; | 
  (8) A description of the training and education that  | 
 will be provided to dispensing organization agents; | 
  (9) A copy of the proposed operating bylaws; | 
  (10) A copy of the proposed business plan that  | 
 complies with the requirements in this Act, including, at  | 
 a minimum, the following: | 
   (A) A description of services to be offered; and  | 
   (B) A description of the process of dispensing  | 
 cannabis; | 
  (11) A copy of the proposed security plan that  | 
 complies with the requirements in this Article, including:  | 
   (A) The process or controls that will be  | 
 implemented to monitor the dispensary, secure the  | 
 premises, agents, and currency, and prevent the  | 
 diversion, theft, or loss of cannabis; and  | 
   (B) The process to ensure that access to the  | 
 restricted access areas is restricted to, registered  | 
 | 
 agents, service professionals, transporting  | 
 organization agents, Department inspectors, and  | 
 security personnel; | 
  (12) A proposed inventory control plan that complies  | 
 with this Section; | 
  (13) A proposed floor plan, a square footage estimate,  | 
 and a description of proposed security devices, including,  | 
 without limitation, cameras, motion detectors, servers,  | 
 video storage capabilities, and alarm service providers; | 
  (14) The name, address, social security number, and  | 
 date of birth of each principal officer and board member  | 
 of the dispensing organization; each of those individuals  | 
 shall be at least 21 years of age;  | 
  (15) Evidence of the applicant's status as a Social  | 
 Equity Applicant, if applicable, and whether a Social  | 
 Equity Applicant plans to apply for a loan or grant issued  | 
 by the Department of Commerce and Economic Opportunity; | 
  (16) The address, telephone number, and email address  | 
 of the applicant's principal place of business, if  | 
 applicable. A post office box is not permitted; | 
  (17) Written summaries of any information regarding  | 
 instances in which a business or not-for-profit that a  | 
 prospective board member previously managed or served on  | 
 were fined or censured, or any instances in which a  | 
 business or not-for-profit that a prospective board member  | 
 previously managed or served on had its registration  | 
 | 
 suspended or revoked in any administrative or judicial  | 
 proceeding; | 
  (18) A plan for community engagement; | 
  (19) Procedures to ensure accurate recordkeeping and  | 
 security measures that are in accordance with this Article  | 
 and Department rules; | 
  (20) The estimated volume of cannabis it plans to  | 
 store at the dispensary; | 
  (21) A description of the features that will provide  | 
 accessibility to purchasers as required by the Americans  | 
 with Disabilities Act; | 
  (22) A detailed description of air treatment systems  | 
 that will be installed to reduce odors; | 
  (23) A reasonable assurance that the issuance of a  | 
 license will not have a detrimental impact on the  | 
 community in which the applicant wishes to locate; | 
  (24) The dated signature of each principal officer; | 
  (25) A description of the enclosed, locked facility  | 
 where cannabis will be stored by the dispensing  | 
 organization; | 
  (26) Signed statements from each dispensing  | 
 organization agent stating that he or she will not divert  | 
 cannabis; | 
  (27) The number of licenses it is applying for in each  | 
 BLS Region; | 
  (28) A diversity plan that includes a narrative of at  | 
 | 
 least 2,500 words that establishes a goal of diversity in  | 
 ownership, management, employment, and contracting to  | 
 ensure that diverse participants and groups are afforded  | 
 equality of opportunity; | 
  (29) A contract with a private security contractor  | 
 agency that is licensed under Section 10-5 of the Private  | 
 Detective, Private Alarm, Private Security, Fingerprint  | 
 Vendor, and Locksmith Act of 2004 in order for the  | 
 dispensary to have adequate security at its facility; and | 
  (30) Other information deemed necessary by the  | 
 Illinois Cannabis Regulation Oversight Officer to conduct  | 
 the disparity and availability study referenced in  | 
 subsection (e) of Section 5-45.  | 
 (e) An applicant who receives a Conditional Adult Use  | 
Dispensing Organization License under this Section has 180  | 
days from the date of award to identify a physical location for  | 
the dispensing organization retail storefront. The applicant  | 
shall provide evidence that the location is not within 1,500  | 
feet of an existing dispensing organization, unless the  | 
applicant is a Social Equity Applicant or Social Equity  | 
Justice Involved Applicant located or seeking to locate within  | 
1,500 feet of a dispensing organization licensed under Section  | 
15-15 or Section 15-20. If an applicant is unable to find a  | 
suitable physical address in the opinion of the Department  | 
within 180 days of the issuance of the Conditional Adult Use  | 
Dispensing Organization License, the Department may extend the  | 
 | 
period for finding a physical address another 180 days if the  | 
Conditional Adult Use Dispensing Organization License holder  | 
demonstrates concrete attempts to secure a location and a  | 
hardship. If the Department denies the extension or the  | 
Conditional Adult Use Dispensing Organization License holder  | 
is unable to find a location or become operational within 360  | 
days of being awarded a conditional license, the Department  | 
shall rescind the conditional license and award it to the next  | 
highest scoring applicant in the BLS Region for which the  | 
license was assigned, provided the applicant receiving the  | 
license: (i) confirms a continued interest in operating a  | 
dispensing organization; (ii) can provide evidence that the  | 
applicant continues to meet all requirements for holding a  | 
Conditional Adult Use Dispensing Organization License set  | 
forth in this Act; and (iii) has not otherwise become  | 
ineligible to be awarded a dispensing organization license. If  | 
the new awardee is unable to accept the Conditional Adult Use  | 
Dispensing Organization License, the Department shall award  | 
the Conditional Adult Use Dispensing Organization License to  | 
the next highest scoring applicant in the same manner. The new  | 
awardee shall be subject to the same required deadlines as  | 
provided in this subsection. | 
 (e-5) If, within 180 days of being awarded a Conditional  | 
Adult Use Dispensing Organization License, a dispensing  | 
organization is unable to find a location within the BLS  | 
Region in which it was awarded a Conditional Adult Use  | 
 | 
Dispensing Organization License because no jurisdiction within  | 
the BLS Region allows for the operation of an Adult Use  | 
Dispensing Organization, the Department of Financial and  | 
Professional Regulation may authorize the Conditional Adult  | 
Use Dispensing Organization License holder to transfer its  | 
license to a BLS Region specified by the Department. | 
 (f) A dispensing organization that is awarded a  | 
Conditional Adult Use Dispensing Organization License pursuant  | 
to the criteria in Section 15-30 shall not purchase, possess,  | 
sell, or dispense cannabis or cannabis-infused products until  | 
the person has received an Adult Use Dispensing Organization  | 
License issued by the Department pursuant to Section 15-36 of  | 
this Act. | 
 (g) The Department shall conduct a background check of the  | 
prospective organization agents in order to carry out this  | 
Article. The Illinois State Police shall charge the applicant  | 
a fee for conducting the criminal history record check, which  | 
shall be deposited into the State Police Services Fund and  | 
shall not exceed the actual cost of the record check. Each  | 
person applying as a dispensing organization agent shall  | 
submit a full set of fingerprints to the Illinois State Police  | 
for the purpose of obtaining a State and federal criminal  | 
records check. These fingerprints shall be checked against the  | 
fingerprint records now and hereafter, to the extent allowed  | 
by law, filed in the Illinois State Police and Federal Bureau  | 
of Identification criminal history records databases. The  | 
 | 
Illinois State Police shall furnish, following positive  | 
identification, all Illinois conviction information to the  | 
Department.
 | 
(Source: P.A. 101-27, eff. 6-25-19; 101-593, eff. 12-4-19;  | 
102-98, eff. 7-15-21; 102-538, eff. 8-20-21; revised  | 
10-13-21.)
 | 
 (410 ILCS 705/15-30)
 | 
 Sec. 15-30. Selection criteria for conditional licenses  | 
awarded under Section 15-25.  | 
 (a) Applicants for a Conditional Adult Use Dispensing  | 
Organization License must submit all required information,  | 
including the information required in Section 15-25, to the  | 
Department. Failure by an applicant to submit all required  | 
information may result in the application being disqualified. | 
 (b) If the Department receives an application that fails  | 
to provide the required elements contained in this Section,  | 
the Department shall issue a deficiency notice to the  | 
applicant. The applicant shall have 10 calendar days from the  | 
date of the deficiency notice to resubmit the incomplete  | 
information. Applications that are still incomplete after this  | 
opportunity to cure will not be scored and will be  | 
disqualified. | 
 (c) The Department will award up to 250 points to complete  | 
applications based on the sufficiency of the applicant's  | 
responses to required information. Applicants will be awarded  | 
 | 
points based on a determination that the application  | 
satisfactorily includes the following elements:  | 
  (1) Suitability of Employee Training Plan (15 points).  | 
 The plan includes an employee training plan that  | 
 demonstrates that employees will understand the rules and  | 
 laws to be followed by dispensary employees, have  | 
 knowledge of any security measures and operating  | 
 procedures of the dispensary, and are able to advise  | 
 purchasers on how to safely consume cannabis and use  | 
 individual products offered by the dispensary. | 
  (2) Security and Recordkeeping (65 points). | 
   (A) The security plan accounts for the prevention  | 
 of the theft or diversion of cannabis. The security  | 
 plan demonstrates safety procedures for dispensing  | 
 organization agents and purchasers, and safe delivery  | 
 and storage of cannabis and currency. It demonstrates  | 
 compliance with all security requirements in this Act  | 
 and rules. | 
   (B) A plan for recordkeeping, tracking, and  | 
 monitoring inventory, quality control, and other  | 
 policies and procedures that will promote standard  | 
 recordkeeping and discourage unlawful activity. This  | 
 plan includes the applicant's strategy to communicate  | 
 with the Department and the Illinois State Police on  | 
 the destruction and disposal of cannabis. The plan  | 
 must also demonstrate compliance with this Act and  | 
 | 
 rules. | 
   (C) The security plan shall also detail which  | 
 private security contractor licensed under Section  | 
 10-5 of the Private Detective, Private Alarm, Private  | 
 Security, Fingerprint Vendor, and Locksmith Act of  | 
 2004 the dispensary will contract with in order to  | 
 provide adequate security at its facility. | 
  (3) Applicant's Business Plan, Financials, Operating  | 
 and Floor Plan (65 points). | 
   (A) The business plan shall describe, at a  | 
 minimum, how the dispensing organization will be  | 
 managed on a long-term basis. This shall include a  | 
 description of the dispensing organization's  | 
 point-of-sale system, purchases and denials of sale,  | 
 confidentiality, and products and services to be  | 
 offered. It will demonstrate compliance with this Act  | 
 and rules. | 
   (B) The operating plan shall include, at a  | 
 minimum, best practices for day-to-day dispensary  | 
 operation and staffing. The operating plan may also  | 
 include information about employment practices,  | 
 including information about the percentage of  | 
 full-time employees who will be provided a living  | 
 wage. | 
   (C) The proposed floor plan is suitable for public  | 
 access, the layout promotes safe dispensing of  | 
 | 
 cannabis, is compliant with the Americans with  | 
 Disabilities Act and the Environmental Barriers Act,  | 
 and facilitates safe product handling and storage. | 
  (4) Knowledge and Experience (30 points). | 
   (A) The applicant's principal officers must  | 
 demonstrate experience and qualifications in business  | 
 management or experience with the cannabis industry.  | 
 This includes ensuring optimal safety and accuracy in  | 
 the dispensing and sale of cannabis. | 
   (B) The applicant's principal officers must  | 
 demonstrate knowledge of various cannabis product  | 
 strains or varieties and describe the types and  | 
 quantities of products planned to be sold. This  | 
 includes confirmation of whether the dispensing  | 
 organization plans to sell cannabis paraphernalia or  | 
 edibles. | 
   (C) Knowledge and experience may be demonstrated  | 
 through experience in other comparable industries that  | 
 reflect on the applicant's ability to operate a  | 
 cannabis business establishment. | 
  (5) Status as a Social Equity Applicant (50 points).  | 
 The applicant meets the qualifications for a Social Equity  | 
 Applicant as set forth in this Act.  | 
  (6) Labor and employment practices (5 points). : The  | 
 applicant may describe plans to provide a safe, healthy,  | 
 and economically beneficial working environment for its  | 
 | 
 agents, including, but not limited to, codes of conduct,  | 
 health care benefits, educational benefits, retirement  | 
 benefits, living wage standards, and entering a labor  | 
 peace agreement with employees. | 
  (7) Environmental Plan (5 points). : The applicant may  | 
 demonstrate an environmental plan of action to minimize  | 
 the carbon footprint, environmental impact, and resource  | 
 needs for the dispensary, which may include, without  | 
 limitation, recycling cannabis product packaging. | 
  (8) Illinois owner (5 points). : The applicant is 51%  | 
 or more owned and controlled by an Illinois resident, who  | 
 can prove residency in each of the past 5 years with tax  | 
 records or 2 of the following: | 
   (A) a signed lease agreement that includes the  | 
 applicant's name; | 
   (B) a property deed that includes the applicant's  | 
 name; | 
   (C) school records; | 
   (D) a voter registration card; | 
   (E) an Illinois driver's license, an Illinois  | 
 Identification Card, or an Illinois Person with a  | 
 Disability Identification Card; | 
   (F) a paycheck stub; | 
   (G) a utility bill; or | 
   (H) any other proof of residency or other  | 
 information necessary to establish residence as  | 
 | 
 provided by rule. | 
  (9) Status as veteran (5 points). : The applicant is  | 
 51% or more controlled and owned by an individual or  | 
 individuals who meet the qualifications of a veteran as  | 
 defined by Section 45-57 of the Illinois Procurement Code. | 
  (10) A diversity plan (5 points). The plan : that  | 
 includes a narrative of not more than 2,500 words that  | 
 establishes a goal of diversity in ownership, management,  | 
 employment, and contracting to ensure that diverse  | 
 participants and groups are afforded equality of  | 
 opportunity. | 
 (d) The Department may also award up to 2 bonus points for  | 
a plan to engage with the community. The applicant may  | 
demonstrate a desire to engage with its community by  | 
participating in one or more of, but not limited to, the  | 
following actions: (i) establishment of an incubator program  | 
designed to increase participation in the cannabis industry by  | 
persons who would qualify as Social Equity Applicants; (ii)  | 
providing financial assistance to substance abuse treatment  | 
centers; (iii) educating children and teens about the  | 
potential harms of cannabis use; or (iv) other measures  | 
demonstrating a commitment to the applicant's community. Bonus  | 
points will only be awarded if the Department receives  | 
applications that receive an equal score for a particular  | 
region.  | 
 (e) The Department may verify information contained in  | 
 | 
each application and accompanying documentation to assess the  | 
applicant's veracity and fitness to operate a dispensing  | 
organization. | 
 (f) The Department may, in its discretion, refuse to issue  | 
an authorization to any applicant: | 
  (1) Who is unqualified to perform the duties required  | 
 of the applicant; | 
  (2) Who fails to disclose or states falsely any  | 
 information called for in the application; | 
  (3) Who has been found guilty of a violation of this  | 
 Act, who has had any disciplinary order entered against it  | 
 by the Department, who has entered into a disciplinary or  | 
 nondisciplinary agreement with the Department, or whose  | 
 medical cannabis dispensing organization, medical cannabis  | 
 cultivation organization, or Early Approval Adult Use  | 
 Dispensing Organization License, or Early Approval Adult  | 
 Use Dispensing Organization License at a secondary site,  | 
 or Early Approval Cultivation Center License was  | 
 suspended, restricted, revoked, or denied for just cause,  | 
 or the applicant's cannabis business establishment license  | 
 was suspended, restricted, revoked, or denied in any other  | 
 state; or | 
  (4) Who has engaged in a pattern or practice of unfair  | 
 or illegal practices, methods, or activities in the  | 
 conduct of owning a cannabis business establishment or  | 
 other business. | 
 | 
 (g) The Department shall deny the license if any principal  | 
officer, board member, or person having a financial or voting  | 
interest of 5% or greater in the licensee is delinquent in  | 
filing any required tax returns or paying any amounts owed to  | 
the State of Illinois. | 
 (h) The Department shall verify an applicant's compliance  | 
with the requirements of this Article and rules before issuing  | 
a dispensing organization license. | 
 (i) Should the applicant be awarded a license, the  | 
information and plans provided in the application, including  | 
any plans submitted for bonus points, shall become a condition  | 
of the Conditional Adult Use Dispensing Organization Licenses  | 
and any Adult Use Dispensing Organization License issued to  | 
the holder of the Conditional Adult Use Dispensing  | 
Organization License, except as otherwise provided by this Act  | 
or rule. Dispensing organizations have a duty to disclose any  | 
material changes to the application. The Department shall  | 
review all material changes disclosed by the dispensing  | 
organization, and may re-evaluate its prior decision regarding  | 
the awarding of a license, including, but not limited to,  | 
suspending or permanently revoking a license. Failure to  | 
comply with the conditions or requirements in the application  | 
may subject the dispensing organization to discipline, up to  | 
and including suspension or permanent revocation of its  | 
authorization or license by the Department. | 
 (j) If an applicant has not begun operating as a  | 
 | 
dispensing organization within one year of the issuance of the  | 
Conditional Adult Use Dispensing Organization License, the  | 
Department may permanently revoke the Conditional Adult Use  | 
Dispensing Organization License and award it to the next  | 
highest scoring applicant in the BLS Region if a suitable  | 
applicant indicates a continued interest in the license or  | 
begin a new selection process to award a Conditional Adult Use  | 
Dispensing Organization License. | 
 (k) The Department shall deny an application if granting  | 
that application would result in a single person or entity  | 
having a direct or indirect financial interest in more than 10  | 
Early Approval Adult Use Dispensing Organization Licenses,  | 
Conditional Adult Use Dispensing Organization Licenses, or  | 
Adult Use Dispensing Organization Licenses. Any entity that is  | 
awarded a license that results in a single person or entity  | 
having a direct or indirect financial interest in more than 10  | 
licenses shall forfeit the most recently issued license and  | 
suffer a penalty to be determined by the Department, unless  | 
the entity declines the license at the time it is awarded.
 | 
(Source: P.A. 101-27, eff. 6-25-19; 101-593, eff. 12-4-19;  | 
102-98, eff. 7-15-21; 102-538, eff. 8-20-21; revised  | 
10-13-21.)
 | 
 (410 ILCS 705/15-40)
 | 
 Sec. 15-40. Dispensing organization agent identification  | 
card; agent training.  | 
 | 
 (a) The Department shall: | 
  (1) verify the information contained in an application  | 
 or renewal for a dispensing organization agent  | 
 identification card submitted under this Article, and  | 
 approve or deny an application or renewal, within 30 days  | 
 of receiving a completed application or renewal  | 
 application and all supporting documentation required by  | 
 rule; | 
  (2) issue a dispensing organization agent  | 
 identification card to a qualifying agent within 15  | 
 business days of approving the application or renewal; | 
  (3) enter the registry identification number of the  | 
 dispensing organization where the agent works;  | 
  (4) within one year from the effective date of this  | 
 Act, allow for an electronic application process and  | 
 provide a confirmation by electronic or other methods that  | 
 an application has been submitted; and | 
  (5) collect a $100 nonrefundable fee from the  | 
 applicant to be deposited into the Cannabis Regulation  | 
 Fund. | 
 (b) A dispensing organization agent must keep his or her  | 
identification card visible at all times when in the  | 
dispensary. | 
 (c) The dispensing organization agent identification cards  | 
shall contain the following: | 
  (1) the name of the cardholder; | 
 | 
  (2) the date of issuance and expiration date of the  | 
 dispensing organization agent identification cards; | 
  (3) a random 10-digit alphanumeric identification  | 
 number containing at least 4 numbers and at least 4  | 
 letters that is unique to the cardholder; and | 
  (4) a photograph of the cardholder. | 
 (d) The dispensing organization agent identification cards  | 
shall be immediately returned to the dispensing organization  | 
upon termination of employment. | 
 (e) The Department shall not issue an agent identification  | 
card if the applicant is delinquent in filing any required tax  | 
returns or paying any amounts owed to the State of Illinois. | 
 (f) Any card lost by a dispensing organization agent shall  | 
be reported to the Illinois State Police and the Department  | 
immediately upon discovery of the loss. | 
 (g) An applicant shall be denied a dispensing organization  | 
agent identification card renewal if he or she fails to  | 
complete the training provided for in this Section. | 
 (h) A dispensing organization agent shall only be required  | 
to hold one card for the same employer regardless of what type  | 
of dispensing organization license the employer holds. | 
 (i) Cannabis retail sales training requirements. | 
  (1) Within 90 days of September 1, 2019, or 90 days of  | 
 employment, whichever is later, all owners, managers,  | 
 employees, and agents involved in the handling or sale of  | 
 cannabis or cannabis-infused product employed by an adult  | 
 | 
 use dispensing organization or medical cannabis dispensing  | 
 organization as defined in Section 10 of the Compassionate  | 
 Use of Medical Cannabis Program Act shall attend and  | 
 successfully complete a Responsible Vendor Program. | 
  (2) Each owner, manager, employee, and agent of an  | 
 adult use dispensing organization or medical cannabis  | 
 dispensing organization shall successfully complete the  | 
 program annually. | 
  (3) Responsible Vendor Program Training modules shall  | 
 include at least 2 hours of instruction time approved by  | 
 the Department including: | 
   (i) Health and safety concerns of cannabis use,  | 
 including the responsible use of cannabis, its  | 
 physical effects, onset of physiological effects,  | 
 recognizing signs of impairment, and appropriate  | 
 responses in the event of overconsumption. | 
   (ii) Training on laws and regulations on driving  | 
 while under the influence and operating a watercraft  | 
 or snowmobile while under the influence. | 
   (iii) Sales to minors prohibition. Training shall  | 
 cover all relevant Illinois laws and rules. | 
   (iv) Quantity limitations on sales to purchasers.  | 
 Training shall cover all relevant Illinois laws and  | 
 rules. | 
   (v) Acceptable forms of identification. Training  | 
 shall include: | 
 | 
    (I) How to check identification; and | 
    (II) Common mistakes made in verification; | 
   (vi) Safe storage of cannabis; | 
   (vii) Compliance with all inventory tracking  | 
 system regulations; | 
   (viii) Waste handling, management, and disposal; | 
   (ix) Health and safety standards; | 
   (x) Maintenance of records; | 
   (xi) Security and surveillance requirements; | 
   (xii) Permitting inspections by State and local  | 
 licensing and enforcement authorities; | 
   (xiii) Privacy issues; | 
   (xiv) Packaging and labeling requirement for sales  | 
 to purchasers; and | 
   (xv) Other areas as determined by rule. | 
 (j) Blank. | 
 (k) Upon the successful completion of the Responsible  | 
Vendor Program, the provider shall deliver proof of completion  | 
either through mail or electronic communication to the  | 
dispensing organization, which shall retain a copy of the  | 
certificate. | 
 (l) The license of a dispensing organization or medical  | 
cannabis dispensing organization whose owners, managers,  | 
employees, or agents fail to comply with this Section may be  | 
suspended or permanently revoked under Section 15-145 or may  | 
face other disciplinary action. | 
 | 
 (m) The regulation of dispensing organization and medical  | 
cannabis dispensing employer and employee training is an  | 
exclusive function of the State, and regulation by a unit of  | 
local government, including a home rule unit, is prohibited.  | 
This subsection (m) is a denial and limitation of home rule  | 
powers and functions under subsection (h) of Section 6 of  | 
Article VII of the Illinois Constitution. | 
 (n) Persons seeking Department approval to offer the  | 
training required by paragraph (3) of subsection (i) may apply  | 
for such approval between August 1 and August 15 of each  | 
odd-numbered year in a manner prescribed by the Department. | 
 (o) Persons seeking Department approval to offer the  | 
training required by paragraph (3) of subsection (i) shall  | 
submit a nonrefundable application fee of $2,000 to be  | 
deposited into the Cannabis Regulation Fund or a fee as may be  | 
set by rule. Any changes made to the training module shall be  | 
approved by the Department.
 | 
 (p) The Department shall not unreasonably deny approval of  | 
a training module that meets all the requirements of paragraph  | 
(3) of subsection (i). A denial of approval shall include a  | 
detailed description of the reasons for the denial. | 
 (q) Any person approved to provide the training required  | 
by paragraph (3) of subsection (i) shall submit an application  | 
for re-approval between August 1 and August 15 of each  | 
odd-numbered year and include a nonrefundable application fee  | 
of $2,000 to be deposited into the Cannabis Regulation Fund or  | 
 | 
a fee as may be set by rule.
 | 
 (r) All persons applying to become or renewing their  | 
registrations to be agents, including agents-in-charge and  | 
principal officers, shall disclose any disciplinary action  | 
taken against them that may have occurred in Illinois, another  | 
state, or another country in relation to their employment at a  | 
cannabis business establishment or at any cannabis cultivation  | 
center, processor, infuser, dispensary, or other cannabis  | 
business establishment. | 
 (s) An agent applicant may begin employment at a  | 
dispensing organization while the agent applicant's  | 
identification card application is pending. Upon approval, the  | 
Department shall issue the agent's identification card to the  | 
agent. If denied, the dispensing organization and the agent  | 
applicant shall be notified and the agent applicant must cease  | 
all activity at the dispensing organization immediately.  | 
(Source: P.A. 101-27, eff. 6-25-19; 101-593, eff. 12-4-19;  | 
102-98, eff. 7-15-21; 102-538, eff. 8-20-21; revised  | 
10-12-21.)
 | 
 (410 ILCS 705/15-135)
 | 
 Sec. 15-135. Investigations.  | 
 (a) Dispensing organizations are subject to random and  | 
unannounced dispensary inspections and cannabis testing by the  | 
Department, the Illinois State Police, local law enforcement,  | 
or as provided by rule. | 
 | 
 (b) The Department and its authorized representatives may  | 
enter any place, including a vehicle, in which cannabis is  | 
held, stored, dispensed, sold, produced, delivered,  | 
transported, manufactured, or disposed of and inspect, in a  | 
reasonable manner, the place and all pertinent equipment,  | 
containers and labeling, and all things including records,  | 
files, financial data, sales data, shipping data, pricing  | 
data, personnel data, research, papers, processes, controls,  | 
and facility, and inventory any stock of cannabis and obtain  | 
samples of any cannabis or cannabis-infused product, any  | 
labels or containers for cannabis, or paraphernalia. | 
 (c) The Department may conduct an investigation of an  | 
applicant, application, dispensing organization, principal  | 
officer, dispensary agent, third party vendor, or any other  | 
party associated with a dispensing organization for an alleged  | 
violation of this Act or rules or to determine qualifications  | 
to be granted a registration by the Department. | 
 (d) The Department may require an applicant or holder of  | 
any license issued pursuant to this Article to produce  | 
documents, records, or any other material pertinent to the  | 
investigation of an application or alleged violations of this  | 
Act or rules. Failure to provide the required material may be  | 
grounds for denial or discipline. | 
 (e) Every person charged with preparation, obtaining, or  | 
keeping records, logs, reports, or other documents in  | 
connection with this Act and rules and every person in charge,  | 
 | 
or having custody, of those documents shall, upon request by  | 
the Department, make the documents immediately available for  | 
inspection and copying by the Department, the Department's  | 
authorized representative, or others authorized by law to  | 
review the documents.
 | 
(Source: P.A. 101-27, eff. 6-25-19; 102-98, eff. 7-15-21;  | 
102-538, eff. 8-20-21; revised 10-12-21.)
 | 
 (410 ILCS 705/20-30)
 | 
 Sec. 20-30. Cultivation center requirements; prohibitions.  | 
 (a) The operating documents of a cultivation center shall  | 
include procedures for the oversight of the cultivation  | 
center, a cannabis plant monitoring system including a  | 
physical inventory recorded weekly, accurate recordkeeping,  | 
and a staffing plan. | 
 (b) A cultivation center shall implement a security plan  | 
reviewed by the Illinois State Police that includes, but is  | 
not limited to: facility access controls, perimeter intrusion  | 
detection systems, personnel identification systems, 24-hour  | 
surveillance system to monitor the interior and exterior of  | 
the cultivation center facility and accessibility to  | 
authorized law enforcement, the Department of Public Health  | 
where processing takes place, and the Department of  | 
Agriculture in real time. | 
 (c) All cultivation of cannabis by a cultivation center  | 
must take place in an enclosed, locked facility at the  | 
 | 
physical address provided to the Department of Agriculture  | 
during the licensing process. The cultivation center location  | 
shall only be accessed by the agents working for the  | 
cultivation center, the Department of Agriculture staff  | 
performing inspections, the Department of Public Health staff  | 
performing inspections, local and State law enforcement or  | 
other emergency personnel, contractors working on jobs  | 
unrelated to cannabis, such as installing or maintaining  | 
security devices or performing electrical wiring, transporting  | 
organization agents as provided in this Act, individuals in a  | 
mentoring or educational program approved by the State, or  | 
other individuals as provided by rule. | 
 (d) A cultivation center may not sell or distribute any  | 
cannabis or cannabis-infused products to any person other than  | 
a dispensing organization, craft grower, infuser organization,  | 
transporter, or as otherwise authorized by rule. | 
 (e) A cultivation center may not either directly or  | 
indirectly discriminate in price between different dispensing  | 
organizations, craft growers, or infuser organizations that  | 
are purchasing a like grade, strain, brand, and quality of  | 
cannabis or cannabis-infused product. Nothing in this  | 
subsection (e) prevents a cultivation center from pricing  | 
cannabis differently based on differences in the cost of  | 
manufacturing or processing, the quantities sold, such as  | 
volume discounts, or the way the products are delivered. | 
 (f) All cannabis harvested by a cultivation center and  | 
 | 
intended for distribution to a dispensing organization must be  | 
entered into a data collection system, packaged and labeled  | 
under Section 55-21, and placed into a cannabis container for  | 
transport. All cannabis harvested by a cultivation center and  | 
intended for distribution to a craft grower or infuser  | 
organization must be packaged in a labeled cannabis container  | 
and entered into a data collection system before transport. | 
 (g) Cultivation centers are subject to random inspections  | 
by the Department of Agriculture, the Department of Public  | 
Health, local safety or health inspectors, the Illinois State  | 
Police, or as provided by rule. | 
 (h) A cultivation center agent shall notify local law  | 
enforcement, the Illinois State Police, and the Department of  | 
Agriculture within 24 hours of the discovery of any loss or  | 
theft. Notification shall be made by phone or in person, or by  | 
written or electronic communication. | 
 (i) A cultivation center shall comply with all State and  | 
any applicable federal rules and regulations regarding the use  | 
of pesticides on cannabis plants. | 
 (j) No person or entity shall hold any legal, equitable,  | 
ownership, or beneficial interest, directly or indirectly, of  | 
more than 3 cultivation centers licensed under this Article.  | 
Further, no person or entity that is employed by, an agent of,  | 
has a contract to receive payment in any form from a  | 
cultivation center, is a principal officer of a cultivation  | 
center, or entity controlled by or affiliated with a principal  | 
 | 
officer of a cultivation shall hold any legal, equitable,  | 
ownership, or beneficial interest, directly or indirectly, in  | 
a cultivation that would result in the person or entity owning  | 
or controlling in combination with any cultivation center,  | 
principal officer of a cultivation center, or entity  | 
controlled or affiliated with a principal officer of a  | 
cultivation center by which he, she, or it is employed, is an  | 
agent of, or participates in the management of, more than 3  | 
cultivation center licenses. | 
 (k) A cultivation center may not contain more than 210,000  | 
square feet of canopy space for plants in the flowering stage  | 
for cultivation of adult use cannabis as provided in this Act. | 
 (l) A cultivation center may process cannabis, cannabis  | 
concentrates, and cannabis-infused products. | 
 (m) Beginning July 1, 2020, a cultivation center shall not  | 
transport cannabis or cannabis-infused products to a craft  | 
grower, dispensing organization, infuser organization, or  | 
laboratory licensed under this Act, unless it has obtained a  | 
transporting organization license. | 
 (n) It is unlawful for any person having a cultivation  | 
center license or any officer, associate, member,  | 
representative, or agent of such licensee to offer or deliver  | 
money, or anything else of value, directly or indirectly to  | 
any person having an Early Approval Adult Use Dispensing  | 
Organization License, a Conditional Adult Use Dispensing  | 
Organization License, an Adult Use Dispensing Organization  | 
 | 
License, or a medical cannabis dispensing organization license  | 
issued under the Compassionate Use of Medical Cannabis Program  | 
Act, or to any person connected with or in any way  | 
representing, or to any member of the family of, such person  | 
holding an Early Approval Adult Use Dispensing Organization  | 
License, a Conditional Adult Use Dispensing Organization  | 
License, an Adult Use Dispensing Organization License, or a  | 
medical cannabis dispensing organization license issued under  | 
the Compassionate Use of Medical Cannabis Program Act, or to  | 
any stockholders in any corporation engaged in the retail sale  | 
of cannabis, or to any officer, manager, agent, or  | 
representative of the Early Approval Adult Use Dispensing  | 
Organization License, a Conditional Adult Use Dispensing  | 
Organization License, an Adult Use Dispensing Organization  | 
License, or a medical cannabis dispensing organization license  | 
issued under the Compassionate Use of Medical Cannabis Program  | 
Act to obtain preferential placement within the dispensing  | 
organization, including, without limitation, on shelves and in  | 
display cases where purchasers can view products, or on the  | 
dispensing organization's website. | 
 (o) A cultivation center must comply with any other  | 
requirements or prohibitions set by administrative rule of the  | 
Department of Agriculture.
 | 
(Source: P.A. 101-27, eff. 6-25-19; 101-593, eff. 12-4-19;  | 
102-98, eff. 7-15-21; 102-538, eff. 8-20-21; revised 11-9-21.)
 | 
 | 
 (410 ILCS 705/25-30) | 
 (Section scheduled to be repealed on July 1, 2026)
 | 
 Sec. 25-30. Inspection rights.  | 
 (a) A licensee's enclosed, locked facilities are subject  | 
to random inspections by the Department, the Illinois State  | 
Police, or as provided by rule. | 
 (b) Nothing in this Section shall be construed to give the  | 
Department, the Illinois State Police, or any other entity  | 
identified by rule under subsection (a) a right of inspection  | 
or access to any location on the licensee's premises beyond  | 
the facilities licensed under this Article.
 | 
(Source: P.A. 101-27, eff. 6-25-19; 102-98, eff. 7-15-21;  | 
102-538, eff. 8-20-21; revised 10-21-21.)
 | 
 (410 ILCS 705/25-35) | 
 (Section scheduled to be repealed on July 1, 2026)
 | 
 Sec. 25-35. Community College Cannabis Vocational Training  | 
Pilot Program faculty participant agent identification card.  | 
 (a) The Department shall: | 
  (1) establish by rule the information required in an  | 
 initial application or renewal application for an agent  | 
 identification card submitted under this Article and the  | 
 nonrefundable fee to accompany the initial application or  | 
 renewal application; | 
  (2) verify the information contained in an initial  | 
 application or renewal application for an agent  | 
 | 
 identification card submitted under this Article, and  | 
 approve or deny an application within 30 days of receiving  | 
 a completed initial application or renewal application and  | 
 all supporting documentation required by rule; | 
  (3) issue an agent identification card to a qualifying  | 
 agent within 15 business days of approving the initial  | 
 application or renewal application; | 
  (4) enter the license number of the community college  | 
 where the agent works; and | 
  (5) allow for an electronic initial application and  | 
 renewal application process, and provide a confirmation by  | 
 electronic or other methods that an application has been  | 
 submitted. Each Department may by rule require prospective  | 
 agents to file their applications by electronic means and  | 
 to provide notices to the agents by electronic means. | 
 (b) An agent must keep his or her identification card  | 
visible at all times when in the enclosed, locked facility, or  | 
facilities for which he or she is an agent. | 
 (c) The agent identification cards shall contain the  | 
following: | 
  (1) the name of the cardholder; | 
  (2) the date of issuance and expiration date of the  | 
 identification card; | 
  (3) a random 10-digit alphanumeric identification  | 
 number containing at least 4 numbers and at least 4  | 
 letters that is unique to the holder; | 
 | 
  (4) a photograph of the cardholder; and | 
  (5) the legal name of the community college employing  | 
 the agent. | 
 (d) An agent identification card shall be immediately  | 
returned to the community college of the agent upon  | 
termination of his or her employment. | 
 (e) Any agent identification card lost shall be reported  | 
to the Illinois State Police and the Department of Agriculture  | 
immediately upon discovery of the loss. | 
 (f) An agent applicant may begin employment at a Community  | 
College Cannabis Vocational Training Pilot Program while the  | 
agent applicant's identification card application is pending.  | 
Upon approval, the Department shall issue the agent's  | 
identification card to the agent. If denied, the Community  | 
College Cannabis Vocational Training Pilot Program and the  | 
agent applicant shall be notified and the agent applicant must  | 
cease all activity at the Community College Cannabis  | 
Vocational Training Pilot Program immediately. 
 | 
(Source: P.A. 101-27, eff. 6-25-19; 102-98, eff. 7-15-21;  | 
102-538, eff. 8-20-21; revised 10-21-21.)
 | 
 (410 ILCS 705/30-30)
 | 
 Sec. 30-30. Craft grower requirements; prohibitions.  | 
 (a) The operating documents of a craft grower shall  | 
include procedures for the oversight of the craft grower, a  | 
cannabis plant monitoring system including a physical  | 
 | 
inventory recorded weekly, accurate recordkeeping, and a  | 
staffing plan. | 
 (b) A craft grower shall implement a security plan  | 
reviewed by the Illinois State Police that includes, but is  | 
not limited to: facility access controls, perimeter intrusion  | 
detection systems, personnel identification systems, and a  | 
24-hour surveillance system to monitor the interior and  | 
exterior of the craft grower facility and that is accessible  | 
to authorized law enforcement and the Department of  | 
Agriculture in real time.  | 
 (c) All cultivation of cannabis by a craft grower must  | 
take place in an enclosed, locked facility at the physical  | 
address provided to the Department of Agriculture during the  | 
licensing process. The craft grower location shall only be  | 
accessed by the agents working for the craft grower, the  | 
Department of Agriculture staff performing inspections, the  | 
Department of Public Health staff performing inspections,  | 
State and local law enforcement or other emergency personnel,  | 
contractors working on jobs unrelated to cannabis, such as  | 
installing or maintaining security devices or performing  | 
electrical wiring, transporting organization agents as  | 
provided in this Act, or participants in the incubator  | 
program, individuals in a mentoring or educational program  | 
approved by the State, or other individuals as provided by  | 
rule. However, if a craft grower shares a premises with an  | 
infuser or dispensing organization, agents from those other  | 
 | 
licensees may access the craft grower portion of the premises  | 
if that is the location of common bathrooms, lunchrooms,  | 
locker rooms, or other areas of the building where work or  | 
cultivation of cannabis is not performed. At no time may an  | 
infuser or dispensing organization agent perform work at a  | 
craft grower without being a registered agent of the craft  | 
grower. | 
 (d) A craft grower may not sell or distribute any cannabis  | 
to any person other than a cultivation center, a craft grower,  | 
an infuser organization, a dispensing organization, or as  | 
otherwise authorized by rule. | 
 (e) A craft grower may not be located in an area zoned for  | 
residential use. | 
 (f) A craft grower may not either directly or indirectly  | 
discriminate in price between different cannabis business  | 
establishments that are purchasing a like grade, strain,  | 
brand, and quality of cannabis or cannabis-infused product.  | 
Nothing in this subsection (f) prevents a craft grower from  | 
pricing cannabis differently based on differences in the cost  | 
of manufacturing or processing, the quantities sold, such as  | 
volume discounts, or the way the products are delivered. | 
 (g) All cannabis harvested by a craft grower and intended  | 
for distribution to a dispensing organization must be entered  | 
into a data collection system, packaged and labeled under  | 
Section 55-21, and, if distribution is to a dispensing  | 
organization that does not share a premises with the  | 
 | 
dispensing organization receiving the cannabis, placed into a  | 
cannabis container for transport. All cannabis harvested by a  | 
craft grower and intended for distribution to a cultivation  | 
center, to an infuser organization, or to a craft grower with  | 
which it does not share a premises, must be packaged in a  | 
labeled cannabis container and entered into a data collection  | 
system before transport. | 
 (h) Craft growers are subject to random inspections by the  | 
Department of Agriculture, local safety or health inspectors,  | 
the Illinois State Police, or as provided by rule. | 
 (i) A craft grower agent shall notify local law  | 
enforcement, the Illinois State Police, and the Department of  | 
Agriculture within 24 hours of the discovery of any loss or  | 
theft. Notification shall be made by phone, in person, or  | 
written or electronic communication. | 
 (j) A craft grower shall comply with all State and any  | 
applicable federal rules and regulations regarding the use of  | 
pesticides. | 
 (k) A craft grower or craft grower agent shall not  | 
transport cannabis or cannabis-infused products to any other  | 
cannabis business establishment without a transport  | 
organization license unless: | 
  (i) If the craft grower is located in a county with a  | 
 population of 3,000,000 or more, the cannabis business  | 
 establishment receiving the cannabis is within 2,000 feet  | 
 of the property line of the craft grower; | 
 | 
  (ii) If the craft grower is located in a county with a  | 
 population of more than 700,000 but fewer than 3,000,000,  | 
 the cannabis business establishment receiving the cannabis  | 
 is within 2 miles of the craft grower; or | 
  (iii) If the craft grower is located in a county with a  | 
 population of fewer than 700,000, the cannabis business  | 
 establishment receiving the cannabis is within 15 miles of  | 
 the craft grower. | 
 (l) A craft grower may enter into a contract with a  | 
transporting organization to transport cannabis to a  | 
cultivation center, a craft grower, an infuser organization, a  | 
dispensing organization, or a laboratory. | 
 (m) No person or entity shall hold any legal, equitable,  | 
ownership, or beneficial interest, directly or indirectly, of  | 
more than 3 craft grower licenses. Further, no person or  | 
entity that is employed by, an agent of, or has a contract to  | 
receive payment from or participate in the management of a  | 
craft grower, is a principal officer of a craft grower, or  | 
entity controlled by or affiliated with a principal officer of  | 
a craft grower shall hold any legal, equitable, ownership, or  | 
beneficial interest, directly or indirectly, in a craft grower  | 
license that would result in the person or entity owning or  | 
controlling in combination with any craft grower, principal  | 
officer of a craft grower, or entity controlled or affiliated  | 
with a principal officer of a craft grower by which he, she, or  | 
it is employed, is an agent of, or participates in the  | 
 | 
management of more than 3 craft grower licenses. | 
 (n) It is unlawful for any person having a craft grower  | 
license or any officer, associate, member, representative, or  | 
agent of the licensee to offer or deliver money, or anything  | 
else of value, directly or indirectly, to any person having an  | 
Early Approval Adult Use Dispensing Organization License, a  | 
Conditional Adult Use Dispensing Organization License, an  | 
Adult Use Dispensing Organization License, or a medical  | 
cannabis dispensing organization license issued under the  | 
Compassionate Use of Medical Cannabis Program Act, or to any  | 
person connected with or in any way representing, or to any  | 
member of the family of, the person holding an Early Approval  | 
Adult Use Dispensing Organization License, a Conditional Adult  | 
Use Dispensing Organization License, an Adult Use Dispensing  | 
Organization License, or a medical cannabis dispensing  | 
organization license issued under the Compassionate Use of  | 
Medical Cannabis Program Act, or to any stockholders in any  | 
corporation engaged in the retail sale of cannabis, or to any  | 
officer, manager, agent, or representative of the Early  | 
Approval Adult Use Dispensing Organization License, a  | 
Conditional Adult Use Dispensing Organization License, an  | 
Adult Use Dispensing Organization License, or a medical  | 
cannabis dispensing organization license issued under the  | 
Compassionate Use of Medical Cannabis Program Act to obtain  | 
preferential placement within the dispensing organization,  | 
including, without limitation, on shelves and in display cases  | 
 | 
where purchasers can view products, or on the dispensing  | 
organization's website. | 
 (o) A craft grower shall not be located within 1,500 feet  | 
of another craft grower or a cultivation center. | 
 (p) A craft grower may process cannabis, cannabis  | 
concentrates, and cannabis-infused products. | 
 (q) A craft grower must comply with any other requirements  | 
or prohibitions set by administrative rule of the Department  | 
of Agriculture.
 | 
(Source: P.A. 101-27, eff. 6-25-19; 101-593, eff. 12-4-19;  | 
102-98, eff. 7-15-21; 102-538, eff. 8-20-21; revised  | 
10-21-21.)
 | 
 (410 ILCS 705/35-25)
 | 
 Sec. 35-25. Infuser organization requirements;  | 
prohibitions.  | 
 (a) The operating documents of an infuser shall include  | 
procedures for the oversight of the infuser, an inventory  | 
monitoring system including a physical inventory recorded  | 
weekly, accurate recordkeeping, and a staffing plan. | 
 (b) An infuser shall implement a security plan reviewed by  | 
the Illinois State Police that includes, but is not limited  | 
to: facility access controls, perimeter intrusion detection  | 
systems, personnel identification systems, and a 24-hour  | 
surveillance system to monitor the interior and exterior of  | 
the infuser facility and that is accessible to authorized law  | 
 | 
enforcement, the Department of Public Health, and the  | 
Department of Agriculture in real time. | 
 (c) All processing of cannabis by an infuser must take  | 
place in an enclosed, locked facility at the physical address  | 
provided to the Department of Agriculture during the licensing  | 
process. The infuser location shall only be accessed by the  | 
agents working for the infuser, the Department of Agriculture  | 
staff performing inspections, the Department of Public Health  | 
staff performing inspections, State and local law enforcement  | 
or other emergency personnel, contractors working on jobs  | 
unrelated to cannabis, such as installing or maintaining  | 
security devices or performing electrical wiring, transporting  | 
organization agents as provided in this Act, participants in  | 
the incubator program, individuals in a mentoring or  | 
educational program approved by the State, local safety or  | 
health inspectors, or other individuals as provided by rule.  | 
However, if an infuser shares a premises with a craft grower or  | 
dispensing organization, agents from these other licensees may  | 
access the infuser portion of the premises if that is the  | 
location of common bathrooms, lunchrooms, locker rooms, or  | 
other areas of the building where processing of cannabis is  | 
not performed. At no time may a craft grower or dispensing  | 
organization agent perform work at an infuser without being a  | 
registered agent of the infuser. | 
 (d) An infuser may not sell or distribute any cannabis to  | 
any person other than a dispensing organization, or as  | 
 | 
otherwise authorized by rule. | 
 (e) An infuser may not either directly or indirectly  | 
discriminate in price between different cannabis business  | 
establishments that are purchasing a like grade, strain,  | 
brand, and quality of cannabis or cannabis-infused product.  | 
Nothing in this subsection (e) prevents an infuser from  | 
pricing cannabis differently based on differences in the cost  | 
of manufacturing or processing, the quantities sold, such  | 
volume discounts, or the way the products are delivered. | 
 (f) All cannabis infused by an infuser and intended for  | 
distribution to a dispensing organization must be entered into  | 
a data collection system, packaged and labeled under Section  | 
55-21, and, if distribution is to a dispensing organization  | 
that does not share a premises with the infuser, placed into a  | 
cannabis container for transport. All cannabis produced by an  | 
infuser and intended for distribution to a cultivation center,  | 
infuser organization, or craft grower with which it does not  | 
share a premises, must be packaged in a labeled cannabis  | 
container and entered into a data collection system before  | 
transport. | 
 (g) Infusers are subject to random inspections by the  | 
Department of Agriculture, the Department of Public Health,  | 
the Illinois State Police, local law enforcement, or as  | 
provided by rule. | 
 (h) An infuser agent shall notify local law enforcement,  | 
the Illinois State Police, and the Department of Agriculture  | 
 | 
within 24 hours of the discovery of any loss or theft.  | 
Notification shall be made by phone, in person, or by written  | 
or electronic communication. | 
 (i) An infuser organization may not be located in an area  | 
zoned for residential use. | 
 (j) An infuser or infuser agent shall not transport  | 
cannabis or cannabis-infused products to any other cannabis  | 
business establishment without a transport organization  | 
license unless: | 
  (i) If the infuser is located in a county with a  | 
 population of 3,000,000 or more, the cannabis business  | 
 establishment receiving the cannabis or cannabis-infused  | 
 product is within 2,000 feet of the property line of the  | 
 infuser; | 
  (ii) If the infuser is located in a county with a  | 
 population of more than 700,000 but fewer than 3,000,000,  | 
 the cannabis business establishment receiving the cannabis  | 
 or cannabis-infused product is within 2 miles of the  | 
 infuser; or | 
  (iii) If the infuser is located in a county with a  | 
 population of fewer than 700,000, the cannabis business  | 
 establishment receiving the cannabis or cannabis-infused  | 
 product is within 15 miles of the infuser. | 
 (k) An infuser may enter into a contract with a  | 
transporting organization to transport cannabis to a  | 
dispensing organization or a laboratory. | 
 | 
 (l) An infuser organization may share premises with a  | 
craft grower or a dispensing organization, or both, provided  | 
each licensee stores currency and cannabis or cannabis-infused  | 
products in a separate secured vault to which the other  | 
licensee does not have access or all licensees sharing a vault  | 
share more than 50% of the same ownership.  | 
 (m) It is unlawful for any person or entity having an  | 
infuser organization license or any officer, associate,  | 
member, representative or agent of such licensee to offer or  | 
deliver money, or anything else of value, directly or  | 
indirectly to any person having an Early Approval Adult Use  | 
Dispensing Organization License, a Conditional Adult Use  | 
Dispensing Organization License, an Adult Use Dispensing  | 
Organization License, or a medical cannabis dispensing  | 
organization license issued under the Compassionate Use of  | 
Medical Cannabis Program Act, or to any person connected with  | 
or in any way representing, or to any member of the family of,  | 
such person holding an Early Approval Adult Use Dispensing  | 
Organization License, a Conditional Adult Use Dispensing  | 
Organization License, an Adult Use Dispensing Organization  | 
License, or a medical cannabis dispensing organization license  | 
issued under the Compassionate Use of Medical Cannabis Program  | 
Act, or to any stockholders in any corporation engaged the  | 
retail sales of cannabis, or to any officer, manager, agent,  | 
or representative of the Early Approval Adult Use Dispensing  | 
Organization License, a Conditional Adult Use Dispensing  | 
 | 
Organization License, an Adult Use Dispensing Organization  | 
License, or a medical cannabis dispensing organization license  | 
issued under the Compassionate Use of Medical Cannabis Program  | 
Act to obtain preferential placement within the dispensing  | 
organization, including, without limitation, on shelves and in  | 
display cases where purchasers can view products, or on the  | 
dispensing organization's website. | 
 (n) At no time shall an infuser organization or an infuser  | 
agent perform the extraction of cannabis concentrate from  | 
cannabis flower.
 | 
(Source: P.A. 101-27, eff. 6-25-19; 101-593, eff. 12-4-19;  | 
102-98, eff. 7-15-21; 102-538, eff. 8-20-21; revised  | 
10-14-21.)
 | 
 (410 ILCS 705/35-30)
 | 
 Sec. 35-30. Infuser agent identification card.  | 
 (a) The Department of Agriculture shall: | 
  (1) establish by rule the information required in an  | 
 initial application or renewal application for an agent  | 
 identification card submitted under this Act and the  | 
 nonrefundable fee to accompany the initial application or  | 
 renewal application; | 
  (2) verify the information contained in an initial  | 
 application or renewal application for an agent  | 
 identification card submitted under this Act, and approve  | 
 or deny an application within 30 days of receiving a  | 
 | 
 completed initial application or renewal application and  | 
 all supporting documentation required by rule; | 
  (3) issue an agent identification card to a qualifying  | 
 agent within 15 business days of approving the initial  | 
 application or renewal application; | 
  (4) enter the license number of the infuser where the  | 
 agent works; and | 
  (5) allow for an electronic initial application and  | 
 renewal application process, and provide a confirmation by  | 
 electronic or other methods that an application has been  | 
 submitted. The Department of Agriculture may by rule  | 
 require prospective agents to file their applications by  | 
 electronic means and provide notices to the agents by  | 
 electronic means. | 
 (b) An agent must keep his or her identification card  | 
visible at all times when on the property of a cannabis  | 
business establishment including the cannabis business  | 
establishment for which he or she is an agent. | 
 (c) The agent identification cards shall contain the  | 
following: | 
  (1) the name of the cardholder; | 
  (2) the date of issuance and expiration date of the  | 
 identification card; | 
  (3) a random 10-digit alphanumeric identification  | 
 number containing at least 4 numbers and at least 4  | 
 letters that is unique to the holder; | 
 | 
  (4) a photograph of the cardholder; and | 
  (5) the legal name of the infuser organization  | 
 employing the agent. | 
 (d) An agent identification card shall be immediately  | 
returned to the infuser organization of the agent upon  | 
termination of his or her employment. | 
 (e) Any agent identification card lost by a transporting  | 
agent shall be reported to the Illinois State Police and the  | 
Department of Agriculture immediately upon discovery of the  | 
loss. | 
 (f) An agent applicant may begin employment at an infuser  | 
organization while the agent applicant's identification card  | 
application is pending. Upon approval, the Department shall  | 
issue the agent's identification card to the agent. If denied,  | 
the infuser organization and the agent applicant shall be  | 
notified and the agent applicant must cease all activity at  | 
the infuser organization immediately. 
 | 
(Source: P.A. 101-27, eff. 6-25-19; 102-98, eff. 7-15-21;  | 
102-538, eff. 8-20-21; revised 10-14-21.)
 | 
 (410 ILCS 705/40-25)
 | 
 Sec. 40-25. Transporting organization requirements;  | 
prohibitions.  | 
 (a) The operating documents of a transporting organization  | 
shall include procedures for the oversight of the transporter,  | 
an inventory monitoring system including a physical inventory  | 
 | 
recorded weekly, accurate recordkeeping, and a staffing plan. | 
 (b) A transporting organization may not transport cannabis  | 
or cannabis-infused products to any person other than a  | 
cultivation center, a craft grower, an infuser organization, a  | 
dispensing organization, a testing facility, or as otherwise  | 
authorized by rule. | 
 (c) All cannabis transported by a transporting  | 
organization must be entered into a data collection system and  | 
placed into a cannabis container for transport.  | 
 (d) Transporters are subject to random inspections by the  | 
Department of Agriculture, the Department of Public Health,  | 
the Illinois State Police, or as provided by rule. | 
 (e) A transporting organization agent shall notify local  | 
law enforcement, the Illinois State Police, and the Department  | 
of Agriculture within 24 hours of the discovery of any loss or  | 
theft. Notification shall be made by phone, in person, or by  | 
written or electronic communication. | 
 (f) No person under the age of 21 years shall be in a  | 
commercial vehicle or trailer transporting cannabis goods. | 
 (g) No person or individual who is not a transporting  | 
organization agent shall be in a vehicle while transporting  | 
cannabis goods. | 
 (h) Transporters may not use commercial motor vehicles  | 
with a weight rating of over 10,001 pounds. | 
 (i) It is unlawful for any person to offer or deliver  | 
money, or anything else of value, directly or indirectly, to  | 
 | 
any of the following persons to obtain preferential placement  | 
within the dispensing organization, including, without  | 
limitation, on shelves and in display cases where purchasers  | 
can view products, or on the dispensing organization's  | 
website: | 
  (1) a person having a transporting organization  | 
 license, or any officer, associate, member,  | 
 representative, or agent of the licensee; | 
  (2) a person having an Early Applicant Adult Use  | 
 Dispensing Organization License, an Adult Use Dispensing  | 
 Organization License, or a medical cannabis dispensing  | 
 organization license issued under the Compassionate Use of  | 
 Medical Cannabis Program Act; | 
  (3) a person connected with or in any way  | 
 representing, or a member of the family of, a person  | 
 holding an Early Applicant Adult Use Dispensing  | 
 Organization License, an Adult Use Dispensing Organization  | 
 License, or a medical cannabis dispensing organization  | 
 license issued under the Compassionate Use of Medical  | 
 Cannabis Program Act; or | 
  (4) a stockholder, officer, manager, agent, or  | 
 representative of a corporation engaged in the retail sale  | 
 of cannabis, an Early Applicant Adult Use Dispensing  | 
 Organization License, an Adult Use Dispensing Organization  | 
 License, or a medical cannabis dispensing organization  | 
 license issued under the Compassionate Use of Medical  | 
 | 
 Cannabis Program Act. | 
 (j) A transporting organization agent must keep his or her  | 
identification card visible at all times when on the property  | 
of a cannabis business establishment and during the  | 
transporting of cannabis when acting under his or her duties  | 
as a transportation organization agent. During these times,  | 
the transporting organization agent must also provide the  | 
identification card upon request of any law enforcement  | 
officer engaged in his or her official duties. | 
 (k) A copy of the transporting organization's registration  | 
and a manifest for the delivery shall be present in any vehicle  | 
transporting cannabis. | 
 (l) Cannabis shall be transported so it is not visible or  | 
recognizable from outside the vehicle. | 
 (m) A vehicle transporting cannabis must not bear any  | 
markings to indicate the vehicle contains
cannabis or bear the  | 
name or logo of the cannabis business establishment. | 
 (n) Cannabis must be transported in an enclosed, locked  | 
storage compartment that is secured or affixed to the vehicle.  | 
 (o) The Department of Agriculture may, by rule, impose any  | 
other requirements or prohibitions on the transportation of  | 
cannabis.
 | 
(Source: P.A. 101-27, eff. 6-25-19; 101-593, eff. 12-4-19;  | 
102-98, eff. 7-15-21; 102-538, eff. 8-20-21; revised  | 
10-14-21.)
 | 
 | 
 (410 ILCS 705/40-30)
 | 
 Sec. 40-30. Transporting agent identification card.  | 
 (a) The Department of Agriculture shall: | 
  (1) establish by rule the information required in an  | 
 initial application or renewal application for an agent  | 
 identification card submitted under this Act and the  | 
 nonrefundable fee to accompany the initial application or  | 
 renewal application; | 
  (2) verify the information contained in an initial  | 
 application or renewal application for an agent  | 
 identification card submitted under this Act and approve  | 
 or deny an application within 30 days of receiving a  | 
 completed initial application or renewal application and  | 
 all supporting documentation required by rule; | 
  (3) issue an agent identification card to a qualifying  | 
 agent within 15 business days of approving the initial  | 
 application or renewal application; | 
  (4) enter the license number of the transporting  | 
 organization where the agent works; and | 
  (5) allow for an electronic initial application and  | 
 renewal application process, and provide a confirmation by  | 
 electronic or other methods that an application has been  | 
 submitted. The Department of Agriculture may by rule  | 
 require prospective agents to file their applications by  | 
 electronic means and provide notices to the agents by  | 
 electronic means. | 
 | 
 (b) An agent must keep his or her identification card  | 
visible at all times when on the property of a cannabis  | 
business establishment, including the cannabis business  | 
establishment for which he or she is an agent. | 
 (c) The agent identification cards shall contain the  | 
following: | 
  (1) the name of the cardholder; | 
  (2) the date of issuance and expiration date of the  | 
 identification card; | 
  (3) a random 10-digit alphanumeric identification  | 
 number containing at least 4 numbers and at least 4  | 
 letters that is unique to the holder; | 
  (4) a photograph of the cardholder; and | 
  (5) the legal name of the transporting organization  | 
 employing the agent. | 
 (d) An agent identification card shall be immediately  | 
returned to the transporting organization of the agent upon  | 
termination of his or her employment. | 
 (e) Any agent identification card lost by a transporting  | 
agent shall be reported to the Illinois State Police and the  | 
Department of Agriculture immediately upon discovery of the  | 
loss. | 
 (f) An application for an agent identification card shall  | 
be denied if the applicant is delinquent in filing any  | 
required tax returns or paying any amounts owed to the State of  | 
Illinois.
 | 
 | 
 (g) An agent applicant may begin employment at a  | 
transporting organization while the agent applicant's  | 
identification card application is pending. Upon approval, the  | 
Department shall issue the agent's identification card to the  | 
agent. If denied, the transporting organization and the agent  | 
applicant shall be notified and the agent applicant must cease  | 
all activity at the transporting organization immediately.  | 
(Source: P.A. 101-27, eff. 6-25-19; 101-593, eff. 12-4-19;  | 
102-98, eff. 7-15-21; 102-538, eff. 8-20-21; revised  | 
10-14-21.)
 | 
 (410 ILCS 705/55-30)
 | 
 Sec. 55-30. Confidentiality.  | 
 (a) Information provided by the cannabis business  | 
establishment licensees or applicants to the Department of  | 
Agriculture, the Department of Public Health, the Department  | 
of Financial and Professional Regulation, the Department of  | 
Commerce and Economic Opportunity, or other agency shall be  | 
limited to information necessary for the purposes of  | 
administering this Act. The information is subject to the  | 
provisions and limitations contained in the Freedom of  | 
Information Act and may be disclosed in accordance with  | 
Section 55-65. | 
 (b) The following information received and records kept by  | 
the Department of Agriculture, the Department of Public  | 
Health, the Illinois State Police, and the Department of  | 
 | 
Financial and Professional Regulation for purposes of  | 
administering this Article are subject to all applicable  | 
federal privacy laws, are confidential and exempt from  | 
disclosure under the Freedom of Information Act, except as  | 
provided in this Act, and not subject to disclosure to any  | 
individual or public or private entity, except to the  | 
Department of Financial and Professional Regulation, the  | 
Department of Agriculture, the Department of Public Health,  | 
and the Illinois State Police as necessary to perform official  | 
duties under this Article and to the Attorney General as  | 
necessary to enforce the provisions of this Act. The following  | 
information received and kept by the Department of Financial  | 
and Professional Regulation or the Department of Agriculture  | 
may be disclosed to the Department of Public Health, the  | 
Department of Agriculture, the Department of Revenue, the  | 
Illinois State Police, or the Attorney General upon proper  | 
request: | 
  (1) Applications and renewals, their contents, and  | 
 supporting information submitted by or on behalf of  | 
 dispensing organizations, cannabis business  | 
 establishments, or Community College Cannabis Vocational  | 
 Program licensees, in compliance with this Article,  | 
 including their physical addresses; however, this does not  | 
 preclude the release of ownership information about  | 
 cannabis business establishment licenses, or information  | 
 submitted with an application required to be disclosed  | 
 | 
 pursuant to subsection (f); | 
  (2) Any plans, procedures, policies, or other records  | 
 relating to cannabis business establishment security; and | 
  (3) Information otherwise exempt from disclosure by  | 
 State or federal law. | 
 Illinois or national criminal history record information,  | 
or the nonexistence or lack of such information, may not be  | 
disclosed by the Department of Financial and Professional  | 
Regulation or the Department of Agriculture, except as  | 
necessary to the Attorney General to enforce this Act.  | 
 (c) The name and address of a dispensing organization  | 
licensed under this Act shall be subject to disclosure under  | 
the Freedom of Information Act. The name and cannabis business  | 
establishment address of the person or entity holding each  | 
cannabis business establishment license shall be subject to  | 
disclosure. | 
 (d) All information collected by the Department of  | 
Financial and Professional Regulation or the Department of  | 
Agriculture in the course of an examination, inspection, or  | 
investigation of a licensee or applicant, including, but not  | 
limited to, any complaint against a licensee or applicant  | 
filed with the Department of Financial and Professional  | 
Regulation or the Department of Agriculture and information  | 
collected to investigate any such complaint, shall be  | 
maintained for the confidential use of the Department of  | 
Financial and Professional Regulation or the Department of  | 
 | 
Agriculture and shall not be disclosed, except as otherwise  | 
provided in this Act. A formal complaint against a licensee by  | 
the Department of Financial and Professional Regulation or the  | 
Department of Agriculture or any disciplinary order issued by  | 
the Department of Financial and Professional Regulation or the  | 
Department of Agriculture against a licensee or applicant  | 
shall be a public record, except as otherwise provided by law.  | 
Complaints from consumers or members of the general public  | 
received regarding a specific, named licensee or complaints  | 
regarding conduct by unlicensed entities shall be subject to  | 
disclosure under the Freedom of Information Act.  | 
 (e) The Department of Agriculture, the Illinois State  | 
Police, and the Department of Financial and Professional  | 
Regulation shall not share or disclose any Illinois or  | 
national criminal history record information, or the  | 
nonexistence or lack of such information, to any person or  | 
entity not expressly authorized by this Act.  | 
 (f) Each Department responsible for licensure under this  | 
Act shall publish on the Department's website a list of the  | 
ownership information of cannabis business establishment  | 
licensees under the Department's jurisdiction. The list shall  | 
include, but is not limited to: the name of the person or  | 
entity holding each cannabis business establishment license;  | 
and the address at which the entity is operating under this  | 
Act. This list shall be published and updated monthly.
 | 
(Source: P.A. 101-27, eff. 6-25-19; 101-593, eff. 12-4-19;  | 
 | 
102-98, eff. 7-15-21; 102-538, eff. 8-20-21; revised  | 
10-14-21.)
 | 
 Section 545. The Environmental Protection Act is amended  | 
by changing Sections 3.330, 17.12, 21, 22.15, 22.59, and 39 as  | 
follows:
 | 
 (415 ILCS 5/3.330) (was 415 ILCS 5/3.32)
 | 
 Sec. 3.330. Pollution control facility. 
 | 
 (a) "Pollution control facility" is any waste storage  | 
site, sanitary
landfill, waste disposal site, waste transfer  | 
station, waste treatment
facility, or waste incinerator. This  | 
includes sewers, sewage treatment
plants, and any other  | 
facilities owned or operated by sanitary districts
organized  | 
under the Metropolitan Water Reclamation District Act.
 | 
 The following are not pollution control facilities:
 | 
  (1) (blank);
 | 
  (2) waste storage sites regulated under 40 CFR, Part  | 
 761.42;
 | 
  (3) sites or facilities used by any person conducting  | 
 a waste storage,
waste treatment, waste disposal, waste  | 
 transfer or waste incineration
operation, or a combination  | 
 thereof, for wastes generated by such person's
own  | 
 activities, when such wastes are stored, treated, disposed  | 
 of,
transferred or incinerated within the site or facility  | 
 owned, controlled or
operated by such person, or when such  | 
 | 
 wastes are transported within or
between sites or  | 
 facilities owned, controlled or operated by such person;
 | 
  (4) sites or facilities at which the State is  | 
 performing removal or
remedial action pursuant to Section  | 
 22.2 or 55.3;
 | 
  (5) abandoned quarries used solely for the disposal of  | 
 concrete, earth
materials, gravel, or aggregate debris  | 
 resulting from road construction
activities conducted by a  | 
 unit of government or construction activities due
to the  | 
 construction and installation of underground pipes, lines,  | 
 conduit
or wires off of the premises of a public utility  | 
 company which are
conducted by a public utility;
 | 
  (6) sites or facilities used by any person to  | 
 specifically conduct a
landscape composting operation;
 | 
  (7) regional facilities as defined in the Central  | 
 Midwest Interstate
Low-Level Radioactive Waste Compact;
 | 
  (8) the portion of a site or facility where coal  | 
 combustion wastes are
stored or disposed of in accordance  | 
 with subdivision (r)(2) or (r)(3) of
Section 21;
 | 
  (9) the portion of a site or facility used for the  | 
 collection,
storage or processing of waste tires as  | 
 defined in Title XIV;
 | 
  (10) the portion of a site or facility used for  | 
 treatment of
petroleum contaminated materials by  | 
 application onto or incorporation into
the soil surface  | 
 and any portion of that site or facility used for storage
 | 
 | 
 of petroleum contaminated materials before treatment. Only  | 
 those categories
of petroleum listed in Section
57.9(a)(3)  | 
 are exempt under this subdivision (10);
 | 
  (11) the portion of a site or facility where used oil  | 
 is collected or
stored prior to shipment to a recycling or  | 
 energy recovery facility, provided
that the used oil is  | 
 generated by households or commercial establishments, and
 | 
 the site or facility is a recycling center or a business  | 
 where oil or gasoline
is sold at retail; | 
  (11.5) processing sites or facilities that receive  | 
 only on-specification used oil, as defined in 35 Ill. Adm.  | 
 Admin. Code 739, originating from used oil collectors for  | 
 processing that is managed under 35 Ill. Adm. Admin. Code  | 
 739 to produce products for sale to off-site petroleum  | 
 facilities, if these processing sites or facilities are:  | 
 (i) located within a home rule unit of local government  | 
 with a population of at least 30,000 according to the 2000  | 
 federal census, that home rule unit of local government  | 
 has been designated as an Urban Round II Empowerment Zone  | 
 by the United States Department of Housing and Urban  | 
 Development, and that home rule unit of local government  | 
 has enacted an ordinance approving the location of the  | 
 site or facility and provided funding for the site or  | 
 facility; and (ii) in compliance with all applicable  | 
 zoning requirements;
 | 
  (12) the portion of a site or facility utilizing coal  | 
 | 
 combustion waste
for stabilization and treatment of only  | 
 waste generated on that site or
facility when used in  | 
 connection with response actions pursuant to the federal
 | 
 Comprehensive Environmental Response, Compensation, and  | 
 Liability Act of 1980,
the federal Resource Conservation  | 
 and Recovery Act of 1976, or the Illinois
Environmental  | 
 Protection Act or as authorized by the Agency;
 | 
  (13) the portion of a site or facility regulated under  | 
 Section 22.38 of this Act; | 
  (14) the portion of a site or facility, located within  | 
 a unit of local government that has enacted local zoning  | 
 requirements, used to accept, separate, and process  | 
 uncontaminated broken concrete, with or without protruding  | 
 metal bars, provided that the uncontaminated broken  | 
 concrete and metal bars are not speculatively accumulated,  | 
 are at the site or facility no longer than one year after  | 
 their acceptance, and are returned to the economic  | 
 mainstream in the form of raw materials or products;
 | 
  (15) the portion of a site or facility located in a  | 
 county with a population over 3,000,000 that has obtained  | 
 local siting approval under Section 39.2 of this Act for a  | 
 municipal waste incinerator on or before July 1, 2005 and  | 
 that is used for a non-hazardous waste transfer station;
 | 
  (16) a site or facility that temporarily holds in  | 
 transit for 10 days or less, non-putrescible solid waste  | 
 in original containers, no larger in capacity than 500  | 
 | 
 gallons, provided that such waste is further transferred  | 
 to a recycling, disposal, treatment, or storage facility  | 
 on a non-contiguous site and provided such site or  | 
 facility complies with the applicable 10-day transfer  | 
 requirements of the federal Resource Conservation and  | 
 Recovery Act of 1976 and United States Department of  | 
 Transportation hazardous material requirements. For  | 
 purposes of this Section only, "non-putrescible solid  | 
 waste" means waste other than municipal garbage that does  | 
 not rot or become putrid, including, but not limited to,  | 
 paints, solvent, filters, and absorbents;
 | 
  (17)
the portion of a site or facility located in a  | 
 county with a population greater than 3,000,000 that has  | 
 obtained local siting approval, under Section 39.2 of this  | 
 Act, for a municipal waste incinerator on or before July  | 
 1, 2005 and that is used for wood combustion facilities  | 
 for energy recovery that accept and burn only wood  | 
 material, as included in a fuel specification approved by  | 
 the Agency;
 | 
  (18)
a transfer station used exclusively for landscape  | 
 waste, including a transfer station where landscape waste  | 
 is ground to reduce its volume, where the landscape waste  | 
 is held no longer than 24 hours from the time it was  | 
 received; | 
  (19) the portion of a site or facility that (i) is used  | 
 for the composting of food scrap, livestock waste, crop  | 
 | 
 residue, uncontaminated wood waste, or paper waste,  | 
 including, but not limited to, corrugated paper or  | 
 cardboard, and (ii) meets all of the following  | 
 requirements: | 
   (A) There must not be more than a total of 30,000  | 
 cubic yards of livestock waste in raw form or in the  | 
 process of being composted at the site or facility at  | 
 any one time. | 
   (B) All food scrap, livestock waste, crop residue,  | 
 uncontaminated wood waste, and paper waste must, by  | 
 the end of each operating day, be processed and placed  | 
 into an enclosed vessel in which air flow and  | 
 temperature are controlled, or all of the following  | 
 additional requirements must be met: | 
    (i) The portion of the site or facility used  | 
 for the composting operation must include a  | 
 setback of at least 200 feet from the nearest  | 
 potable water supply well. | 
    (ii) The portion of the site or facility used  | 
 for the composting operation must be located  | 
 outside the boundary of the 10-year floodplain or  | 
 floodproofed. | 
    (iii) Except in municipalities with more than  | 
 1,000,000 inhabitants, the portion of the site or  | 
 facility used for the composting operation must be  | 
 located at least one-eighth of a mile from the  | 
 | 
 nearest residence, other than a residence located  | 
 on the same property as the site or facility. | 
    (iv) The portion of the site or facility used  | 
 for the composting operation must be located at  | 
 least one-eighth of a mile from the property line  | 
 of all of the following areas: | 
     (I) Facilities that primarily serve to  | 
 house or treat people that are  | 
 immunocompromised or immunosuppressed, such as  | 
 cancer or AIDS patients; people with asthma,  | 
 cystic fibrosis, or bioaerosol allergies; or  | 
 children under the age of one year. | 
     (II) Primary and secondary schools and  | 
 adjacent areas that the schools use for  | 
 recreation. | 
     (III) Any facility for child care licensed  | 
 under Section 3 of the Child Care Act of 1969;  | 
 preschools; and adjacent areas that the  | 
 facilities or preschools use for recreation. | 
    (v) By the end of each operating day, all food  | 
 scrap, livestock waste, crop residue,  | 
 uncontaminated wood waste, and paper waste must be  | 
 (i) processed into windrows or other piles and  | 
 (ii) covered in a manner that prevents scavenging  | 
 by birds and animals and that prevents other  | 
 nuisances. | 
 | 
   (C) Food scrap, livestock waste, crop residue,  | 
 uncontaminated wood waste, paper waste, and compost  | 
 must not be placed within 5 feet of the water table. | 
   (D) The site or facility must meet all of the  | 
 requirements of the Wild and Scenic Rivers Act (16  | 
 U.S.C. 1271 et seq.). | 
   (E) The site or facility must not (i) restrict the  | 
 flow of a 100-year flood, (ii) result in washout of  | 
 food scrap, livestock waste, crop residue,  | 
 uncontaminated wood waste, or paper waste from a  | 
 100-year flood, or (iii) reduce the temporary water  | 
 storage capacity of the 100-year floodplain, unless  | 
 measures are undertaken to provide alternative storage  | 
 capacity, such as by providing lagoons, holding tanks,  | 
 or drainage around structures at the facility. | 
   (F) The site or facility must not be located in any  | 
 area where it may pose a threat of harm or destruction  | 
 to the features for which: | 
    (i) an irreplaceable historic or  | 
 archaeological site has been listed under the  | 
 National Historic Preservation Act (16 U.S.C. 470  | 
 et seq.) or the Illinois Historic Preservation  | 
 Act; | 
    (ii) a natural landmark has been designated by  | 
 the National Park Service or the Illinois State  | 
 Historic Preservation Office; or | 
 | 
    (iii) a natural area has been designated as a  | 
 Dedicated Illinois Nature Preserve under the  | 
 Illinois Natural Areas Preservation Act. | 
   (G) The site or facility must not be located in an  | 
 area where it may jeopardize the continued existence  | 
 of any designated endangered species, result in the  | 
 destruction or adverse modification of the critical  | 
 habitat for such species, or cause or contribute to  | 
 the taking of any endangered or threatened species of  | 
 plant, fish, or wildlife listed under the Endangered  | 
 Species Act (16 U.S.C. 1531 et seq.) or the Illinois  | 
 Endangered Species Protection Act;  | 
  (20) the portion of a site or facility that is located  | 
 entirely within a home rule unit having a population of no  | 
 less than 120,000 and no more than 135,000, according to  | 
 the 2000 federal census, and that meets all of the  | 
 following requirements: | 
   (i) the portion of the site or facility is used  | 
 exclusively to perform testing of a thermochemical  | 
 conversion technology using only woody biomass,  | 
 collected as landscape waste within the boundaries of  | 
 the home rule unit, as the hydrocarbon feedstock for  | 
 the production of synthetic gas in accordance with  | 
 Section 39.9 of this Act; | 
   (ii) the portion of the site or facility is in  | 
 compliance with all applicable zoning requirements;  | 
 | 
 and | 
   (iii) a complete application for a demonstration  | 
 permit at the portion of the site or facility has been  | 
 submitted to the Agency in accordance with Section  | 
 39.9 of this Act within one year after July 27, 2010  | 
 (the effective date of Public Act 96-1314); | 
  (21) the portion of a site or facility used to perform  | 
 limited testing of a gasification conversion technology in  | 
 accordance with Section 39.8 of this Act and for which a  | 
 complete permit application has been submitted to the  | 
 Agency prior to one year from April 9, 2010 (the effective  | 
 date of Public Act 96-887);
 | 
  (22) the portion of a site or facility that is used to  | 
 incinerate only pharmaceuticals from residential sources  | 
 that are collected and transported by law enforcement  | 
 agencies under Section 17.9A of this Act;  | 
  (23) the portion of a site or facility:  | 
   (A) that is used exclusively for the transfer of  | 
 commingled landscape waste and food scrap held at the  | 
 site or facility for no longer than 24 hours after  | 
 their receipt; | 
   (B) that is located entirely within a home rule  | 
 unit having a population of (i) not less than 100,000  | 
 and not more than 115,000 according to the 2010  | 
 federal census, (ii) not less than 5,000 and not more  | 
 than 10,000 according to the 2010 federal census, or  | 
 | 
 (iii) not less than 25,000 and not more than 30,000  | 
 according to the 2010 federal census or that is  | 
 located in the unincorporated area of a county having  | 
 a population of not less than 700,000 and not more than  | 
 705,000 according to the 2010 federal census; | 
   (C) that is permitted, by the Agency, prior to  | 
 January 1, 2002, for the transfer of landscape waste  | 
 if located in a home rule unit or that is permitted  | 
 prior to January 1, 2008 if located in an  | 
 unincorporated area of a county; and | 
   (D) for which a permit application is submitted to  | 
 the Agency to modify an existing permit for the  | 
 transfer of landscape waste to also include, on a  | 
 demonstration basis not to exceed 24 months each time  | 
 a permit is issued, the transfer of commingled  | 
 landscape waste and food scrap or for which a permit  | 
 application is submitted to the Agency within 6 months  | 
 of August 11, 2017 (the effective date of Public Act  | 
 100-94) this amendatory Act of the 100th General  | 
 Assembly; | 
  (24) the portion of a municipal solid waste landfill  | 
 unit: | 
   (A) that is located in a county having a  | 
 population of not less than 55,000 and not more than  | 
 60,000 according to the 2010 federal census; | 
   (B) that is owned by that county; | 
 | 
   (C) that is permitted, by the Agency, prior to  | 
 July 10, 2015 (the effective date of Public Act  | 
 99-12); and | 
   (D) for which a permit application is submitted to  | 
 the Agency within 6 months after July 10, 2015 (the  | 
 effective date of Public Act 99-12) for the disposal  | 
 of non-hazardous special waste; and | 
  (25) the portion of a site or facility used during a  | 
 mass animal mortality event, as defined in the Animal  | 
 Mortality Act, where such waste is collected, stored,  | 
 processed, disposed, or incinerated under a mass animal  | 
 mortality event plan issued by the Department of  | 
 Agriculture.  | 
 (b) A new pollution control facility is:
 | 
  (1) a pollution control facility initially permitted  | 
 for development or
construction after July 1, 1981; or
 | 
  (2) the area of expansion beyond the boundary of a  | 
 currently permitted
pollution control facility; or
 | 
  (3) a permitted pollution control facility requesting  | 
 approval to
store, dispose of, transfer or incinerate, for  | 
 the first time, any special
or hazardous waste.
 | 
(Source: P.A. 102-216, eff. 1-1-22; 102-310, eff. 8-6-21;  | 
revised 9-22-21.)
 | 
 (415 ILCS 5/17.12) | 
 Sec. 17.12. Lead service line replacement and  | 
 | 
notification. | 
 (a) The purpose of this Act is to: (1) require the owners  | 
and operators of community water supplies to develop,  | 
implement, and maintain a comprehensive water service line  | 
material inventory and a comprehensive lead service line  | 
replacement plan, provide notice to occupants of potentially  | 
affected buildings before any construction or repair work on  | 
water mains or lead service lines, and request access to  | 
potentially affected buildings before replacing lead service  | 
lines; and (2) prohibit partial lead service line  | 
replacements, except as authorized within this Section. | 
 (b) The General Assembly finds and declares that:  | 
  (1) There is no safe level of exposure to heavy metal  | 
 lead, as found by the United States Environmental  | 
 Protection Agency and the Centers for Disease Control and  | 
 Prevention. | 
  (2) Lead service lines can convey this harmful  | 
 substance to the drinking water supply. | 
  (3) According to the Illinois Environmental Protection  | 
 Agency's 2018 Service Line Material Inventory, the State  | 
 of Illinois is estimated to have over 680,000 lead-based  | 
 service lines still in operation. | 
  (4) The true number of lead service lines is not fully  | 
 known because Illinois lacks an adequate inventory of lead  | 
 service lines. | 
  (5) For the general health, safety and welfare of its  | 
 | 
 residents, all lead service lines in Illinois should be  | 
 disconnected from the drinking water supply, and the  | 
 State's drinking water supply.  | 
 (c) In this Section: | 
 "Advisory Board" means the Lead Service Line Replacement  | 
Advisory Board created under subsection (x). | 
 "Community water supply" has the meaning ascribed to it in  | 
Section 3.145 of this Act. | 
 "Department" means the Department of Public Health. | 
 "Emergency repair" means any unscheduled water main, water  | 
service, or water valve repair or replacement that results  | 
from failure or accident. | 
 "Fund" means the Lead Service Line Replacement Fund  | 
created under subsection (bb). | 
 "Lead service line" means a service line made of lead or  | 
service line connected to a lead pigtail, lead gooseneck, or  | 
other lead fitting. | 
 "Material inventory" means a water service line material  | 
inventory developed by a community water supply under this  | 
Act. | 
 "Non-community Noncommunity water supply" has the meaning  | 
ascribed to it in Section 3.145 of the Environmental  | 
Protection Act. | 
 "NSF/ANSI Standard" means a water treatment standard  | 
developed by NSF International. | 
 "Partial lead service line replacement" means replacement  | 
 | 
of only a portion of a lead service line. | 
 "Potentially affected building" means any building that is  | 
provided water service through a service line that is either a  | 
lead service line or a suspected lead service line. | 
 "Public water supply" has the meaning ascribed to it in  | 
Section 3.365 of this Act. | 
 "Service line" means the piping, tubing, and necessary  | 
appurtenances acting as a conduit from the water main or  | 
source of potable water supply to the building plumbing at the  | 
first shut-off valve or 18 inches inside the building,  | 
whichever is shorter. | 
 "Suspected lead service line" means a service line that a  | 
community water supply finds more likely than not to be made of  | 
lead after completing the requirements under paragraphs (2)  | 
through (5) of subsection (h). | 
 "Small system" means a community water supply that  | 
regularly serves water to 3,300 or fewer persons.  | 
 (d) An owner or operator of a community water supply  | 
shall:  | 
  (1) develop an initial material inventory by April 15,  | 
 2022 and electronically submit by April 15, 2023 an  | 
 updated material inventory electronically to the Agency;  | 
 and | 
  (2) deliver a complete material inventory to the  | 
 Agency no later than April 15, 2024, or such time as  | 
 required by federal law, whichever is sooner. The complete  | 
 | 
 inventory shall report the composition of all service  | 
 lines in the community water supply's distribution system.  | 
 (e) The Agency shall review and approve the final material  | 
inventory submitted to it under subsection (d). | 
 (f) If a community water supply does not submit a complete  | 
inventory to the Agency by April 15, 2024 under paragraph (2)  | 
of subsection (d), the community water supply may apply for an  | 
extension to the Agency no less than 3 months prior to the due  | 
date. The Agency shall develop criteria for granting material  | 
inventory extensions. When considering requests for extension,  | 
the Agency shall, at a minimum, consider:  | 
  (1) the number of service connections in a water  | 
 supply; and | 
  (2) the number of service lines of an unknown material  | 
 composition. | 
 (g) A material inventory prepared for a community water  | 
supply under subsection (d) shall identify:  | 
  (1) the total number of service lines connected to the  | 
 community water supply's distribution system; | 
  (2) the materials of construction of each service line  | 
 connected to the community water supply's distribution  | 
 system; | 
  (3) the number of suspected lead service lines that  | 
 were newly identified in the material inventory for the  | 
 community water supply after the community water supply  | 
 last submitted a service line inventory to the Agency; and | 
 | 
  (4) the number of suspected or known lead service  | 
 lines that were replaced after the community water supply  | 
 last submitted a service line inventory to the Agency, and  | 
 the material of the service line that replaced each lead  | 
 service line.  | 
 When identifying the materials of construction under  | 
paragraph (2) of this subsection, the owner or operator of the  | 
community water supply shall to the best of the owner's or  | 
operator's ability identify the type of construction material  | 
used on the customer's side of the curb box, meter, or other  | 
line of demarcation and the community water supply's side of  | 
the curb box, meter, or other line of demarcation. | 
 (h) In completing a material inventory under subsection  | 
(d), the owner or operator of a community water supply shall:  | 
  (1) prioritize inspections of high-risk areas  | 
 identified by the community water supply and inspections  | 
 of high-risk facilities, such as preschools, day care  | 
 centers, day care homes, group day care homes, parks,  | 
 playgrounds, hospitals, and clinics, and confirm service  | 
 line materials in those areas and at those facilities; | 
  (2) review historical documentation, such as  | 
 construction logs or cards, as-built drawings, purchase  | 
 orders, and subdivision plans, to determine service line  | 
 material construction; | 
  (3) when conducting distribution system maintenance,  | 
 visually inspect service lines and document materials of  | 
 | 
 construction; | 
  (4) identify any time period when the service lines  | 
 being connected to its distribution system were primarily  | 
 lead service lines, if such a time period is known or  | 
 suspected; and | 
  (5) discuss service line repair and installation with  | 
 its employees, contractors, plumbers, other workers who  | 
 worked on service lines connected to its distribution  | 
 system, or all of the above. | 
 (i) The owner or operator of each community water supply  | 
shall maintain records of persons who refuse to grant access  | 
to the interior of a building for purposes of identifying the  | 
materials of construction of a service line. If a community  | 
water supply has been denied access on the property or to the  | 
interior of a building for that reason, then the community  | 
water supply shall attempt to identify the service line as a  | 
suspected lead service line, unless documentation is provided  | 
showing otherwise. | 
 (j) If a community water supply identifies a lead service  | 
line connected to a building, the owner or operator of the  | 
community water supply shall attempt to notify the owner of  | 
the building and all occupants of the building of the  | 
existence of the lead service line within 15 days after  | 
identifying the lead service line, or as soon as is reasonably  | 
possible thereafter. Individual written notice shall be given  | 
according to the provisions of subsection (jj). | 
 | 
 (k) An owner or operator of a community water supply has no  | 
duty to include in the material inventory required under  | 
subsection (d) information about service lines that are  | 
physically disconnected from a water main in its distribution  | 
system. | 
 (l) The owner or operator of each community water supply  | 
shall post on its website a copy of the most recently submitted  | 
material inventory or alternatively may request that the  | 
Agency post a copy of that material inventory on the Agency's  | 
website. | 
 (m) Nothing in this Section shall be construed to require  | 
service lines to be unearthed for the sole purpose of  | 
inventorying. | 
 (n) When an owner or operator of a community water supply  | 
awards a contract under this Section, the owner or operator  | 
shall make a good faith effort to use contractors and vendors  | 
owned by minority persons, women, and persons with a  | 
disability, as those terms are defined in Section 2 of the  | 
Business Enterprise for Minorities, Women, and Persons with  | 
Disabilities Act, for not less than 20% of the total  | 
contracts, provided that: | 
  (1) contracts representing at least 11% of the total  | 
 projects shall be awarded to minority-owned businesses, as  | 
 defined in Section 2 of the Business Enterprise for  | 
 Minorities, Women, and Persons with Disabilities Act; | 
  (2) contracts representing at least 7% of the total  | 
 | 
 projects shall be awarded to women-owned businesses, as  | 
 defined in Section 2 of the Business Enterprise for  | 
 Minorities, Women, and Persons with Disabilities Act; and | 
  (3) contracts representing at least 2% of the total  | 
 projects shall be awarded to businesses owned by persons  | 
 with a disability. | 
 Owners or operators of a community water supply are  | 
encouraged to divide projects, whenever economically feasible,  | 
into contracts of smaller size that ensure small business  | 
contractors or vendors shall have the ability to qualify in  | 
the applicable bidding process, when determining the ability  | 
to deliver on a given contract based on scope and size, as a  | 
responsible and responsive bidder. | 
 When a contractor or vendor submits a bid or letter of  | 
intent in response to a request for proposal or other bid  | 
submission, the contractor or vendor shall include with its  | 
responsive documents a utilization plan that shall address how  | 
compliance with applicable good faith requirements set forth  | 
in this subsection shall be addressed. | 
 Under this subsection, "good faith effort" means
a  | 
community water supply has taken all necessary steps to comply  | 
with the goals of this subsection by complying with the  | 
following: | 
  (1) Soliciting through reasonable and available means  | 
 the interest of a business, as defined in Section 2 of the  | 
 Business Enterprise for Minorities, Women, and Persons  | 
 | 
 with Disabilities Act, that have the capability to perform  | 
 the work of the contract. The community water supply must  | 
 solicit this interest within sufficient time to allow  | 
 certified businesses to respond. | 
  (2) Providing interested certified businesses with  | 
 adequate information about the plans, specifications, and  | 
 requirements of the contract, including addenda, in a  | 
 timely manner to assist them in responding to the  | 
 solicitation. | 
  (3) Meeting in good faith with interested certified  | 
 businesses that have submitted bids. | 
  (4) Effectively using the services of the State,  | 
 minority or women community organizations, minority or  | 
 women contractor groups, local, State, and federal  | 
 minority or women business assistance offices, and other  | 
 organizations to provide assistance in the recruitment and  | 
 placement of certified businesses. | 
  (5) Making efforts to use appropriate forums for  | 
 purposes of advertising subcontracting opportunities  | 
 suitable for certified businesses. | 
 The diversity goals defined in this subsection can be met  | 
through direct award to diverse contractors and through the  | 
use of diverse subcontractors and diverse vendors to  | 
contracts.  | 
 (o) An owner or operator of a community water supply shall  | 
collect data necessary to ensure compliance with subsection  | 
 | 
(n) no less than semi-annually and shall include progress  | 
toward compliance of subsection (n) in the owner or operator's  | 
report required under subsection (t-5). The report must  | 
include data on vendor and employee diversity, including data  | 
on the owner's or operator's implementation of subsection (n). | 
 (p) Every owner or operator of a community water supply  | 
that has known or suspected lead service lines shall:  | 
  (1) create a plan to: | 
   (A) replace each lead service line connected to  | 
 its distribution system; and | 
   (B) replace each galvanized service line connected  | 
 to its distribution system, if the galvanized service  | 
 line is or was connected downstream to lead piping;  | 
 and | 
  (2) electronically submit, by April 15, 2024 its  | 
 initial lead service line replacement plan to the Agency; | 
  (3) electronically submit by April 15 of each year  | 
 after 2024 until April 15, 2027 an updated lead service  | 
 line replacement plan to the Agency for review; the  | 
 updated replacement plan shall account for changes in the  | 
 number of lead service lines or unknown service lines in  | 
 the material inventory described in subsection (d); | 
  (4) electronically submit by April 15, 2027 a complete  | 
 and final replacement plan to the Agency for approval; the  | 
 complete and final replacement plan shall account for all  | 
 known and suspected lead service lines documented in the  | 
 | 
 final material inventory described under paragraph (3) of  | 
 subsection (d); and | 
  (5) post on its website a copy of the plan most  | 
 recently submitted to the Agency or may request that the  | 
 Agency post a copy of that plan on the Agency's website.  | 
 (q) Each plan required under paragraph (1) of subsection  | 
(p) shall include the following:  | 
  (1) the name and identification number of the  | 
 community water supply; | 
  (2) the total number of service lines connected to the  | 
 distribution system of the community water supply; | 
  (3) the total number of suspected lead service lines  | 
 connected to the distribution system of the community  | 
 water supply; | 
  (4) the total number of known lead service lines  | 
 connected to the distribution system of the community  | 
 water supply; | 
  (5) the total number of lead service lines connected  | 
 to the distribution system of the community water supply  | 
 that have been replaced each year beginning in 2020; | 
  (6) a proposed lead service line replacement schedule  | 
 that includes one-year, 5-year, 10-year, 15-year, 20-year,  | 
 25-year, and 30-year goals; | 
  (7) an analysis of costs and financing options for  | 
 replacing the lead service lines connected to the  | 
 community water supply's distribution system, which shall  | 
 | 
 include, but shall not be limited to:  | 
   (A) a detailed accounting of costs associated with  | 
 replacing lead service lines and galvanized lines that  | 
 are or were connected downstream to lead piping; | 
   (B) measures to address affordability and prevent  | 
 service shut-offs for customers or ratepayers; and | 
   (C) consideration of different scenarios for  | 
 structuring payments between the utility and its  | 
 customers over time; and  | 
  (8) a plan for prioritizing high-risk facilities, such  | 
 as preschools, day care centers, day care homes, group day  | 
 care homes, parks, playgrounds, hospitals, and clinics, as  | 
 well as high-risk areas identified by the community water  | 
 supply; | 
  (9) a map of the areas where lead service lines are  | 
 expected to be found and the sequence with which those  | 
 areas will be inventoried and lead service lines replaced; | 
  (10) measures for how the community water supply will  | 
 inform the public of the plan and provide opportunity for  | 
 public comment; and | 
  (11) measures to encourage diversity in hiring in the  | 
 workforce required to implement the plan as identified  | 
 under subsection (n).  | 
 (r) The Agency shall review final plans submitted to it  | 
under subsection (p). The Agency shall approve a final plan if  | 
the final plan includes all of the elements set forth under  | 
 | 
subsection (q) and the Agency determines that: | 
  (1) the proposed lead service line replacement  | 
 schedule set forth in the plan aligns with the timeline  | 
 requirements set forth under subsection (v); | 
  (2) the plan prioritizes the replacement of lead  | 
 service lines that provide water service to high-risk  | 
 facilities, such as preschools, day care centers, day care  | 
 homes, group day care homes, parks, playgrounds,  | 
 hospitals, and clinics, and high-risk areas identified by  | 
 the community water supply; | 
  (3) the plan includes analysis of cost and financing  | 
 options; and | 
  (4) the plan provides documentation of public review.  | 
 (s) An owner or operator of a community water supply has no  | 
duty to include in the plans required under subsection (p)  | 
information about service lines that are physically  | 
disconnected from a water main in its distribution system. | 
 (t) If a community water supply does not deliver a  | 
complete plan to the Agency by April 15, 2027, the community  | 
water supply may apply to the Agency for an extension no less  | 
than 3 months prior to the due date. The Agency shall develop  | 
criteria for granting plan extensions. When considering  | 
requests for extension, the Agency shall, at a minimum,  | 
consider:  | 
  (1) the number of service connections in a water  | 
 supply; and | 
 | 
  (2) the number of service lines of an unknown material  | 
 composition. | 
 (t-5) After the Agency has approved the final replacement  | 
plan described in subsection (p), the owner or operator of a  | 
community water supply shall submit a report detailing  | 
progress toward plan goals to the Agency for its review. The  | 
report shall be submitted annually for the first 10 years, and  | 
every 3 years thereafter until all lead service lines have  | 
been replaced. Reports under this subsection shall be  | 
published in the same manner described in subsection (l). The  | 
report shall include at least the following information as it  | 
pertains to the preceding reporting period: | 
  (1) The number of lead service lines replaced and the  | 
 average cost of lead service line replacement. | 
  (2) Progress toward meeting hiring requirements as  | 
 described in subsection (n) and subsection (o). | 
  (3) The percent of customers electing a waiver  | 
 offered, as described in subsections (ii) and (jj), among  | 
 those customers receiving a request or notification to  | 
 perform a lead service line replacement. | 
  (4) The method or methods used by the community water  | 
 supply to finance lead service line replacement. | 
 (u) Notwithstanding any other provision of law, in order  | 
to provide for costs associated with lead service line  | 
remediation and replacement, the corporate authorities of a  | 
municipality may, by ordinance or resolution by the corporate  | 
 | 
authorities, exercise authority provided in Section 27-5 et  | 
seq. of the Property Tax Code and Sections 8-3-1, 8-11-1,  | 
8-11-5, 8-11-6, 9-1-1 et seq., 9-3-1 et seq., 9-4-1 et seq.,  | 
11-131-1, and 11-150-1 of the Illinois Municipal Code. Taxes  | 
levied for this purpose shall be in addition to taxes for  | 
general purposes authorized under Section 8-3-1 of the  | 
Illinois Municipal Code and shall be included in the taxing  | 
district's aggregate extension for the purposes of Division 5  | 
of Article 18 of the Property Tax Code. | 
 (v) Every owner or operator of a community water supply  | 
shall replace all known lead service lines, subject to the  | 
requirements of subsection (ff), according to the following  | 
replacement rates and timelines to be calculated from the date  | 
of submission of the final replacement plan to the Agency:  | 
  (1) A community water supply reporting 1,200 or fewer  | 
 lead service lines in its final inventory and replacement  | 
 plan shall replace all lead service lines, at an annual  | 
 rate of no less than 7% of the amount described in the  | 
 final inventory, with a timeline of up to 15 years for  | 
 completion. | 
  (2) A community water supply reporting more than 1,200  | 
 but fewer than 5,000 lead service lines in its final  | 
 inventory and replacement plan shall replace all lead  | 
 service lines, at an annual rate of no less than 6% of the  | 
 amount described in the final inventory, with a timeline  | 
 of up to 17 years for completion. | 
 | 
  (3) A community water supply reporting more than 4,999  | 
 but fewer than 10,000 lead service lines in its final  | 
 inventory and replacement plan shall replace all lead  | 
 service lines, at an annual rate of no less than 5% of the  | 
 amount described in the final inventory, with a timeline  | 
 of up to 20 years for completion. | 
  (4) A community water supply reporting more than 9,999  | 
 but fewer than 99,999 lead service lines in its final  | 
 inventory and replacement plan shall replace all lead  | 
 service lines, at an annual rate of no less than 3% of the  | 
 amount described in the final inventory, with a timeline  | 
 of up to 34 years for completion. | 
  (5) A community water supply reporting more than  | 
 99,999 lead service lines in its final inventory and  | 
 replacement plan shall replace all lead service lines, at  | 
 an annual rate of no less than 2% of the amount described  | 
 in the final inventory, with a timeline of up to 50 years  | 
 for completion. | 
 (w) A community water supply may apply to the Agency for an  | 
extension to the replacement timelines described in paragraphs  | 
(1) through (5) of subsection (v). The Agency shall develop  | 
criteria for granting replacement timeline extensions. When  | 
considering requests for timeline extensions, the Agency  | 
shall, at a minimum, consider:  | 
  (1) the number of service connections in a water  | 
 supply; and | 
 | 
  (2) unusual circumstances creating hardship for a  | 
 community. | 
 The Agency may grant one extension of additional time  | 
equal to not more than 20% of the original replacement  | 
timeline, except in situations of extreme hardship in which  | 
the Agency may consider a second additional extension equal to  | 
not more than 10% of the original replacement timeline. | 
 Replacement rates and timelines shall be calculated from  | 
the date of submission of the final plan to the Agency. | 
 (x) The Lead Service Line Replacement Advisory Board is  | 
created within the Agency. The Advisory Board shall convene  | 
within 120 days after January 1, 2022 (the effective date of  | 
Public Act 102-613) this amendatory Act of the 102nd General  | 
Assembly.  | 
 The Advisory Board shall consist of at least 28 voting  | 
members, as follows: | 
  (1) the Director of the Agency, or his or her  | 
 designee, who shall serve as chairperson; | 
  (2) the Director of Revenue, or his or her designee; | 
  (3) the Director of Public Health, or his or her  | 
 designee; | 
  (4) fifteen members appointed by the Agency as  | 
 follows:  | 
   (A) one member representing a statewide  | 
 organization of municipalities as authorized by  | 
 Section 1-8-1 of the Illinois Municipal Code; | 
 | 
   (B) two members who are mayors representing  | 
 municipalities located in any county south of the  | 
 southernmost county represented by one of the 10  | 
 largest municipalities in Illinois by population, or  | 
 their respective designees; | 
   (C) two members who are representatives from  | 
 public health advocacy groups; | 
   (D) two members who are representatives from  | 
 publicly-owned water utilities; | 
   (E) one member who is a representative from a  | 
 public utility as defined under Section 3-105 of the  | 
 Public Utilities Act that provides water service in  | 
 the State of Illinois; | 
   (F) one member who is a research professional  | 
 employed at an Illinois academic institution and  | 
 specializing in water infrastructure research; | 
   (G) two members who are representatives from  | 
 nonprofit civic organizations; | 
   (H) one member who is a representative from a  | 
 statewide organization representing environmental  | 
 organizations; | 
   (I) two members who are representatives from  | 
 organized labor; and | 
   (J) one member representing an environmental  | 
 justice organization; and  | 
  (5) ten members who are the mayors of the 10 largest  | 
 | 
 municipalities in Illinois by population, or their  | 
 respective designees.  | 
 No less than 10 of the 28 voting members shall be persons  | 
of color, and no less than 3 shall represent communities  | 
defined or self-identified as environmental justice  | 
communities. | 
 Advisory Board members shall serve without compensation,  | 
but may be reimbursed for necessary expenses incurred in the  | 
performance of their duties from funds appropriated for that  | 
purpose. The Agency shall provide administrative support to  | 
the Advisory Board. | 
 The Advisory Board shall meet no less than once every 6  | 
months. | 
 (y) The Advisory Board shall have, at a minimum, the  | 
following duties: | 
  (1) advising the Agency on best practices in lead  | 
 service line replacement; | 
  (2) reviewing the progress of community water supplies  | 
 toward lead service line replacement goals; | 
  (3) advising the Agency on other matters related to  | 
 the administration of the provisions of this Section; | 
  (4) advising the Agency on the integration of existing  | 
 lead service line replacement plans with any statewide  | 
 plan; and | 
  (5) providing technical support and practical  | 
 expertise in general.  | 
 | 
 (z) Within 18 months after January 1, 2022 (the effective  | 
date of Public Act 102-613) this amendatory Act of the 102nd  | 
General Assembly, the Advisory Board shall deliver a report of  | 
its recommendations to the Governor and the General Assembly  | 
concerning opportunities for dedicated, long-term revenue  | 
options for funding lead service line replacement. In  | 
submitting recommendations, the Advisory Board shall consider,  | 
at a minimum, the following:  | 
  (1) the sufficiency of various revenue sources to  | 
 adequately fund replacement of all lead service lines in  | 
 Illinois; | 
  (2) the financial burden, if any, on households  | 
 falling below 150% of the federal poverty limit; | 
  (3) revenue options that guarantee low-income  | 
 households are protected from rate increases; | 
  (4) an assessment of the ability of community water  | 
 supplies to assess and collect revenue; | 
  (5) variations in financial resources among individual  | 
 households within a service area; and | 
  (6) the protection of low-income households from rate  | 
 increases.  | 
 (aa) Within 10 years after January 1, 2022 (the effective  | 
date of Public Act 102-613) this amendatory Act of the 102nd  | 
General Assembly, the Advisory Board shall prepare and deliver  | 
a report to the Governor and General Assembly concerning the  | 
status of all lead service line replacement within the State. | 
 | 
 (bb) The Lead Service Line Replacement Fund is created as  | 
a special fund in the State treasury to be used by the Agency  | 
for the purposes provided under this Section. The Fund shall  | 
be used exclusively to finance and administer programs and  | 
activities specified under this Section and listed under this  | 
subsection. | 
 The objective of the Fund is to finance activities  | 
associated with identifying and replacing lead service lines,  | 
build Agency capacity to oversee the provisions of this  | 
Section, and provide related assistance for the activities  | 
listed under this subsection. | 
 The Agency shall be responsible for the administration of  | 
the Fund and shall allocate moneys on the basis of priorities  | 
established by the Agency through administrative rule. On July  | 
1, 2022 and on July 1 of each year thereafter, the Agency shall  | 
determine the available amount of resources in the Fund that  | 
can be allocated to the activities identified under this  | 
Section and shall allocate the moneys accordingly. | 
 Notwithstanding any other law to the contrary, the Lead  | 
Service Line Replacement Fund is not subject to sweeps,  | 
administrative charge-backs, or any other fiscal maneuver that  | 
would in any way transfer any amounts from the Lead Service  | 
Line Replacement Fund into any other fund of the State. | 
 (cc) Within one year after January 1, 2022 (the effective  | 
date of Public Act 102-613) this amendatory Act of the 102  | 
General Assembly, the Agency shall design rules for a program  | 
 | 
for the purpose of administering lead service line replacement  | 
funds. The rules must, at minimum, contain: | 
  (1) the process by which community water supplies may  | 
 apply for funding; and | 
  (2) the criteria for determining unit of local  | 
 government eligibility and prioritization for funding,  | 
 including the prevalence of low-income households, as  | 
 measured by median household income, the prevalence of  | 
 lead service lines, and the prevalence of water samples  | 
 that demonstrate elevated levels of lead. | 
 (dd) Funding under subsection (cc) shall be available for  | 
costs directly attributable to the planning, design, or  | 
construction directly related to the replacement of lead  | 
service lines and restoration of property. | 
 Funding shall not be used for the general operating  | 
expenses of a municipality or community water supply.  | 
 (ee) An owner or operator of any community water supply  | 
receiving grant funding under subsection (cc) shall bear the  | 
entire expense of full lead service line replacement for all  | 
lead service lines in the scope of the grant.  | 
 (ff) When replacing a lead service line, the owner or  | 
operator of the community water supply shall replace the  | 
service line in its entirety, including, but not limited to,  | 
any portion of the service line (i) running on private  | 
property and (ii) within the building's plumbing at the first  | 
shut-off valve. Partial lead service line replacements are  | 
 | 
expressly prohibited. Exceptions shall be made under the  | 
following circumstances:  | 
  (1) In the event of an emergency repair that affects a  | 
 lead service line or a suspected lead service line, a  | 
 community water supply must contact the building owner to  | 
 begin the process of replacing the entire service line. If  | 
 the building owner is not able to be contacted or the  | 
 building owner or occupant refuses to grant access and  | 
 permission to replace the entire service line at the time  | 
 of the emergency repair, then the community water supply  | 
 may perform a partial lead service line replacement. Where  | 
 an emergency repair on a service line constructed of lead  | 
 or galvanized steel pipe results in a partial service line  | 
 replacement, the water supply responsible for commencing  | 
 the repair shall perform the following:  | 
   (A) Notify the building's owner or operator and  | 
 the resident or residents served by the lead service  | 
 line in writing that a repair has been completed. The  | 
 notification shall include, at a minimum: | 
    (i) a warning that the work may result in  | 
 sediment, possibly containing lead, in the  | 
 buildings water supply system; | 
    (ii) information concerning practices for  | 
 preventing the consumption of any lead in drinking  | 
 water, including a recommendation to flush water  | 
 distribution pipe during and after the completion  | 
 | 
 of the repair or replacement work and to clean  | 
 faucet aerator screens; and | 
    (iii) information regarding the dangers of  | 
 lead to young children and pregnant women.  | 
   (B) Provide filters for at least one fixture  | 
 supplying potable water for consumption. The filter  | 
 must be certified by an accredited third-party  | 
 certification body to NSF/ANSI 53 and NSF/ANSI 42 for  | 
 the reduction of lead and particulate. The filter must  | 
 be provided until such time that the remaining  | 
 portions of the service line have been replaced with a  | 
 material approved by the Department or a waiver has  | 
 been issued under subsection (ii). | 
   (C) Replace the remaining portion of the lead  | 
 service line within 30 days of the repair, or 120 days  | 
 in the event of weather or other circumstances beyond  | 
 reasonable control that prohibits construction. If a  | 
 complete lead service line replacement cannot be made  | 
 within the required period, the community water supply  | 
 responsible for commencing the repair shall notify the  | 
 Department in writing, at a minimum, of the following  | 
 within 24 hours of the repair:  | 
    (i) an explanation of why it is not feasible  | 
 to replace the remaining portion of the lead  | 
 service line within the allotted time; and | 
    (ii) a timeline for when the remaining portion  | 
 | 
 of the lead service line will be replaced.  | 
   (D) If complete repair of a lead service line  | 
 cannot be completed due to denial by the property  | 
 owner, the community water supply commencing the  | 
 repair shall request the affected property owner to  | 
 sign a waiver developed by the Department. If a  | 
 property owner of a nonresidential building or  | 
 residence operating as rental properties denies a  | 
 complete lead service line replacement, the property  | 
 owner shall be responsible for installing and  | 
 maintaining point-of-use filters certified by an  | 
 accredited third-party certification body to NSF/ANSI  | 
 53 and NSF/ANSI 42 for the reduction of lead and  | 
 particulate at all fixtures intended to supply water  | 
 for the purposes of drinking, food preparation, or  | 
 making baby formula. The filters shall continue to be  | 
 supplied by the property owner until such time that  | 
 the property owner has affected the remaining portions  | 
 of the lead service line to be replaced. | 
   (E) Document any remaining lead service line,  | 
 including a portion on the private side of the  | 
 property, in the community water supply's distribution  | 
 system materials inventory required under subsection  | 
 (d).  | 
  For the purposes of this paragraph (1), written notice  | 
 shall be provided in the method and according to the  | 
 | 
 provisions of subsection (jj). | 
  (2) Lead service lines that are physically  | 
 disconnected from the distribution system are exempt from  | 
 this subsection.  | 
 (gg) Except as provided in subsection (hh), on and after  | 
January 1, 2022, when the owner or operator of a community  | 
water supply replaces a water main, the community water supply  | 
shall identify all lead service lines connected to the water  | 
main and shall replace the lead service lines by: | 
  (1) identifying the material or materials of each lead  | 
 service line connected to the water main, including, but  | 
 not limited to, any portion of the service line (i)  | 
 running on private property and (ii) within the building  | 
 plumbing at the first shut-off valve or 18 inches inside  | 
 the building, whichever is shorter; | 
  (2) in conjunction with replacement of the water main,  | 
 replacing any and all portions of each lead service line  | 
 connected to the water main that are composed of lead; and | 
  (3) if a property owner or customer refuses to grant  | 
 access to the property, following prescribed notice  | 
 provisions as outlined in subsection (ff).  | 
 If an owner of a potentially affected building intends to  | 
replace a portion of a lead service line or a galvanized  | 
service line and the galvanized service line is or was  | 
connected downstream to lead piping, then the owner of the  | 
potentially affected building shall provide the owner or  | 
 | 
operator of the community water supply with notice at least 45  | 
days before commencing the work. In the case of an emergency  | 
repair, the owner of the potentially affected building must  | 
provide filters for each kitchen area that are certified by an  | 
accredited third-party certification body to NSF/ANSI 53 and  | 
NSF/ANSI 42 for the reduction of lead and particulate. If the  | 
owner of the potentially affected building notifies the owner  | 
or operator of the community water supply that replacement of  | 
a portion of the lead service line after the emergency repair  | 
is completed, then the owner or operator of the community  | 
water supply shall replace the remainder of the lead service  | 
line within 30 days after completion of the emergency repair.  | 
A community water supply may take up to 120 days if necessary  | 
due to weather conditions. If a replacement takes longer than  | 
30 days, filters provided by the owner of the potentially  | 
affected building must be replaced in accordance with the  | 
manufacturer's recommendations. Partial lead service line  | 
replacements by the owners of potentially affected buildings  | 
are otherwise prohibited. | 
 (hh) For municipalities with a population in excess of  | 
1,000,000 inhabitants, the requirements of subsection (gg)  | 
shall commence on January 1, 2023.  | 
 (ii) At least 45 days before conducting planned lead  | 
service line replacement, the owner or operator of a community  | 
water supply shall, by mail, attempt to contact the owner of  | 
the potentially affected building serviced by the lead service  | 
 | 
line to request access to the building and permission to  | 
replace the lead service line in accordance with the lead  | 
service line replacement plan. If the owner of the potentially  | 
affected building does not respond to the request within 15  | 
days after the request is sent, the owner or operator of the  | 
community water supply shall attempt to post the request on  | 
the entrance of the potentially affected building.  | 
 If the owner or operator of a community water supply is  | 
unable to obtain approval to access and replace a lead service  | 
line, the owner or operator of the community water supply  | 
shall request that the owner of the potentially affected  | 
building sign a waiver. The waiver shall be developed by the  | 
Department and should be made available in the owner's  | 
language. If the owner of the potentially affected building  | 
refuses to sign the waiver or fails to respond to the community  | 
water supply after the community water supply has complied  | 
with this subsection, then the community water supply shall  | 
notify the Department in writing within 15 working days.  | 
 (jj) When replacing a lead service line or repairing or  | 
replacing water mains with lead service lines or partial lead  | 
service lines attached to them, the owner or operator of a  | 
community water supply shall provide the owner of each  | 
potentially affected building that is serviced by the affected  | 
lead service lines or partial lead service lines, as well as  | 
the occupants of those buildings, with an individual written  | 
notice. The notice shall be delivered by mail or posted at the  | 
 | 
primary entranceway of the building. The notice may, in  | 
addition, be electronically mailed. Written notice shall  | 
include, at a minimum, the following:  | 
  (1) a warning that the work may result in sediment,  | 
 possibly containing lead from the service line, in the  | 
 building's water; | 
  (2) information concerning the best practices for  | 
 preventing exposure to or risk of consumption of lead in  | 
 drinking water, including a recommendation to flush water  | 
 lines during and after the completion of the repair or  | 
 replacement work and to clean faucet aerator screens; and | 
  (3) information regarding the dangers of lead exposure  | 
 to young children and pregnant women.  | 
 When the individual written notice described in the first  | 
paragraph of this subsection is required as a result of  | 
planned work other than the repair or replacement of a water  | 
meter, the owner or operator of the community water supply  | 
shall provide the notice not less than 14 days before work  | 
begins. When the individual written notice described in the  | 
first paragraph of this subsection is required as a result of  | 
emergency repairs other than the repair or replacement of a  | 
water meter, the owner or operator of the community water  | 
supply shall provide the notice at the time the work is  | 
initiated. When the individual written notice described in the  | 
first paragraph of this subsection is required as a result of  | 
the repair or replacement of a water meter, the owner or  | 
 | 
operator of the community water supply shall provide the  | 
notice at the time the work is initiated.  | 
 The notifications required under this subsection must  | 
contain the following
statement in the Spanish, Polish,  | 
Chinese, Tagalog, Arabic, Korean, German, Urdu, and
Gujarati:
 | 
"This notice contains important information about your water  | 
service and may affect your
rights. We encourage you to have  | 
this notice translated in full into a language you
understand  | 
and before you make any decisions that may be required under  | 
this notice." | 
 An owner or operator of a community water supply that is  | 
required under this subsection to provide an individual  | 
written notice to the owner and occupant of a potentially  | 
affected building that is a multi-dwelling building may  | 
satisfy that requirement and the requirements of this  | 
subsection regarding notification to non-English speaking  | 
customers by posting the required notice on the primary  | 
entranceway of the building and at the location where the  | 
occupant's mail is delivered as reasonably as possible.  | 
 When this subsection would require the owner or operator  | 
of a community water supply to provide an individual written  | 
notice to the entire community served by the community water  | 
supply or would require the owner or operator of a community  | 
water supply to provide individual written notices as a result  | 
of emergency repairs or when the community water supply that  | 
is required to comply with this subsection is a small system,  | 
 | 
the owner or operator of the community water supply may  | 
provide the required notice through local media outlets,  | 
social media, or other similar means in lieu of providing the  | 
individual written notices otherwise required under this  | 
subsection.  | 
 No notifications are required under this subsection for  | 
work performed on water mains that are used to transmit  | 
treated water between community water supplies and properties  | 
that have no service connections.  | 
 (kk) No community water supply that sells water to any  | 
wholesale or retail consecutive community water supply may  | 
pass on any costs associated with compliance with this Section  | 
to consecutive systems. | 
 (ll) To the extent allowed by law, when a community water  | 
supply replaces or installs a lead service line in a public  | 
right-of-way or enters into an agreement with a private  | 
contractor for replacement or installation of a lead service  | 
line, the community water supply shall be held harmless for  | 
all damage to property when replacing or installing the lead  | 
service line. If dangers are encountered that prevent the  | 
replacement of the lead service line, the community water  | 
supply shall notify the Department within 15 working days of  | 
why the replacement of the lead service line could not be  | 
accomplished. | 
 (mm) The Agency may propose to the Board, and the Board may  | 
adopt, any rules necessary to implement and administer this  | 
 | 
Section. The Department may adopt rules necessary to address  | 
lead service lines attached to non-community noncommunity  | 
water supplies. | 
 (nn) Notwithstanding any other provision in this Section,  | 
no requirement in this Section shall be construed as being  | 
less stringent than existing applicable federal requirements. | 
 (oo) All lead service line replacements financed in whole  | 
or in part with funds obtained under this Section shall be  | 
considered public works for purposes of the Prevailing Wage  | 
Act. 
 | 
(Source: P.A. 102-613, eff. 1-1-22; revised 12-1-21.)
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 (415 ILCS 5/21) (from Ch. 111 1/2, par. 1021)
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 Sec. 21. Prohibited acts. No person shall:
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 (a) Cause or allow the open dumping of any waste.
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 (b) Abandon, dump, or deposit any waste upon the public  | 
highways or
other public property, except in a sanitary  | 
landfill approved by the
Agency pursuant to regulations  | 
adopted by the Board.
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 (c) Abandon any vehicle in violation of the "Abandoned  | 
Vehicles
Amendment to the Illinois Vehicle Code", as enacted  | 
by the 76th General
Assembly.
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 (d) Conduct any waste-storage, waste-treatment, or  | 
waste-disposal
operation:
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  (1) without a permit granted by the Agency or in  | 
 violation of any
conditions imposed by such permit,  | 
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 including periodic reports and full
access to adequate  | 
 records and the inspection of facilities, as may be
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 necessary to assure compliance with this Act and with  | 
 regulations and
standards adopted thereunder; provided,  | 
 however, that, except for municipal
solid waste landfill  | 
 units that receive waste on or after October 9, 1993, and  | 
 CCR surface impoundments,
no permit shall be
required for  | 
 (i) any person conducting a waste-storage,  | 
 waste-treatment, or
waste-disposal operation for wastes  | 
 generated by such person's own
activities which are  | 
 stored, treated, or disposed within the site where
such  | 
 wastes are generated, (ii) until one year after the  | 
 effective date of rules adopted by the Board under  | 
 subsection (n) of Section 22.38,
a facility located in a  | 
 county with a
population over 700,000 as of January 1,  | 
 2000, operated and located in accordance with
Section  | 
 22.38 of this Act, and used exclusively for the transfer,  | 
 storage, or
treatment of general construction or  | 
 demolition debris, provided that the facility was  | 
 receiving construction or demolition debris on August 24,  | 
 2009 (the effective date of Public Act 96-611), or (iii)  | 
 any person conducting a waste transfer, storage,  | 
 treatment, or disposal operation, including, but not  | 
 limited to, a waste transfer or waste composting  | 
 operation, under a mass animal mortality event plan  | 
 created by the Department of Agriculture;
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  (2) in violation of any regulations or standards  | 
 adopted by the
Board under this Act;
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  (3) which receives waste after August 31, 1988, does  | 
 not have a permit
issued by the Agency, and is (i) a  | 
 landfill used exclusively for the
disposal of waste  | 
 generated at the site, (ii) a surface impoundment
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 receiving special waste not listed in an NPDES permit,  | 
 (iii) a waste pile
in which the total volume of waste is  | 
 greater than 100 cubic yards or the
waste is stored for  | 
 over one year, or (iv) a land treatment facility
receiving  | 
 special waste generated at the site; without giving notice  | 
 of the
operation to the Agency by January 1, 1989, or 30  | 
 days after the date on
which the operation commences,  | 
 whichever is later, and every 3 years
thereafter. The form  | 
 for such notification shall be specified by the
Agency,  | 
 and shall be limited to information regarding: the name  | 
 and address
of the location of the operation; the type of  | 
 operation; the types and
amounts of waste stored, treated  | 
 or disposed of on an annual basis; the
remaining capacity  | 
 of the operation; and the remaining expected life of
the  | 
 operation.
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 Item (3) of this subsection (d) shall not apply to any  | 
person
engaged in agricultural activity who is disposing of a  | 
substance that
constitutes solid waste, if the substance was  | 
acquired for use by that
person on his own property, and the  | 
substance is disposed of on his own
property in accordance  | 
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with regulations or standards adopted by the Board.
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 This subsection (d) shall not apply to hazardous waste.
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 (e) Dispose, treat, store or abandon any waste, or  | 
transport any waste
into this State for disposal, treatment,  | 
storage or abandonment, except at
a site or facility which  | 
meets the requirements of this Act and of
regulations and  | 
standards thereunder.
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 (f) Conduct any hazardous waste-storage, hazardous  | 
waste-treatment or
hazardous waste-disposal operation:
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  (1) without a RCRA permit for the site issued by the  | 
 Agency under
subsection (d) of Section 39 of this Act, or  | 
 in violation of any condition
imposed by such permit,  | 
 including periodic reports and full access to
adequate  | 
 records and the inspection of facilities, as may be  | 
 necessary to
assure compliance with this Act and with  | 
 regulations and standards adopted
thereunder; or
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  (2) in violation of any regulations or standards  | 
 adopted by the Board
under this Act; or
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  (3) in violation of any RCRA permit filing requirement  | 
 established under
standards adopted by the Board under  | 
 this Act; or
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  (4) in violation of any order adopted by the Board  | 
 under this Act.
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 Notwithstanding the above, no RCRA permit shall be  | 
required under this
subsection or subsection (d) of Section 39  | 
of this Act for any
person engaged in agricultural activity  | 
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who is disposing of a substance
which has been identified as a  | 
hazardous waste, and which has been
designated by Board  | 
regulations as being subject to this exception, if the
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substance was acquired for use by that person on his own  | 
property and the
substance is disposed of on his own property  | 
in accordance with regulations
or standards adopted by the  | 
Board.
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 (g) Conduct any hazardous waste-transportation operation:
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  (1) without registering with and obtaining a special  | 
 waste hauling permit from the Agency in
accordance with  | 
 the regulations adopted by the Board under this Act; or
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  (2) in violation of any regulations or standards  | 
 adopted by
the
Board under this Act.
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 (h) Conduct any hazardous waste-recycling or hazardous  | 
waste-reclamation
or hazardous waste-reuse operation in  | 
violation of any regulations, standards
or permit requirements  | 
adopted by the Board under this Act.
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 (i) Conduct any process or engage in any act which  | 
produces hazardous
waste in violation of any regulations or  | 
standards adopted by the Board
under subsections (a) and (c)  | 
of Section 22.4 of this Act.
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 (j) Conduct any special waste-transportation operation in  | 
violation
of any regulations, standards or permit requirements  | 
adopted by the Board
under this Act. However, sludge from a  | 
water or sewage treatment plant
owned and operated by a unit of  | 
local government which (1) is subject to a
sludge management  | 
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plan approved by the Agency or a permit granted by the
Agency,  | 
and (2) has been tested and determined not to be a hazardous  | 
waste
as required by applicable State and federal laws and  | 
regulations, may be
transported in this State without a  | 
special waste hauling permit, and the
preparation and carrying  | 
of a manifest shall not be required for such
sludge under the  | 
rules of the Pollution Control Board. The unit of local
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government which operates the treatment plant producing such  | 
sludge shall
file an annual report with the Agency identifying  | 
the volume of such
sludge transported during the reporting  | 
period, the hauler of the sludge,
and the disposal sites to  | 
which it was transported. This subsection (j)
shall not apply  | 
to hazardous waste.
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 (k) Fail or refuse to pay any fee imposed under this Act.
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 (l) Locate a hazardous waste disposal site above an active  | 
or
inactive shaft or tunneled mine or within 2 miles of an  | 
active fault in
the earth's crust. In counties of population  | 
less than 225,000 no
hazardous waste disposal site shall be  | 
located (1) within 1 1/2 miles of
the corporate limits as  | 
defined on June 30, 1978, of any municipality
without the  | 
approval of the governing body of the municipality in an
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official action; or (2) within 1000 feet of an existing  | 
private well or
the existing source of a public water supply  | 
measured from the boundary
of the actual active permitted site  | 
and excluding existing private wells
on the property of the  | 
permit applicant. The provisions of this
subsection do not  | 
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apply to publicly owned sewage works or the disposal
or  | 
utilization of sludge from publicly owned sewage works.
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 (m) Transfer interest in any land which has been used as a
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hazardous waste disposal site without written notification to  | 
the Agency
of the transfer and to the transferee of the  | 
conditions imposed by the Agency
upon its use under subsection  | 
(g) of Section 39.
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 (n) Use any land which has been used as a hazardous waste
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disposal site except in compliance with conditions imposed by  | 
the Agency
under subsection (g) of Section 39.
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 (o) Conduct a sanitary landfill operation which is  | 
required to have a
permit under subsection (d) of this  | 
Section, in a manner which results in
any of the following  | 
conditions:
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  (1) refuse in standing or flowing waters;
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  (2) leachate flows entering waters of the State;
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  (3) leachate flows exiting the landfill confines (as  | 
 determined by the
boundaries established for the landfill  | 
 by a permit issued by the Agency);
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  (4) open burning of refuse in violation of Section 9  | 
 of this Act;
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  (5) uncovered refuse remaining from any previous  | 
 operating day or at the
conclusion of any operating day,  | 
 unless authorized by permit;
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  (6) failure to provide final cover within time limits  | 
 established by
Board regulations;
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  (7) acceptance of wastes without necessary permits;
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  (8) scavenging as defined by Board regulations;
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  (9) deposition of refuse in any unpermitted portion of  | 
 the landfill;
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  (10) acceptance of a special waste without a required  | 
 manifest;
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  (11) failure to submit reports required by permits or  | 
 Board regulations;
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  (12) failure to collect and contain litter from the  | 
 site by the end of
each operating day;
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  (13) failure to submit any cost estimate for the site  | 
 or any performance
bond or other security for the site as  | 
 required by this Act or Board rules.
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 The prohibitions specified in this subsection (o) shall be  | 
enforceable by
the Agency either by administrative citation  | 
under Section 31.1 of this Act
or as otherwise provided by this  | 
Act. The specific prohibitions in this
subsection do not limit  | 
the power of the Board to establish regulations
or standards  | 
applicable to sanitary landfills.
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 (p) In violation of subdivision (a) of this Section, cause  | 
or allow the
open dumping of any waste in a manner which  | 
results in any of the following
occurrences at the dump site:
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  (1) litter;
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  (2) scavenging;
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  (3) open burning;
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  (4) deposition of waste in standing or flowing waters;
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  (5) proliferation of disease vectors;
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  (6) standing or flowing liquid discharge from the dump  | 
 site;
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  (7) deposition of:
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   (i) general construction or demolition debris as  | 
 defined in Section
3.160(a) of this Act; or
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   (ii) clean construction or demolition debris as  | 
 defined in Section
3.160(b) of this Act.
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 The prohibitions specified in this subsection (p) shall be
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enforceable by the Agency either by administrative citation  | 
under Section
31.1 of this Act or as otherwise provided by this  | 
Act. The specific
prohibitions in this subsection do not limit  | 
the power of the Board to
establish regulations or standards  | 
applicable to open dumping.
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 (q) Conduct a landscape waste composting operation without  | 
an Agency
permit, provided, however, that no permit shall be  | 
required for any person:
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  (1) conducting a landscape waste composting operation  | 
 for landscape
wastes generated by such person's own  | 
 activities which are stored, treated,
or disposed of  | 
 within the site where such wastes are generated; or
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  (1.5) conducting a landscape waste composting  | 
 operation that (i) has no more than 25 cubic yards of  | 
 landscape waste, composting additives, composting  | 
 material, or end-product compost on-site at any one time  | 
 and (ii) is not engaging in commercial activity; or  | 
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  (2) applying landscape waste or composted landscape  | 
 waste at agronomic
rates; or
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  (2.5) operating a landscape waste composting facility  | 
 at a site having 10 or more occupied non-farm residences  | 
 within 1/2 mile of its boundaries, if the facility meets  | 
 all of the following criteria:  | 
   (A) the composting facility is operated by the  | 
 farmer on property on which the composting material is  | 
 utilized, and the composting facility
constitutes no  | 
 more than 2% of the site's total acreage; | 
   (A-5) any composting additives that the composting  | 
 facility accepts and uses at the facility are  | 
 necessary to provide proper conditions for composting  | 
 and do not exceed 10% of the total composting material  | 
 at the facility at any one time;  | 
   (B) the property on which the composting facility  | 
 is located, and any associated property on which the  | 
 compost is used, is principally and diligently devoted  | 
 to the production of agricultural crops and is not  | 
 owned, leased, or otherwise controlled by any waste  | 
 hauler or generator of nonagricultural compost  | 
 materials, and the operator of the composting facility  | 
 is not an employee, partner, shareholder, or in any  | 
 way connected with or controlled by any such waste  | 
 hauler or generator;  | 
   (C) all compost generated by the composting  | 
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 facility is applied at agronomic rates and used as  | 
 mulch, fertilizer, or soil conditioner on land  | 
 actually farmed by the person operating the composting  | 
 facility, and the finished compost is not stored at  | 
 the composting site for a period longer than 18 months  | 
 prior to its application as mulch, fertilizer, or soil  | 
 conditioner;  | 
   (D) no fee is charged for the acceptance of  | 
 materials to be composted at the facility; and  | 
   (E) the owner or operator, by January 1, 2014 (or  | 
 the January 1
following commencement of operation,  | 
 whichever is later) and January 1 of
each year  | 
 thereafter, registers the site with the Agency, (ii)  | 
 reports to the Agency on the volume of composting  | 
 material received and used at the site; (iii)  | 
 certifies to the Agency that the site complies with  | 
 the
requirements set forth in subparagraphs (A),  | 
 (A-5), (B), (C), and (D) of this paragraph
(2.5); and  | 
 (iv) certifies to the Agency that all composting  | 
 material was placed more than 200 feet from the  | 
 nearest potable water supply well, was placed outside  | 
 the boundary of the 10-year floodplain or on a part of  | 
 the site that is floodproofed, was placed at least 1/4  | 
 mile from the nearest residence (other than a  | 
 residence located on the same property as the  | 
 facility) or a lesser distance from the nearest  | 
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 residence (other than a residence located on the same  | 
 property as the facility) if the municipality in which  | 
 the facility is located has by ordinance approved a  | 
 lesser distance than 1/4 mile, and was placed more  | 
 than 5 feet above the water table; any ordinance  | 
 approving a residential setback of less than 1/4 mile  | 
 that is used to meet the requirements of this  | 
 subparagraph (E) of paragraph (2.5) of this subsection  | 
 must specifically reference this paragraph; or  | 
  (3) operating a landscape waste composting facility on  | 
 a farm, if the
facility meets all of the following  | 
 criteria:
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   (A) the composting facility is operated by the  | 
 farmer on property on
which the composting material is  | 
 utilized, and the composting facility
constitutes no  | 
 more than 2% of the property's total acreage, except  | 
 that
the Board may allow a higher percentage for  | 
 individual sites where the owner
or operator has  | 
 demonstrated to the Board that the site's soil
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 characteristics or crop needs require a higher rate;
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   (A-1) the composting facility accepts from other  | 
 agricultural operations for composting with landscape  | 
 waste no materials other than uncontaminated and  | 
 source-separated (i) crop residue and other  | 
 agricultural plant residue generated from the  | 
 production and harvesting of crops and other customary  | 
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 farm practices, including, but not limited to, stalks,  | 
 leaves, seed pods, husks, bagasse, and roots and (ii)  | 
 plant-derived animal bedding, such as straw or  | 
 sawdust, that is free of manure and was not made from  | 
 painted or treated wood;  | 
   (A-2) any composting additives that the composting  | 
 facility accepts and uses at the facility are  | 
 necessary to provide proper conditions for composting  | 
 and do not exceed 10% of the total composting material  | 
 at the facility at any one time;  | 
   (B) the property on which the composting facility  | 
 is located, and any
associated property on which the  | 
 compost is used, is principally and
diligently devoted  | 
 to the production of agricultural crops and
is not  | 
 owned, leased or otherwise controlled by any waste  | 
 hauler
or generator of nonagricultural compost  | 
 materials, and the operator of the
composting facility  | 
 is not an employee, partner, shareholder, or in any  | 
 way
connected with or controlled by any such waste  | 
 hauler or generator;
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   (C) all compost generated by the composting  | 
 facility is applied at
agronomic rates and used as  | 
 mulch, fertilizer or soil conditioner on land
actually  | 
 farmed by the person operating the composting  | 
 facility, and the
finished compost is not stored at  | 
 the composting site for a period longer
than 18 months  | 
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 prior to its application as mulch, fertilizer, or soil  | 
 conditioner;
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   (D) the owner or operator, by January 1 of
each  | 
 year, (i) registers the site with the Agency, (ii)  | 
 reports
to the Agency on the volume of composting  | 
 material received and used at the
site, (iii)  | 
 certifies to the Agency that the site complies with  | 
 the
requirements set forth in subparagraphs (A),  | 
 (A-1), (A-2), (B), and (C) of this paragraph
(q)(3),  | 
 and (iv) certifies to the Agency that all composting  | 
 material:  | 
    (I) was
placed more than 200 feet from the  | 
 nearest potable water supply well; | 
    (II) was
placed outside the boundary of the  | 
 10-year floodplain or on a part of the
site that is  | 
 floodproofed; | 
    (III) was placed either (aa) at least 1/4 mile  | 
 from the nearest
residence (other than a residence  | 
 located on the same property as the
facility) and  | 
 there are not more than 10 occupied non-farm  | 
 residences
within 1/2 mile of the boundaries of  | 
 the site on the date of application or (bb) a  | 
 lesser distance from the nearest residence (other  | 
 than a residence located on the same property as  | 
 the facility) provided that the municipality or  | 
 county in which the facility is located has by  | 
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 ordinance approved a lesser distance than 1/4 mile  | 
 and there are not more than 10 occupied non-farm  | 
 residences
within 1/2 mile of the boundaries of  | 
 the site on the date of application;
and | 
    (IV) was placed more than 5 feet above the  | 
 water table.  | 
   Any ordinance approving a residential setback of  | 
 less than 1/4 mile that is used to meet the  | 
 requirements of this subparagraph (D) must  | 
 specifically reference this subparagraph.
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 For the purposes of this subsection (q), "agronomic rates"  | 
means the
application of not more than 20 tons per acre per  | 
year, except that the
Board may allow a higher rate for  | 
individual sites where the owner or
operator has demonstrated  | 
to the Board that the site's soil
characteristics or crop  | 
needs require a higher rate.
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 (r) Cause or allow the storage or disposal of coal  | 
combustion
waste unless:
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  (1) such waste is stored or disposed of at a site or
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 facility for which
a permit has been obtained or is not  | 
 otherwise required under subsection
(d) of this Section;  | 
 or
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  (2) such waste is stored or disposed of as a part of
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 the design and
reclamation of a site or facility which is  | 
 an abandoned mine site in
accordance with the Abandoned  | 
 Mined Lands and Water Reclamation Act; or
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  (3) such waste is stored or disposed of at a site or
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 facility which is
operating under NPDES and Subtitle D  | 
 permits issued by the Agency pursuant
to regulations  | 
 adopted by the Board for mine-related water pollution and
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 permits issued pursuant to the federal Surface Mining  | 
 Control and
Reclamation Act of 1977 (P.L. 95-87) or the  | 
 rules and regulations
thereunder or any law or rule or  | 
 regulation adopted by the State of
Illinois pursuant  | 
 thereto, and the owner or operator of the facility agrees
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 to accept the waste; and either:
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   (i) such waste is stored or disposed of in  | 
 accordance
with requirements
applicable to refuse  | 
 disposal under regulations adopted by the Board for
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 mine-related water pollution and pursuant to NPDES and  | 
 Subtitle D permits
issued by the Agency under such  | 
 regulations; or
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   (ii) the owner or operator of the facility  | 
 demonstrates all of the
following to the Agency, and  | 
 the facility is operated in accordance with
the  | 
 demonstration as approved by the Agency: (1) the  | 
 disposal area will be
covered in a manner that will  | 
 support continuous vegetation, (2) the
facility will  | 
 be adequately protected from wind and water erosion,  | 
 (3) the
pH will be maintained so as to prevent  | 
 excessive leaching of metal ions,
and (4) adequate  | 
 containment or other measures will be provided to  | 
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 protect
surface water and groundwater from  | 
 contamination at levels prohibited by
this Act, the  | 
 Illinois Groundwater Protection Act, or regulations  | 
 adopted
pursuant thereto.
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 Notwithstanding any other provision of this Title, the  | 
disposal of coal
combustion waste pursuant to item (2) or (3)  | 
of this
subdivision (r) shall
be exempt from the other  | 
provisions of this Title V, and notwithstanding
the provisions  | 
of Title X of this Act, the Agency is authorized to grant
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experimental permits which include provision for the disposal  | 
of
wastes from the combustion of coal and other materials  | 
pursuant to items
(2) and (3) of this subdivision (r).
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 (s) After April 1, 1989, offer for transportation,  | 
transport, deliver,
receive or accept special waste for which  | 
a manifest is required, unless
the manifest indicates that the  | 
fee required under Section 22.8 of this
Act has been paid.
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 (t) Cause or allow a lateral expansion of a municipal  | 
solid waste landfill
unit on or after October 9, 1993, without  | 
a permit modification, granted by the
Agency, that authorizes  | 
the lateral expansion.
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 (u) Conduct any vegetable by-product treatment, storage,  | 
disposal or
transportation operation in violation of any  | 
regulation, standards or permit
requirements adopted by the  | 
Board under this Act. However, no permit shall be
required  | 
under this Title V for the land application of vegetable  | 
by-products
conducted pursuant to Agency permit issued under  | 
 | 
Title III of this Act to
the generator of the vegetable  | 
by-products. In addition, vegetable by-products
may be  | 
transported in this State without a special waste hauling  | 
permit, and
without the preparation and carrying of a  | 
manifest.
 | 
 (v) (Blank).
 | 
 (w) Conduct any generation, transportation, or recycling  | 
of construction or
demolition debris, clean or general, or  | 
uncontaminated soil generated during
construction, remodeling,  | 
repair, and demolition of utilities, structures, and
roads  | 
that is not commingled with any waste, without the maintenance  | 
of
documentation identifying the hauler, generator, place of  | 
origin of the debris
or soil, the weight or volume of the  | 
debris or soil, and the location, owner,
and operator of the  | 
facility where the debris or soil was transferred,
disposed,  | 
recycled, or treated. This documentation must be maintained by  | 
the
generator, transporter, or recycler for 3 years.
This  | 
subsection (w) shall not apply to (1) a permitted pollution  | 
control
facility that transfers or accepts construction or  | 
demolition debris,
clean or general, or uncontaminated soil  | 
for final disposal, recycling, or
treatment, (2) a public  | 
utility (as that term is defined in the Public
Utilities Act)  | 
or a municipal utility, (3) the Illinois Department of
 | 
Transportation, or (4) a municipality or a county highway  | 
department, with
the exception of any municipality or county  | 
highway department located within a
county having a population  | 
 | 
of over 3,000,000 inhabitants or located in a county
that
is  | 
contiguous to a county having a population of over 3,000,000  | 
inhabitants;
but it shall apply to an entity that contracts  | 
with a public utility, a
municipal utility, the Illinois  | 
Department of Transportation, or a
municipality or a county  | 
highway department.
The terms
"generation" and "recycling", as
 | 
used in this subsection, do not
apply to clean construction or  | 
demolition debris
when (i) used as fill material below grade  | 
outside of a setback zone
if covered by sufficient  | 
uncontaminated soil to support vegetation within 30
days of  | 
the completion of filling or if covered by a road or structure,  | 
(ii)
solely broken concrete without
protruding metal bars is  | 
used for erosion control, or (iii) milled
asphalt or crushed  | 
concrete is used as aggregate in construction of the
shoulder  | 
of a roadway. The terms "generation" and "recycling", as used  | 
in this
subsection, do not apply to uncontaminated soil
that  | 
is not commingled with any waste when (i) used as fill material  | 
below
grade or contoured to grade, or (ii) used at the site of  | 
generation.
 | 
(Source: P.A. 101-171, eff. 7-30-19; 102-216, eff. 1-1-22;  | 
102-310, eff. 8-6-21; 102-558, eff. 8-20-21; revised  | 
10-14-21.)
 | 
 (415 ILCS 5/22.15) (from Ch. 111 1/2, par. 1022.15)
 | 
 Sec. 22.15. Solid Waste Management Fund; fees. 
 | 
 (a) There is hereby created within the State Treasury a
 | 
 | 
special fund to be known as the Solid Waste Management Fund, to  | 
be
constituted from the fees collected by the State pursuant  | 
to this Section,
from repayments of loans made from the Fund  | 
for solid waste projects, from registration fees collected  | 
pursuant to the Consumer Electronics Recycling Act, and from  | 
amounts transferred into the Fund pursuant to Public Act  | 
100-433.
Moneys received by either the Agency or the  | 
Department of Commerce and Economic Opportunity
in repayment  | 
of loans made pursuant to the Illinois Solid Waste Management
 | 
Act shall be deposited into the General Revenue Fund.
 | 
 (b) The Agency shall assess and collect a
fee in the amount  | 
set forth herein from the owner or operator of each sanitary
 | 
landfill permitted or required to be permitted by the Agency  | 
to dispose of
solid waste if the sanitary landfill is located  | 
off the site where such waste
was produced and if such sanitary  | 
landfill is owned, controlled, and operated
by a person other  | 
than the generator of such waste. The Agency shall deposit
all  | 
fees collected into the Solid Waste Management Fund. If a site  | 
is
contiguous to one or more landfills owned or operated by the  | 
same person, the
volumes permanently disposed of by each  | 
landfill shall be combined for purposes
of determining the fee  | 
under this subsection. Beginning on July 1, 2018, and on the  | 
first day of each month thereafter during fiscal years 2019  | 
through 2022, the State Comptroller shall direct and State  | 
Treasurer shall transfer an amount equal to 1/12 of $5,000,000  | 
per fiscal year from the Solid Waste Management Fund to the  | 
 | 
General Revenue Fund. 
 | 
  (1) If more than 150,000 cubic yards of non-hazardous  | 
 solid waste is
permanently disposed of at a site in a  | 
 calendar year, the owner or operator
shall either pay a  | 
 fee of 95 cents per cubic yard or,
alternatively, the  | 
 owner or operator may weigh the quantity of the solid  | 
 waste
permanently disposed of with a device for which  | 
 certification has been obtained
under the Weights and  | 
 Measures Act and pay a fee of $2.00 per
ton of solid waste  | 
 permanently disposed of. In no case shall the fee  | 
 collected
or paid by the owner or operator under this  | 
 paragraph exceed $1.55 per cubic yard or $3.27 per ton.
 | 
  (2) If more than 100,000 cubic yards but not more than  | 
 150,000 cubic
yards of non-hazardous waste is permanently  | 
 disposed of at a site in a calendar
year, the owner or  | 
 operator shall pay a fee of $52,630.
 | 
  (3) If more than 50,000 cubic yards but not more than  | 
 100,000 cubic
yards of non-hazardous solid waste is  | 
 permanently disposed of at a site
in a calendar year, the  | 
 owner or operator shall pay a fee of $23,790.
 | 
  (4) If more than 10,000 cubic yards but not more than  | 
 50,000 cubic
yards of non-hazardous solid waste is  | 
 permanently disposed of at a site
in a calendar year, the  | 
 owner or operator shall pay a fee of $7,260.
 | 
  (5) If not more than 10,000 cubic yards of  | 
 non-hazardous solid waste is
permanently disposed of at a  | 
 | 
 site in a calendar year, the owner or operator
shall pay a  | 
 fee of $1050.
 | 
 (c) (Blank).
 | 
 (d) The Agency shall establish rules relating to the  | 
collection of the
fees authorized by this Section. Such rules  | 
shall include, but not be
limited to:
 | 
  (1) necessary records identifying the quantities of  | 
 solid waste received
or disposed;
 | 
  (2) the form and submission of reports to accompany  | 
 the payment of fees
to the Agency;
 | 
  (3) the time and manner of payment of fees to the  | 
 Agency, which payments
shall not be more often than  | 
 quarterly; and
 | 
  (4) procedures setting forth criteria establishing  | 
 when an owner or
operator may measure by weight or volume  | 
 during any given quarter or other
fee payment period.
 | 
 (e) Pursuant to appropriation, all monies in the Solid  | 
Waste Management
Fund shall be used by the Agency for the  | 
purposes set forth in this Section and in the Illinois
Solid  | 
Waste Management Act, including for the costs of fee  | 
collection and
administration, and for the administration of  | 
(1) the Consumer Electronics Recycling Act and (2) until  | 
January 1, 2020, the Electronic Products Recycling and Reuse  | 
Act.
 | 
 (f) The Agency is authorized to enter into such agreements  | 
and to
promulgate such rules as are necessary to carry out its  | 
 | 
duties under this
Section and the Illinois Solid Waste  | 
Management Act.
 | 
 (g) On the first day of January, April, July, and October  | 
of each year,
beginning on July 1, 1996, the State Comptroller  | 
and Treasurer shall
transfer $500,000 from the Solid Waste  | 
Management Fund to the Hazardous Waste
Fund. Moneys  | 
transferred under this subsection (g) shall be used only for  | 
the
purposes set forth in item (1) of subsection (d) of Section  | 
22.2.
 | 
 (h) The Agency is authorized to provide financial  | 
assistance to units of
local government for the performance of  | 
inspecting, investigating and
enforcement activities pursuant  | 
to Section 4(r) at nonhazardous solid
waste disposal sites.
 | 
 (i) The Agency is authorized to conduct household waste  | 
collection and
disposal programs.
 | 
 (j) A unit of local government, as defined in the Local  | 
Solid Waste Disposal
Act, in which a solid waste disposal  | 
facility is located may establish a fee,
tax, or surcharge  | 
with regard to the permanent disposal of solid waste.
All  | 
fees, taxes, and surcharges collected under this subsection  | 
shall be
utilized for solid waste management purposes,  | 
including long-term monitoring
and maintenance of landfills,  | 
planning, implementation, inspection, enforcement
and other  | 
activities consistent with the Solid Waste Management Act and  | 
the
Local Solid Waste Disposal Act, or for any other  | 
environment-related purpose,
including, but not limited to, an  | 
 | 
environment-related public works project, but
not for the  | 
construction of a new pollution control facility other than a
 | 
household hazardous waste facility. However, the total fee,  | 
tax or surcharge
imposed by all units of local government  | 
under this subsection (j) upon the
solid waste disposal  | 
facility shall not exceed:
 | 
  (1) 60¢ per cubic yard if more than 150,000 cubic  | 
 yards of non-hazardous
solid waste is permanently disposed  | 
 of at the site in a calendar year, unless
the owner or  | 
 operator weighs the quantity of the solid waste received  | 
 with a
device for which certification has been obtained  | 
 under the Weights and Measures
Act, in which case the fee  | 
 shall not exceed $1.27 per ton of solid waste
permanently  | 
 disposed of.
 | 
  (2) $33,350 if more than 100,000
cubic yards, but not  | 
 more than 150,000 cubic yards, of non-hazardous waste
is  | 
 permanently disposed of at the site in a calendar year.
 | 
  (3) $15,500 if more than 50,000 cubic
yards, but not  | 
 more than 100,000 cubic yards, of non-hazardous solid  | 
 waste is
permanently disposed of at the site in a calendar  | 
 year.
 | 
  (4) $4,650 if more than 10,000 cubic
yards, but not  | 
 more than 50,000 cubic yards, of non-hazardous solid waste
 | 
 is permanently disposed of at the site in a calendar year.
 | 
  (5) $650 if not more than 10,000 cubic
yards of  | 
 non-hazardous solid waste is permanently disposed of at  | 
 | 
 the site in
a calendar year.
 | 
 The corporate authorities of the unit of local government
 | 
may use proceeds from the fee, tax, or surcharge to reimburse a  | 
highway
commissioner whose road district lies wholly or  | 
partially within the
corporate limits of the unit of local  | 
government for expenses incurred in
the removal of  | 
nonhazardous, nonfluid municipal waste that has been dumped
on  | 
public property in violation of a State law or local  | 
ordinance.
 | 
 For the disposal of solid waste from general construction
 | 
or demolition debris recovery facilities as defined in  | 
subsection (a-1) of Section 3.160, the total fee, tax, or  | 
surcharge imposed by
all units of local government under this  | 
subsection (j) upon
the solid waste disposal facility shall  | 
not exceed 50% of the
applicable amount set forth above. A unit  | 
of local government,
as defined in the Local Solid Waste  | 
Disposal Act, in which a
general construction or demolition  | 
debris recovery facility is
located may establish a fee, tax,  | 
or surcharge on the general construction or demolition debris  | 
recovery facility with
regard to the permanent disposal of  | 
solid waste by the
general construction or demolition debris  | 
recovery facility at
a solid waste disposal facility, provided  | 
that such fee, tax,
or surcharge shall not exceed 50% of the  | 
applicable amount set
forth above, based on the total amount  | 
of solid waste transported from the general construction or  | 
demolition debris recovery facility for disposal at solid  | 
 | 
waste disposal facilities, and the unit of local government  | 
and fee shall be
subject to all other requirements of this  | 
subsection (j). | 
 A county or Municipal Joint Action Agency that imposes a  | 
fee, tax, or
surcharge under this subsection may use the  | 
proceeds thereof to reimburse a
municipality that lies wholly  | 
or partially within its boundaries for expenses
incurred in  | 
the removal of nonhazardous, nonfluid municipal waste that has  | 
been
dumped on public property in violation of a State law or  | 
local ordinance.
 | 
 If the fees are to be used to conduct a local sanitary  | 
landfill
inspection or enforcement program, the unit of local  | 
government must enter
into a written delegation agreement with  | 
the Agency pursuant to subsection
(r) of Section 4. The unit of  | 
local government and the Agency shall enter
into such a  | 
written delegation agreement within 60 days after the
 | 
establishment of such fees. At least annually,
the Agency  | 
shall conduct an audit of the expenditures made by units of  | 
local
government from the funds granted by the Agency to the  | 
units of local
government for purposes of local sanitary  | 
landfill inspection and enforcement
programs, to ensure that  | 
the funds have been expended for the prescribed
purposes under  | 
the grant.
 | 
 The fees, taxes or surcharges collected under this  | 
subsection (j) shall
be placed by the unit of local government  | 
in a separate fund, and the
interest received on the moneys in  | 
 | 
the fund shall be credited to the fund. The
monies in the fund  | 
may be accumulated over a period of years to be
expended in  | 
accordance with this subsection.
 | 
 A unit of local government, as defined in the Local Solid  | 
Waste Disposal
Act, shall prepare and post on its website, in  | 
April of each year, a
report that details spending plans for  | 
monies collected in accordance with
this subsection. The  | 
report will at a minimum include the following:
 | 
  (1) The total monies collected pursuant to this  | 
 subsection.
 | 
  (2) The most current balance of monies collected  | 
 pursuant to this
subsection.
 | 
  (3) An itemized accounting of all monies expended for  | 
 the previous year
pursuant to this subsection.
 | 
  (4) An estimation of monies to be collected for the  | 
 following 3
years pursuant to this subsection.
 | 
  (5) A narrative detailing the general direction and  | 
 scope of future
expenditures for one, 2 and 3 years.
 | 
 The exemptions granted under Sections 22.16 and 22.16a,  | 
and under
subsection (k) of this Section, shall be applicable  | 
to any fee,
tax or surcharge imposed under this subsection  | 
(j); except that the fee,
tax or surcharge authorized to be  | 
imposed under this subsection (j) may be
made applicable by a  | 
unit of local government to the permanent disposal of
solid  | 
waste after December 31, 1986, under any contract lawfully  | 
executed
before June 1, 1986 under which more than 150,000  | 
 | 
cubic yards (or 50,000 tons)
of solid waste is to be  | 
permanently disposed of, even though the waste is
exempt from  | 
the fee imposed by the State under subsection (b) of this  | 
Section
pursuant to an exemption granted under Section 22.16.
 | 
 (k) In accordance with the findings and purposes of the  | 
Illinois Solid
Waste Management Act, beginning January 1, 1989  | 
the fee under subsection
(b) and the fee, tax or surcharge  | 
under subsection (j) shall not apply to:
 | 
  (1) waste which is hazardous waste;
 | 
  (2) waste which is pollution control waste;
 | 
  (3) waste from recycling, reclamation or reuse  | 
 processes which have been
approved by the Agency as being  | 
 designed to remove any contaminant from
wastes so as to  | 
 render such wastes reusable, provided that the process
 | 
 renders at least 50% of the waste reusable; the exemption  | 
 set forth in this paragraph (3) of this subsection (k)  | 
 shall not apply to general construction or demolition  | 
 debris recovery
facilities as defined in subsection (a-1)  | 
 of Section 3.160;
 | 
  (4) non-hazardous solid waste that is received at a  | 
 sanitary landfill
and composted or recycled through a  | 
 process permitted by the Agency; or
 | 
  (5) any landfill which is permitted by the Agency to  | 
 receive only
demolition or construction debris or  | 
 landscape waste.
 | 
(Source: P.A. 101-10, eff. 6-5-19; 101-636, eff. 6-10-20;  | 
 | 
102-16, eff. 6-17-21; 102-310, eff. 8-6-21; 102-444, eff.  | 
8-20-21; revised 9-28-21.)
 | 
 (415 ILCS 5/22.59) | 
 Sec. 22.59. CCR surface impoundments. | 
 (a) The General Assembly finds that: | 
  (1) the State of Illinois has a long-standing policy  | 
 to restore, protect, and enhance the environment,  | 
 including the purity of the air, land, and waters,  | 
 including groundwaters, of this State; | 
  (2) a clean environment is essential to the growth and  | 
 well-being of this State; | 
  (3) CCR generated by the electric generating industry  | 
 has caused groundwater contamination and other forms of  | 
 pollution at active and inactive plants throughout this  | 
 State; | 
  (4) environmental laws should be supplemented to  | 
 ensure consistent, responsible regulation of all existing  | 
 CCR surface impoundments; and | 
  (5) meaningful participation of State residents,  | 
 especially vulnerable populations who may be affected by  | 
 regulatory actions, is critical to ensure that  | 
 environmental justice considerations are incorporated in  | 
 the development of, decision-making related to, and  | 
 implementation of environmental laws and rulemaking that  | 
 protects and improves the well-being of communities in  | 
 | 
 this State that bear disproportionate burdens imposed by  | 
 environmental pollution. | 
 Therefore, the purpose of this Section is to promote a  | 
healthful environment, including clean water, air, and land,  | 
meaningful public involvement, and the responsible disposal  | 
and storage of coal combustion residuals, so as to protect  | 
public health and to prevent pollution of the environment of  | 
this State. | 
 The provisions of this Section shall be liberally  | 
construed to carry out the purposes of this Section. | 
 (b) No person shall: | 
  (1) cause or allow the discharge of any contaminants  | 
 from a CCR surface impoundment into the environment so as  | 
 to cause, directly or indirectly, a violation of this  | 
 Section or any regulations or standards adopted by the  | 
 Board under this Section, either alone or in combination  | 
 with contaminants from other sources; | 
  (2) construct, install, modify, operate, or close any  | 
 CCR surface impoundment without a permit granted by the  | 
 Agency, or so as to violate any conditions imposed by such  | 
 permit, any provision of this Section or any regulations  | 
 or standards adopted by the Board under this Section; | 
  (3) cause or allow, directly or indirectly, the  | 
 discharge, deposit, injection, dumping, spilling, leaking,  | 
 or placing of any CCR upon the land in a place and manner  | 
 so as to cause or tend to cause a violation of this Section  | 
 | 
 or any regulations or standards adopted by the Board under  | 
 this Section; or | 
  (4) construct, install, modify, or close a CCR surface
 | 
 impoundment in accordance with a permit issued under this
 | 
 Act without certifying to the Agency that all contractors,  | 
 subcontractors, and installers utilized to construct,  | 
 install, modify, or close a CCR surface impoundment are  | 
 participants in: | 
   (A) a training program that is approved by and
 | 
 registered with the United States Department of
 | 
 Labor's Employment and Training Administration and
 | 
 that includes instruction in erosion control and
 | 
 environmental remediation; and | 
   (B) a training program that is approved by and
 | 
 registered with the United States Department of
 | 
 Labor's Employment and Training Administration and
 | 
 that includes instruction in the operation of heavy
 | 
 equipment and excavation. | 
  Nothing in this paragraph (4) shall be construed to  | 
 require providers of construction-related professional  | 
 services to participate in a training program approved by  | 
 and registered with the United States Department of  | 
 Labor's Employment and Training Administration. | 
  In this paragraph (4), "construction-related  | 
 professional services" includes, but is
not limited to,  | 
 those services within the scope of: (i) the
practice of  | 
 | 
 architecture as regulated under the
Illinois Architecture  | 
 Practice Act of 1989; (ii) professional
engineering as  | 
 defined in Section 4 of the Professional
Engineering  | 
 Practice Act of 1989; (iii) the practice of a structural
 | 
 engineer as defined in Section 4 of the Structural  | 
 Engineering Practice Act of
1989; or (iv) land surveying  | 
 under the Illinois Professional Land
Surveyor Act of 1989.  | 
 (c) (Blank). | 
 (d) Before commencing closure of a CCR surface  | 
impoundment, in accordance with Board rules, the owner of a  | 
CCR surface impoundment must submit to the Agency for approval  | 
a closure alternatives analysis that analyzes all closure  | 
methods being considered and that otherwise satisfies all  | 
closure requirements adopted by the Board under this Act.  | 
Complete removal of CCR, as specified by the Board's rules,  | 
from the CCR surface impoundment must be considered and  | 
analyzed. Section 3.405 does not apply to the Board's rules  | 
specifying complete removal of CCR. The selected closure  | 
method must ensure compliance with regulations adopted by the  | 
Board pursuant to this Section. | 
 (e) Owners or operators of CCR surface impoundments who  | 
have submitted a closure plan to the Agency before May 1, 2019,  | 
and who have completed closure prior to 24 months after July  | 
30, 2019 (the effective date of Public Act 101-171) shall not  | 
be required to obtain a construction permit for the surface  | 
impoundment closure under this Section.  | 
 | 
 (f) Except for the State, its agencies and institutions, a  | 
unit of local government, or not-for-profit electric  | 
cooperative as defined in Section 3.4 of the Electric Supplier  | 
Act, any person who owns or operates a CCR surface impoundment  | 
in this State shall post with the Agency a performance bond or  | 
other security for the purpose of: (i) ensuring closure of the  | 
CCR surface impoundment and post-closure care in accordance  | 
with this Act and its rules; and (ii) ensuring remediation of  | 
releases from the CCR surface impoundment. The only acceptable  | 
forms of financial assurance are: a trust fund, a surety bond  | 
guaranteeing payment, a surety bond guaranteeing performance,  | 
or an irrevocable letter of credit. | 
  (1) The cost estimate for the post-closure care of a  | 
 CCR surface impoundment shall be calculated using a  | 
 30-year post-closure care period or such longer period as  | 
 may be approved by the Agency under Board or federal  | 
 rules. | 
  (2) The Agency is authorized to enter into such  | 
 contracts and agreements as it may deem necessary to carry  | 
 out the purposes of this Section. Neither the State, nor  | 
 the Director, nor any State employee shall be liable for  | 
 any damages or injuries arising out of or resulting from  | 
 any action taken under this Section. | 
  (3) The Agency shall have the authority to approve or  | 
 disapprove any performance bond or other security posted  | 
 under this subsection. Any person whose performance bond  | 
 | 
 or other security is disapproved by the Agency may contest  | 
 the disapproval as a permit denial appeal pursuant to  | 
 Section 40. | 
 (g) The Board shall adopt rules establishing construction  | 
permit requirements, operating permit requirements, design  | 
standards, reporting, financial assurance, and closure and  | 
post-closure care requirements for CCR surface impoundments.  | 
Not later than 8 months after July 30, 2019 (the effective date  | 
of Public Act 101-171) the Agency shall propose, and not later  | 
than one year after receipt of the Agency's proposal the Board  | 
shall adopt, rules under this Section. The Board shall not be  | 
deemed in noncompliance with the rulemaking deadline due to  | 
delays in adopting rules as a result of the Joint Commission on  | 
Administrative Rules oversight process. The rules must, at a  | 
minimum: | 
  (1) be at least as protective and comprehensive as the  | 
 federal regulations or amendments thereto promulgated by  | 
 the Administrator of the United States Environmental  | 
 Protection Agency in Subpart D of 40 CFR 257 governing CCR  | 
 surface impoundments; | 
  (2) specify the minimum contents of CCR surface  | 
 impoundment construction and operating permit  | 
 applications, including the closure alternatives analysis  | 
 required under subsection (d); | 
  (3) specify which types of permits include  | 
 requirements for closure, post-closure, remediation and  | 
 | 
 all other requirements applicable to CCR surface  | 
 impoundments;  | 
  (4) specify when permit applications for existing CCR  | 
 surface impoundments must be submitted, taking into  | 
 consideration whether the CCR surface impoundment must  | 
 close under the RCRA; | 
  (5) specify standards for review and approval by the  | 
 Agency of CCR surface impoundment permit applications; | 
  (6) specify meaningful public participation procedures  | 
 for the issuance of CCR surface impoundment construction  | 
 and operating permits, including, but not limited to,  | 
 public notice of the submission of permit applications, an  | 
 opportunity for the submission of public comments, an  | 
 opportunity for a public hearing prior to permit issuance,  | 
 and a summary and response of the comments prepared by the  | 
 Agency; | 
  (7) prescribe the type and amount of the performance  | 
 bonds or other securities required under subsection (f),  | 
 and the conditions under which the State is entitled to  | 
 collect moneys from such performance bonds or other  | 
 securities; | 
  (8) specify a procedure to identify areas of  | 
 environmental justice concern in relation to CCR surface  | 
 impoundments; | 
  (9) specify a method to prioritize CCR surface  | 
 impoundments required to close under RCRA if not otherwise  | 
 | 
 specified by the United States Environmental Protection  | 
 Agency, so that the CCR surface impoundments with the  | 
 highest risk to public health and the environment, and  | 
 areas of environmental justice concern are given first  | 
 priority; | 
  (10) define when complete removal of CCR is achieved  | 
 and specify the standards for responsible removal of CCR  | 
 from CCR surface impoundments, including, but not limited  | 
 to, dust controls and the protection of adjacent surface  | 
 water and groundwater; and | 
  (11) describe the process and standards for  | 
 identifying a specific alternative source of groundwater  | 
 pollution when the owner or operator of the CCR surface  | 
 impoundment believes that groundwater contamination on the  | 
 site is not from the CCR surface impoundment. | 
 (h) Any owner of a CCR surface impoundment that generates  | 
CCR and sells or otherwise provides coal combustion byproducts  | 
pursuant to Section 3.135 shall, every 12 months, post on its  | 
publicly available website a report specifying the volume or  | 
weight of CCR, in cubic yards or tons, that it sold or provided  | 
during the past 12 months. | 
 (i) The owner of a CCR surface impoundment shall post all  | 
closure plans, permit applications, and supporting  | 
documentation, as well as any Agency approval of the plans or  | 
applications on its publicly available website. | 
 (j) The owner or operator of a CCR surface impoundment  | 
 | 
shall pay the following fees: | 
  (1) An initial fee to the Agency within 6 months after  | 
 July 30, 2019 (the effective date of Public Act 101-171)  | 
 of: | 
   $50,000 for each closed CCR surface impoundment;  | 
 and | 
   $75,000 for each CCR surface impoundment that have  | 
 not completed closure. | 
  (2) Annual fees to the Agency, beginning on July 1,  | 
 2020, of: | 
   $25,000 for each CCR surface impoundment that has  | 
 not completed closure; and | 
   $15,000 for each CCR surface impoundment that has  | 
 completed closure, but has not completed post-closure  | 
 care. | 
 (k) All fees collected by the Agency under subsection (j)  | 
shall be deposited into the Environmental Protection Permit  | 
and Inspection Fund. | 
 (l) The Coal Combustion Residual Surface Impoundment  | 
Financial Assurance Fund is created as a special fund in the  | 
State treasury. Any moneys forfeited to the State of Illinois  | 
from any performance bond or other security required under  | 
this Section shall be placed in the Coal Combustion Residual  | 
Surface Impoundment Financial Assurance Fund and shall, upon  | 
approval by the Governor and the Director, be used by the  | 
Agency for the purposes for which such performance bond or  | 
 | 
other security was issued. The Coal Combustion Residual  | 
Surface Impoundment Financial Assurance Fund is not subject to  | 
the provisions of subsection (c) of Section 5 of the State  | 
Finance Act. | 
 (m) The provisions of this Section shall apply, without  | 
limitation, to all existing CCR surface impoundments and any  | 
CCR surface impoundments constructed after July 30, 2019 (the  | 
effective date of Public Act 101-171), except to the extent  | 
prohibited by the Illinois or United States Constitutions.
 | 
(Source: P.A. 101-171, eff. 7-30-19; 102-16, eff. 6-17-21;  | 
102-137, eff. 7-23-21; 102-309, eff. 8-6-21; 102-558, eff.  | 
8-20-21; 102-662, eff. 9-15-21; revised 10-14-21.)
 | 
 (415 ILCS 5/39) (from Ch. 111 1/2, par. 1039)
 | 
 Sec. 39. Issuance of permits; procedures. 
 | 
 (a) When the Board has by regulation required a permit for
 | 
the construction, installation, or operation of any type of  | 
facility,
equipment, vehicle, vessel, or aircraft, the  | 
applicant shall apply to
the Agency for such permit and it  | 
shall be the duty of the Agency to
issue such a permit upon  | 
proof by the applicant that the facility,
equipment, vehicle,  | 
vessel, or aircraft will not cause a violation of
this Act or  | 
of regulations hereunder. The Agency shall adopt such
 | 
procedures as are necessary to carry out its duties under this  | 
Section.
In making its determinations on permit applications  | 
under this Section the Agency may consider prior adjudications  | 
 | 
of
noncompliance with this Act by the applicant that involved  | 
a release of a
contaminant into the environment. In granting  | 
permits, the Agency
may impose reasonable conditions  | 
specifically related to the applicant's past
compliance  | 
history with this Act as necessary to correct, detect, or
 | 
prevent noncompliance. The Agency may impose such other  | 
conditions
as may be necessary to accomplish the purposes of  | 
this Act, and as are not
inconsistent with the regulations  | 
promulgated by the Board hereunder. Except as
otherwise  | 
provided in this Act, a bond or other security shall not be  | 
required
as a condition for the issuance of a permit. If the  | 
Agency denies any permit
under this Section, the Agency shall  | 
transmit to the applicant within the time
limitations of this  | 
Section specific, detailed statements as to the reasons the
 | 
permit application was denied. Such statements shall include,  | 
but not be
limited to, the following:
 | 
  (i) the Sections of this Act which may be violated if  | 
 the permit
were granted;
 | 
  (ii) the provision of the regulations, promulgated  | 
 under this Act,
which may be violated if the permit were  | 
 granted;
 | 
  (iii) the specific type of information, if any, which  | 
 the Agency
deems the applicant did not provide the Agency;  | 
 and
 | 
  (iv) a statement of specific reasons why the Act and  | 
 the regulations
might not be met if the permit were  | 
 | 
 granted.
 | 
 If there is no final action by the Agency within 90 days  | 
after the
filing of the application for permit, the applicant  | 
may deem the permit
issued; except that this time period shall  | 
be extended to 180 days when
(1) notice and opportunity for  | 
public hearing are required by State or
federal law or  | 
regulation, (2) the application which was filed is for
any  | 
permit to develop a landfill subject to issuance pursuant to  | 
this
subsection, or (3) the application that was filed is for a  | 
MSWLF unit
required to issue public notice under subsection  | 
(p) of Section 39. The
90-day and 180-day time periods for the  | 
Agency to take final action do not
apply to NPDES permit  | 
applications under subsection (b) of this Section,
to RCRA  | 
permit applications under subsection (d) of this Section,
to  | 
UIC permit applications under subsection (e) of this Section,  | 
or to CCR surface impoundment applications under subsection  | 
(y) of this Section.
 | 
 The Agency shall publish notice of all final permit  | 
determinations for
development permits for MSWLF units and for  | 
significant permit modifications
for lateral expansions for  | 
existing MSWLF units one time in a newspaper of
general  | 
circulation in the county in which the unit is or is proposed  | 
to be
located.
 | 
 After January 1, 1994 and until July 1, 1998, operating  | 
permits issued under
this Section by the
Agency for sources of  | 
air pollution permitted to emit less than 25 tons
per year of  | 
 | 
any combination of regulated air pollutants, as defined in
 | 
Section 39.5 of this Act, shall be required to be renewed only  | 
upon written
request by the Agency consistent with applicable  | 
provisions of this Act and
regulations promulgated hereunder.  | 
Such operating permits shall expire
180 days after the date of  | 
such a request. The Board shall revise its
regulations for the  | 
existing State air pollution operating permit program
 | 
consistent with this provision by January 1, 1994.
 | 
 After June 30, 1998, operating permits issued under this  | 
Section by the
Agency for sources of air pollution that are not  | 
subject to Section 39.5 of
this Act and are not required to  | 
have a federally enforceable State operating
permit shall be  | 
required to be renewed only upon written request by the Agency
 | 
consistent with applicable provisions of this Act and its  | 
rules. Such
operating permits shall expire 180 days after the  | 
date of such a request.
Before July 1, 1998, the Board shall  | 
revise its rules for the existing State
air pollution  | 
operating permit program consistent with this paragraph and  | 
shall
adopt rules that require a source to demonstrate that it  | 
qualifies for a permit
under this paragraph.
 | 
 (b) The Agency may issue NPDES permits exclusively under  | 
this
subsection for the discharge of contaminants from point  | 
sources into
navigable waters, all as defined in the Federal  | 
Water Pollution Control
Act, as now or hereafter amended,  | 
within the jurisdiction of the
State, or into any well.
 | 
 All NPDES permits shall contain those terms and  | 
 | 
conditions, including,
but not limited to, schedules of  | 
compliance, which may be required to
accomplish the purposes  | 
and provisions of this Act.
 | 
 The Agency may issue general NPDES permits for discharges  | 
from categories
of point sources which are subject to the same  | 
permit limitations and
conditions. Such general permits may be  | 
issued without individual
applications and shall conform to  | 
regulations promulgated under Section 402
of the Federal Water  | 
Pollution Control Act, as now or hereafter amended.
 | 
 The Agency may include, among such conditions, effluent  | 
limitations
and other requirements established under this Act,  | 
Board regulations,
the Federal Water Pollution Control Act, as  | 
now or hereafter amended, and
regulations pursuant thereto,  | 
and schedules for achieving compliance
therewith at the  | 
earliest reasonable date.
 | 
 The Agency shall adopt filing requirements and procedures  | 
which are
necessary and appropriate for the issuance of NPDES  | 
permits, and which
are consistent with the Act or regulations  | 
adopted by the Board, and
with the Federal Water Pollution  | 
Control Act, as now or hereafter
amended, and regulations  | 
pursuant thereto.
 | 
 The Agency, subject to any conditions which may be  | 
prescribed by
Board regulations, may issue NPDES permits to  | 
allow discharges beyond
deadlines established by this Act or  | 
by regulations of the Board without
the requirement of a  | 
variance, subject to the Federal Water Pollution
Control Act,  | 
 | 
as now or hereafter amended, and regulations pursuant thereto.
 | 
 (c) Except for those facilities owned or operated by  | 
sanitary districts
organized under the Metropolitan Water  | 
Reclamation District Act, no
permit for the development or  | 
construction of a new pollution control
facility may be  | 
granted by the Agency unless the applicant submits proof to  | 
the
Agency that the location of the facility has been approved  | 
by the county board
of the county if in an unincorporated area,  | 
or the governing body of the
municipality when in an  | 
incorporated area, in which the facility is to be
located in  | 
accordance with Section 39.2 of this Act. For purposes of this  | 
subsection (c), and for purposes of Section 39.2 of this Act,  | 
the appropriate county board or governing body of the  | 
municipality shall be the county board of the county or the  | 
governing body of the municipality in which the facility is to  | 
be located as of the date when the application for siting  | 
approval is filed.
 | 
 In the event that siting approval granted pursuant to  | 
Section 39.2 has
been transferred to a subsequent owner or  | 
operator, that subsequent owner or
operator may apply to the  | 
Agency for, and the Agency may grant, a development
or  | 
construction permit for the facility for which local siting  | 
approval was
granted. Upon application to the Agency for a  | 
development or
construction permit by that subsequent owner or  | 
operator,
the permit applicant shall cause written notice of  | 
the permit application
to be served upon the appropriate  | 
 | 
county board or governing body of the
municipality that  | 
granted siting approval for that facility and upon any party
 | 
to the siting proceeding pursuant to which siting approval was  | 
granted. In
that event, the Agency shall conduct an evaluation  | 
of the subsequent owner or
operator's prior experience in  | 
waste management operations in the manner
conducted under  | 
subsection (i) of Section 39 of this Act.
 | 
 Beginning August 20, 1993, if the pollution control  | 
facility consists of a
hazardous or solid waste disposal  | 
facility for which the proposed site is
located in an  | 
unincorporated area of a county with a population of less than
 | 
100,000 and includes all or a portion of a parcel of land that  | 
was, on April 1,
1993, adjacent to a municipality having a  | 
population of less than 5,000, then
the local siting review  | 
required under this subsection (c) in conjunction with
any  | 
permit applied for after that date shall be performed by the  | 
governing body
of that adjacent municipality rather than the  | 
county board of the county in
which the proposed site is  | 
located; and for the purposes of that local siting
review, any  | 
references in this Act to the county board shall be deemed to  | 
mean
the governing body of that adjacent municipality;  | 
provided, however, that the
provisions of this paragraph shall  | 
not apply to any proposed site which was, on
April 1, 1993,  | 
owned in whole or in part by another municipality.
 | 
 In the case of a pollution control facility for which a
 | 
development permit was issued before November 12, 1981, if an  | 
 | 
operating
permit has not been issued by the Agency prior to  | 
August 31, 1989 for
any portion of the facility, then the  | 
Agency may not issue or renew any
development permit nor issue  | 
an original operating permit for any portion of
such facility  | 
unless the applicant has submitted proof to the Agency that  | 
the
location of the facility has been approved by the  | 
appropriate county board or
municipal governing body pursuant  | 
to Section 39.2 of this Act.
 | 
 After January 1, 1994, if a solid waste
disposal facility,  | 
any portion for which an operating permit has been issued by
 | 
the Agency, has not accepted waste disposal for 5 or more  | 
consecutive calendar
years, before that facility may accept  | 
any new or additional waste for
disposal, the owner and  | 
operator must obtain a new operating permit under this
Act for  | 
that facility unless the owner and operator have applied to  | 
the Agency
for a permit authorizing the temporary suspension  | 
of waste acceptance. The
Agency may not issue a new operation  | 
permit under this Act for the facility
unless the applicant  | 
has submitted proof to the Agency that the location of the
 | 
facility has been approved or re-approved by the appropriate  | 
county board or
municipal governing body under Section 39.2 of  | 
this Act after the facility
ceased accepting waste.
 | 
 Except for those facilities owned or operated by sanitary  | 
districts
organized under the Metropolitan Water Reclamation  | 
District Act, and
except for new pollution control facilities  | 
governed by Section 39.2,
and except for fossil fuel mining  | 
 | 
facilities, the granting of a permit under
this Act shall not  | 
relieve the applicant from meeting and securing all
necessary  | 
zoning approvals from the unit of government having zoning
 | 
jurisdiction over the proposed facility.
 | 
 Before beginning construction on any new sewage treatment  | 
plant or sludge
drying site to be owned or operated by a  | 
sanitary district organized under
the Metropolitan Water  | 
Reclamation District Act for which a new
permit (rather than  | 
the renewal or amendment of an existing permit) is
required,  | 
such sanitary district shall hold a public hearing within the
 | 
municipality within which the proposed facility is to be  | 
located, or within the
nearest community if the proposed  | 
facility is to be located within an
unincorporated area, at  | 
which information concerning the proposed facility
shall be  | 
made available to the public, and members of the public shall  | 
be given
the opportunity to express their views concerning the  | 
proposed facility.
 | 
 The Agency may issue a permit for a municipal waste  | 
transfer station
without requiring approval pursuant to  | 
Section 39.2 provided that the following
demonstration is  | 
made:
 | 
  (1) the municipal waste transfer station was in  | 
 existence on or before
January 1, 1979 and was in  | 
 continuous operation from January 1, 1979 to January
1,  | 
 1993;
 | 
  (2) the operator submitted a permit application to the  | 
 | 
 Agency to develop
and operate the municipal waste transfer  | 
 station during April of 1994;
 | 
  (3) the operator can demonstrate that the county board  | 
 of the county, if
the municipal waste transfer station is  | 
 in an unincorporated area, or the
governing body of the  | 
 municipality, if the station is in an incorporated area,
 | 
 does not object to resumption of the operation of the  | 
 station; and
 | 
  (4) the site has local zoning approval.
 | 
 (d) The Agency may issue RCRA permits exclusively under  | 
this
subsection to persons owning or operating a facility for  | 
the treatment,
storage, or disposal of hazardous waste as  | 
defined under this Act. Subsection (y) of this Section, rather  | 
than this subsection (d), shall apply to permits issued for  | 
CCR surface impoundments. 
 | 
 All RCRA permits shall contain those terms and conditions,  | 
including, but
not limited to, schedules of compliance, which  | 
may be required to accomplish
the purposes and provisions of  | 
this Act. The Agency may include among such
conditions  | 
standards and other requirements established under this Act,
 | 
Board regulations, the Resource Conservation and Recovery Act  | 
of 1976 (P.L.
94-580), as amended, and regulations pursuant  | 
thereto, and may include
schedules for achieving compliance  | 
therewith as soon as possible. The
Agency shall require that a  | 
performance bond or other security be provided
as a condition  | 
for the issuance of a RCRA permit.
 | 
 | 
 In the case of a permit to operate a hazardous waste or PCB  | 
incinerator
as defined in subsection (k) of Section 44, the  | 
Agency shall require, as a
condition of the permit, that the  | 
operator of the facility perform such
analyses of the waste to  | 
be incinerated as may be necessary and appropriate
to ensure  | 
the safe operation of the incinerator.
 | 
 The Agency shall adopt filing requirements and procedures  | 
which
are necessary and appropriate for the issuance of RCRA  | 
permits, and which
are consistent with the Act or regulations  | 
adopted by the Board, and with
the Resource Conservation and  | 
Recovery Act of 1976 (P.L. 94-580), as
amended, and  | 
regulations pursuant thereto.
 | 
 The applicant shall make available to the public for  | 
inspection all
documents submitted by the applicant to the  | 
Agency in furtherance
of an application, with the exception of  | 
trade secrets, at the office of
the county board or governing  | 
body of the municipality. Such documents
may be copied upon  | 
payment of the actual cost of reproduction during regular
 | 
business hours of the local office. The Agency shall issue a  | 
written statement
concurrent with its grant or denial of the  | 
permit explaining the basis for its
decision.
 | 
 (e) The Agency may issue UIC permits exclusively under  | 
this
subsection to persons owning or operating a facility for  | 
the underground
injection of contaminants as defined under  | 
this Act.
 | 
 All UIC permits shall contain those terms and conditions,  | 
 | 
including, but
not limited to, schedules of compliance, which  | 
may be required to accomplish
the purposes and provisions of  | 
this Act. The Agency may include among such
conditions  | 
standards and other requirements established under this Act,
 | 
Board regulations, the Safe Drinking Water Act (P.L. 93-523),  | 
as amended,
and regulations pursuant thereto, and may include  | 
schedules for achieving
compliance therewith. The Agency shall  | 
require that a performance bond or
other security be provided  | 
as a condition for the issuance of a UIC permit.
 | 
 The Agency shall adopt filing requirements and procedures  | 
which
are necessary and appropriate for the issuance of UIC  | 
permits, and which
are consistent with the Act or regulations  | 
adopted by the Board, and with
the Safe Drinking Water Act  | 
(P.L. 93-523), as amended, and regulations
pursuant thereto.
 | 
 The applicant shall make available to the public for  | 
inspection, all
documents submitted by the applicant to the  | 
Agency in furtherance of an
application, with the exception of  | 
trade secrets, at the office of the county
board or governing  | 
body of the municipality. Such documents may be copied upon
 | 
payment of the actual cost of reproduction during regular  | 
business hours of the
local office. The Agency shall issue a  | 
written statement concurrent with its
grant or denial of the  | 
permit explaining the basis for its decision.
 | 
 (f) In making any determination pursuant to Section 9.1 of  | 
this Act:
 | 
  (1) The Agency shall have authority to make the  | 
 | 
 determination of any
question required to be determined by  | 
 the Clean Air Act, as now or
hereafter amended, this Act,  | 
 or the regulations of the Board, including the
 | 
 determination of the Lowest Achievable Emission Rate,  | 
 Maximum Achievable
Control Technology, or Best Available  | 
 Control Technology, consistent with the
Board's  | 
 regulations, if any.
 | 
  (2) The Agency shall adopt requirements as necessary  | 
 to implement public participation procedures, including,  | 
 but not limited to, public notice, comment, and an  | 
 opportunity for hearing, which must accompany the  | 
 processing of applications for PSD permits. The Agency  | 
 shall briefly describe and respond to all significant  | 
 comments on the draft permit raised during the public  | 
 comment period or during any hearing. The Agency may group  | 
 related comments together and provide one unified response  | 
 for each issue raised. | 
  (3) Any complete permit application submitted to the  | 
 Agency under this subsection for a PSD permit shall be  | 
 granted or denied by the Agency not later than one year  | 
 after the filing of such completed application.  | 
  (4) The Agency shall, after conferring with the  | 
 applicant, give written
notice to the applicant of its  | 
 proposed decision on the application, including
the terms  | 
 and conditions of the permit to be issued and the facts,  | 
 conduct,
or other basis upon which the Agency will rely to  | 
 | 
 support its proposed action.
 | 
 (g) The Agency shall include as conditions upon all  | 
permits issued for
hazardous waste disposal sites such  | 
restrictions upon the future use
of such sites as are  | 
reasonably necessary to protect public health and
the  | 
environment, including permanent prohibition of the use of  | 
such
sites for purposes which may create an unreasonable risk  | 
of injury to human
health or to the environment. After  | 
administrative and judicial challenges
to such restrictions  | 
have been exhausted, the Agency shall file such
restrictions  | 
of record in the Office of the Recorder of the county in which
 | 
the hazardous waste disposal site is located.
 | 
 (h) A hazardous waste stream may not be deposited in a  | 
permitted hazardous
waste site unless specific authorization  | 
is obtained from the Agency by the
generator and disposal site  | 
owner and operator for the deposit of that specific
hazardous  | 
waste stream. The Agency may grant specific authorization for
 | 
disposal of hazardous waste streams only after the generator  | 
has reasonably
demonstrated that, considering
technological  | 
feasibility and economic reasonableness, the hazardous waste
 | 
cannot be reasonably recycled for reuse, nor incinerated or  | 
chemically,
physically, or biologically treated so as to  | 
neutralize the hazardous waste
and render it nonhazardous. In  | 
granting authorization under this Section,
the Agency may  | 
impose such conditions as may be necessary to accomplish
the  | 
purposes of the Act and are consistent with this Act and  | 
 | 
regulations
promulgated by the Board hereunder. If the Agency  | 
refuses to grant
authorization under this Section, the  | 
applicant may appeal as if the Agency
refused to grant a  | 
permit, pursuant to the provisions of subsection (a) of
 | 
Section 40 of this Act. For purposes of this subsection (h),  | 
the term
"generator" has the meaning given in Section 3.205 of  | 
this Act,
unless: (1) the hazardous waste is treated,  | 
incinerated, or partially recycled
for reuse prior to  | 
disposal, in which case the last person who treats,
 | 
incinerates, or partially recycles the hazardous waste prior  | 
to disposal is the
generator; or (2) the hazardous waste is  | 
from a response action, in which case
the person performing  | 
the response action is the generator. This subsection
(h) does  | 
not apply to any hazardous waste that is restricted from land  | 
disposal
under 35 Ill. Adm. Code 728.
 | 
 (i) Before issuing any RCRA permit, any permit for a waste  | 
storage site,
sanitary landfill, waste disposal site, waste  | 
transfer station, waste treatment
facility, waste incinerator,  | 
or any waste-transportation operation, any permit or interim  | 
authorization for a clean construction or demolition debris  | 
fill operation, or any permit required under subsection (d-5)  | 
of Section 55, the Agency
shall conduct an evaluation of the  | 
prospective owner's or operator's prior
experience in waste  | 
management operations, clean construction or demolition debris  | 
fill operations, and tire storage site management. The Agency  | 
may deny such a permit, or deny or revoke interim  | 
 | 
authorization,
if the prospective owner or operator or any  | 
employee or officer of the
prospective owner or operator has a  | 
history of:
 | 
  (1) repeated violations of federal, State, or local  | 
 laws, regulations,
standards, or ordinances in the  | 
 operation of waste management facilities or
sites, clean  | 
 construction or demolition debris fill operation  | 
 facilities or sites, or tire storage sites; or
 | 
  (2) conviction in this or another State of any crime  | 
 which is a felony
under the laws of this State, or  | 
 conviction of a felony in a federal court; or conviction  | 
 in this or another state or federal court of any of the  | 
 following crimes: forgery, official misconduct, bribery,  | 
 perjury, or knowingly submitting false information under  | 
 any environmental law, regulation, or permit term or  | 
 condition; or
 | 
  (3) proof of gross carelessness or incompetence in  | 
 handling, storing,
processing, transporting, or disposing  | 
 of waste, clean construction or demolition debris, or used  | 
 or waste tires, or proof of gross carelessness or  | 
 incompetence in using clean construction or demolition  | 
 debris as fill.
 | 
 (i-5) Before issuing any permit or approving any interim  | 
authorization for a clean construction or demolition debris  | 
fill operation in which any ownership interest is transferred  | 
between January 1, 2005, and the effective date of the  | 
 | 
prohibition set forth in Section 22.52 of this Act, the Agency  | 
shall conduct an evaluation of the operation if any previous  | 
activities at the site or facility may have caused or allowed  | 
contamination of the site. It shall be the responsibility of  | 
the owner or operator seeking the permit or interim  | 
authorization to provide to the Agency all of the information  | 
necessary for the Agency to conduct its evaluation. The Agency  | 
may deny a permit or interim authorization if previous  | 
activities at the site may have caused or allowed  | 
contamination at the site, unless such contamination is  | 
authorized under any permit issued by the Agency.
 | 
 (j) The issuance under this Act of a permit to engage in  | 
the surface mining
of any resources other than fossil fuels  | 
shall not relieve
the permittee from its duty to comply with  | 
any applicable local law regulating
the commencement,  | 
location, or operation of surface mining facilities.
 | 
 (k) A development permit issued under subsection (a) of  | 
Section 39 for any
facility or site which is required to have a  | 
permit under subsection (d) of
Section 21 shall expire at the  | 
end of 2 calendar years from the date upon which
it was issued,  | 
unless within that period the applicant has taken action to
 | 
develop the facility or the site. In the event that review of  | 
the
conditions of the development permit is sought pursuant to  | 
Section 40 or
41, or permittee is prevented from commencing  | 
development of the facility
or site by any other litigation  | 
beyond the permittee's control, such
two-year period shall be  | 
 | 
deemed to begin on the date upon which such review
process or  | 
litigation is concluded.
 | 
 (l) No permit shall be issued by the Agency under this Act  | 
for
construction or operation of any facility or site located  | 
within the
boundaries of any setback zone established pursuant  | 
to this Act, where such
construction or operation is  | 
prohibited.
 | 
 (m) The Agency may issue permits to persons owning or  | 
operating
a facility for composting landscape waste. In  | 
granting such permits, the Agency
may impose such conditions  | 
as may be necessary to accomplish the purposes of
this Act, and  | 
as are not inconsistent with applicable regulations  | 
promulgated
by the Board. Except as otherwise provided in this  | 
Act, a bond or other
security shall not be required as a  | 
condition for the issuance of a permit. If
the Agency denies  | 
any permit pursuant to this subsection, the Agency shall
 | 
transmit to the applicant within the time limitations of this  | 
subsection
specific, detailed statements as to the reasons the  | 
permit application was
denied. Such statements shall include  | 
but not be limited to the following:
 | 
  (1) the Sections of this Act that may be violated if  | 
 the permit
were granted;
 | 
  (2) the specific regulations promulgated pursuant to  | 
 this
Act that may be violated if the permit were granted;
 | 
  (3) the specific information, if any, the Agency deems  | 
 the
applicant did not provide in its application to the  | 
 | 
 Agency; and
 | 
  (4) a statement of specific reasons why the Act and  | 
 the regulations
might be violated if the permit were  | 
 granted.
 | 
 If no final action is taken by the Agency within 90 days  | 
after the filing
of the application for permit, the applicant  | 
may deem the permit issued.
Any applicant for a permit may  | 
waive the 90-day limitation by filing a
written statement with  | 
the Agency.
 | 
 The Agency shall issue permits for such facilities upon  | 
receipt of an
application that includes a legal description of  | 
the site, a topographic
map of the site drawn to the scale of  | 
200 feet to the inch or larger, a
description of the operation,  | 
including the area served, an estimate of
the volume of  | 
materials to be processed, and documentation that:
 | 
  (1) the facility includes a setback of at
least 200  | 
 feet from the nearest potable water supply well;
 | 
  (2) the facility is located outside the boundary
of  | 
 the 10-year floodplain or the site will be floodproofed;
 | 
  (3) the facility is located so as to minimize
 | 
 incompatibility with the character of the surrounding  | 
 area, including at
least a 200 foot setback from any  | 
 residence, and in the case of a
facility that is developed  | 
 or the permitted composting area of which is
expanded  | 
 after November 17, 1991, the composting area is located at  | 
 least 1/8
mile from the nearest residence (other than a  | 
 | 
 residence located on the same
property as the facility);
 | 
  (4) the design of the facility will prevent any  | 
 compost material from
being placed within 5 feet of the  | 
 water table, will adequately control runoff
from the site,  | 
 and will collect and manage any leachate that is generated  | 
 on
the site;
 | 
  (5) the operation of the facility will include  | 
 appropriate dust
and odor control measures, limitations on  | 
 operating hours, appropriate
noise control measures for  | 
 shredding, chipping and similar equipment,
management  | 
 procedures for composting, containment and disposal of
 | 
 non-compostable wastes, procedures to be used for
 | 
 terminating operations at the site, and recordkeeping  | 
 sufficient to
document the amount of materials received,  | 
 composted, and otherwise
disposed of; and
 | 
  (6) the operation will be conducted in accordance with  | 
 any applicable
rules adopted by the Board.
 | 
 The Agency shall issue renewable permits of not longer  | 
than 10 years
in duration for the composting of landscape  | 
wastes, as defined in Section
3.155 of this Act, based on the  | 
above requirements.
 | 
 The operator of any facility permitted under this  | 
subsection (m) must
submit a written annual statement to the  | 
Agency on or before April 1 of
each year that includes an  | 
estimate of the amount of material, in tons,
received for  | 
composting.
 | 
 | 
 (n) The Agency shall issue permits jointly with the  | 
Department of
Transportation for the dredging or deposit of  | 
material in Lake Michigan in
accordance with Section 18 of the  | 
Rivers, Lakes, and Streams Act.
 | 
 (o) (Blank).)
 | 
 (p) (1) Any person submitting an application for a permit  | 
for a new MSWLF
unit or for a lateral expansion under  | 
subsection (t) of Section 21 of this Act
for an existing MSWLF  | 
unit that has not received and is not subject to local
siting  | 
approval under Section 39.2 of this Act shall publish notice  | 
of the
application in a newspaper of general circulation in  | 
the county in which the
MSWLF unit is or is proposed to be  | 
located. The notice must be published at
least 15 days before  | 
submission of the permit application to the Agency. The
notice  | 
shall state the name and address of the applicant, the  | 
location of the
MSWLF unit or proposed MSWLF unit, the nature  | 
and size of the MSWLF unit or
proposed MSWLF unit, the nature  | 
of the activity proposed, the probable life of
the proposed  | 
activity, the date the permit application will be submitted,  | 
and a
statement that persons may file written comments with  | 
the Agency concerning the
permit application within 30 days  | 
after the filing of the permit application
unless the time  | 
period to submit comments is extended by the Agency.
 | 
 When a permit applicant submits information to the Agency  | 
to supplement a
permit application being reviewed by the  | 
Agency, the applicant shall not be
required to reissue the  | 
 | 
notice under this subsection.
 | 
 (2) The Agency shall accept written comments concerning  | 
the permit
application that are postmarked no later than 30  | 
days after the
filing of the permit application, unless the  | 
time period to accept comments is
extended by the Agency.
 | 
 (3) Each applicant for a permit described in part (1) of  | 
this subsection
shall file a
copy of the permit application  | 
with the county board or governing body of the
municipality in  | 
which the MSWLF unit is or is proposed to be located at the
 | 
same time the application is submitted to the Agency. The  | 
permit application
filed with the county board or governing  | 
body of the municipality shall include
all documents submitted  | 
to or to be submitted to the Agency, except trade
secrets as  | 
determined under Section 7.1 of this Act. The permit  | 
application
and other documents on file with the county board  | 
or governing body of the
municipality shall be made available  | 
for public inspection during regular
business hours at the  | 
office of the county board or the governing body of the
 | 
municipality and may be copied upon payment of the actual cost  | 
of
reproduction.
 | 
 (q) Within 6 months after July 12, 2011 (the effective  | 
date of Public Act 97-95), the Agency, in consultation with  | 
the regulated community, shall develop a web portal to be  | 
posted on its website for the purpose of enhancing review and  | 
promoting timely issuance of permits required by this Act. At  | 
a minimum, the Agency shall make the following information  | 
 | 
available on the web portal: | 
  (1) Checklists and guidance relating to the completion  | 
 of permit applications, developed pursuant to subsection  | 
 (s) of this Section, which may include, but are not  | 
 limited to, existing instructions for completing the  | 
 applications and examples of complete applications. As the  | 
 Agency develops new checklists and develops guidance, it  | 
 shall supplement the web portal with those materials. | 
  (2) Within 2 years after July 12, 2011 (the effective  | 
 date of Public Act 97-95), permit application forms or  | 
 portions of permit applications that can be completed and  | 
 saved electronically, and submitted to the Agency  | 
 electronically with digital signatures. | 
  (3) Within 2 years after July 12, 2011 (the effective  | 
 date of Public Act 97-95), an online tracking system where  | 
 an applicant may review the status of its pending  | 
 application, including the name and contact information of  | 
 the permit analyst assigned to the application. Until the  | 
 online tracking system has been developed, the Agency  | 
 shall post on its website semi-annual permitting  | 
 efficiency tracking reports that include statistics on the  | 
 timeframes for Agency action on the following types of  | 
 permits received after July 12, 2011 (the effective date  | 
 of Public Act 97-95): air construction permits, new NPDES  | 
 permits and associated water construction permits, and  | 
 modifications of major NPDES permits and associated water  | 
 | 
 construction permits. The reports must be posted by  | 
 February 1 and August 1 each year and shall include: | 
   (A) the number of applications received for each  | 
 type of permit, the number of applications on which  | 
 the Agency has taken action, and the number of  | 
 applications still pending; and | 
   (B) for those applications where the Agency has  | 
 not taken action in accordance with the timeframes set  | 
 forth in this Act, the date the application was  | 
 received and the reasons for any delays, which may  | 
 include, but shall not be limited to, (i) the  | 
 application being inadequate or incomplete, (ii)  | 
 scientific or technical disagreements with the  | 
 applicant, USEPA, or other local, state, or federal  | 
 agencies involved in the permitting approval process,  | 
 (iii) public opposition to the permit, or (iv) Agency  | 
 staffing shortages. To the extent practicable, the  | 
 tracking report shall provide approximate dates when  | 
 cause for delay was identified by the Agency, when the  | 
 Agency informed the applicant of the problem leading  | 
 to the delay, and when the applicant remedied the  | 
 reason for the delay. | 
 (r) Upon the request of the applicant, the Agency shall  | 
notify the applicant of the permit analyst assigned to the  | 
application upon its receipt. | 
 (s) The Agency is authorized to prepare and distribute  | 
 | 
guidance documents relating to its administration of this  | 
Section and procedural rules implementing this Section.  | 
Guidance documents prepared under this subsection shall not be  | 
considered rules and shall not be subject to the Illinois  | 
Administrative Procedure Act. Such guidance shall not be  | 
binding on any party. | 
 (t) Except as otherwise prohibited by federal law or  | 
regulation, any person submitting an application for a permit  | 
may include with the application suggested permit language for  | 
Agency consideration. The Agency is not obligated to use the  | 
suggested language or any portion thereof in its permitting  | 
decision. If requested by the permit applicant, the Agency  | 
shall meet with the applicant to discuss the suggested  | 
language. | 
 (u) If requested by the permit applicant, the Agency shall  | 
provide the permit applicant with a copy of the draft permit  | 
prior to any public review period. | 
 (v) If requested by the permit applicant, the Agency shall  | 
provide the permit applicant with a copy of the final permit  | 
prior to its issuance.  | 
 (w) An air pollution permit shall not be required due to  | 
emissions of greenhouse gases, as specified by Section 9.15 of  | 
this Act. | 
 (x) If, before the expiration of a State operating permit  | 
that is issued pursuant to subsection (a) of this Section and  | 
contains federally enforceable conditions limiting the  | 
 | 
potential to emit of the source to a level below the major  | 
source threshold for that source so as to exclude the source  | 
from the Clean Air Act Permit Program, the Agency receives a  | 
complete application for the renewal of that permit, then all  | 
of the terms and conditions of the permit shall remain in  | 
effect until final administrative action has been taken on the  | 
application for the renewal of the permit.  | 
 (y) The Agency may issue permits exclusively under this  | 
subsection to persons owning or operating a CCR surface  | 
impoundment subject to Section 22.59. | 
 (z) If a mass animal mortality event is declared by the  | 
Department of Agriculture in accordance with the Animal  | 
Mortality Act: | 
  (1) the owner or operator responsible for the disposal  | 
 of dead animals is exempted from the following: | 
   (i) obtaining a permit for the construction,  | 
 installation, or operation of any type of facility or  | 
 equipment issued in accordance with subsection (a) of  | 
 this Section; | 
   (ii) obtaining a permit for open burning in  | 
 accordance with the rules adopted by the Board; and | 
   (iii) registering the disposal of dead animals as  | 
 an eligible small source with the Agency in accordance  | 
 with Section 9.14 of this Act;  | 
  (2) as applicable, the owner or operator responsible  | 
 for the disposal of dead animals is required to obtain the  | 
 | 
 following permits: | 
   (i) an NPDES permit in accordance with subsection  | 
 (b) of this Section; | 
   (ii) a PSD permit or an NA NSR permit in accordance  | 
 with Section 9.1 of this Act; | 
   (iii) a lifetime State operating permit or a  | 
 federally enforceable State operating permit, in  | 
 accordance with subsection (a) of this Section; or | 
   (iv) a CAAPP permit, in accordance with Section  | 
 39.5 of this Act.  | 
 All CCR surface impoundment permits shall contain those  | 
terms and conditions, including, but not limited to, schedules  | 
of compliance, which may be required to accomplish the  | 
purposes and provisions of this Act, Board regulations, the  | 
Illinois Groundwater Protection Act and regulations pursuant  | 
thereto, and the Resource Conservation and Recovery Act and  | 
regulations pursuant thereto, and may include schedules for  | 
achieving compliance therewith as soon as possible. | 
 The Board shall adopt filing requirements and procedures  | 
that are necessary and appropriate for the issuance of CCR  | 
surface impoundment permits and that are consistent with this  | 
Act or regulations adopted by the Board, and with the RCRA, as  | 
amended, and regulations pursuant thereto. | 
 The applicant shall make available to the public for  | 
inspection all documents submitted by the applicant to the  | 
Agency in furtherance of an application, with the exception of  | 
 | 
trade secrets, on its public internet website as well as at the  | 
office of the county board or governing body of the  | 
municipality where CCR from the CCR surface impoundment will  | 
be permanently disposed. Such documents may be copied upon  | 
payment of the actual cost of reproduction during regular  | 
business hours of the local office. | 
 The Agency shall issue a written statement concurrent with  | 
its grant or denial of the permit explaining the basis for its  | 
decision. | 
(Source: P.A. 101-171, eff. 7-30-19; 102-216, eff. 1-1-22;  | 
102-558, eff. 8-20-21; revised 12-1-21.)
 | 
 Section 550. The Electric Vehicle Rebate Act is amended by  | 
changing Section 15 as follows:
 | 
 (415 ILCS 120/15)
 | 
 Sec. 15. Rulemaking. The Agency shall promulgate rules as  | 
necessary
and dedicate sufficient resources to implement
 | 
Section 27 of this Act. Such rules shall be
consistent with  | 
applicable provisions of the Clean Air Act and any
regulations  | 
promulgated pursuant thereto. The Secretary of State may
 | 
promulgate rules to implement Section 35 of this Act. Agency
 | 
(Source: P.A. 102-444, eff. 8-20-21; 102-662, eff. 9-15-21;  | 
revised 10-14-21.)
 | 
 Section 555. The Firearm Owners Identification Card Act is  | 
 | 
amended by changing Sections 1.1, 3, 3.1, 4, 5, 6, 8, 8.3, 9.5,  | 
10, 11, and 13.2 as follows:
 | 
 (430 ILCS 65/1.1) (from Ch. 38, par. 83-1.1)
 | 
 Sec. 1.1. For purposes of this Act: 
 | 
 "Addicted to narcotics" means a person who has been:  | 
  (1) convicted of an offense involving the use or  | 
 possession of cannabis, a controlled substance, or  | 
 methamphetamine within the past year; or  | 
  (2) determined by the Illinois State Police to be  | 
 addicted to narcotics based upon federal law or federal  | 
 guidelines.  | 
 "Addicted to narcotics" does not include possession or use  | 
of a prescribed controlled substance under the direction and  | 
authority of a physician or other person authorized to  | 
prescribe the controlled substance when the controlled  | 
substance is used in the prescribed manner. | 
 "Adjudicated as a person with a mental disability" means  | 
the person is the subject of a determination by a court, board,  | 
commission or other lawful authority that the person, as a  | 
result of marked subnormal intelligence, or mental illness,  | 
mental impairment, incompetency, condition, or disease: | 
  (1) presents a clear and present danger to himself,  | 
 herself, or to others; | 
  (2) lacks the mental capacity to manage his or her own  | 
 affairs or is adjudicated a person with a disability as  | 
 | 
 defined in Section 11a-2 of the Probate Act of 1975; | 
  (3) is not guilty in a criminal case by reason of  | 
 insanity, mental disease or defect; | 
  (3.5) is guilty but mentally ill, as provided in  | 
 Section 5-2-6 of the Unified Code of Corrections;  | 
  (4) is incompetent to stand trial in a criminal case;  | 
  (5) is not guilty by reason of lack of mental  | 
 responsibility under Articles 50a and 72b of the Uniform  | 
 Code of Military Justice, 10 U.S.C. 850a, 876b;
 | 
  (6) is a sexually violent person under subsection (f)  | 
 of Section 5 of the Sexually Violent Persons Commitment  | 
 Act;  | 
  (7) is a sexually dangerous person under the Sexually  | 
 Dangerous Persons Act;  | 
  (8) is unfit to stand trial under the Juvenile Court  | 
 Act of 1987;  | 
  (9) is not guilty by reason of insanity under the  | 
 Juvenile Court Act of 1987;  | 
  (10) is subject to involuntary admission as an  | 
 inpatient as defined in Section 1-119 of the Mental Health  | 
 and Developmental Disabilities Code;  | 
  (11) is subject to involuntary admission as an  | 
 outpatient as defined in Section 1-119.1 of the Mental  | 
 Health and Developmental Disabilities Code;  | 
  (12) is subject to judicial admission as set forth in  | 
 Section 4-500 of the Mental Health and Developmental  | 
 | 
 Disabilities Code; or  | 
  (13) is subject to the provisions of the Interstate  | 
 Agreements on Sexually Dangerous Persons Act.  | 
 "Clear and present danger" means a person who: | 
  (1) communicates a serious threat of physical violence  | 
 against a reasonably identifiable victim or poses a clear  | 
 and imminent risk of serious physical injury to himself,  | 
 herself, or another person as determined by a physician,  | 
 clinical psychologist, or qualified examiner; or | 
  (2) demonstrates threatening physical or verbal  | 
 behavior, such as violent, suicidal, or assaultive  | 
 threats, actions, or other behavior, as determined by a  | 
 physician, clinical psychologist, qualified examiner,  | 
 school administrator, or law enforcement official. | 
 "Clinical psychologist" has the meaning provided in  | 
Section 1-103 of the Mental Health and Developmental  | 
Disabilities Code. | 
 "Controlled substance" means a controlled substance or  | 
controlled substance analog as defined in the Illinois  | 
Controlled Substances Act.  | 
 "Counterfeit" means to copy or imitate, without legal  | 
authority, with
intent
to deceive. | 
 "Federally licensed firearm dealer" means a person who is  | 
licensed as a federal firearms dealer under Section 923 of the  | 
federal Gun Control Act of 1968 (18 U.S.C. 923).
 | 
 "Firearm" means any device, by
whatever name known, which  | 
 | 
is designed to expel a projectile or projectiles
by the action  | 
of an explosion, expansion of gas or escape of gas; excluding,
 | 
however:
 | 
  (1) any pneumatic gun, spring gun, paint ball gun, or  | 
 B-B gun which
expels a single globular projectile not  | 
 exceeding .18 inch in
diameter or which has a maximum  | 
 muzzle velocity of less than 700 feet
per second;
 | 
  (1.1) any pneumatic gun, spring gun, paint ball gun,  | 
 or B-B gun which expels breakable paint balls containing  | 
 washable marking colors;  | 
  (2) any device used exclusively for signaling or  | 
 safety and required or
recommended by the United States  | 
 Coast Guard or the Interstate Commerce
Commission;
 | 
  (3) any device used exclusively for the firing of stud  | 
 cartridges,
explosive rivets or similar industrial  | 
 ammunition; and
 | 
  (4) an antique firearm (other than a machine-gun)  | 
 which, although
designed as a weapon, the Illinois State  | 
 Police finds by reason of
the date of its manufacture,  | 
 value, design, and other characteristics is
primarily a  | 
 collector's item and is not likely to be used as a weapon.
 | 
 "Firearm ammunition" means any self-contained cartridge or  | 
shotgun
shell, by whatever name known, which is designed to be  | 
used or adaptable to
use in a firearm; excluding, however:
 | 
  (1) any ammunition exclusively designed for use with a  | 
 device used
exclusively for signaling signalling or safety  | 
 | 
 and required or recommended by the
United States Coast  | 
 Guard or the Interstate Commerce Commission; and
 | 
  (2) any ammunition designed exclusively for use with a  | 
 stud or rivet
driver or other similar industrial  | 
 ammunition. | 
 "Gun show" means an event or function: | 
  (1) at which the sale and transfer of firearms is the  | 
 regular and normal course of business and where 50 or more  | 
 firearms are displayed, offered, or exhibited for sale,  | 
 transfer, or exchange; or | 
  (2) at which not less than 10 gun show vendors  | 
 display, offer, or exhibit for sale, sell, transfer, or  | 
 exchange firearms.
 | 
 "Gun show" includes the entire premises provided for an  | 
event or function, including parking areas for the event or  | 
function, that is sponsored to facilitate the purchase, sale,  | 
transfer, or exchange of firearms as described in this  | 
Section.
Nothing in this definition shall be construed to  | 
exclude a gun show held in conjunction with competitive  | 
shooting events at the World Shooting Complex sanctioned by a  | 
national governing body in which the sale or transfer of  | 
firearms is authorized under subparagraph (5) of paragraph (g)  | 
of subsection (A) of Section 24-3 of the Criminal Code of 2012.  | 
 Unless otherwise expressly stated, "gun show" does not  | 
include training or safety classes, competitive shooting  | 
events, such as rifle, shotgun, or handgun matches, trap,  | 
 | 
skeet, or sporting clays shoots, dinners, banquets, raffles,  | 
or
any other event where the sale or transfer of firearms is  | 
not the primary course of business. | 
 "Gun show promoter" means a person who organizes or  | 
operates a gun show. | 
 "Gun show vendor" means a person who exhibits, sells,  | 
offers for sale, transfers, or exchanges any firearms at a gun  | 
show, regardless of whether the person arranges with a gun  | 
show promoter for a fixed location from which to exhibit,  | 
sell, offer for sale, transfer, or exchange any firearm. | 
 "Involuntarily admitted" has the meaning as prescribed in  | 
Sections 1-119 and 1-119.1 of the Mental Health and  | 
Developmental Disabilities Code.  | 
 "Mental health facility" means any licensed private  | 
hospital or hospital affiliate, institution, or facility, or  | 
part thereof, and any facility, or part thereof, operated by  | 
the State or a political subdivision thereof which provides  | 
provide treatment of persons with mental illness and includes  | 
all hospitals, institutions, clinics, evaluation facilities,  | 
mental health centers, colleges, universities, long-term care  | 
facilities, and nursing homes, or parts thereof, which provide  | 
treatment of persons with mental illness whether or not the  | 
primary purpose is to provide treatment of persons with mental  | 
illness.  | 
 "National governing body" means a group of persons who  | 
adopt rules and formulate policy on behalf of a national  | 
 | 
firearm sporting organization.  | 
 "Patient" means:  | 
  (1) a person who is admitted as an inpatient or  | 
 resident of a public or private mental health facility for  | 
 mental health treatment under Chapter III of the Mental  | 
 Health and Developmental Disabilities Code as an informal  | 
 admission, a voluntary admission, a minor admission, an  | 
 emergency admission, or an involuntary admission, unless  | 
 the treatment was solely for an alcohol abuse disorder; or  | 
  (2) a person who voluntarily or involuntarily receives  | 
 mental health treatment as an out-patient or is otherwise  | 
 provided services by a public or private mental health  | 
 facility, and who poses a clear and present danger to  | 
 himself, herself, or to others.  | 
 "Person with a developmental disability" means a person  | 
with a disability which is attributable to any other condition  | 
which results in impairment similar to that caused by an  | 
intellectual disability and which requires services similar to  | 
those required by persons with intellectual disabilities. The  | 
disability must originate before the age of 18
years, be  | 
expected to continue indefinitely, and constitute a  | 
substantial disability. This disability results, in the  | 
professional opinion of a physician, clinical psychologist, or  | 
qualified examiner, in significant functional limitations in 3  | 
or more of the following areas of major life activity: | 
  (i) self-care; | 
 | 
  (ii) receptive and expressive language; | 
  (iii) learning; | 
  (iv) mobility; or | 
  (v) self-direction.  | 
 "Person with an intellectual disability" means a person  | 
with a significantly subaverage general intellectual  | 
functioning which exists concurrently with impairment in  | 
adaptive behavior and which originates before the age of 18  | 
years.  | 
 "Physician" has the meaning as defined in Section 1-120 of  | 
the Mental Health and Developmental Disabilities Code. | 
 "Protective order" means any orders of protection issued  | 
under the Illinois Domestic Violence Act of 1986, stalking no  | 
contact orders issued under the Stalking No Contact Order Act,  | 
civil no contact orders issued under the Civil No Contact  | 
Order Act, and firearms restraining orders issued under the  | 
Firearms Restraining Order Act. | 
 "Qualified examiner" has the meaning provided in Section  | 
1-122 of the Mental Health and Developmental Disabilities  | 
Code. | 
 "Sanctioned competitive shooting event" means a shooting  | 
contest officially recognized by a national or state shooting  | 
sport association, and includes any sight-in or practice  | 
conducted in conjunction with the event.
 | 
 "School administrator" means the person required to report  | 
under the School Administrator Reporting of Mental Health  | 
 | 
Clear and Present Danger Determinations Law. | 
 "Stun gun or taser" has the meaning ascribed to it in  | 
Section 24-1 of the Criminal Code of 2012. | 
(Source: P.A. 102-237, eff. 1-1-22; 102-538, eff. 8-20-21;  | 
revised 10-6-21.)
 | 
 (430 ILCS 65/3) (from Ch. 38, par. 83-3) | 
 (Text of Section before amendment by P.A. 102-237) | 
 Sec. 3. (a) Except as provided in Section 3a, no person may  | 
knowingly
transfer, or cause to be transferred, any firearm,  | 
firearm ammunition, stun gun, or taser to any person within  | 
this State unless the
transferee with whom he deals displays  | 
either: (1) a currently valid Firearm Owner's
Identification  | 
Card which has previously been issued in his or her name by the
 | 
Illinois State Police under the provisions of this Act; or (2)  | 
a currently valid license to carry a concealed firearm which  | 
has previously been issued in his or her name by the
Illinois  | 
State Police under the Firearm Concealed Carry Act. In  | 
addition,
all firearm, stun gun, and taser transfers by  | 
federally licensed firearm dealers are subject
to Section 3.1. | 
 (a-5) Any person who is not a federally licensed firearm  | 
dealer and who desires to transfer or sell a firearm while that  | 
person is on the grounds of a gun show must, before selling or  | 
transferring the firearm, request the Illinois State Police to  | 
conduct a background check on the prospective recipient of the  | 
firearm in accordance with Section 3.1.
 | 
 | 
 (a-10) Notwithstanding item (2) of subsection (a) of this  | 
Section, any person who is not a federally licensed firearm  | 
dealer and who desires to transfer or sell a firearm or  | 
firearms to any person who is not a federally licensed firearm  | 
dealer shall, before selling or transferring the firearms,  | 
contact the Illinois State Police with the transferee's or  | 
purchaser's Firearm Owner's Identification Card number to  | 
determine the validity of the transferee's or purchaser's  | 
Firearm Owner's Identification Card. This subsection shall not  | 
be effective until January 1, 2014. The Illinois State Police  | 
may adopt rules concerning the implementation of this  | 
subsection. The Illinois State Police shall provide the seller  | 
or transferor an approval number if the purchaser's Firearm  | 
Owner's Identification Card is valid. Approvals issued by the  | 
Illinois State Police Department for the purchase of a firearm  | 
pursuant to this subsection are valid for 30 days from the date  | 
of issue. | 
 (a-15) The provisions of subsection (a-10) of this Section  | 
do not apply to: | 
  (1) transfers that occur at the place of business of a  | 
 federally licensed firearm dealer, if the federally  | 
 licensed firearm dealer conducts a background check on the  | 
 prospective recipient of the firearm in accordance with  | 
 Section 3.1 of this Act and follows all other applicable  | 
 federal, State, and local laws as if he or she were the  | 
 seller or transferor of the firearm, although the dealer  | 
 | 
 is not required to accept the firearm into his or her  | 
 inventory. The purchaser or transferee may be required by  | 
 the federally licensed firearm dealer to pay a fee not to  | 
 exceed $10 per firearm, which the dealer may retain as  | 
 compensation for performing the functions required under  | 
 this paragraph, plus the applicable fees authorized by  | 
 Section 3.1; | 
  (2) transfers as a bona fide gift to the transferor's  | 
 husband, wife, son, daughter, stepson, stepdaughter,  | 
 father, mother, stepfather, stepmother, brother, sister,  | 
 nephew, niece, uncle, aunt, grandfather, grandmother,  | 
 grandson, granddaughter, father-in-law, mother-in-law,  | 
 son-in-law, or daughter-in-law; | 
  (3) transfers by persons acting pursuant to operation  | 
 of law or a court order; | 
  (4) transfers on the grounds of a gun show under  | 
 subsection (a-5) of this Section; | 
  (5) the delivery of a firearm by its owner to a  | 
 gunsmith for service or repair, the return of the firearm  | 
 to its owner by the gunsmith, or the delivery of a firearm  | 
 by a gunsmith to a federally licensed firearms dealer for  | 
 service or repair and the return of the firearm to the  | 
 gunsmith; | 
  (6) temporary transfers that occur while in the home  | 
 of the unlicensed transferee, if the unlicensed transferee  | 
 is not otherwise prohibited from possessing firearms and  | 
 | 
 the unlicensed transferee reasonably believes that  | 
 possession of the firearm is necessary to prevent imminent  | 
 death or great bodily harm to the unlicensed transferee; | 
  (7) transfers to a law enforcement or corrections  | 
 agency or a law enforcement or corrections officer acting  | 
 within the course and scope of his or her official duties; | 
  (8) transfers of firearms that have been rendered  | 
 permanently inoperable to a nonprofit historical society,  | 
 museum, or institutional collection; and | 
  (9) transfers to a person who is exempt from the  | 
 requirement of possessing a Firearm Owner's Identification  | 
 Card under Section 2 of this Act. | 
 (a-20) The Illinois State Police shall develop an  | 
Internet-based system for individuals to determine the  | 
validity of a Firearm Owner's Identification Card prior to the  | 
sale or transfer of a firearm. The Illinois State Police  | 
Department shall have the Internet-based system completed and  | 
available for use by July 1, 2015. The Illinois State Police  | 
Department shall adopt rules not inconsistent with this  | 
Section to implement this system. | 
 (b) Any person within this State who transfers or causes  | 
to be
transferred any firearm, stun gun, or taser shall keep a  | 
record of such transfer for a period
of 10 years from the date  | 
of transfer. Such record shall contain the date
of the  | 
transfer; the description, serial number or other information
 | 
identifying the firearm, stun gun, or taser if no serial  | 
 | 
number is available; and, if the
transfer was completed within  | 
this State, the transferee's Firearm Owner's
Identification  | 
Card number and any approval number or documentation provided  | 
by the Illinois State Police pursuant to subsection (a-10) of  | 
this Section; if the transfer was not completed within this  | 
State, the record shall contain the name and address of the  | 
transferee. On or after January 1, 2006, the record shall  | 
contain the date of application for transfer of the firearm.  | 
On demand of a peace officer such transferor
shall produce for  | 
inspection such record of transfer. If the transfer or sale  | 
took place at a gun show, the record shall include the unique  | 
identification number. Failure to record the unique  | 
identification number or approval number is a petty offense.
 | 
For transfers of a firearm, stun gun, or taser made on or after  | 
January 18, 2019 (the effective date of Public Act 100-1178)  | 
this amendatory Act of the 100th General Assembly, failure by  | 
the private seller to maintain the transfer records in  | 
accordance with this Section is a Class A misdemeanor for the  | 
first offense and a Class 4 felony for a second or subsequent  | 
offense. A transferee shall not be criminally liable under  | 
this Section provided that he or she provides the Illinois  | 
State Police with the transfer records in accordance with  | 
procedures established by the Illinois State Police  | 
Department. The Illinois State Police Department shall  | 
establish, by rule, a standard form on its website.  | 
 (b-5) Any resident may purchase ammunition from a person  | 
 | 
within or outside of Illinois if shipment is by United States  | 
mail or by a private express carrier authorized by federal law  | 
to ship ammunition. Any resident purchasing ammunition within  | 
or outside the State of Illinois must provide the seller with a  | 
copy of his or her valid Firearm Owner's Identification Card  | 
or valid concealed carry license and either his or her  | 
Illinois driver's license or Illinois State Identification  | 
Card prior to the shipment of the ammunition. The ammunition  | 
may be shipped only to an address on either of those 2  | 
documents. | 
 (c) The provisions of this Section regarding the transfer  | 
of firearm
ammunition shall not apply to those persons  | 
specified in paragraph (b) of
Section 2 of this Act. | 
(Source: P.A. 102-538, eff. 8-20-21; revised 10-13-21.)
 | 
 (Text of Section after amendment by P.A. 102-237) | 
 Sec. 3. (a) Except as provided in Section 3a, no person may  | 
knowingly
transfer, or cause to be transferred, any firearm,  | 
firearm ammunition, stun gun, or taser to any person within  | 
this State unless the
transferee with whom he deals displays  | 
either: (1) a currently valid Firearm Owner's
Identification  | 
Card which has previously been issued in his or her name by the
 | 
Illinois State Police under the provisions of this Act; or (2)  | 
a currently valid license to carry a concealed firearm which  | 
has previously been issued in his or her name by the
Illinois  | 
State Police under the Firearm Concealed Carry Act. In  | 
 | 
addition,
all firearm, stun gun, and taser transfers by  | 
federally licensed firearm dealers are subject
to Section 3.1. | 
 (a-5) Any person who is not a federally licensed firearm  | 
dealer and who desires to transfer or sell a firearm while that  | 
person is on the grounds of a gun show must, before selling or  | 
transferring the firearm, request the Illinois State Police to  | 
conduct a background check on the prospective recipient of the  | 
firearm in accordance with Section 3.1.
 | 
 (a-10) Notwithstanding item (2) of subsection (a) of this  | 
Section, any person who is not a federally licensed firearm  | 
dealer and who desires to transfer or sell a firearm or  | 
firearms to any person who is not a federally licensed firearm  | 
dealer shall, before selling or transferring the firearms,  | 
contact a federal firearm license dealer under paragraph (1)  | 
of subsection (a-15) of this Section to conduct the transfer  | 
or the Illinois State Police with the transferee's or  | 
purchaser's Firearm Owner's Identification Card number to  | 
determine the validity of the transferee's or purchaser's  | 
Firearm Owner's Identification Card under State and federal  | 
law, including the National Instant Criminal Background Check  | 
System. This subsection shall not be effective until January  | 
1, 2024. Until that date the transferor shall contact the  | 
Illinois State Police with the transferee's or purchaser's  | 
Firearm Owner's Identification Card number to determine the  | 
validity of the card. The Illinois State Police may adopt  | 
rules concerning the implementation of this subsection. The  | 
 | 
Illinois State Police shall provide the seller or transferor  | 
an approval number if the purchaser's Firearm Owner's  | 
Identification Card is valid. Approvals issued by the Illinois  | 
State Police Department for the purchase of a firearm pursuant  | 
to this subsection are valid for 30 days from the date of  | 
issue. | 
 (a-15) The provisions of subsection (a-10) of this Section  | 
do not apply to: | 
  (1) transfers that occur at the place of business of a  | 
 federally licensed firearm dealer, if the federally  | 
 licensed firearm dealer conducts a background check on the  | 
 prospective recipient of the firearm in accordance with  | 
 Section 3.1 of this Act and follows all other applicable  | 
 federal, State, and local laws as if he or she were the  | 
 seller or transferor of the firearm, although the dealer  | 
 is not required to accept the firearm into his or her  | 
 inventory. The purchaser or transferee may be required by  | 
 the federally licensed firearm dealer to pay a fee not to  | 
 exceed $25 per firearm, which the dealer may retain as  | 
 compensation for performing the functions required under  | 
 this paragraph, plus the applicable fees authorized by  | 
 Section 3.1; | 
  (2) transfers as a bona fide gift to the transferor's  | 
 husband, wife, son, daughter, stepson, stepdaughter,  | 
 father, mother, stepfather, stepmother, brother, sister,  | 
 nephew, niece, uncle, aunt, grandfather, grandmother,  | 
 | 
 grandson, granddaughter, father-in-law, mother-in-law,  | 
 son-in-law, or daughter-in-law; | 
  (3) transfers by persons acting pursuant to operation  | 
 of law or a court order; | 
  (4) transfers on the grounds of a gun show under  | 
 subsection (a-5) of this Section; | 
  (5) the delivery of a firearm by its owner to a  | 
 gunsmith for service or repair, the return of the firearm  | 
 to its owner by the gunsmith, or the delivery of a firearm  | 
 by a gunsmith to a federally licensed firearms dealer for  | 
 service or repair and the return of the firearm to the  | 
 gunsmith; | 
  (6) temporary transfers that occur while in the home  | 
 of the unlicensed transferee, if the unlicensed transferee  | 
 is not otherwise prohibited from possessing firearms and  | 
 the unlicensed transferee reasonably believes that  | 
 possession of the firearm is necessary to prevent imminent  | 
 death or great bodily harm to the unlicensed transferee; | 
  (7) transfers to a law enforcement or corrections  | 
 agency or a law enforcement or corrections officer acting  | 
 within the course and scope of his or her official duties; | 
  (8) transfers of firearms that have been rendered  | 
 permanently inoperable to a nonprofit historical society,  | 
 museum, or institutional collection; and | 
  (9) transfers to a person who is exempt from the  | 
 requirement of possessing a Firearm Owner's Identification  | 
 | 
 Card under Section 2 of this Act. | 
 (a-20) The Illinois State Police shall develop an  | 
Internet-based system for individuals to determine the  | 
validity of a Firearm Owner's Identification Card prior to the  | 
sale or transfer of a firearm. The Illinois State Police  | 
Department shall have the Internet-based system updated and  | 
available for use by January 1, 2024. The Illinois State  | 
Police shall adopt rules not inconsistent with this Section to  | 
implement this system; but no rule shall allow the Illinois  | 
State Police to retain records in contravention of State and  | 
federal law. | 
 (a-25) On or before January 1, 2022, the Illinois State  | 
Police shall develop an Internet-based system upon which the  | 
serial numbers of firearms that have been reported stolen are  | 
available for public access for individuals to ensure any  | 
firearms are not reported stolen prior to the sale or transfer  | 
of a firearm under this Section. The Illinois State Police  | 
shall have the Internet-based system completed and available  | 
for use by July 1, 2022. The Illinois State Police Department  | 
shall adopt rules not inconsistent with this Section to  | 
implement this system.  | 
 (b) Any person within this State who transfers or causes  | 
to be
transferred any firearm, stun gun, or taser shall keep a  | 
record of such transfer for a period
of 10 years from the date  | 
of transfer. Any person within this State who receives any  | 
firearm, stun gun, or taser pursuant to subsection (a-10)  | 
 | 
shall provide a record of the transfer within 10 days of the  | 
transfer to a federally licensed firearm dealer and shall not  | 
be required to maintain a transfer record. The federally  | 
licensed firearm dealer shall maintain the transfer record for  | 
20 years from the date of receipt. A federally licensed  | 
firearm dealer may charge a fee not to exceed $25 to retain the  | 
record. The record shall be provided and maintained in either  | 
an electronic or paper format. The federally licensed firearm  | 
dealer shall not be liable for the accuracy of any information  | 
in the transfer record submitted pursuant to this Section.  | 
Such records shall contain the date
of the transfer; the  | 
description, serial number or other information
identifying  | 
the firearm, stun gun, or taser if no serial number is  | 
available; and, if the
transfer was completed within this  | 
State, the transferee's Firearm Owner's
Identification Card  | 
number and any approval number or documentation provided by  | 
the Illinois State Police pursuant to subsection (a-10) of  | 
this Section; if the transfer was not completed within this  | 
State, the record shall contain the name and address of the  | 
transferee. On or after January 1, 2006, the record shall  | 
contain the date of application for transfer of the firearm.  | 
On demand of a peace officer such transferor shall produce for  | 
inspection such record of transfer. For any transfer pursuant  | 
to subsection (a-10) of this Section, on the demand of a peace  | 
officer, such transferee shall identify the federally licensed  | 
firearm dealer maintaining the transfer record. If the  | 
 | 
transfer or sale took place at a gun show, the record shall  | 
include the unique identification number. Failure to record  | 
the unique identification number or approval number is a petty  | 
offense.
For transfers of a firearm, stun gun, or taser made on  | 
or after January 18, 2019 (the effective date of Public Act  | 
100-1178) this amendatory Act of the 100th General Assembly,  | 
failure by the private seller to maintain the transfer records  | 
in accordance with this Section, or failure by a transferee  | 
pursuant to subsection a-10 of this Section to identify the  | 
federally licensed firearm dealer maintaining the transfer  | 
record, is a Class A misdemeanor for the first offense and a  | 
Class 4 felony for a second or subsequent offense occurring  | 
within 10 years of the first offense and the second offense was  | 
committed after conviction of the first offense. Whenever any  | 
person who has not previously been convicted of any violation  | 
of subsection (a-5), the court may grant supervision pursuant  | 
to and consistent with the limitations of Section 5-6-1 of the  | 
Unified Code of Corrections. A transferee or transferor shall  | 
not be criminally liable under this Section provided that he  | 
or she provides the Illinois State Police with the transfer  | 
records in accordance with procedures established by the  | 
Illinois State Police Department. The Illinois State Police  | 
Department shall establish, by rule, a standard form on its  | 
website.  | 
 (b-5) Any resident may purchase ammunition from a person  | 
within or outside of Illinois if shipment is by United States  | 
 | 
mail or by a private express carrier authorized by federal law  | 
to ship ammunition. Any resident purchasing ammunition within  | 
or outside the State of Illinois must provide the seller with a  | 
copy of his or her valid Firearm Owner's Identification Card  | 
or valid concealed carry license and either his or her  | 
Illinois driver's license or Illinois State Identification  | 
Card prior to the shipment of the ammunition. The ammunition  | 
may be shipped only to an address on either of those 2  | 
documents. | 
 (c) The provisions of this Section regarding the transfer  | 
of firearm
ammunition shall not apply to those persons  | 
specified in paragraph (b) of
Section 2 of this Act. | 
(Source: P.A. 102-237, eff. 1-1-24; 102-538, eff. 8-20-21;  | 
revised 10-13-21.)
 | 
 (430 ILCS 65/3.1) (from Ch. 38, par. 83-3.1)
 | 
 Sec. 3.1. Firearm Transfer Inquiry Program.  | 
 (a) The Illinois State Police shall provide
a dial up  | 
telephone system or utilize other existing technology which  | 
shall be used by any federally licensed
firearm dealer, gun  | 
show promoter, or gun show vendor who is to transfer a firearm,  | 
stun gun, or taser under the provisions of this
Act. The  | 
Illinois State Police may utilize existing technology which
 | 
allows the caller to be charged a fee not to exceed $2. Fees  | 
collected by the Illinois State Police shall be deposited in  | 
the State Police Firearm Services Fund and used
to provide the  | 
 | 
service.
 | 
 (b) Upon receiving a request from a federally licensed  | 
firearm dealer, gun show promoter, or gun show vendor, the
 | 
Illinois State Police shall immediately approve, or, within  | 
the time
period established by Section 24-3 of the Criminal  | 
Code of 2012 regarding
the delivery of firearms, stun guns,  | 
and tasers, notify the inquiring dealer, gun show promoter, or  | 
gun show vendor of any objection that
would disqualify the  | 
transferee from acquiring or possessing a firearm, stun gun,  | 
or taser. In
conducting the inquiry, the Illinois State Police  | 
shall initiate and
complete an automated search of its  | 
criminal history record information
files and those of the  | 
Federal Bureau of Investigation, including the
National  | 
Instant Criminal Background Check System, and of the files of
 | 
the Department of Human Services relating to mental health and
 | 
developmental disabilities to obtain
any felony conviction or  | 
patient hospitalization information which would
disqualify a  | 
person from obtaining or require revocation of a currently
 | 
valid Firearm Owner's Identification Card. | 
 (b-5) By January 1, 2023, the Illinois State Police shall  | 
by rule provide a process for the automatic renewal of the  | 
Firearm Owner's Identification Card of a person at the time of  | 
an inquiry in subsection (b). Persons eligible for this  | 
process must have a set of fingerprints on file with their  | 
applications application under either subsection (a-25) of  | 
Section 4 or the Firearm Concealed Carry Act.  | 
 | 
 (c) If receipt of a firearm would not violate Section 24-3  | 
of the Criminal Code of 2012, federal law, or this Act, the  | 
Illinois State Police shall: | 
  (1) assign a unique identification number to the  | 
 transfer; and | 
  (2) provide the licensee, gun show promoter, or gun  | 
 show vendor with the number. | 
 (d) Approvals issued by the Illinois State Police for the  | 
purchase of a firearm are valid for 30 days from the date of  | 
issue.
 | 
 (e) (1) The Illinois State Police must act as the Illinois  | 
Point of Contact
for the National Instant Criminal Background  | 
Check System. | 
 (2) The Illinois State Police and the Department of Human  | 
Services shall, in accordance with State and federal law  | 
regarding confidentiality, enter into a memorandum of  | 
understanding with the Federal Bureau of Investigation for the  | 
purpose of implementing the National Instant Criminal  | 
Background Check System in the State. The Illinois State  | 
Police shall report the name, date of birth, and physical  | 
description of any person prohibited from possessing a firearm  | 
pursuant to the Firearm Owners Identification Card Act or 18  | 
U.S.C. 922(g) and (n) to the National Instant Criminal  | 
Background Check System Index, Denied Persons Files.
 | 
 (3) The Illinois State Police shall provide notice of the  | 
disqualification of a person under subsection (b) of this  | 
 | 
Section or the revocation of a person's Firearm Owner's  | 
Identification Card under Section 8 or Section 8.2 of this  | 
Act, and the reason for the disqualification or revocation, to  | 
all law enforcement agencies with jurisdiction to assist with  | 
the seizure of the person's Firearm Owner's Identification  | 
Card.  | 
 (f) The Illinois State Police shall adopt rules not  | 
inconsistent with this Section to implement this
system.
 | 
(Source: P.A. 102-237, eff. 1-1-22; 102-538, eff. 8-20-21;  | 
revised 10-13-21.)
 | 
 (430 ILCS 65/4) (from Ch. 38, par. 83-4)
 | 
 Sec. 4. Application for Firearm Owner's Identification  | 
Cards.  | 
 (a) Each applicant for a Firearm Owner's Identification  | 
Card must: 
 | 
  (1) Submit an application as made available by the  | 
 Illinois State Police; and
 | 
  (2) Submit evidence to the Illinois State Police that:
 | 
   (i) This subparagraph (i) applies through the  | 
 180th day following July 12, 2019 (the effective date  | 
 of Public Act 101-80) this amendatory Act of the 101st  | 
 General Assembly. He or she is 21 years of age or over,  | 
 or if he or she is under 21
years of age that he or she  | 
 has the written consent of his or her parent or
legal  | 
 guardian to possess and acquire firearms and firearm  | 
 | 
 ammunition and that
he or she has never been convicted  | 
 of a misdemeanor other than a traffic
offense or  | 
 adjudged
delinquent, provided, however, that such  | 
 parent or legal guardian is not an
individual  | 
 prohibited from having a Firearm Owner's  | 
 Identification Card and
files an affidavit with the  | 
 Department as prescribed by the Department
stating  | 
 that he or she is not an individual prohibited from  | 
 having a Card; | 
   (i-5) This subparagraph (i-5) applies on and after  | 
 the 181st day following July 12, 2019 (the effective  | 
 date of Public Act 101-80) this amendatory Act of the  | 
 101st General Assembly. He or she is 21 years of age or  | 
 over, or if he or she is under 21
years of age that he  | 
 or she has never been convicted of a misdemeanor other  | 
 than a traffic offense or adjudged delinquent and is  | 
 an active duty member of the United States Armed  | 
 Forces or has the written consent of his or her parent  | 
 or
legal guardian to possess and acquire firearms and  | 
 firearm ammunition, provided, however, that such  | 
 parent or legal guardian is not an
individual  | 
 prohibited from having a Firearm Owner's  | 
 Identification Card and
files an affidavit with the  | 
 Illinois State Police Department as prescribed by the  | 
 Illinois State Police Department
stating that he or  | 
 she is not an individual prohibited from having a Card  | 
 | 
 or the active duty member of the United States Armed  | 
 Forces under 21 years of age annually submits proof to  | 
 the Illinois State Police, in a manner prescribed by  | 
 the Illinois State Police Department; 
 | 
   (ii) He or she has not been convicted of a felony  | 
 under the laws of
this or any other jurisdiction;
 | 
   (iii) He or she is not addicted to narcotics;
 | 
   (iv) He or she has not been a patient in a mental  | 
 health facility within
the past 5 years or, if he or  | 
 she has been a patient in a mental health facility more  | 
 than 5 years ago submit the certification required  | 
 under subsection (u) of Section 8 of this Act;
 | 
   (v) He or she is not a person with an intellectual  | 
 disability;
 | 
   (vi) He or she is not an alien who is unlawfully  | 
 present in the
United States under the laws of the  | 
 United States;
 | 
   (vii) He or she is not subject to an existing order  | 
 of protection
prohibiting him or her from possessing a  | 
 firearm;
 | 
   (viii) He or she has not been convicted within the  | 
 past 5 years of
battery, assault, aggravated assault,  | 
 violation of an order of
protection, or a  | 
 substantially similar offense in another jurisdiction,  | 
 in
which a firearm was used or possessed;
 | 
   (ix) He or she has not been convicted of domestic  | 
 | 
 battery, aggravated domestic battery, or a
 | 
 substantially similar offense in another
jurisdiction  | 
 committed before, on or after January 1, 2012 (the  | 
 effective date of Public Act 97-158). If the applicant  | 
 knowingly and intelligently waives the right to have  | 
 an offense described in this clause (ix) tried by a  | 
 jury, and by guilty plea or otherwise, results in a  | 
 conviction for an offense in which a domestic  | 
 relationship is not a required element of the offense  | 
 but in which a determination of the applicability of  | 
 18 U.S.C. 922(g)(9) is made under Section 112A-11.1 of  | 
 the Code of Criminal Procedure of 1963, an entry by the  | 
 court of a judgment of conviction for that offense  | 
 shall be grounds for denying the issuance of a Firearm  | 
 Owner's Identification Card under this Section;
 | 
   (x) (Blank);
 | 
   (xi) He or she is not an alien who has been  | 
 admitted to the United
States under a non-immigrant  | 
 visa (as that term is defined in Section
101(a)(26) of  | 
 the Immigration and Nationality Act (8 U.S.C.  | 
 1101(a)(26))),
or that he or she is an alien who has  | 
 been lawfully admitted to the United
States under a  | 
 non-immigrant visa if that alien is:
 | 
    (1) admitted to the United States for lawful  | 
 hunting or sporting
purposes;
 | 
    (2) an official representative of a foreign  | 
 | 
 government who is:
 | 
     (A) accredited to the United States  | 
 Government or the Government's
mission to an  | 
 international organization having its  | 
 headquarters in the United
States; or
 | 
     (B) en route to or from another country to  | 
 which that alien is
accredited;
 | 
    (3) an official of a foreign government or  | 
 distinguished foreign
visitor who has been so  | 
 designated by the Department of State;
 | 
    (4) a foreign law enforcement officer of a  | 
 friendly foreign
government entering the United  | 
 States on official business; or
 | 
    (5) one who has received a waiver from the  | 
 Attorney General of the
United States pursuant to  | 
 18 U.S.C. 922(y)(3);
 | 
   (xii) He or she is not a minor subject to a  | 
 petition filed
under Section 5-520 of the Juvenile  | 
 Court Act of 1987 alleging that the
minor is a  | 
 delinquent minor for the commission of an offense that  | 
 if
committed by an adult would be a felony;
 | 
   (xiii) He or she is not an adult who had been  | 
 adjudicated a delinquent
minor under the Juvenile  | 
 Court Act of 1987 for the commission of an offense
that  | 
 if committed by an adult would be a felony;
 | 
   (xiv) He or she is a resident of the State of  | 
 | 
 Illinois;  | 
   (xv) He or she has not been adjudicated as a person  | 
 with a mental disability;  | 
   (xvi) He or she has not been involuntarily  | 
 admitted into a mental health facility; and  | 
   (xvii) He or she is not a person with a  | 
 developmental disability; and  | 
  (3) Upon request by the Illinois State Police, sign a  | 
 release on a
form prescribed by the Illinois State Police  | 
 waiving any right to
confidentiality and requesting the  | 
 disclosure to the Illinois State Police
of limited mental  | 
 health institution admission information from another  | 
 state,
the District of Columbia, any other territory of  | 
 the United States, or a
foreign nation concerning the  | 
 applicant for the sole purpose of determining
whether the  | 
 applicant is or was a patient in a mental health  | 
 institution and
disqualified because of that status from  | 
 receiving a Firearm Owner's
Identification Card. No mental  | 
 health care or treatment records may be
requested. The  | 
 information received shall be destroyed within one year of
 | 
 receipt.
 | 
 (a-5) Each applicant for a Firearm Owner's Identification  | 
Card who is over
the age of 18 shall furnish to the Illinois  | 
State Police either his or
her Illinois driver's license  | 
number or Illinois Identification Card number, except as
 | 
provided in subsection (a-10).
 | 
 | 
 (a-10) Each applicant for a Firearm Owner's Identification  | 
Card,
who is employed as a law enforcement officer, an armed  | 
security officer in Illinois, or by the United States Military
 | 
permanently assigned in Illinois and who is not an Illinois  | 
resident, shall furnish to
the Illinois State Police his or  | 
her driver's license number or state
identification card  | 
number from his or her state of residence. The Illinois State  | 
Police may adopt rules to enforce the provisions of this
 | 
subsection (a-10).
 | 
 (a-15) If an applicant applying for a Firearm Owner's  | 
Identification Card moves from the residence address named in  | 
the application, he or she shall immediately notify in a form  | 
and manner prescribed by the Illinois State Police of that  | 
change of address. | 
 (a-20) Each applicant for a Firearm Owner's Identification  | 
Card shall furnish to the Illinois State Police his or her  | 
photograph. An applicant who is 21 years of age or older  | 
seeking a religious exemption to the photograph requirement  | 
must furnish with the application an approved copy of United  | 
States Department of the Treasury Internal Revenue Service  | 
Form 4029. In lieu of a photograph, an applicant regardless of  | 
age seeking a religious exemption to the photograph  | 
requirement shall submit fingerprints on a form and manner  | 
prescribed by the Illinois State Police Department with his or  | 
her application.  | 
 (a-25) Beginning January 1, 2023, each applicant for the  | 
 | 
issuance of a Firearm Owner's Identification Card may include  | 
a full set of his or her fingerprints in electronic format to  | 
the Illinois State Police, unless the applicant has previously  | 
provided a full set of his or her fingerprints to the Illinois  | 
State Police under this Act or the Firearm Concealed Carry  | 
Act. | 
 The fingerprints must be transmitted through a live scan  | 
fingerprint vendor licensed by the Department of Financial and  | 
Professional Regulation. The fingerprints shall be checked  | 
against the fingerprint records now and hereafter filed in the  | 
Illinois State Police and Federal Bureau of Investigation  | 
criminal history records databases, including all available  | 
State and local criminal history record information files. | 
 The Illinois State Police shall charge applicants a  | 
one-time fee for conducting the criminal history record check,  | 
which shall be deposited into the State Police Services Fund  | 
and shall not exceed the actual cost of the State and national  | 
criminal history record check. | 
 (a-26) The Illinois State Police shall research, explore,  | 
and report to the General Assembly by January 1, 2022 on the  | 
feasibility of permitting voluntarily submitted fingerprints  | 
obtained for purposes other than Firearm Owner's  | 
Identification Card enforcement that are contained in the  | 
Illinois State Police database for purposes of this Act.  | 
 (b) Each application form shall include the following  | 
statement printed in
bold type: "Warning: Entering false  | 
 | 
information on an application for a Firearm
Owner's  | 
Identification Card is punishable as a Class 2 felony in  | 
accordance
with subsection (d-5) of Section 14 of the Firearm  | 
Owners Identification Card
Act.".
 | 
 (c) Upon such written consent, pursuant to Section 4,  | 
paragraph (a)(2)(i),
the parent or legal guardian giving the  | 
consent shall be liable for any
damages resulting from the  | 
applicant's use of firearms or firearm ammunition.
 | 
(Source: P.A. 101-80, eff. 7-12-19; 102-237, eff. 1-1-22;  | 
102-538, eff. 8-20-21; revised 10-12-21.)
 | 
 (430 ILCS 65/5) (from Ch. 38, par. 83-5)
 | 
 Sec. 5. Application and renewal.  | 
 (a) The Illinois State Police shall either approve or
deny  | 
all applications within 30 days from the date they are  | 
received,
except as provided in subsections (b) and (c), and  | 
every applicant found qualified under Section 8 of this Act by
 | 
the Illinois State Police Department shall be entitled to a  | 
Firearm Owner's Identification
Card upon the payment of a $10  | 
fee and applicable processing fees. The processing fees shall  | 
be limited to charges by the State Treasurer for using the  | 
electronic online payment system. Any applicant who is an  | 
active duty member of the Armed Forces of the United States, a  | 
member of the Illinois National Guard, or a member of the  | 
Reserve Forces of the United States is exempt from the  | 
application fee. $5 of each fee derived from the issuance of a  | 
 | 
Firearm Owner's Identification Card or renewals, thereof,  | 
shall be deposited in the State Police Firearm Services Fund  | 
and $5 into the State Police Revocation Enforcement Fund. | 
 (b) Renewal applications shall be approved or denied  | 
within 60 business days, provided the applicant submitted his  | 
or her renewal application prior to the expiration of his or  | 
her Firearm Owner's Identification Card. If a renewal  | 
application has been submitted prior to the expiration date of  | 
the applicant's Firearm Owner's Identification Card, the  | 
Firearm Owner's Identification Card shall remain valid while  | 
the Illinois State Police Department processes the  | 
application, unless the person is subject to or becomes  | 
subject to revocation under this Act. The cost for a renewal  | 
application shall be $10, and may include applicable  | 
processing fees, which shall be limited to charges by the  | 
State Treasurer for using the electronic online payment  | 
system, which shall be deposited into the State Police Firearm  | 
Services Fund. | 
 (c) If the Firearm Owner's Identification Card of a  | 
licensee under the Firearm Concealed Carry Act expires during  | 
the term of the licensee's concealed carry license, the  | 
Firearm Owner's Identification Card and the license remain  | 
valid and the licensee does not have to renew his or her  | 
Firearm Owner's Identification Card during the duration of the  | 
concealed carry license. Unless the Illinois State Police has  | 
reason to believe the licensee is no longer eligible for the  | 
 | 
card, the Illinois State Police may automatically renew the  | 
licensee's Firearm Owner's Identification Card and send a  | 
renewed Firearm Owner's Identification Card to the licensee. | 
 (d) The Illinois State Police may adopt rules concerning  | 
the use of voluntarily submitted fingerprints, as allowed by  | 
State and federal law. 
 | 
(Source: P.A. 102-237, eff. 1-1-22; 102-538, eff. 8-20-21;  | 
revised 10-13-21.)
 | 
 (430 ILCS 65/6) (from Ch. 38, par. 83-6)
 | 
 Sec. 6. Contents of Firearm Owner's Identification Card. 
 | 
 (a) A Firearm Owner's Identification Card, issued by the  | 
Illinois State Police at such places as the Director of the  | 
Illinois State Police
shall
specify, shall contain the  | 
applicant's name, residence, date of birth, sex,
physical  | 
description, recent photograph, except as provided in  | 
subsection (c-5), and signature. Each Firearm Owner's
 | 
Identification Card must have the Firearm Owner's  | 
Identification Card number boldly and conspicuously
displayed  | 
on the face of the card. Each Firearm Owner's
Identification  | 
Card must have printed on it the following: "CAUTION - This
 | 
card does not permit bearer to UNLAWFULLY carry or use  | 
firearms."
Before December 1, 2002,
the Department of State  | 
Police may use a person's digital photograph and signature  | 
from his or
her
Illinois driver's license or Illinois  | 
Identification Card, if available. On
and after December 1,  | 
 | 
2002,
the Illinois State Police (formerly the Department of  | 
State Police) Department shall use a person's digital  | 
photograph and signature from his
or her
Illinois driver's  | 
license or Illinois Identification Card, if available. The  | 
Illinois State Police
Department shall decline to use a  | 
person's digital photograph or signature if
the digital  | 
photograph or signature is the result of or associated with
 | 
fraudulent or erroneous data, unless otherwise provided by  | 
law.
 | 
 (b) A person applying for a Firearm Owner's Identification  | 
Card shall
consent
to the Illinois State Police using the  | 
applicant's digital driver's
license
or Illinois  | 
Identification Card photograph, if available, and signature on  | 
the
applicant's
Firearm Owner's Identification Card. The  | 
Secretary
of State shall allow the Illinois State Police  | 
access to the photograph
and signature for the purpose of  | 
identifying the applicant and issuing to the
applicant a
 | 
Firearm Owner's Identification Card.
 | 
 (c) The Secretary of State shall conduct a study to  | 
determine the cost
and
feasibility of creating a method of  | 
adding an identifiable code, background, or
other means on the  | 
driver's license or Illinois Identification Card to show
that
 | 
an individual is not disqualified from owning or possessing a  | 
firearm under
State or federal law. The Secretary shall report  | 
the findings of this study August 17, 2002 (12 months after the  | 
effective date of Public Act 92-442) this amendatory Act of  | 
 | 
the 92nd General
Assembly.
 | 
 (c-5) If a person qualifies for a photograph exemption, in  | 
lieu of a photograph, the Firearm Owner's Identification Card  | 
shall contain a copy of the card holder's fingerprints. Each  | 
Firearm Owner's Identification Card described in this  | 
subsection (c-5) must have printed on it the following: "This  | 
card is only valid for firearm purchases through a federally  | 
licensed firearms dealer when presented with photographic  | 
identification, as prescribed by 18 U.S.C. 922(t)(1)(C)."  | 
(Source: P.A. 102-237, eff. 1-1-22; 102-538, eff. 8-20-21;  | 
revised 10-14-21.)
 | 
 (430 ILCS 65/8) (from Ch. 38, par. 83-8)
 | 
 Sec. 8. Grounds for denial and revocation. The Illinois  | 
State Police has authority to deny an
application for or to  | 
revoke and seize a Firearm Owner's Identification
Card  | 
previously issued under this Act only if the Illinois State  | 
Police Department finds that the
applicant or the person to  | 
whom such card was issued is or was at the time
of issuance:
 | 
  (a) A person under 21 years of age who has been  | 
 convicted of a
misdemeanor other than a traffic offense or  | 
 adjudged delinquent;
 | 
  (b) This subsection (b) applies through the 180th day  | 
 following July 12, 2019 (the effective date of Public Act  | 
 101-80) this amendatory Act of the 101st General Assembly.  | 
 A person under 21 years of age who does not have the  | 
 | 
 written consent
of his parent or guardian to acquire and  | 
 possess firearms and firearm
ammunition, or whose parent  | 
 or guardian has revoked such written consent,
or where  | 
 such parent or guardian does not qualify to have a Firearm  | 
 Owner's
Identification Card; | 
  (b-5) This subsection (b-5) applies on and after the  | 
 181st day following July 12, 2019 (the effective date of  | 
 Public Act 101-80) this amendatory Act of the 101st  | 
 General Assembly. A person under 21 years of age who is not  | 
 an active duty member of the United States Armed Forces  | 
 and does not have the written consent
of his or her parent  | 
 or guardian to acquire and possess firearms and firearm
 | 
 ammunition, or whose parent or guardian has revoked such  | 
 written consent,
or where such parent or guardian does not  | 
 qualify to have a Firearm Owner's
Identification Card; 
 | 
  (c) A person convicted of a felony under the laws of  | 
 this or any other
jurisdiction;
 | 
  (d) A person addicted to narcotics;
 | 
  (e) A person who has been a patient of a mental health  | 
 facility within the
past 5 years or a person who has been a  | 
 patient in a mental health facility more than 5 years ago  | 
 who has not received the certification required under  | 
 subsection (u) of this Section. An active law enforcement  | 
 officer employed by a unit of government or a Department  | 
 of Corrections employee authorized to possess firearms who  | 
 is denied, revoked, or has his or her Firearm Owner's  | 
 | 
 Identification Card seized under this subsection (e) may  | 
 obtain relief as described in subsection (c-5) of Section  | 
 10 of this Act if the officer or employee did not act in a  | 
 manner threatening to the officer or employee, another  | 
 person, or the public as determined by the treating  | 
 clinical psychologist or physician, and the officer or  | 
 employee seeks mental health treatment;
 | 
  (f) A person whose mental condition is of such a  | 
 nature that it poses
a clear and present danger to the  | 
 applicant, any other person or persons, or
the community;
 | 
  (g) A person who has an intellectual disability;
 | 
  (h) A person who intentionally makes a false statement  | 
 in the Firearm
Owner's Identification Card application;
 | 
  (i) An alien who is unlawfully present in
the United  | 
 States under the laws of the United States;
 | 
  (i-5) An alien who has been admitted to the United  | 
 States under a
non-immigrant visa (as that term is defined  | 
 in Section 101(a)(26) of the
Immigration and Nationality  | 
 Act (8 U.S.C. 1101(a)(26))), except that this
subsection  | 
 (i-5) does not apply to any alien who has been lawfully  | 
 admitted to
the United States under a non-immigrant visa  | 
 if that alien is:
 | 
   (1) admitted to the United States for lawful  | 
 hunting or sporting purposes;
 | 
   (2) an official representative of a foreign  | 
 government who is:
 | 
 | 
    (A) accredited to the United States Government  | 
 or the Government's
mission to an international  | 
 organization having its headquarters in the United
 | 
 States; or
 | 
    (B) en route to or from another country to  | 
 which that alien is
accredited;
 | 
   (3) an official of a foreign government or  | 
 distinguished foreign visitor
who has been so  | 
 designated by the Department of State;
 | 
   (4) a foreign law enforcement officer of a  | 
 friendly foreign government
entering the United States  | 
 on official business; or
 | 
   (5) one who has received a waiver from the  | 
 Attorney General of the United
States pursuant to 18  | 
 U.S.C. 922(y)(3);
 | 
  (j) (Blank);
 | 
  (k) A person who has been convicted within the past 5  | 
 years of battery,
assault, aggravated assault, violation  | 
 of an order of protection, or a
substantially similar  | 
 offense in another jurisdiction, in which a firearm was
 | 
 used or possessed;
 | 
  (l) A person who has been convicted of domestic  | 
 battery, aggravated domestic battery, or a substantially
 | 
 similar offense in another jurisdiction committed before,  | 
 on or after January 1, 2012 (the effective date of Public  | 
 Act 97-158). If the applicant or person who has been  | 
 | 
 previously issued a Firearm Owner's Identification Card  | 
 under this Act knowingly and intelligently waives the  | 
 right to have an offense described in this paragraph (l)  | 
 tried by a jury, and by guilty plea or otherwise, results  | 
 in a conviction for an offense in which a domestic  | 
 relationship is not a required element of the offense but  | 
 in which a determination of the applicability of 18 U.S.C.  | 
 922(g)(9) is made under Section 112A-11.1 of the Code of  | 
 Criminal Procedure of 1963, an entry by the court of a  | 
 judgment of conviction for that offense shall be grounds  | 
 for denying an application for and for revoking and  | 
 seizing a Firearm Owner's Identification Card previously  | 
 issued to the person under this Act;
 | 
  (m) (Blank);
 | 
  (n) A person who is prohibited from acquiring or  | 
 possessing
firearms or firearm ammunition by any Illinois  | 
 State statute or by federal
law;
 | 
  (o) A minor subject to a petition filed under Section  | 
 5-520 of the
Juvenile Court Act of 1987 alleging that the  | 
 minor is a delinquent minor for
the commission of an  | 
 offense that if committed by an adult would be a felony;
 | 
  (p) An adult who had been adjudicated a delinquent  | 
 minor under the Juvenile
Court Act of 1987 for the  | 
 commission of an offense that if committed by an
adult  | 
 would be a felony;
 | 
  (q) A person who is not a resident of the State of  | 
 | 
 Illinois, except as provided in subsection (a-10) of  | 
 Section 4;  | 
  (r) A person who has been adjudicated as a person with  | 
 a mental disability;  | 
  (s) A person who has been found to have a  | 
 developmental disability;  | 
  (t) A person involuntarily admitted into a mental  | 
 health facility; or  | 
  (u) A person who has had his or her Firearm Owner's  | 
 Identification Card revoked or denied under subsection (e)  | 
 of this Section or item (iv) of paragraph (2) of  | 
 subsection (a) of Section 4 of this Act because he or she  | 
 was a patient in a mental health facility as provided in  | 
 subsection (e) of this Section, shall not be permitted to  | 
 obtain a Firearm Owner's Identification Card, after the  | 
 5-year period has lapsed, unless he or she has received a  | 
 mental health evaluation by a physician, clinical  | 
 psychologist, or qualified examiner as those terms are  | 
 defined in the Mental Health and Developmental  | 
 Disabilities Code, and has received a certification that  | 
 he or she is not a clear and present danger to himself,  | 
 herself, or others. The physician, clinical psychologist,  | 
 or qualified examiner making the certification and his or  | 
 her employer shall not be held criminally, civilly, or  | 
 professionally liable for making or not making the  | 
 certification required under this subsection, except for  | 
 | 
 willful or wanton misconduct. This subsection does not  | 
 apply to a person whose firearm possession rights have  | 
 been restored through administrative or judicial action  | 
 under Section 10 or 11 of this Act.  | 
 Upon revocation of a person's Firearm Owner's  | 
Identification Card, the Illinois State Police shall provide  | 
notice to the person and the person shall comply with Section  | 
9.5 of this Act.  | 
(Source: P.A. 101-80, eff. 7-12-19; 102-538, eff. 8-20-21;  | 
102-645, eff. 1-1-22; revised 10-14-21.)
 | 
 (430 ILCS 65/8.3) | 
 Sec. 8.3. Suspension of Firearm Owner's Identification  | 
Card. The Illinois State Police may suspend the Firearm  | 
Owner's Identification Card of a person whose Firearm Owner's  | 
Identification Card is subject to revocation and seizure under  | 
this Act for the duration of the disqualification if the  | 
disqualification is not a permanent grounds for revocation of  | 
a Firearm Owner's Identification Card under this Act. The  | 
Illinois State Police may adopt rules necessary to implement  | 
this Section. 
 | 
(Source: P.A. 102-237, eff. 1-1-22; 102-538, eff. 8-20-21;  | 
revised 10-15-21.)
 | 
 (430 ILCS 65/9.5) | 
 Sec. 9.5. Revocation of Firearm Owner's Identification
 | 
 | 
Card. | 
 (a) A person who receives a revocation notice under  | 
Section 9 of this Act shall, within 48 hours of receiving  | 
notice of the revocation: | 
  (1) surrender his or her Firearm Owner's  | 
 Identification Card to the local law enforcement agency  | 
 where the person resides or to the Illinois State Police;  | 
 and | 
  (2) complete a Firearm Disposition Record on a form  | 
 prescribed by the Illinois State Police and place his or  | 
 her firearms in the location or with the person reported  | 
 in the Firearm Disposition Record. The form shall require  | 
 the person to disclose: | 
   (A) the make, model, and serial number of each  | 
 firearm owned by or under the custody and control of  | 
 the revoked person; | 
   (B) the location where each firearm will be  | 
 maintained during the prohibited term; | 
   (C) if any firearm will be transferred to the  | 
 custody of another person, the name, address and  | 
 Firearm Owner's Identification Card number of the  | 
 transferee; and | 
   (D) to whom his or her Firearm Owner's  | 
 Identification Card was surrendered. | 
  Once completed, the person shall retain a copy and  | 
 provide a copy of the Firearm Disposition Record to the  | 
 | 
 Illinois State Police.  | 
 (b) Upon confirming through the portal created under  | 
Section 2605-304 of the Illinois Department of State Police  | 
Law of the Civil Administrative Code of Illinois that the  | 
Firearm Owner's Identification Card has been revoked by the  | 
Illinois State Police, surrendered cards shall be destroyed by  | 
the law enforcement agency receiving the cards. If a card has  | 
not been revoked, the card shall be returned to the  | 
cardholder. Illinois | 
 (b-5) If a court orders the surrender of a Firearms  | 
Owner's Identification Card and accepts receipt of the Card,  | 
the court shall destroy the Card and direct the person whose  | 
Firearm Owner's Identification Card has been surrendered to  | 
comply with paragraph (2) of subsection (a). | 
 (b-10) If the person whose Firearm Owner's Identification  | 
Card has been revoked has either lost or destroyed the Card,  | 
the person must still comply with paragraph (2) of subsection  | 
(a). | 
 (b-15) A notation shall be made in the portal created  | 
under Section 2605-304 of the Illinois Department of State  | 
Police Law of the Civil Administrative Code of Illinois that  | 
the revoked Firearm Owner's Identification Card has been  | 
destroyed.  | 
 (c) If the person whose Firearm Owner's Identification  | 
Card has been revoked fails to comply with the requirements of  | 
this Section, the sheriff or law enforcement agency where the  | 
 | 
person resides may petition the circuit court to issue a  | 
warrant to search for and seize the Firearm Owner's  | 
Identification Card and firearms in the possession or under  | 
the custody or control of the person whose Firearm Owner's  | 
Identification Card has been revoked. | 
 (d) A violation of subsection (a) of this Section is a  | 
Class A misdemeanor. | 
 (e) The observation of a Firearm Owner's Identification  | 
Card in the possession of a person whose Firearm Owner's  | 
Identification Card has been revoked constitutes a sufficient  | 
basis for the arrest of that person for violation of this  | 
Section. | 
 (f) Within 30 days after July 9, 2013 (the effective date  | 
of Public Act 98-63) this amendatory Act of the 98th General  | 
Assembly, the Illinois State Police shall provide written  | 
notice of the requirements of this Section to persons whose  | 
Firearm Owner's Identification Cards have been revoked,  | 
suspended, or expired and who have failed to surrender their  | 
cards to the Illinois State Police Department. | 
 (g) A person whose Firearm Owner's Identification Card has  | 
been revoked and who received notice under subsection (f)  | 
shall comply with the requirements of this Section within 48  | 
hours of receiving notice. 
 | 
(Source: P.A. 102-237, eff. 1-1-22; 102-538, eff. 8-20-21;  | 
revised 10-15-21.)
 | 
 | 
 (430 ILCS 65/10) (from Ch. 38, par. 83-10)
 | 
 Sec. 10. Appeals; hearing; relief from firearm  | 
prohibitions.   | 
 (a) Whenever an application for a Firearm Owner's  | 
Identification
Card is denied or whenever such a Card is  | 
revoked or seized
as provided for in Section 8 of this Act, the  | 
aggrieved party may
(1) file a record challenge with the  | 
Director regarding the record upon which the decision to deny  | 
or revoke the Firearm Owner's Identification Card was based  | 
under subsection (a-5); or (2) appeal
to the Director of the  | 
Illinois State Police through December 31, 2022, or beginning  | 
January 1, 2023, the Firearm Owner's Identification Card  | 
Review Board for a hearing seeking relief from
such denial or  | 
revocation unless the denial or revocation
was based upon a  | 
forcible felony, stalking, aggravated stalking, domestic
 | 
battery, any violation of the Illinois Controlled Substances  | 
Act, the Methamphetamine Control and Community Protection Act,  | 
or the
Cannabis Control Act that is classified as a Class 2 or  | 
greater felony,
any
felony violation of Article 24 of the  | 
Criminal Code of 1961 or the Criminal Code of 2012, or any
 | 
adjudication as a delinquent minor for the commission of an
 | 
offense that if committed by an adult would be a felony, in  | 
which case the
aggrieved party may petition the circuit court  | 
in writing in the county of
his or her residence for a hearing  | 
seeking relief from such denial or revocation.
 | 
 (a-5) There is created a Firearm Owner's Identification  | 
 | 
Card Review Board to consider any appeal under subsection (a)  | 
beginning January 1, 2023, other than an appeal directed to  | 
the circuit court and except when the applicant is challenging  | 
the record upon which the decision to deny or revoke was based  | 
as provided in subsection (a-10). | 
  (0.05) In furtherance of the policy of this Act that  | 
 the Board shall exercise its powers and duties in an  | 
 independent manner, subject to the provisions of this Act  | 
 but free from the direction, control, or influence of any  | 
 other agency or department of State government. All  | 
 expenses and liabilities incurred by the Board in the  | 
 performance of its responsibilities hereunder shall be  | 
 paid from funds which shall be appropriated to the Board  | 
 by the General Assembly for the ordinary and contingent  | 
 expenses of the Board.  | 
  (1) The Board shall consist of 7 members appointed by  | 
 the Governor, with the advice and consent of the Senate,  | 
 with 3 members residing within the First Judicial District  | 
 and one member residing within each of the 4 remaining  | 
 Judicial Districts. No more than 4 members shall be  | 
 members of the same political party. The Governor shall  | 
 designate one member as the chairperson. The Board shall  | 
 consist of:  | 
   (A) one member with at least 5 years of service as  | 
 a federal or State judge; | 
   (B) one member with at least 5 years of experience  | 
 | 
 serving as an attorney with the United States  | 
 Department of Justice, or as a State's Attorney or  | 
 Assistant State's Attorney; | 
   (C) one member with at least 5 years of experience  | 
 serving as a State or federal public defender or  | 
 assistant public defender; | 
   (D) three members with at least 5 years of  | 
 experience as a federal, State, or local law  | 
 enforcement agent or as an employee with investigative  | 
 experience or duties related to criminal justice under  | 
 the United States Department of Justice, Drug  | 
 Enforcement Administration, Department of Homeland  | 
 Security, Federal Bureau of Investigation, or a State  | 
 or local law enforcement agency; and | 
   (E) one member with at least 5 years of experience  | 
 as a licensed physician or clinical psychologist with  | 
 expertise in the diagnosis and treatment of mental  | 
 illness. | 
  (2) The terms of the members initially appointed after  | 
 January 1, 2022 (the effective date of Public Act 102-237)  | 
 this amendatory Act of the 102nd General Assembly shall be  | 
 as follows: one of
the initial members shall be appointed  | 
 for a term of one year, 3 shall be
appointed for terms of 2  | 
 years, and 3 shall be appointed for terms of 4 years.  | 
 Thereafter, members shall hold office for 4 years, with  | 
 terms expiring on the second Monday in January immediately  | 
 | 
 following the expiration of their terms and every 4 years  | 
 thereafter. Members may be reappointed. Vacancies in the  | 
 office of member shall be filled in the same manner as the  | 
 original appointment, for the remainder of the unexpired  | 
 term. The Governor may remove a member for incompetence,  | 
 neglect of duty, malfeasance, or inability to serve.  | 
 Members shall receive compensation in an amount equal to  | 
 the compensation of members of the Executive Ethics  | 
 Commission and may be reimbursed, from funds appropriated  | 
 for such a purpose, for reasonable expenses actually  | 
 incurred in the performance of their Board duties. The  | 
 Illinois State Police shall designate an employee to serve  | 
 as Executive Director of the Board and provide logistical  | 
 and administrative assistance to the Board.  | 
  (3) The Board shall meet at least quarterly each year  | 
 and at the call of the chairperson as often as necessary to  | 
 consider appeals of decisions made with respect to  | 
 applications for a Firearm Owner's Identification Card  | 
 under this Act. If necessary to ensure the participation  | 
 of a member, the Board shall allow a member to participate  | 
 in a Board meeting by electronic communication. Any member  | 
 participating electronically shall be deemed present for  | 
 purposes of establishing a quorum and voting. | 
  (4) The Board shall adopt rules for the review of  | 
 appeals and the conduct of hearings. The Board shall  | 
 maintain a record of its decisions and all materials  | 
 | 
 considered in making its decisions. All Board decisions  | 
 and voting records shall be kept confidential and all  | 
 materials considered by the Board shall be exempt from  | 
 inspection except upon order of a court. | 
  (5) In considering an appeal, the Board shall review  | 
 the materials received concerning the denial or revocation  | 
 by the Illinois State Police. By a vote of at least 4  | 
 members, the Board may request additional information from  | 
 the Illinois State Police or the applicant or the  | 
 testimony of the Illinois State Police or the applicant.  | 
 The Board may require that the applicant submit electronic  | 
 fingerprints to the Illinois State Police for an updated  | 
 background check if the Board determines it lacks  | 
 sufficient information to determine eligibility. The Board  | 
 may consider information submitted by the Illinois State  | 
 Police, a law enforcement agency, or the applicant. The  | 
 Board shall review each denial or revocation and determine  | 
 by a majority of members whether an applicant should be  | 
 granted relief under subsection (c). | 
  (6) The Board shall by order issue summary decisions.  | 
 The Board shall issue a decision within 45 days of  | 
 receiving all completed appeal documents from the Illinois  | 
 State Police and the applicant. However, the Board need  | 
 not issue a decision within 45 days if: | 
   (A) the Board requests information from the  | 
 applicant, including, but not limited to, electronic  | 
 | 
 fingerprints to be submitted to the Illinois State  | 
 Police, in accordance with paragraph (5) of this  | 
 subsection, in which case the Board shall make a  | 
 decision within 30 days of receipt of the required  | 
 information from the applicant; | 
   (B) the applicant agrees, in writing, to allow the  | 
 Board additional time to consider an appeal; or | 
   (C) the Board notifies the applicant and the  | 
 Illinois State Police that the Board needs an  | 
 additional 30 days to issue a decision. The Board may  | 
 only issue 2 extensions under this subparagraph (C).  | 
 The Board's notification to the applicant and the  | 
 Illinois State Police shall include an explanation for  | 
 the extension. | 
  (7) If the Board determines that the applicant is  | 
 eligible for relief under subsection (c), the Board shall  | 
 notify the applicant and the Illinois State Police that  | 
 relief has been granted and the Illinois State Police  | 
 shall issue the Card. | 
  (8) Meetings of the Board shall not be subject to the  | 
 Open Meetings Act and records of the Board shall not be  | 
 subject to the Freedom of Information Act. | 
  (9) The Board shall report monthly to the Governor and  | 
 the General Assembly on the number of appeals received and  | 
 provide details of the circumstances in which the Board  | 
 has determined to deny Firearm Owner's Identification  | 
 | 
 Cards under this subsection (a-5). The report shall not  | 
 contain any identifying information about the applicants.  | 
 (a-10) Whenever an applicant or cardholder is not seeking  | 
relief from a firearms prohibition under subsection (c) but  | 
rather does not believe the applicant is appropriately denied  | 
or revoked and is challenging the record upon which the  | 
decision to deny or revoke the Firearm Owner's Identification  | 
Card was based, or whenever the Illinois State Police fails to  | 
act on an application within 30 days of its receipt, the  | 
applicant shall file such challenge with the Director. The  | 
Director shall render a decision within 60 business days of  | 
receipt of all information supporting the challenge. The  | 
Illinois State Police shall adopt rules for the review of a  | 
record challenge.  | 
 (b) At least 30 days before any hearing in the circuit  | 
court, the
petitioner shall serve the
relevant State's  | 
Attorney with a copy of the petition. The State's Attorney
may  | 
object to the petition and present evidence. At the hearing,  | 
the court
shall
determine whether substantial justice has been  | 
done. Should the court
determine that substantial justice has  | 
not been done, the court shall issue an
order directing the  | 
Illinois State Police to issue a Card. However, the court  | 
shall not issue the order if the petitioner is otherwise  | 
prohibited from obtaining, possessing, or using a firearm  | 
under
federal law. 
 | 
 (c) Any person prohibited from possessing a firearm under  | 
 | 
Sections 24-1.1
or 24-3.1 of the Criminal Code of 2012 or  | 
acquiring a Firearm Owner's
Identification Card under Section  | 
8 of this Act may apply to
the Firearm Owner's Identification  | 
Card Review Board the Illinois
or petition the circuit court  | 
in the county where the petitioner resides,
whichever is  | 
applicable in accordance with subsection (a) of this Section,
 | 
requesting relief
from such prohibition and the Board or court  | 
may grant such relief if it
is
established by the applicant to  | 
the court's or the Board's satisfaction
that:
 | 
  (0.05) when in the circuit court, the State's Attorney  | 
 has been served
with a written
copy of the
petition at  | 
 least 30 days before any such hearing in the circuit court  | 
 and at
the hearing the
State's Attorney was afforded an  | 
 opportunity to present evidence and object to
the  | 
 petition;
 | 
  (1) the applicant has not been convicted of a forcible  | 
 felony under the
laws of this State or any other  | 
 jurisdiction within 20 years of the
applicant's  | 
 application for a Firearm Owner's Identification Card, or  | 
 at
least 20 years have passed since the end of any period  | 
 of imprisonment
imposed in relation to that conviction;
 | 
  (2) the circumstances regarding a criminal conviction,  | 
 where applicable,
the applicant's criminal history and his  | 
 reputation are such that the applicant
will not be likely  | 
 to act in a manner dangerous to public safety;
 | 
  (3) granting relief would not be contrary to the  | 
 | 
 public interest; and | 
  (4) granting relief would not be contrary to federal  | 
 law.
 | 
 (c-5) (1) An active law enforcement officer employed by a  | 
unit of government or a Department of Corrections employee  | 
authorized to possess firearms who is denied, revoked, or has  | 
his or her Firearm Owner's Identification Card seized under  | 
subsection (e) of Section 8 of this Act may apply to the  | 
Firearm Owner's Identification Card Review Board the Illinois  | 
requesting relief if the officer or employee did not act in a  | 
manner threatening to the officer or employee, another person,  | 
or the public as determined by the treating clinical  | 
psychologist or physician, and as a result of his or her work  | 
is referred by the employer for or voluntarily seeks mental  | 
health evaluation or treatment by a licensed clinical  | 
psychologist, psychiatrist, or qualified examiner, and: | 
  (A) the officer or employee has not received treatment  | 
 involuntarily at a mental health facility, regardless of  | 
 the length of admission; or has not been voluntarily  | 
 admitted to a mental health facility for more than 30 days  | 
 and not for more than one incident within the past 5 years;  | 
 and | 
  (B) the officer or employee has not left the mental  | 
 institution against medical advice. | 
 (2) The Firearm Owner's Identification Card Review Board  | 
the Illinois shall grant expedited relief to active law  | 
 | 
enforcement officers and employees described in paragraph (1)  | 
of this subsection (c-5) upon a determination by the Board  | 
that the officer's or employee's possession of a firearm does  | 
not present a threat to themselves, others, or public safety.  | 
The Board shall act on the request for relief within 30  | 
business days of receipt of: | 
  (A) a notarized statement from the officer or employee  | 
 in the form prescribed by the Board detailing the  | 
 circumstances that led to the hospitalization; | 
  (B) all documentation regarding the admission,  | 
 evaluation, treatment and discharge from the treating  | 
 licensed clinical psychologist or psychiatrist of the  | 
 officer; | 
  (C) a psychological fitness for duty evaluation of the  | 
 person completed after the time of discharge; and | 
  (D) written confirmation in the form prescribed by the  | 
 Board from the treating licensed clinical psychologist or  | 
 psychiatrist that the provisions set forth in paragraph  | 
 (1) of this subsection (c-5) have been met, the person  | 
 successfully completed treatment, and their professional  | 
 opinion regarding the person's ability to possess  | 
 firearms. | 
 (3) Officers and employees eligible for the expedited  | 
relief in paragraph (2) of this subsection (c-5) have the  | 
burden of proof on eligibility and must provide all  | 
information required. The Board may not consider granting  | 
 | 
expedited relief until the proof and information is received. | 
 (4) "Clinical psychologist", "psychiatrist", and  | 
"qualified examiner" shall have the same meaning as provided  | 
in Chapter I of the Mental Health and Developmental  | 
Disabilities Code.  | 
 (c-10) (1) An applicant, who is denied, revoked, or has  | 
his or her Firearm Owner's Identification Card seized under  | 
subsection (e) of Section 8 of this Act based upon a  | 
determination of a developmental disability or an intellectual  | 
disability may apply to the Firearm Owner's Identification  | 
Card Review Board the Illinois requesting relief. | 
 (2) The Board shall act on the request for relief within 60  | 
business days of receipt of written certification, in the form  | 
prescribed by the Board, from a physician or clinical  | 
psychologist, or qualified examiner, that the aggrieved  | 
party's developmental disability or intellectual disability  | 
condition is determined by a physician, clinical psychologist,  | 
or qualified to be mild. If a fact-finding conference is  | 
scheduled to obtain additional information concerning the  | 
circumstances of the denial or revocation, the 60 business  | 
days the Director has to act shall be tolled until the  | 
completion of the fact-finding conference. | 
 (3) The Board may grant relief if the aggrieved party's  | 
developmental disability or intellectual disability is mild as  | 
determined by a physician, clinical psychologist, or qualified  | 
examiner and it is established by the applicant to the Board's  | 
 | 
satisfaction that: | 
  (A) granting relief would not be contrary to the  | 
 public interest; and | 
  (B) granting relief would not be contrary to federal  | 
 law. | 
 (4) The Board may not grant relief if the condition is  | 
determined by a physician, clinical psychologist, or qualified  | 
examiner to be moderate, severe, or profound. | 
 (5) The changes made to this Section by Public Act 99-29  | 
apply to requests for
relief pending on or before July 10, 2015  | 
(the effective date of Public Act 99-29), except that the  | 
60-day period for the Director to act on requests pending  | 
before the effective date shall begin
on July 10, 2015 (the  | 
effective date of Public Act 99-29). All appeals as provided  | 
in subsection (a-5), pending on January 1, 2023, shall be  | 
considered by the Board.  | 
 (d) When a minor is adjudicated delinquent for an offense  | 
which if
committed by an adult would be a felony, the court  | 
shall notify the Illinois State Police.
 | 
 (e) The court shall review the denial of an application or  | 
the revocation of
a Firearm Owner's Identification Card of a  | 
person who has been adjudicated
delinquent for an offense that  | 
if
committed by an adult would be a felony if an
application  | 
for relief has been filed at least 10 years after the  | 
adjudication
of delinquency and the court determines that the  | 
applicant should be
granted relief from disability to obtain a  | 
 | 
Firearm Owner's Identification Card.
If the court grants  | 
relief, the court shall notify the Illinois State
Police that  | 
the disability has
been removed and that the applicant is  | 
eligible to obtain a Firearm Owner's
Identification Card.
 | 
 (f) Any person who is subject to the disabilities of 18  | 
U.S.C. 922(d)(4) and 922(g)(4) of the federal Gun Control Act  | 
of 1968 because of an adjudication or commitment that occurred  | 
under the laws of this State or who was determined to be  | 
subject to the provisions of subsections (e), (f), or (g) of  | 
Section 8 of this Act may apply to the Illinois State Police  | 
requesting relief from that prohibition. The Board shall grant  | 
the relief if it is established by a preponderance of the  | 
evidence that the person will not be likely to act in a manner  | 
dangerous to public safety and that granting relief would not  | 
be contrary to the public interest. In making this  | 
determination, the Board shall receive evidence concerning (i)  | 
the circumstances regarding the firearms disabilities from  | 
which relief is sought; (ii) the petitioner's mental health  | 
and criminal history records, if any; (iii) the petitioner's  | 
reputation, developed at a minimum through character witness  | 
statements, testimony, or other character evidence; and (iv)  | 
changes in the petitioner's condition or circumstances since  | 
the disqualifying events relevant to the relief sought. If  | 
relief is granted under this subsection or by order of a court  | 
under this Section, the Director shall as soon as practicable  | 
but in no case later than 15 business days, update, correct,  | 
 | 
modify, or remove the person's record in any database that the  | 
Illinois State Police makes available to the National Instant  | 
Criminal Background Check System and notify the United States  | 
Attorney General that the basis for the record being made  | 
available no longer applies. The Illinois State Police shall  | 
adopt rules for the administration of this Section. | 
(Source: P.A. 102-237, eff. 1-1-22; 102-538, eff. 8-20-21;  | 
102-645, eff. 1-1-22; revised 10-15-21.)
 | 
 (430 ILCS 65/11) (from Ch. 38, par. 83-11)
 | 
 Sec. 11. Judicial review of final administrative  | 
decisions.   | 
 (a) All final administrative decisions of the Firearm  | 
Owner's Identification Card Review Board under this
Act,  | 
except final administrative decisions of the Firearm Owner's  | 
Identification Card Review Board the Illinois to deny a  | 
person's application for relief under subsection (f) of  | 
Section 10 of this Act, shall be subject to judicial review  | 
under the provisions of the Administrative
Review Law, and all  | 
amendments and
modifications thereof, and the rules adopted  | 
pursuant thereto. The term
"administrative decision" is  | 
defined as in Section 3-101 of the Code of
Civil Procedure.
 | 
 (b) Any final administrative decision by the Firearm  | 
Owner's Identification Card Review Board the Illinois to deny  | 
a person's application for relief under subsection (f) of  | 
Section 10 of this Act is subject to de novo judicial review by  | 
 | 
the circuit court, and any party may offer evidence that is  | 
otherwise proper and admissible without regard to whether that  | 
evidence is part of the administrative record.  | 
 (c) The Firearm Owner's Identification Card Review Board  | 
the Illinois shall submit a report to the General
Assembly on  | 
March 1 of each year, beginning March 1, 1991, listing all
 | 
final decisions by a court of this State upholding, reversing,  | 
or
reversing in part any administrative decision made by the  | 
Illinois State Police.
 | 
(Source: P.A. 102-237, eff. 1-1-22; 102-538, eff. 8-20-21;  | 
revised 11-2-21.)
 | 
 (430 ILCS 65/13.2) (from Ch. 38, par. 83-13.2)
 | 
 Sec. 13.2. Renewal; name, photograph, or address change;  | 
replacement card. The Illinois State Police shall, 180 days
 | 
prior to the expiration of a Firearm Owner's Identification  | 
Card,
forward by first class mail or by other means provided in  | 
Section 7.5 to each person whose card is to expire a
 | 
notification of the
expiration of the card and instructions  | 
for renewal.
It is the obligation of the holder of a Firearm  | 
Owner's Identification Card
to notify the Illinois State  | 
Police of any address change since the
issuance of
the Firearm  | 
Owner's Identification Card. The Illinois State Police may  | 
update the applicant and card holder's holders address based  | 
upon records in the Secretary of State Driver's License or  | 
Illinois identification card records of applicants who do not  | 
 | 
have driver's licenses. Any person whose legal name has  | 
changed from the name on the card that he or she has been  | 
previously issued must apply for a corrected card within 30  | 
calendar days after the change. The cost for an updated or  | 
corrected card shall be $5. The cost for replacement of a card  | 
which has been lost, destroyed, or stolen shall be $5 if the  | 
loss, destruction, or theft of the card is reported to the  | 
Illinois State Police. The fees collected under this Section  | 
shall be deposited into the State Police Firearm Services  | 
Fund. 
 | 
(Source: P.A. 102-237, eff. 1-1-22; 102-538, eff. 8-20-21;  | 
revised 10-12-21.)
 | 
 Section 560. The Firearm Concealed Carry Act is amended by  | 
changing Sections 10, 20, 30, 50, 55, and 70 as follows:
 | 
 (430 ILCS 66/10)
 | 
 Sec. 10. Issuance of licenses to carry a concealed  | 
firearm.  | 
 (a) The Illinois State Police shall issue a license to  | 
carry a concealed firearm under this Act to an applicant who: | 
  (1) meets the qualifications of Section 25 of this  | 
 Act; | 
  (2) has provided the application and documentation  | 
 required in Section 30 of this Act;  | 
  (3) has submitted the requisite fees; and | 
 | 
  (4) does not pose a danger to himself, herself, or  | 
 others, or a threat to public safety as determined by the  | 
 Concealed Carry Licensing Review Board in accordance with  | 
 Section 20. | 
 (b) The Illinois State Police shall issue a renewal,  | 
corrected, or duplicate license as provided in this Act. | 
 (c) A license shall be valid throughout the State for a  | 
period of 5 years from the date of issuance. A license shall  | 
permit the licensee to: | 
  (1) carry a loaded or unloaded concealed firearm,  | 
 fully concealed or partially concealed, on or about his or  | 
 her person; and
 | 
  (2) keep or carry a loaded or unloaded concealed  | 
 firearm on or about his or her person within a vehicle. | 
 (d) The Illinois State Police shall make applications for  | 
a license available no later than 180 days after July 9, 2013  | 
(the effective date of this Act). The Illinois State Police  | 
shall establish rules for the availability and submission of  | 
applications in accordance with this Act. | 
 (e) An application for a license submitted to the Illinois  | 
State Police that contains all the information and materials  | 
required by this Act, including the requisite fee, shall be  | 
deemed completed. Except as otherwise provided in this Act, no  | 
later than 90 days after receipt of a completed application,  | 
the Illinois State Police shall issue or deny the applicant a  | 
license. The Illinois State Police shall notify the applicant  | 
 | 
for a concealed carry license, electronically, to confirm if  | 
all the required information and materials have been received.  | 
If an applicant for a concealed carry license submits his or  | 
her application electronically, the Illinois State Police  | 
shall notify the applicant electronically if his or her  | 
application is missing information or materials. | 
 (f) The Illinois State Police shall deny the applicant a  | 
license if the applicant fails to meet the requirements under  | 
this Act or the Illinois State Police receives a determination  | 
from the Board that the applicant is ineligible for a license.  | 
The Illinois State Police must notify the applicant stating  | 
the grounds for the denial. The notice of denial must inform  | 
the applicant of his or her right to an appeal through  | 
administrative and judicial review. | 
 (g) A licensee shall possess a license at all times the  | 
licensee carries a concealed firearm except: | 
  (1) when the licensee is carrying or possessing a  | 
 concealed firearm on his or her land or in his or her  | 
 abode, legal dwelling, or fixed place of business, or on  | 
 the land or in the legal dwelling of another person as an  | 
 invitee with that person's permission; | 
  (2) when the person is authorized to carry a firearm  | 
 under Section 24-2 of the Criminal Code of 2012, except  | 
 subsection (a-5) of that Section; or | 
  (3) when the handgun is broken down in a  | 
 non-functioning state, is not immediately accessible, or  | 
 | 
 is unloaded and enclosed in a case. | 
 (h) If an officer of a law enforcement agency initiates an  | 
investigative stop, including, but not limited to, a traffic  | 
stop, of a licensee or a non-resident carrying a concealed  | 
firearm under subsection (e) of
Section 40 of this Act, upon  | 
the request of the officer the licensee or non-resident shall  | 
disclose to the officer that he or she is in possession of a  | 
concealed firearm under this Act, or present the license upon  | 
the request of the officer if he or she is a licensee or  | 
present upon the request of the officer evidence
under  | 
paragraph (2) of subsection (e) of Section 40 of this Act that  | 
he or she is a non-resident qualified to carry
under that  | 
subsection. The disclosure requirement under this subsection  | 
(h) is satisfied if the licensee presents his or her license to  | 
the officer or the non-resident presents to the officer  | 
evidence under paragraph (2) of subsection (e) of Section 40  | 
of this Act that he or she is qualified to carry under that  | 
subsection. Upon the request of the officer, the licensee or  | 
non-resident shall also identify the location of the concealed  | 
firearm and permit the officer to safely secure the firearm  | 
for the duration of the investigative stop. During a traffic  | 
stop, any
passenger within the vehicle who is a licensee or a  | 
non-resident carrying under subsection (e) of
Section 40 of  | 
this Act must comply with the requirements of this subsection  | 
(h).  | 
 (h-1) If a licensee carrying a firearm or a non-resident  | 
 | 
carrying a firearm in a vehicle under subsection (e) of  | 
Section 40 of this Act is contacted by a law enforcement  | 
officer or emergency
services personnel, the law enforcement  | 
officer or emergency services personnel may secure the firearm
 | 
or direct that it be secured during the duration of the contact  | 
if the law enforcement officer or emergency
services personnel  | 
determines that it is necessary for the safety of any person
 | 
present, including the law enforcement officer or emergency  | 
services personnel. The licensee or nonresident
shall submit  | 
to the order to secure the firearm. When the law enforcement  | 
officer or emergency services
personnel have determined that  | 
the licensee or non-resident is not a threat to
the safety of  | 
any person present, including the law enforcement officer or  | 
emergency services personnel, and
if the licensee or  | 
non-resident is physically and mentally capable of
possessing  | 
the firearm, the law enforcement officer or emergency services  | 
personnel shall return the
firearm to the licensee or  | 
non-resident before releasing him or her from the
scene and  | 
breaking contact. If the licensee or non-resident is  | 
transported for
treatment to another location, the firearm  | 
shall be turned over to any peace
officer. The peace officer  | 
shall provide a receipt which includes the make,
model,  | 
caliber, and serial number of the firearm.  | 
 (i) The Illinois State Police shall maintain a database of  | 
license applicants and licensees. The database shall be  | 
available to all federal, State, and local law enforcement  | 
 | 
agencies, State's Attorneys, the Attorney General, and  | 
authorized court personnel. Within 180 days after July 9, 2013  | 
(the effective date of this Act), the database shall be  | 
searchable and provide all information included in the  | 
application, including the applicant's previous addresses  | 
within the 10 years prior to the license application and any  | 
information related to violations of this Act. No law  | 
enforcement agency, State's Attorney, Attorney General, or  | 
member or staff of the judiciary shall provide any information  | 
to a requester who is not entitled to it by law. | 
 (j) No later than 10 days after receipt of a completed  | 
application, the Illinois State Police shall enter the  | 
relevant information about the applicant into the database  | 
under subsection (i) of this Section which is accessible by  | 
law enforcement agencies.
 | 
 (k) The Illinois State Police shall continuously monitor  | 
relevant State and federal databases for firearms prohibitors  | 
and correlate those records with concealed carry license  | 
holders to ensure compliance with this Act, or State and  | 
federal law. The Illinois State Police may adopt rules to  | 
implement this subsection.  | 
(Source: P.A. 102-237, eff. 1-1-22; 102-538, eff. 8-20-21;  | 
revised 10-13-21.)
 | 
 (430 ILCS 66/20)
 | 
 Sec. 20. Concealed Carry Licensing Review Board.  | 
 | 
 (a) There is hereby created within the Illinois State  | 
Police a Concealed Carry Licensing Review Board to consider  | 
any objection to an applicant's eligibility to obtain a  | 
license under this Act submitted by a law enforcement agency  | 
or the Illinois State Police under Section 15 of this Act. The  | 
Board shall consist of 7 commissioners to be appointed by the  | 
Governor, with the advice and consent of the Senate, with 3  | 
commissioners residing within the First Judicial District and  | 
one commissioner residing within each of the 4 remaining  | 
Judicial Districts. No more than 4 commissioners shall be  | 
members of the same political party. The Governor shall  | 
designate one commissioner as the Chairperson. The Board shall  | 
consist of: | 
  (1) one commissioner with at least 5 years of service  | 
 as a federal judge; | 
  (2) 2 commissioners with at least 5 years of  | 
 experience serving as an attorney with the United States  | 
 Department of Justice; | 
  (3) 3 commissioners with at least 5 years of  | 
 experience as a federal agent or employee with  | 
 investigative experience or duties related to criminal  | 
 justice under the United States Department of Justice,  | 
 Drug Enforcement Administration, Department of Homeland  | 
 Security, or Federal Bureau of Investigation; and | 
  (4) one member with at least 5 years of experience as a  | 
 licensed physician or clinical psychologist with expertise  | 
 | 
 in the diagnosis and treatment of mental illness. | 
 (b) The initial terms of the commissioners shall end on  | 
January 12, 2015. Notwithstanding any provision in this  | 
Section to the contrary, the term
of office of each  | 
commissioner of the Concealed Carry Licensing Review Board is  | 
abolished on January 1, 2022 (the effective date of Public Act  | 
102-237) this amendatory Act of the 102nd General Assembly.  | 
The terms of the commissioners appointed on or after January  | 
1, 2022 (the effective date of Public Act 102-237) this  | 
amendatory Act of the 102nd General Assembly shall be as  | 
follows: one of
the initial members shall be appointed for a  | 
term of one year, 3 shall be
appointed for terms of 2 years,  | 
and 3 shall be appointed for terms of 4 years. Thereafter, the  | 
commissioners shall hold office for 4 years, with terms  | 
expiring on the second Monday in January of the fourth year.  | 
Commissioners may be reappointed. Vacancies in the office of  | 
commissioner shall be filled in the same manner as the  | 
original appointment, for the remainder of the unexpired term.  | 
The Governor may remove a commissioner for incompetence,  | 
neglect of duty, malfeasance, or inability to serve.  | 
Commissioners shall receive compensation in an amount equal to  | 
the compensation of members of the Executive Ethics Commission  | 
and may be reimbursed for reasonable expenses actually  | 
incurred in the performance of their Board duties, from funds  | 
appropriated for that purpose. | 
 (c) The Board shall meet at the call of the chairperson as  | 
 | 
often as necessary to consider objections to applications for  | 
a license under this Act. If necessary to ensure the  | 
participation of a commissioner, the Board shall allow a  | 
commissioner to participate in a Board meeting by electronic  | 
communication. Any commissioner participating electronically  | 
shall be deemed present for purposes of establishing a quorum  | 
and voting. | 
 (d) The Board shall adopt rules for the review of  | 
objections and the conduct of hearings. The Board shall  | 
maintain a record of its decisions and all materials  | 
considered in making its decisions. All Board decisions and  | 
voting records shall be kept confidential and all materials  | 
considered by the Board shall be exempt from inspection except  | 
upon order of a court. | 
 (e) In considering an objection of a law enforcement  | 
agency or the Illinois State Police, the Board shall review  | 
the materials received with the objection from the law  | 
enforcement agency or the Illinois State Police. By a vote of  | 
at least 4 commissioners, the Board may request additional  | 
information from the law enforcement agency, Illinois State  | 
Police, or the applicant, or the testimony of the law  | 
enforcement agency, Illinois State Police, or the applicant.  | 
The Board may require that the applicant submit electronic  | 
fingerprints to the Illinois State Police for an updated  | 
background check where the Board determines it lacks  | 
sufficient information to determine eligibility. The Board may  | 
 | 
only consider information submitted by the Illinois State  | 
Police, a law enforcement agency, or the applicant. The Board  | 
shall review each objection and determine by a majority of  | 
commissioners whether an applicant is eligible for a license. | 
 (f) The Board shall issue a decision within 30 days of  | 
receipt of the objection from the Illinois State Police.  | 
However, the Board need not issue a decision within 30 days if: | 
  (1) the Board requests information from the applicant,  | 
 including but not limited to electronic fingerprints to be  | 
 submitted to the Illinois State Police, in accordance with  | 
 subsection (e) of this Section, in which case the Board  | 
 shall make a decision within 30 days of receipt of the  | 
 required information from the applicant; | 
  (2) the applicant agrees, in writing, to allow the  | 
 Board additional time to consider an objection; or | 
  (3) the Board notifies the applicant and the Illinois  | 
 State Police that the Board needs an additional 30 days to  | 
 issue a decision. | 
 (g) If the Board determines by a preponderance of the  | 
evidence that the applicant poses a danger to himself or  | 
herself or others, or is a threat to public safety, then the  | 
Board shall affirm the objection of the law enforcement agency  | 
or the Illinois State Police and shall notify the Illinois  | 
State Police that the applicant is ineligible for a license.  | 
If the Board does not determine by a preponderance of the  | 
evidence that the applicant poses a danger to himself or  | 
 | 
herself or others, or is a threat to public safety, then the  | 
Board shall notify the Illinois State Police that the  | 
applicant is eligible for a license. | 
 (h) Meetings of the Board shall not be subject to the Open  | 
Meetings Act and records of the Board shall not be subject to  | 
the Freedom of Information Act. | 
 (i) The Board shall report monthly to the Governor and the  | 
General Assembly on the number of objections received and  | 
provide details of the circumstances in which the Board has  | 
determined to deny licensure based on law enforcement or  | 
Illinois State Police objections under Section 15 of this Act.  | 
The report shall not contain any identifying information about  | 
the applicants.
 | 
(Source: P.A. 102-237, eff. 1-1-22; 102-538, eff. 8-20-21;  | 
revised 10-12-21.)
 | 
 (430 ILCS 66/30)
 | 
 Sec. 30. Contents of license application.  | 
 (a) The license application shall be in writing, under  | 
penalty of perjury, on a standard form adopted by the Illinois  | 
State Police and shall be accompanied by the documentation  | 
required in this Section and the applicable fee. Each  | 
application form shall include the following statement printed  | 
in bold type: "Warning: Entering false information on this  | 
form is punishable as perjury under Section 32-2 of the  | 
Criminal Code of 2012." | 
 | 
 (b) The application shall contain the following: | 
  (1) the applicant's name, current address, date and  | 
 year of birth, place of birth, height, weight, hair color,  | 
 eye color, maiden name or any other name the applicant has  | 
 used or identified with, and any address where the  | 
 applicant resided for more than 30 days within the 10  | 
 years preceding the date of the license application; | 
  (2) the applicant's valid driver's license number or  | 
 valid state identification card number; | 
  (3) a waiver of the applicant's privacy and  | 
 confidentiality rights and privileges under all federal  | 
 and state laws, including those limiting access to  | 
 juvenile court, criminal justice, psychological, or  | 
 psychiatric records or records relating to any  | 
 institutionalization of the applicant, and an affirmative  | 
 request that a person having custody of any of these  | 
 records provide it or information concerning it to the  | 
 Illinois State Police. The waiver only applies to records  | 
 sought in connection with determining whether the  | 
 applicant qualifies for a license to carry a concealed  | 
 firearm under this Act, or whether the applicant remains  | 
 in compliance with the Firearm Owners Identification Card  | 
 Act; | 
  (4) an affirmation that the applicant possesses a  | 
 currently valid Firearm Owner's Identification Card and  | 
 card number if possessed or notice the applicant is  | 
 | 
 applying for a Firearm Owner's Identification Card in  | 
 conjunction with the license application; | 
  (5) an affirmation that the applicant has not been  | 
 convicted or found guilty of: | 
   (A) a felony; | 
   (B) a misdemeanor involving the use or threat of  | 
 physical force or violence to any person within the 5  | 
 years preceding the date of the application; or | 
   (C) 2 or more violations related to driving while  | 
 under the influence of alcohol, other drug or drugs,  | 
 intoxicating compound or compounds, or any combination  | 
 thereof, within the 5 years preceding the date of the  | 
 license application; and | 
  (6) whether the applicant has failed a drug test for a  | 
 drug for which the applicant did not have a prescription,  | 
 within the previous year, and if so, the provider of the  | 
 test, the specific substance involved, and the date of the  | 
 test; | 
  (7) written consent for the Illinois State Police to  | 
 review and use the applicant's Illinois digital driver's  | 
 license or Illinois identification card photograph and  | 
 signature; | 
  (8) unless submitted under subsection (a-25) of  | 
 Section 4 of the Firearm Owners Identification Card Act, a  | 
 full set of fingerprints submitted to the Illinois State  | 
 Police in electronic format, provided the Illinois State  | 
 | 
 Police may accept an application submitted without a set  | 
 of fingerprints, in which case the Illinois State Police  | 
 shall be granted 30 days in addition to the 90 days  | 
 provided under subsection (e) of Section 10 of this Act to  | 
 issue or deny a license; | 
  (9) a head and shoulder color photograph in a size  | 
 specified by the Illinois State Police taken within the 30  | 
 days preceding the date of the license application; and | 
  (10) a photocopy of any certificates or other evidence  | 
 of compliance with the training requirements under this  | 
 Act.
 | 
(Source: P.A. 102-237, eff. 1-1-22; 102-538, eff. 8-20-21;  | 
revised 10-12-21.)
 | 
 (430 ILCS 66/50)
 | 
 Sec. 50. License renewal.  | 
 (a) This subsection (a) applies through the 180th day  | 
following July 12, 2019 (the effective date of Public Act  | 
101-80) this amendatory Act of the 101st General Assembly. The  | 
Illinois State Police shall, 180 days prior to the expiration  | 
of a concealed carry license, notify each person whose license  | 
is to expire a notification of the expiration of the license  | 
and instructions for renewal. Applications for renewal of a  | 
license shall be made to the Illinois State Police. A license  | 
shall be renewed for a period of 5 years upon receipt of a  | 
completed renewal application, completion of 3 hours of  | 
 | 
training required under Section 75 of this Act, payment of the  | 
applicable renewal fee, and completion of an investigation  | 
under Section 35 of this Act. The renewal application shall  | 
contain the information required in Section 30 of this Act,  | 
except that the applicant need not resubmit a full set of  | 
fingerprints. | 
 (b) This subsection (b) applies on and after the 181st day  | 
following July 12, 2019 (the effective date of Public Act  | 
101-80) this amendatory Act of the 101st General Assembly.  | 
Applications for renewal of a license shall be made to the  | 
Illinois State Police. A license shall be renewed for a period  | 
of 5 years from the date of expiration on the applicant's  | 
current license upon the receipt of a completed renewal  | 
application, completion of 3 hours of training required under  | 
Section 75 of this Act, payment of the applicable renewal fee,  | 
and completion of an investigation under Section 35 of this  | 
Act. The renewal application shall contain the information  | 
required in Section 30 of this Act, except that the applicant  | 
need not resubmit a full set of fingerprints. 
 | 
(Source: P.A. 101-80, eff. 7-12-19; 102-237, eff. 1-1-22;  | 
102-538, eff. 8-20-21; revised 10-15-21.)
 | 
 (430 ILCS 66/55)
 | 
 Sec. 55. Change of address or name; lost, destroyed, or  | 
stolen licenses.  | 
 (a) A licensee shall notify the Illinois State Police  | 
 | 
within 30 days of moving or changing residence or any change of  | 
name. The licensee shall submit the requisite fee and the  | 
Illinois State Police may require a notarized statement that  | 
the licensee has
changed his or her residence or his or her  | 
name, including the prior and current address or name and the  | 
date the applicant moved or changed his or her name. | 
 (b) A licensee shall notify the Illinois State Police  | 
within 10 days of discovering that a license has been lost,  | 
destroyed, or stolen. A lost, destroyed, or stolen license is  | 
invalid. To request a replacement license, the licensee shall  | 
submit: | 
  (1) a written or electronic acknowledgment that the  | 
 licensee no longer possesses the license, and that it was  | 
 lost, destroyed, or stolen; | 
  (2) if applicable, a copy of a police report stating  | 
 that the license was stolen; and | 
  (3) the requisite fee. | 
 (c) A violation of this Section is a petty offense with a  | 
fine of $150 which shall be deposited into the Mental Health  | 
Reporting Fund.
 | 
(Source: P.A. 102-237, eff. 1-1-22; 102-538, eff. 8-20-21;  | 
revised 10-15-21.)
 | 
 (430 ILCS 66/70) | 
 Sec. 70. Violations.  | 
 (a) A license issued or renewed under this Act shall be  | 
 | 
revoked if, at any time, the licensee is found to be ineligible  | 
for a license under this Act or the licensee no longer meets  | 
the eligibility requirements of the Firearm Owners  | 
Identification Card Act. | 
 (b) A license shall be suspended if an order of  | 
protection, including an emergency order of protection,  | 
plenary order of protection, or interim order of protection  | 
under Article 112A of the Code of Criminal Procedure of 1963 or  | 
under the Illinois Domestic Violence Act of 1986, or if a  | 
firearms restraining order, including an emergency firearms  | 
restraining order, under the Firearms Restraining Order Act,  | 
is issued against a licensee for the duration of the order, or  | 
if the Illinois State Police is made aware of a similar order  | 
issued against the licensee in any other jurisdiction. If an  | 
order of protection is issued against a licensee, the licensee  | 
shall surrender the license, as applicable, to the court at  | 
the time the order is entered or to the law enforcement agency  | 
or entity serving process at the time the licensee is served  | 
the order. The court, law enforcement agency, or entity  | 
responsible for serving the order of protection shall notify  | 
the Illinois State Police within 7 days and transmit the  | 
license to the Illinois State Police. | 
 (c) A license is invalid upon expiration of the license,  | 
unless the licensee has submitted an application to renew the  | 
license, and the applicant is otherwise eligible to possess a  | 
license under this Act. | 
 | 
 (d) A licensee shall not carry a concealed firearm while  | 
under the influence of alcohol, other drug or drugs,  | 
intoxicating compound or combination of compounds, or any  | 
combination thereof, under the standards set forth in  | 
subsection (a) of Section 11-501 of the Illinois Vehicle Code. | 
 A licensee in violation of this subsection (d) shall be  | 
guilty of a Class A misdemeanor for a first or second violation  | 
and a Class 4 felony for a third violation. The Illinois State  | 
Police may suspend a license for up to 6 months for a second  | 
violation and shall permanently revoke a license for a third  | 
violation. | 
 (e) Except as otherwise provided, a licensee in violation  | 
of this Act shall be guilty of a Class B misdemeanor. A second  | 
or subsequent violation is a Class A misdemeanor. The Illinois  | 
State Police may suspend a license for up to 6 months for a  | 
second violation and shall permanently revoke a license for 3  | 
or more violations of Section 65 of this Act. Any person  | 
convicted of a violation under this Section shall pay a $150  | 
fee to be deposited into the Mental Health Reporting Fund,  | 
plus any applicable court costs or fees. | 
 (f) A licensee convicted or found guilty of a violation of  | 
this Act who has a valid license and is otherwise eligible to  | 
carry a concealed firearm shall only be subject to the  | 
penalties under this Section and shall not be subject to the  | 
penalties under Section 21-6, paragraph (4), (8), or (10) of  | 
subsection (a) of Section 24-1, or subparagraph (A-5) or (B-5)  | 
 | 
of paragraph (3) of subsection (a) of Section 24-1.6 of the  | 
Criminal Code of 2012. Except as otherwise provided in this  | 
subsection, nothing in this subsection prohibits the licensee  | 
from being subjected to penalties for violations other than  | 
those specified in this Act. | 
 (g) A licensee whose license is revoked, suspended, or  | 
denied shall, within 48 hours of receiving notice of the  | 
revocation, suspension, or denial, surrender his or her  | 
concealed carry license to the local law enforcement agency  | 
where the person resides. The local law enforcement agency  | 
shall provide the licensee a receipt and transmit the  | 
concealed carry license to the Illinois State Police. If the  | 
licensee whose concealed carry license has been revoked,  | 
suspended, or denied fails to comply with the requirements of  | 
this subsection, the law enforcement agency where the person  | 
resides may petition the circuit court to issue a warrant to  | 
search for and seize the concealed carry license in the  | 
possession and under the custody or control of the licensee  | 
whose concealed carry license has been revoked, suspended, or  | 
denied. The observation of a concealed carry license in the  | 
possession of a person whose license has been revoked,  | 
suspended, or denied constitutes a sufficient basis for the  | 
arrest of that person for violation of this subsection. A  | 
violation of this subsection is a Class A misdemeanor. | 
 (h) Except as otherwise provided in subsection (h-5), a  | 
license issued or renewed under this Act shall be revoked if,  | 
 | 
at any time, the licensee is found ineligible for a Firearm  | 
Owner's Identification Card, or the licensee no longer  | 
possesses a valid Firearm Owner's Identification Card. If the  | 
Firearm Owner's Identification Card is expired or suspended  | 
rather than denied or revoked, the license may be suspended  | 
for a period of up to one year to allow the licensee to  | 
reinstate his or her Firearm Owner's Identification Card. The  | 
Illinois State Police shall adopt rules to enforce this  | 
subsection. A licensee whose license is revoked under this  | 
subsection (h) shall surrender his or her concealed carry  | 
license as provided for in subsection (g) of this Section.  | 
 This subsection shall not apply to a person who has filed  | 
an application with the Illinois State Police for renewal of a  | 
Firearm
Owner's Identification Card and who is not otherwise  | 
ineligible to obtain a Firearm Owner's Identification Card.
 | 
 (h-5) If the Firearm Owner's Identification Card of a
 | 
licensee under this Act expires during the term of the license
 | 
issued under this Act, the license and the Firearm Owner's
 | 
Identification Card remain valid, and the Illinois State  | 
Police
may automatically renew the licensee's Firearm Owner's
 | 
Identification Card as provided in subsection (c) of Section 5
 | 
of the Firearm Owners Identification Card Act. | 
 (i) A certified firearms instructor who knowingly provides  | 
or offers to provide a false certification that an applicant  | 
has completed firearms training as required under this Act is  | 
guilty of a Class A misdemeanor. A person guilty of a violation  | 
 | 
of this subsection (i) is not eligible for court supervision.  | 
The Illinois State Police shall permanently revoke the  | 
firearms instructor certification of a person convicted under  | 
this subsection (i).  | 
(Source: P.A. 102-237, eff. 1-1-22; 102-538, eff. 8-20-21;  | 
revised 10-15-21.)
 | 
 Section 565. The Firearms Restraining Order Act is amended  | 
by changing Sections 35 and 40 as follows:
 | 
 (430 ILCS 67/35)
 | 
 (Text of Section before amendment by P.A. 102-345) | 
 Sec. 35. Ex parte orders and emergency hearings.
 | 
 (a) A petitioner may request an emergency firearms  | 
restraining order by filing an affidavit or verified pleading  | 
alleging that the respondent poses an immediate and present  | 
danger of causing personal injury to himself, herself, or  | 
another by having in his or her custody or control,  | 
purchasing, possessing, or receiving a firearm. The petition  | 
shall also describe the type and location of any firearm or  | 
firearms presently believed by the petitioner to be possessed  | 
or controlled by the respondent.
 | 
 (b) If the respondent is alleged to pose an immediate and  | 
present danger of causing personal injury to an intimate  | 
partner, or an intimate partner is alleged to have been the  | 
target of a threat or act of violence by the respondent, the  | 
 | 
petitioner shall make a good faith effort to provide notice to  | 
any and all intimate partners of the respondent. The notice  | 
must include that the petitioner intends to petition the court  | 
for an emergency firearms restraining order, and, if the  | 
petitioner is a law enforcement officer, referral to relevant  | 
domestic violence or stalking advocacy or counseling  | 
resources, if appropriate. The petitioner shall attest to  | 
having provided the notice in the filed affidavit or verified  | 
pleading. If, after making a good faith effort, the petitioner  | 
is unable to provide notice to any or all intimate partners,  | 
the affidavit or verified pleading should describe what  | 
efforts were made. | 
 (c) Every person who files a petition for an emergency  | 
firearms restraining order, knowing the information provided  | 
to the court at any hearing or in the affidavit or verified  | 
pleading to be false, is guilty of perjury under Section 32-2  | 
of the Criminal Code of 2012.
 | 
 (d) An emergency firearms restraining order shall be  | 
issued on an ex parte basis, that is, without notice to the  | 
respondent.
 | 
 (e) An emergency hearing held on an ex parte basis shall be  | 
held the same day that the petition is filed or the next day  | 
that the court is in session.
 | 
 (f) If a circuit or associate judge finds probable cause  | 
to believe that the respondent poses an immediate and present  | 
danger of causing personal injury to himself, herself, or  | 
 | 
another by having in his or her custody or control,  | 
purchasing, possessing, or receiving a firearm, the circuit or  | 
associate judge shall issue an emergency order.
 | 
 (f-5) If the court issues an emergency firearms  | 
restraining order, it shall, upon a finding of probable cause  | 
that the respondent possesses firearms, issue a search warrant  | 
directing a law enforcement agency to seize the respondent's  | 
firearms. The court may, as part of that warrant, direct the  | 
law enforcement agency to search the respondent's residence  | 
and other places where the court finds there is probable cause  | 
to believe he or she is likely to possess the firearms. | 
 (g) An emergency firearms restraining order shall require:
 | 
  (1) the respondent to refrain from having in his or  | 
 her custody or control, purchasing, possessing, or  | 
 receiving additional firearms for the duration of the  | 
 order under Section 8.2 of the Firearm Owners  | 
 Identification Card Act;
and | 
  (2) the respondent to comply with Section 9.5 of the  | 
 Firearm Owners Identification Card Act and subsection (g)  | 
 of Section 70 of the Firearm Concealed Carry Act Illinois.  | 
 (h) Except as otherwise provided in subsection (h-5) of  | 
this Section, upon expiration of the period of safekeeping, if  | 
the firearms or Firearm Owner's Identification Card and  | 
concealed carry license cannot be returned to the respondent  | 
because the respondent cannot be located, fails to respond to  | 
requests to retrieve the firearms, or is not lawfully eligible  | 
 | 
to possess a firearm, upon petition from the local law  | 
enforcement agency, the court may order the local law  | 
enforcement agency to destroy the firearms, use the firearms  | 
for training purposes, or use the firearms for any other  | 
application as deemed appropriate by the local law enforcement  | 
agency.
 | 
 (h-5) On or before January 1, 2022, a respondent whose  | 
Firearm Owner's Identification Card has been revoked or  | 
suspended may petition the court, if the petitioner is present  | 
in court or has notice of the respondent's petition, to  | 
transfer the respondent's firearm to a person who is lawfully  | 
able to possess the firearm if the person does not reside at  | 
the same address as the respondent. Notice of the petition  | 
shall be served upon the person protected by the emergency  | 
firearms restraining order. While the order is in effect, the  | 
transferee who receives the respondent's firearms must swear  | 
or affirm by affidavit that he or she shall not transfer the  | 
firearm to the respondent or to anyone residing in the same  | 
residence as the respondent. | 
 (h-6) If a person other than the respondent claims title  | 
to any firearms surrendered under this Section, he or she may  | 
petition the court, if the petitioner is present in court or  | 
has notice of the petition, to have the firearm returned to him  | 
or her. If the court determines that person to be the lawful  | 
owner of the firearm, the firearm shall be returned to him or  | 
her, provided that: | 
 | 
  (1) the firearm is removed from the respondent's  | 
 custody, control, or possession and the lawful owner  | 
 agrees to store the firearm in a manner such that the  | 
 respondent does not have access to or control of the  | 
 firearm; and | 
  (2) the firearm is not otherwise unlawfully possessed  | 
 by the owner. | 
 The person petitioning for the return of his or her  | 
firearm must swear or affirm by affidavit that he or she: (i)  | 
is the lawful owner of the firearm; (ii) shall not transfer the  | 
firearm to the respondent; and (iii) will store the firearm in  | 
a manner that the respondent does not have access to or control  | 
of the firearm.  | 
 (i) In accordance with subsection (e) of this Section, the  | 
court shall schedule a full hearing as soon as possible, but no  | 
longer than 14 days from the issuance of an ex parte firearms  | 
restraining order, to determine if a 6-month firearms  | 
restraining order shall be issued. The court may extend an ex  | 
parte order as needed, but not to exceed 14 days, to effectuate  | 
service of the order or if necessary to continue protection.  | 
The court may extend the order for a greater length of time by  | 
mutual agreement of the parties.
 | 
(Source: P.A. 101-81, eff. 7-12-19; 102-237, eff. 1-1-22;  | 
102-538, eff. 8-20-21; revised 11-9-21.)
 | 
 (Text of Section after amendment by P.A. 102-345)
 | 
 | 
 Sec. 35. Ex parte orders and emergency hearings.
 | 
 (a) A petitioner may request an emergency firearms  | 
restraining order by filing an affidavit or verified pleading  | 
alleging that the respondent poses an immediate and present  | 
danger of causing personal injury to himself, herself, or  | 
another by having in his or her custody or control,  | 
purchasing, possessing, or receiving a firearm, ammunition, or  | 
firearm parts
that could be assembled to make an operable  | 
firearm. The petition shall also describe the type and  | 
location of any firearm or firearms, ammunition, or firearm  | 
parts
that could be assembled to make an operable firearm  | 
presently believed by the petitioner to be possessed or  | 
controlled by the respondent.
 | 
 (b) If the respondent is alleged to pose an immediate and  | 
present danger of causing personal injury to an intimate  | 
partner, or an intimate partner is alleged to have been the  | 
target of a threat or act of violence by the respondent, the  | 
petitioner shall make a good faith effort to provide notice to  | 
any and all intimate partners of the respondent. The notice  | 
must include that the petitioner intends to petition the court  | 
for an emergency firearms restraining order, and, if the  | 
petitioner is a law enforcement officer, referral to relevant  | 
domestic violence or stalking advocacy or counseling  | 
resources, if appropriate. The petitioner shall attest to  | 
having provided the notice in the filed affidavit or verified  | 
pleading. If, after making a good faith effort, the petitioner  | 
 | 
is unable to provide notice to any or all intimate partners,  | 
the affidavit or verified pleading should describe what  | 
efforts were made. | 
 (c) Every person who files a petition for an emergency  | 
firearms restraining order, knowing the information provided  | 
to the court at any hearing or in the affidavit or verified  | 
pleading to be false, is guilty of perjury under Section 32-2  | 
of the Criminal Code of 2012.
 | 
 (d) An emergency firearms restraining order shall be  | 
issued on an ex parte basis, that is, without notice to the  | 
respondent.
 | 
 (e) An emergency hearing held on an ex parte basis shall be  | 
held the same day that the petition is filed or the next day  | 
that the court is in session.
 | 
 (f) If a circuit or associate judge finds probable cause  | 
to believe that the respondent poses an immediate and present  | 
danger of causing personal injury to himself, herself, or  | 
another by having in his or her custody or control,  | 
purchasing, possessing, or receiving a firearm, ammunition, or  | 
firearm parts
that could be assembled to make an operable  | 
firearm, the circuit or associate judge shall issue an  | 
emergency order.
 | 
 (f-5) If the court issues an emergency firearms  | 
restraining order, it shall, upon a finding of probable cause  | 
that the respondent possesses firearms, ammunition, or firearm  | 
parts
that could be assembled to make an operable firearm,  | 
 | 
issue a search warrant directing a law enforcement agency to  | 
seize the respondent's firearms, ammunition, and firearm parts  | 
that could
be assembled to make an operable firearm. The court  | 
may, as part of that warrant, direct the law enforcement  | 
agency to search the respondent's residence and other places  | 
where the court finds there is probable cause to believe he or  | 
she is likely to possess the firearms, ammunition, or firearm  | 
parts
that could be assembled to make an operable firearm. A  | 
return of the search warrant shall be filed by the law  | 
enforcement agency within 4 days thereafter, setting forth the  | 
time, date, and location that the search warrant was executed  | 
and what items, if any, were seized.  | 
 (g) An emergency firearms restraining order shall require:
 | 
  (1) the respondent to refrain from having in his or  | 
 her custody or control, purchasing, possessing, or  | 
 receiving additional firearms, ammunition, or firearm  | 
 parts that could be assembled to make an operable firearm,  | 
 or removing firearm parts that could be assembled to make  | 
 an operable firearm for the duration of the order under  | 
 Section 8.2 of the Firearm Owners Identification Card Act;
 | 
 and | 
  (2) the respondent to comply with Section 9.5 of the  | 
 Firearm Owners Identification Card Act and subsection (g)  | 
 of Section 70 of the Firearm Concealed Carry Act Illinois,  | 
 ammunition, and firearm parts that could
be assembled to  | 
 make an operable firearm. | 
 | 
 (h) Except as otherwise provided in subsection (h-5) of  | 
this Section, upon expiration of the period of safekeeping, if  | 
the firearms, ammunition, and firearm parts that could
be  | 
assembled to make an operable firearm or Firearm Owner's  | 
Identification Card and concealed carry license cannot be  | 
returned to the respondent because the respondent cannot be  | 
located, fails to respond to requests to retrieve the  | 
firearms, or is not lawfully eligible to possess a firearm,  | 
ammunition, or firearm parts
that could be assembled to make  | 
an operable firearm, upon petition from the local law  | 
enforcement agency, the court may order the local law  | 
enforcement agency to destroy the firearms, ammunition, and  | 
firearm parts that could
be assembled to make an operable  | 
firearm, use the firearms, ammunition, and firearm parts that  | 
could
be assembled to make an operable firearm for training  | 
purposes, or use the firearms, ammunition, and firearm parts  | 
that could
be assembled to make an operable firearm for any  | 
other application as deemed appropriate by the local law  | 
enforcement agency.
 | 
 (h-5) On or before January 1, 2022, a respondent whose  | 
Firearm Owner's Identification Card has been revoked or  | 
suspended may petition the court, if the petitioner is present  | 
in court or has notice of the respondent's petition, to  | 
transfer the respondent's firearm, ammunition, and firearm  | 
parts that could
be assembled to make an operable firearm to a  | 
person who is lawfully able to possess the firearm,  | 
 | 
ammunition, and firearm parts that could
be assembled to make  | 
an operable firearm if the person does not reside at the same  | 
address as the respondent. Notice of the petition shall be  | 
served upon the person protected by the emergency firearms  | 
restraining order. While the order is in effect, the  | 
transferee who receives the respondent's firearms, ammunition,  | 
and firearm parts that could be assembled to make an operable  | 
firearm must swear or affirm by affidavit that he or she shall  | 
not transfer the firearm, ammunition, and firearm parts that  | 
could
be assembled to make an operable firearm to the  | 
respondent or to anyone residing in the same residence as the  | 
respondent. | 
 (h-6) If a person other than the respondent claims title  | 
to any firearms, ammunition, and firearm parts that could
be  | 
assembled to make an operable firearm surrendered under this  | 
Section, he or she may petition the court, if the petitioner is  | 
present in court or has notice of the petition, to have the  | 
firearm, ammunition, and firearm parts that could be assembled  | 
to make an operable firearm returned to him or her. If the  | 
court determines that person to be the lawful owner of the  | 
firearm, ammunition, and firearm parts that could be assembled  | 
to make an operable firearm, the firearm, ammunition, and  | 
firearm parts that could
be assembled to make an operable  | 
firearm shall be returned to him or her, provided that: | 
  (1) the firearm,
ammunition, and firearm parts that  | 
 could be assembled to make
an operable firearm are removed  | 
 | 
 from the respondent's custody, control, or possession and  | 
 the lawful owner agrees to store the firearm, ammunition,  | 
 and firearm parts that could
be assembled to make an  | 
 operable firearm in a manner such that the respondent does  | 
 not have access to or control of the firearm, ammunition,  | 
 and firearm parts that could
be assembled to make an  | 
 operable firearm; and | 
  (2) the firearm,
ammunition, and firearm parts that  | 
 could be assembled to make
an operable firearm are not  | 
 otherwise unlawfully possessed by the owner. | 
 The person petitioning for the return of his or her  | 
firearm, ammunition, and firearm parts that could
be assembled  | 
to make an operable firearm must swear or affirm by affidavit  | 
that he or she: (i) is the lawful owner of the firearm,  | 
ammunition, and firearm parts that could be assembled to make  | 
an operable firearm; (ii) shall not transfer the firearm,  | 
ammunition, and firearm parts that could
be assembled to make  | 
an operable firearm to the respondent; and (iii) will store  | 
the firearm, ammunition, and firearm parts that could be  | 
assembled to make an operable firearm in a manner that the  | 
respondent does not have access to or control of the firearm,  | 
ammunition, and firearm parts that could
be assembled to make  | 
an operable firearm.  | 
 (i) In accordance with subsection (e) of this Section, the  | 
court shall schedule a full hearing as soon as possible, but no  | 
longer than 14 days from the issuance of an ex parte firearms  | 
 | 
restraining order, to determine if a 6-month firearms  | 
restraining order shall be issued. The court may extend an ex  | 
parte order as needed, but not to exceed 14 days, to effectuate  | 
service of the order or if necessary to continue protection.  | 
The court may extend the order for a greater length of time by  | 
mutual agreement of the parties.
 | 
(Source: P.A. 101-81, eff. 7-12-19; 102-237, eff. 1-1-22;  | 
102-345, eff. 6-1-22; 102-538, eff. 8-20-21; revised 11-9-21.)
 | 
 (430 ILCS 67/40)
 | 
 (Text of Section before amendment by P.A. 102-237) | 
 Sec. 40. Six-month orders.
 | 
 (a) A petitioner may request a 6-month firearms  | 
restraining order by filing an affidavit or verified pleading  | 
alleging that the respondent poses a significant danger of  | 
causing personal injury to himself, herself, or another in the  | 
near future by having in his or her custody or control,  | 
purchasing, possessing, or receiving a firearm. The petition  | 
shall also describe the number, types, and locations of any  | 
firearms presently believed by the petitioner to be possessed  | 
or controlled by the respondent.
 | 
 (b) If the respondent is alleged to pose a significant  | 
danger of causing personal injury to an intimate partner, or  | 
an intimate partner is alleged to have been the target of a  | 
threat or act of violence by the respondent, the petitioner  | 
shall make a good faith effort to provide notice to any and all  | 
 | 
intimate partners of the respondent. The notice must include  | 
that the petitioner intends to petition the court for a  | 
6-month firearms restraining order, and, if the petitioner is  | 
a law enforcement officer, referral to relevant domestic  | 
violence or stalking advocacy or counseling resources, if  | 
appropriate. The petitioner shall attest to having provided  | 
the notice in the filed affidavit or verified pleading. If,  | 
after making a good faith effort, the petitioner is unable to  | 
provide notice to any or all intimate partners, the affidavit  | 
or verified pleading should describe what efforts were made. | 
 (c) Every person who files a petition for a 6-month  | 
firearms restraining order, knowing the information provided  | 
to the court at any hearing or in the affidavit or verified  | 
pleading to be false, is guilty of perjury under Section 32-2  | 
of the Criminal Code of 2012.
 | 
 (d) Upon receipt of a petition for a 6-month firearms  | 
restraining order, the court shall order a hearing within 30  | 
days.
 | 
 (e) In determining whether to issue a firearms restraining  | 
order under this Section, the court shall consider evidence  | 
including, but not limited to, the following:
 | 
  (1) The unlawful and reckless use, display, or  | 
 brandishing of a firearm by the respondent.
 | 
  (2) The history of use, attempted use, or threatened  | 
 use of physical force by the respondent against another  | 
 person.
 | 
 | 
  (3) Any prior arrest of the respondent for a felony  | 
 offense. | 
  (4) Evidence of the abuse of controlled substances or  | 
 alcohol by the respondent. | 
  (5) A recent threat of violence or act of violence by  | 
 the respondent directed toward himself, herself, or  | 
 another. | 
  (6) A violation of an emergency order of protection  | 
 issued under Section 217 of the Illinois Domestic Violence  | 
 Act of 1986 or Section 112A-17 of the Code of Criminal  | 
 Procedure of 1963 or of an order of protection issued  | 
 under Section 214 of the Illinois Domestic Violence Act of  | 
 1986 or Section 112A-14 of the Code of Criminal Procedure  | 
 of 1963.
 | 
  (7) A pattern of violent acts or violent threats,  | 
 including, but not limited to, threats of violence or acts  | 
 of violence by the respondent directed toward himself,  | 
 herself, or another. | 
 (f) At the hearing, the petitioner shall have the burden  | 
of proving, by clear and convincing evidence, that the  | 
respondent poses a significant danger of personal injury to  | 
himself, herself, or another by having in his or her custody or  | 
control, purchasing, possessing, or receiving a firearm. | 
 (g) If the court finds that there is clear and convincing  | 
evidence to issue a firearms restraining order, the court  | 
shall issue a firearms restraining order that shall be in  | 
 | 
effect for 6 months subject to renewal under Section 45 of this  | 
Act or termination under that Section.  | 
 (g-5) If the court issues a 6-month firearms restraining  | 
order, it shall, upon a finding of probable cause that the  | 
respondent possesses firearms, issue a search warrant  | 
directing a law enforcement agency to seize the respondent's  | 
firearms. The court may, as part of that warrant, direct the  | 
law enforcement agency to search the respondent's residence  | 
and other places where the court finds there is probable cause  | 
to believe he or she is likely to possess the firearms. | 
 (h) A 6-month firearms restraining order shall require: | 
  (1) the respondent to refrain from having in his or  | 
 her custody or control, purchasing, possessing, or  | 
 receiving additional firearms for the duration of the  | 
 order under Section 8.2 of the Firearm Owners  | 
 Identification Card Act; and | 
  (2) the respondent to comply with Section 9.5 of the  | 
 Firearm Owners Identification Card Act and subsection (g)  | 
 of Section 70 of the Firearm Concealed Carry Act. Illinois | 
 (i) Except as otherwise provided in subsection (i-5) of  | 
this Section, upon expiration of the period of safekeeping, if  | 
the firearms or Firearm Owner's Identification Card cannot be  | 
returned to the respondent because the respondent cannot be  | 
located, fails to respond to requests to retrieve the  | 
firearms, or is not lawfully eligible to possess a firearm,  | 
upon petition from the local law enforcement agency, the court  | 
 | 
may order the local law enforcement agency to destroy the  | 
firearms, use the firearms for training purposes, or use the  | 
firearms for any other application as deemed appropriate by  | 
the local law enforcement agency. | 
 (i-5) A respondent whose Firearm Owner's Identification  | 
Card has been revoked or suspended may petition the court, if  | 
the petitioner is present in court or has notice of the  | 
respondent's petition, to transfer the respondent's firearm to  | 
a person who is lawfully able to possess the firearm if the  | 
person does not reside at the same address as the respondent.  | 
Notice of the petition shall be served upon the person  | 
protected by the emergency firearms restraining order. While  | 
the order is in effect, the transferee who receives the  | 
respondent's firearms must swear or affirm by affidavit that  | 
he or she shall not transfer the firearm to the respondent or  | 
to anyone residing in the same residence as the respondent. | 
 (i-6) If a person other than the respondent claims title  | 
to any firearms surrendered under this Section, he or she may  | 
petition the court, if the petitioner is present in court or  | 
has notice of the petition, to have the firearm returned to him  | 
or her. If the court determines that person to be the lawful  | 
owner of the firearm, the firearm shall be returned to him or  | 
her, provided that: | 
  (1) the firearm is removed from the respondent's  | 
 custody, control, or possession and the lawful owner  | 
 agrees to store the firearm in a manner such that the  | 
 | 
 respondent does not have access to or control of the  | 
 firearm; and | 
  (2) the firearm is not otherwise unlawfully possessed  | 
 by the owner. | 
 The person petitioning for the return of his or her  | 
firearm must swear or affirm by affidavit that he or she: (i)  | 
is the lawful owner of the firearm; (ii) shall not transfer the  | 
firearm to the respondent; and (iii) will store the firearm in  | 
a manner that the respondent does not have access to or control  | 
of the firearm.  | 
 (j) If the court does not issue a firearms restraining  | 
order at the hearing, the court shall dissolve any emergency  | 
firearms restraining order then in effect. | 
 (k) When the court issues a firearms restraining order  | 
under this Section, the court shall inform the respondent that  | 
he or she is entitled to one hearing during the period of the  | 
order to request a termination of the order, under Section 45  | 
of this Act, and shall provide the respondent with a form to  | 
request a hearing. 
 | 
(Source: P.A. 101-81, eff. 7-12-19; 102-237, eff. 1-1-22;  | 
102-538, eff. 8-20-21; revised 11-3-21.)
 | 
 (Text of Section after amendment by P.A. 102-345)
 | 
 Sec. 40. Six-month orders.
 | 
 (a) A petitioner may request a 6-month firearms  | 
restraining order by filing an affidavit or verified pleading  | 
 | 
alleging that the respondent poses a significant danger of  | 
causing personal injury to himself, herself, or another in the  | 
near future by having in his or her custody or control,  | 
purchasing, possessing, or receiving a firearm, ammunition,  | 
and firearm parts that could
be assembled to make an operable  | 
firearm. The petition shall also describe the number, types,  | 
and locations of any firearms, ammunition, and firearm parts  | 
that could
be assembled to make an operable firearm presently  | 
believed by the petitioner to be possessed or controlled by  | 
the respondent.
 | 
 (b) If the respondent is alleged to pose a significant  | 
danger of causing personal injury to an intimate partner, or  | 
an intimate partner is alleged to have been the target of a  | 
threat or act of violence by the respondent, the petitioner  | 
shall make a good faith effort to provide notice to any and all  | 
intimate partners of the respondent. The notice must include  | 
that the petitioner intends to petition the court for a  | 
6-month firearms restraining order, and, if the petitioner is  | 
a law enforcement officer, referral to relevant domestic  | 
violence or stalking advocacy or counseling resources, if  | 
appropriate. The petitioner shall attest to having provided  | 
the notice in the filed affidavit or verified pleading. If,  | 
after making a good faith effort, the petitioner is unable to  | 
provide notice to any or all intimate partners, the affidavit  | 
or verified pleading should describe what efforts were made. | 
 (c) Every person who files a petition for a 6-month  | 
 | 
firearms restraining order, knowing the information provided  | 
to the court at any hearing or in the affidavit or verified  | 
pleading to be false, is guilty of perjury under Section 32-2  | 
of the Criminal Code of 2012.
 | 
 (d) Upon receipt of a petition for a 6-month firearms  | 
restraining order, the court shall order a hearing within 30  | 
days.
 | 
 (e) In determining whether to issue a firearms restraining  | 
order under this Section, the court shall consider evidence  | 
including, but not limited to, the following:
 | 
  (1) The unlawful and reckless use, display, or  | 
 brandishing of a firearm, ammunition, and firearm parts  | 
 that could
be assembled to make an operable firearm by the  | 
 respondent.
 | 
  (2) The history of use, attempted use, or threatened  | 
 use of physical force by the respondent against another  | 
 person.
 | 
  (3) Any prior arrest of the respondent for a felony  | 
 offense. | 
  (4) Evidence of the abuse of controlled substances or  | 
 alcohol by the respondent. | 
  (5) A recent threat of violence or act of violence by  | 
 the respondent directed toward himself, herself, or  | 
 another. | 
  (6) A violation of an emergency order of protection  | 
 issued under Section 217 of the Illinois Domestic Violence  | 
 | 
 Act of 1986 or Section 112A-17 of the Code of Criminal  | 
 Procedure of 1963 or of an order of protection issued  | 
 under Section 214 of the Illinois Domestic Violence Act of  | 
 1986 or Section 112A-14 of the Code of Criminal Procedure  | 
 of 1963.
 | 
  (7) A pattern of violent acts or violent threats,  | 
 including, but not limited to, threats of violence or acts  | 
 of violence by the respondent directed toward himself,  | 
 herself, or another. | 
 (f) At the hearing, the petitioner shall have the burden  | 
of proving, by clear and convincing evidence, that the  | 
respondent poses a significant danger of personal injury to  | 
himself, herself, or another by having in his or her custody or  | 
control, purchasing, possessing, or receiving a firearm,  | 
ammunition, and firearm parts that could be assembled to make  | 
an operable firearm. | 
 (g) If the court finds that there is clear and convincing  | 
evidence to issue a firearms restraining order, the court  | 
shall issue a firearms restraining order that shall be in  | 
effect for 6 months subject to renewal under Section 45 of this  | 
Act or termination under that Section.  | 
 (g-5) If the court issues a 6-month firearms restraining  | 
order, it shall, upon a finding of probable cause that the  | 
respondent possesses firearms, ammunition, and firearm parts  | 
that could
be assembled to make an operable firearm, issue a  | 
search warrant directing a law enforcement agency to seize the  | 
 | 
respondent's firearms, ammunition, and firearm parts that  | 
could
be assembled to make an operable firearm. The court may,  | 
as part of that warrant, direct the law enforcement agency to  | 
search the respondent's residence and other places where the  | 
court finds there is probable cause to believe he or she is  | 
likely to possess the firearms, ammunition, and firearm parts  | 
that could
be assembled to make an operable firearm. A return  | 
of the search warrant shall be filed by the law enforcement  | 
agency within 4 days thereafter, setting forth the time, date,  | 
and location that the search warrant was executed and what  | 
items, if any, were seized.  | 
 (h) A 6-month firearms restraining order shall require: | 
  (1) the respondent to refrain from having in his or  | 
 her custody or control, purchasing, possessing, or  | 
 receiving additional firearms, ammunition, and firearm  | 
 parts that could
be assembled to make an operable firearm  | 
 for the duration of the order under Section 8.2 of the  | 
 Firearm Owners Identification Card Act; and | 
  (2) the respondent to comply with Section 9.5 of the  | 
 Firearm Owners Identification Card Act and subsection (g)  | 
 of Section 70 of the Firearm Concealed Carry Act,  | 
 ammunition, and firearm parts that could
be assembled to  | 
 make an operable firearm. Illinois, ammunition, and  | 
 firearm parts that could be assembled to make an operable  | 
 firearm | 
 (i) Except as otherwise provided in subsection (i-5) of  | 
 | 
this Section, upon expiration of the period of safekeeping, if  | 
the firearms, ammunition, and firearm parts that could
be  | 
assembled to make an operable firearm or Firearm Owner's  | 
Identification Card cannot be returned to the respondent  | 
because the respondent cannot be located, fails to respond to  | 
requests to retrieve the firearms, ammunition, and firearm  | 
parts that could
be assembled to make an operable firearm, or  | 
is not lawfully eligible to possess a firearm, ammunition, and  | 
firearm parts that could
be assembled to make an operable  | 
firearm, upon petition from the local law enforcement agency,  | 
the court may order the local law enforcement agency to  | 
destroy the firearms, ammunition, and firearm parts that could  | 
be assembled to make an operable firearm, use the firearms,  | 
ammunition, and firearm parts that could
be assembled to make  | 
an operable firearm for training purposes, or use the  | 
firearms, ammunition, and firearm parts that could
be  | 
assembled to make an operable firearm for any other  | 
application as deemed appropriate by the local law enforcement  | 
agency. | 
 (i-5) A respondent whose Firearm Owner's Identification  | 
Card has been revoked or suspended may petition the court, if  | 
the petitioner is present in court or has notice of the  | 
respondent's petition, to transfer the respondent's firearm,  | 
ammunition, and firearm parts that could
be assembled to make  | 
an operable firearm to a person who is lawfully able to possess  | 
the firearm, ammunition, and firearm parts that could
be  | 
 | 
assembled to make an operable firearm if the person does not  | 
reside at the same address as the respondent. Notice of the  | 
petition shall be served upon the person protected by the  | 
emergency firearms restraining order. While the order is in  | 
effect, the transferee who receives the respondent's firearms,  | 
ammunition, and firearm parts that could be assembled to make  | 
an operable firearm must swear or affirm by affidavit that he  | 
or she shall not transfer the firearm, ammunition, and firearm  | 
parts that could
be assembled to make an operable firearm to  | 
the respondent or to anyone residing in the same residence as  | 
the respondent. | 
 (i-6) If a person other than the respondent claims title  | 
to any firearms, ammunition, and firearm parts that could
be  | 
assembled to make an operable firearm surrendered under this  | 
Section, he or she may petition the court, if the petitioner is  | 
present in court or has notice of the petition, to have the  | 
firearm, ammunition, and firearm parts that could be assembled  | 
to make an operable firearm returned to him or her. If the  | 
court determines that person to be the lawful owner of the  | 
firearm, ammunition, and firearm parts that could be assembled  | 
to make an operable firearm, the firearm, ammunition, and  | 
firearm parts that could
be assembled to make an operable  | 
firearm shall be returned to him or her, provided that: | 
  (1) the firearm,
ammunition, and firearm parts that  | 
 could be assembled to make
an operable firearm are removed  | 
 from the respondent's custody, control, or possession and  | 
 | 
 the lawful owner agrees to store the firearm, ammunition,  | 
 and firearm parts that could
be assembled to make an  | 
 operable firearm in a manner such that the respondent does  | 
 not have access to or control of the firearm, ammunition,  | 
 and firearm parts that could
be assembled to make an  | 
 operable firearm; and | 
  (2) the firearm,
ammunition, and firearm parts that  | 
 could be assembled to make
an operable firearm are not  | 
 otherwise unlawfully possessed by the owner. | 
 The person petitioning for the return of his or her  | 
firearm, ammunition, and firearm parts that could
be assembled  | 
to make an operable firearm must swear or affirm by affidavit  | 
that he or she: (i) is the lawful owner of the firearm,  | 
ammunition, and firearm parts that could be assembled to make  | 
an operable firearm; (ii) shall not transfer the firearm,  | 
ammunition, and firearm parts that could
be assembled to make  | 
an operable firearm to the respondent; and (iii) will store  | 
the firearm, ammunition, and firearm parts that could be  | 
assembled to make an operable firearm in a manner that the  | 
respondent does not have access to or control of the firearm,  | 
ammunition, and firearm parts that could
be assembled to make  | 
an operable firearm.  | 
 (j) If the court does not issue a firearms restraining  | 
order at the hearing, the court shall dissolve any emergency  | 
firearms restraining order then in effect. | 
 (k) When the court issues a firearms restraining order  | 
 | 
under this Section, the court shall inform the respondent that  | 
he or she is entitled to one hearing during the period of the  | 
order to request a termination of the order, under Section 45  | 
of this Act, and shall provide the respondent with a form to  | 
request a hearing. 
 | 
(Source: P.A. 101-81, eff. 7-12-19; 102-237, eff. 1-1-22;  | 
102-345, eff. 6-1-22; 102-538, eff. 8-20-21; revised 11-3-21.)
 | 
 Section 570. The Wildlife Code is amended by changing  | 
Section 3.3 as follows:
 | 
 (520 ILCS 5/3.3) (from Ch. 61, par. 3.3)
 | 
 Sec. 3.3. Trapping license required. Before any person  | 
shall trap any
of the mammals protected
by this Act, for which  | 
an open trapping season has been established, he shall
first  | 
procure a trapping license from the Department to do so. No  | 
traps
shall be placed in the field, set or unset, prior to the  | 
opening day of
the trapping season.
 | 
 Traps used in the taking of such mammals shall be marked or
 | 
tagged with metal tags or inscribed in lettering giving the  | 
name and
address of the owner or the customer identification  | 
number issued by the Department, and absence of such mark or  | 
tag shall be prima
facie evidence that such trap or traps are  | 
illegally used and the trap
or traps shall be confiscated and  | 
disposed of as directed by the
Department.
 | 
 Before any person 18 years of age or older shall trap,  | 
 | 
attempt to
trap, or sell the green hides of any mammal of the  | 
species defined as
fur-bearing mammals by Section 2.2 for  | 
which an open season is established
under this Act, he shall  | 
first have procured a State Habitat Stamp.
 | 
 Beginning January 1, 2016, no trapping license shall be  | 
issued to any
person born on or after January 1, 1998 unless he  | 
or she presents to the authorized issuer of the license  | 
evidence that he or she has a
certificate of competency  | 
provided for in this Section.
 | 
 The Department of Natural Resources shall authorize
 | 
personnel of the Department,
or volunteer instructors, found  | 
by the Department to be competent,
to provide instruction in  | 
courses on trapping techniques and ethical trapping
behavior  | 
as needed throughout the State, which courses shall be at  | 
least
8 hours in length. Persons so authorized shall provide  | 
instruction in such
courses to individuals at no charge, and  | 
shall issue to individuals
successfully completing such  | 
courses certificates of competency in basic
trapping  | 
techniques. The Department shall cooperate in establishing  | 
such
courses with any reputable association or organization  | 
which has as one of
its objectives the promotion of the ethical  | 
use of legal fur harvesting
devices and techniques. The  | 
Department shall furnish information on the
requirements of  | 
the trapper education program to be distributed free of
charge  | 
to applicants for trapping licenses by the persons appointed  | 
and
authorized to issue licenses.
 | 
 | 
 The owners residing on, or bona fide tenants of farm  | 
lands, and their
children actually residing on such lands,  | 
shall have the right to trap
mammals protected by this Act, for  | 
which an open trapping season has been
established, upon such  | 
lands, without procuring licenses, provided that
such mammals  | 
are taken during the periods of time and with such devices as
 | 
are permitted by this Act.
 | 
 Any person on active duty in the Armed Forces or any person  | 
with a disability who is a resident of Illinois, may trap any  | 
of the species protected by Section 2.2, during such times,  | 
with such devices, and by such methods as are permitted by this  | 
Act, without procuring a trapping license. For the purposes of  | 
this Section, a person is considered a person with a  | 
disability if he or she has a Type 1 or Type 4, Class 2  | 
disability as defined in Section 4A of the Illinois  | 
Identification Card Act. For purposes of this Section, an  | 
Illinois Person with a Disability Identification Card issued  | 
pursuant to the Illinois Identification Card Act indicating  | 
that the person thereon named has a Type 1 or Type 4, Class 2  | 
disability shall be adequate documentation of such a  | 
disability.  | 
(Source: P.A. 101-81, eff. 7-12-19; 102-524, eff. 8-20-21;  | 
revised 11-29-21.)
 | 
 Section 575. The Illinois Vehicle Code is amended by  | 
changing Sections 3-117.1, 3-699.14, 5-102, 5-402.1, 6-106.1,  | 
 | 
6-107.5, 6-206, 6-508, 11-212, 11-907, 11-1201.1, 13-108,  | 
13-109.1, 15-102, 15-305, 16-103, and 16-105 as follows:
 | 
 (625 ILCS 5/3-117.1) (from Ch. 95 1/2, par. 3-117.1)
 | 
 Sec. 3-117.1. When junking certificates or salvage  | 
certificates must
be obtained. | 
 (a) Except as provided in Chapter 4 and Section 3-117.3 of  | 
this Code, a person who possesses a
junk vehicle shall within  | 
15 days cause the certificate of title, salvage
certificate,  | 
certificate of purchase, or a similarly acceptable  | 
out-of-state
document of ownership to be surrendered to the  | 
Secretary of State along with an
application for a junking  | 
certificate, except as provided in Section 3-117.2,
whereupon  | 
the Secretary of State shall issue to such a person a junking
 | 
certificate, which shall authorize the holder thereof to  | 
possess, transport,
or, by an endorsement, transfer ownership  | 
in such junked vehicle, and a
certificate of title shall not  | 
again be issued for such vehicle. The owner of a junk vehicle  | 
is not required to surrender the certificate of title under  | 
this subsection if (i) there is no lienholder on the  | 
certificate of title or (ii) the owner of the junk vehicle has  | 
a valid lien release from the lienholder releasing all  | 
interest in the vehicle and the owner applying for the junk  | 
certificate matches the current record on the certificate of  | 
title file for the vehicle.
 | 
 A licensee who possesses a junk vehicle and a Certificate  | 
 | 
of Title,
Salvage Certificate, Certificate of Purchase, or a  | 
similarly acceptable
out-of-state document of ownership for  | 
such junk vehicle, may transport the
junk vehicle to another  | 
licensee prior to applying for or obtaining a
junking  | 
certificate, by executing a uniform invoice. The licensee
 | 
transferor shall furnish a copy of the uniform invoice to the  | 
licensee
transferee at the time of transfer. In any case, the  | 
licensee transferor
shall apply for a junking certificate in  | 
conformance with Section 3-117.1
of this Chapter. The  | 
following information shall be contained on a uniform
invoice:
 | 
  (1) The business name, address, and dealer license  | 
 number of the person
disposing of the vehicle, junk  | 
 vehicle, or vehicle cowl;
 | 
  (2) The name and address of the person acquiring the  | 
 vehicle, junk
vehicle, or vehicle cowl, and, if that  | 
 person is a dealer, the Illinois or
out-of-state dealer  | 
 license number of that dealer;
 | 
  (3) The date of the disposition of the vehicle, junk  | 
 vehicle, or vehicle
cowl;
 | 
  (4) The year, make, model, color, and description of  | 
 each vehicle, junk
vehicle, or vehicle cowl disposed of by  | 
 such person;
 | 
  (5) The manufacturer's vehicle identification number,  | 
 Secretary of State
identification number, or Illinois  | 
 State Police number,
for each vehicle, junk vehicle, or  | 
 vehicle cowl part disposed of by such person;
 | 
 | 
  (6) The printed name and legible signature of the  | 
 person or agent
disposing of the vehicle, junk vehicle, or  | 
 vehicle cowl; and
 | 
  (7) The printed name and legible signature of the  | 
 person accepting
delivery of the vehicle, junk vehicle, or  | 
 vehicle cowl.
 | 
 The Secretary of State may certify a junking manifest in a  | 
form prescribed by
the Secretary of State that reflects those  | 
vehicles for which junking
certificates have been applied or  | 
issued. A junking manifest
may be issued to any person and it  | 
shall constitute evidence of ownership
for the vehicle listed  | 
upon it. A junking manifest may be transferred only
to a person  | 
licensed under Section 5-301 of this Code as a scrap  | 
processor.
A junking manifest will allow the transportation of  | 
those
vehicles to a scrap processor prior to receiving the  | 
junk certificate from
the Secretary of State.
 | 
 (b) An application for a salvage certificate shall be  | 
submitted to the
Secretary of State in any of the following  | 
situations:
 | 
  (1) When an insurance company makes a payment of  | 
 damages on a total loss
claim for a vehicle, the insurance  | 
 company shall be deemed to be the owner of
such vehicle and  | 
 the vehicle shall be considered to be salvage except that
 | 
 ownership of (i) a vehicle that has incurred only hail  | 
 damage that does
not
affect the operational safety of the  | 
 vehicle or (ii) any vehicle
9 model years of age or older  | 
 | 
 may, by agreement between
the registered owner and the  | 
 insurance company, be retained by the registered
owner of  | 
 such vehicle. The insurance company shall promptly deliver  | 
 or mail
within 20 days the certificate of title along with  | 
 proper application and fee
to the Secretary of State, and  | 
 a salvage certificate shall be issued in the
name of the  | 
 insurance company. Notwithstanding the foregoing, an  | 
 insurer making payment of damages on a total loss claim  | 
 for the theft of a vehicle shall not be required to apply  | 
 for a salvage certificate unless the vehicle is recovered  | 
 and has incurred damage that initially would have caused  | 
 the vehicle to be declared a total loss by the insurer. | 
  (1.1) When a vehicle of a self-insured company is to  | 
 be sold in the State of Illinois and has sustained damaged  | 
 by collision, fire, theft, rust corrosion, or other means  | 
 so that the self-insured company determines the vehicle to  | 
 be a total loss, or if the cost of repairing the damage,  | 
 including labor, would be greater than 70% of its fair  | 
 market value without that damage, the vehicle shall be  | 
 considered salvage. The self-insured company shall  | 
 promptly deliver the certificate of title along with  | 
 proper application and fee to the Secretary of State, and  | 
 a salvage certificate shall be issued in the name of the  | 
 self-insured company. A self-insured company making  | 
 payment of damages on a total loss claim for the theft of a  | 
 vehicle may exchange the salvage certificate for a  | 
 | 
 certificate of title if the vehicle is recovered without  | 
 damage. In such a situation, the self-insured shall fill  | 
 out and sign a form prescribed by the Secretary of State  | 
 which contains an affirmation under penalty of perjury  | 
 that the vehicle was recovered without damage and the  | 
 Secretary of State may, by rule, require photographs to be  | 
 submitted.
 | 
  (2) When a vehicle the ownership of which has been  | 
 transferred to any
person through a certificate of  | 
 purchase from acquisition of the vehicle at an
auction,  | 
 other dispositions as set forth in Sections 4-208 and  | 
 4-209
of this Code, or a lien arising under Section  | 
 18a-501 of this Code shall be deemed
salvage or junk at the  | 
 option of the purchaser. The person acquiring such
vehicle  | 
 in such manner shall promptly deliver or mail, within 20  | 
 days after the
acquisition of the vehicle, the certificate  | 
 of purchase, the
proper application and fee, and, if the  | 
 vehicle is an abandoned mobile home
under the Abandoned  | 
 Mobile Home Act, a certification from a local law
 | 
 enforcement agency that the vehicle was purchased or  | 
 acquired at a public sale
under the Abandoned Mobile Home  | 
 Act to the Secretary of State and a salvage
certificate or  | 
 junking certificate shall be issued in the name of that  | 
 person.
The salvage certificate or junking certificate  | 
 issued by the Secretary of State
under this Section shall  | 
 be free of any lien that existed against the vehicle
prior  | 
 | 
 to the time the vehicle was acquired by the applicant  | 
 under this Code.
 | 
  (3) A vehicle which has been repossessed by a  | 
 lienholder shall be
considered to be salvage only when the  | 
 repossessed vehicle, on the date of
repossession by the  | 
 lienholder, has sustained damage by collision, fire,  | 
 theft,
rust corrosion, or other means so that the cost of  | 
 repairing
such damage, including labor, would be greater  | 
 than 50% of its fair market
value without such damage. If  | 
 the lienholder determines that such vehicle is
damaged in  | 
 excess of 50% of such fair market value, the lienholder  | 
 shall,
before sale, transfer, or assignment of the  | 
 vehicle, make application for a
salvage certificate, and  | 
 shall submit with such application the proper fee
and  | 
 evidence of possession. If the facts required to be shown  | 
 in
subsection (f) of Section 3-114 are satisfied, the  | 
 Secretary of State shall
issue a salvage certificate in  | 
 the name of the lienholder making the
application. In any  | 
 case wherein the vehicle repossessed is not damaged in
 | 
 excess of 50% of its fair market value, the lienholder
 | 
 shall comply with the requirements of subsections (f),  | 
 (f-5), and (f-10) of
Section 3-114, except that the  | 
 affidavit of repossession made by or on behalf
of the  | 
 lienholder
shall also contain an affirmation under penalty  | 
 of perjury that the vehicle
on
the date of sale is not
 | 
 damaged in
excess of 50% of its fair market value. If the  | 
 | 
 facts required to be shown
in subsection (f) of Section  | 
 3-114 are satisfied, the Secretary of State
shall issue a  | 
 certificate of title as set forth in Section 3-116 of this  | 
 Code.
The Secretary of State may by rule or regulation  | 
 require photographs to be
submitted.
 | 
  (4) A vehicle which is a part of a fleet of more than 5  | 
 commercial
vehicles registered in this State or any other  | 
 state or registered
proportionately among several states  | 
 shall be considered to be salvage when
such vehicle has  | 
 sustained damage by collision, fire, theft, rust,
 | 
 corrosion or similar means so that the cost of repairing  | 
 such damage, including
labor, would be greater than 50% of  | 
 the fair market value of the vehicle
without such damage.  | 
 If the owner of a fleet vehicle desires to sell,
transfer,  | 
 or assign his interest in such vehicle to a person within  | 
 this State
other than an insurance company licensed to do  | 
 business within this State, and
the owner determines that  | 
 such vehicle, at the time of the proposed sale,
transfer  | 
 or assignment is damaged in excess of 50% of its fair  | 
 market
value, the owner shall, before such sale, transfer  | 
 or assignment, make
application for a salvage certificate.  | 
 The application shall contain with it
evidence of  | 
 possession of the vehicle. If the fleet vehicle at the  | 
 time of its
sale, transfer, or assignment is not damaged  | 
 in excess of 50% of its
fair market value, the owner shall  | 
 so state in a written affirmation on a
form prescribed by  | 
 | 
 the Secretary of State by rule or regulation. The
 | 
 Secretary of State may by rule or regulation require  | 
 photographs to be
submitted. Upon sale, transfer or  | 
 assignment of the fleet vehicle the
owner shall mail the  | 
 affirmation to the Secretary of State.
 | 
  (5) A vehicle that has been submerged in water to the
 | 
 point that rising water has reached over the door sill and  | 
 has
entered the
passenger or trunk compartment is a "flood  | 
 vehicle". A flood vehicle shall
be considered to be  | 
 salvage only if the vehicle has sustained damage so that
 | 
 the cost of repairing the damage, including labor, would  | 
 be greater than 50% of the fair market value of the vehicle  | 
 without that damage. The salvage
certificate issued under  | 
 this
Section shall indicate the word "flood", and the word  | 
 "flood" shall be
conspicuously entered on subsequent  | 
 titles for the vehicle. A person who
possesses or acquires  | 
 a flood vehicle that is not damaged in excess of 50%
of its  | 
 fair market value shall make application for title in  | 
 accordance with
Section 3-116 of this Code, designating  | 
 the vehicle as "flood" in a manner
prescribed by the  | 
 Secretary of State. The certificate of title issued shall
 | 
 indicate the word "flood", and the word "flood" shall be  | 
 conspicuously entered
on subsequent titles for the  | 
 vehicle.
 | 
  (6) When any licensed rebuilder, repairer, new or used  | 
 vehicle dealer, or remittance agent has submitted an  | 
 | 
 application for title to a vehicle (other than an  | 
 application for title to a rebuilt vehicle) that he or she  | 
 knows or reasonably should have known to have sustained  | 
 damages in excess of 50% of the vehicle's fair market  | 
 value without that damage; provided, however, that any  | 
 application for a salvage certificate for a vehicle  | 
 recovered from theft and acquired from an insurance  | 
 company shall be made as required by paragraph (1) of this  | 
 subsection (b).  | 
 (c) Any person who without authority acquires, sells,  | 
exchanges, gives
away, transfers or destroys or offers to  | 
acquire, sell, exchange, give
away, transfer or destroy the  | 
certificate of title to any vehicle which is
a junk or salvage  | 
vehicle shall be guilty of a Class 3 felony.
 | 
 (d) Except as provided under subsection (a), any person  | 
who knowingly fails to surrender to the Secretary of State a
 | 
certificate of title, salvage certificate, certificate of  | 
purchase or a
similarly acceptable out-of-state document of  | 
ownership as required under
the provisions of this Section is  | 
guilty of a Class A misdemeanor for a
first offense and a Class  | 
4 felony for a subsequent offense; except that a
person  | 
licensed under this Code who violates paragraph (5) of  | 
subsection (b)
of this Section is
guilty of a business offense  | 
and shall be fined not less than $1,000 nor more
than $5,000  | 
for a first offense and is guilty of a Class 4 felony
for a  | 
second or subsequent violation.
 | 
 | 
 (e) Any vehicle which is salvage or junk may not be driven  | 
or operated
on roads and highways within this State. A  | 
violation of this subsection is
a Class A misdemeanor. A  | 
salvage vehicle displaying valid special plates
issued under  | 
Section 3-601(b) of this Code, which is being driven to or
from  | 
an inspection conducted under Section 3-308 of this Code, is  | 
exempt
from the provisions of this subsection. A salvage  | 
vehicle for which a
short term permit has been issued under  | 
Section 3-307 of this Code is
exempt from the provisions of  | 
this subsection for the duration of the permit.
 | 
(Source: P.A. 101-81, eff. 7-12-19; 102-319, eff. 1-1-22;  | 
102-538, eff. 8-20-21; revised 9-22-21.)
 | 
 (625 ILCS 5/3-699.14) | 
 Sec. 3-699.14. Universal special license plates. | 
 (a) In addition to any other special license plate, the  | 
Secretary, upon receipt of all applicable fees and  | 
applications made in the form prescribed by the Secretary, may  | 
issue Universal special license plates to residents of  | 
Illinois on behalf of organizations that have been authorized  | 
by the General Assembly to issue decals for Universal special  | 
license plates. Appropriate documentation, as determined by  | 
the Secretary, shall accompany each application. Authorized  | 
organizations shall be designated by amendment to this  | 
Section. When applying for a Universal special license plate  | 
the applicant shall inform the Secretary of the name of the  | 
 | 
authorized organization from which the applicant will obtain a  | 
decal to place on the plate. The Secretary shall make a record  | 
of that organization and that organization shall remain  | 
affiliated with that plate until the plate is surrendered,  | 
revoked, or otherwise cancelled. The authorized organization  | 
may charge a fee to offset the cost of producing and  | 
distributing the decal, but that fee shall be retained by the  | 
authorized organization and shall be separate and distinct  | 
from any registration fees charged by the Secretary. No decal,  | 
sticker, or other material may be affixed to a Universal  | 
special license plate other than a decal authorized by the  | 
General Assembly in this Section or a registration renewal  | 
sticker. The special plates issued under this Section shall be  | 
affixed only to passenger vehicles of the first division,  | 
including motorcycles and autocycles, or motor vehicles of the  | 
second division weighing not more than 8,000 pounds. Plates  | 
issued under this Section shall expire according to the  | 
multi-year procedure under Section 3-414.1 of this Code. | 
 (b) The design, color, and format of the Universal special  | 
license plate shall be wholly within the discretion of the  | 
Secretary. Universal special license plates are not required  | 
to designate "Land of Lincoln", as prescribed in subsection  | 
(b) of Section 3-412 of this Code. The design shall allow for  | 
the application of a decal to the plate. Organizations  | 
authorized by the General Assembly to issue decals for  | 
Universal special license plates shall comply with rules  | 
 | 
adopted by the Secretary governing the requirements for and  | 
approval of Universal special license plate decals. The  | 
Secretary may, in his or her discretion, allow Universal  | 
special license plates to be issued as vanity or personalized  | 
plates in accordance with Section 3-405.1 of this Code. The  | 
Secretary of State must make a version of the special  | 
registration plates authorized under this Section in a form  | 
appropriate for motorcycles and autocycles. | 
 (c) When authorizing a Universal special license plate,  | 
the General Assembly shall set forth whether an additional fee  | 
is to be charged for the plate and, if a fee is to be charged,  | 
the amount of the fee and how the fee is to be distributed.  | 
When necessary, the authorizing language shall create a  | 
special fund in the State treasury into which fees may be  | 
deposited for an authorized Universal special license plate.  | 
Additional fees may only be charged if the fee is to be paid  | 
over to a State agency or to a charitable entity that is in  | 
compliance with the registration and reporting requirements of  | 
the Charitable Trust Act and the Solicitation for Charity Act.  | 
Any charitable entity receiving fees for the sale of Universal  | 
special license plates shall annually provide the Secretary of  | 
State a letter of compliance issued by the Attorney General  | 
verifying that the entity is in compliance with the Charitable  | 
Trust Act and the Solicitation for Charity Act. | 
 (d) Upon original issuance and for each registration  | 
renewal period, in addition to the appropriate registration  | 
 | 
fee, if applicable, the Secretary shall collect any additional  | 
fees, if required, for issuance of Universal special license  | 
plates. The fees shall be collected on behalf of the  | 
organization designated by the applicant when applying for the  | 
plate. All fees collected shall be transferred to the State  | 
agency on whose behalf the fees were collected, or paid into  | 
the special fund designated in the law authorizing the  | 
organization to issue decals for Universal special license  | 
plates. All money in the designated fund shall be distributed  | 
by the Secretary subject to appropriation by the General  | 
Assembly.
 | 
 (e) The following organizations may issue decals for  | 
Universal special license plates with the original and renewal  | 
fees and fee distribution as follows:  | 
  (1) The Illinois Department of Natural Resources.  | 
   (A) Original issuance: $25; with $10 to the  | 
 Roadside Monarch Habitat Fund and $15 to the Secretary  | 
 of State Special License Plate Fund.  | 
   (B) Renewal: $25; with $23 to the Roadside Monarch  | 
 Habitat Fund and $2 to the Secretary of State Special  | 
 License Plate Fund.  | 
  (2) Illinois Veterans' Homes. | 
   (A) Original issuance: $26, which shall be  | 
 deposited into the Illinois Veterans' Homes Fund. | 
   (B) Renewal: $26, which shall be deposited into  | 
 the Illinois Veterans' Homes Fund. | 
 | 
  (3) The Illinois Department of Human Services for  | 
 volunteerism decals. | 
   (A) Original issuance: $25, which shall be  | 
 deposited into the Secretary of State Special License  | 
 Plate Fund. | 
   (B) Renewal: $25, which shall be deposited into  | 
 the Secretary of State Special License Plate Fund.  | 
  (4) The Illinois Department of Public Health. | 
   (A) Original issuance: $25; with $10 to the  | 
 Prostate Cancer Awareness Fund and $15 to the  | 
 Secretary of State Special License Plate Fund. | 
   (B) Renewal: $25; with $23 to the Prostate Cancer  | 
 Awareness Fund and $2 to the Secretary of State  | 
 Special License Plate Fund.  | 
  (5) Horsemen's Council of Illinois. | 
   (A) Original issuance: $25; with $10 to the  | 
 Horsemen's Council of Illinois Fund and $15 to the  | 
 Secretary of State Special License Plate Fund. | 
   (B) Renewal: $25; with $23 to the Horsemen's  | 
 Council of Illinois Fund and $2 to the Secretary of  | 
 State Special License Plate Fund. | 
  (6) K9s for Veterans, NFP. | 
   (A) Original issuance: $25; with $10 to the  | 
 Post-Traumatic Stress Disorder Awareness Fund and $15  | 
 to the Secretary of State Special License Plate Fund. | 
   (B) Renewal: $25; with $23 to the Post-Traumatic  | 
 | 
 Stress Disorder Awareness Fund and $2 to the Secretary  | 
 of State Special License Plate Fund.  | 
  (7) The International Association of Machinists and  | 
 Aerospace Workers.  | 
   (A) Original issuance: $35; with $20 to the Guide  | 
 Dogs of America Fund and $15 to the Secretary of State  | 
 Special License Plate Fund. | 
   (B) Renewal: $25; with $23 going to the Guide Dogs  | 
 of America Fund and $2 to the Secretary of State  | 
 Special License Plate Fund. | 
  (8) Local Lodge 701 of the International Association  | 
 of Machinists and
Aerospace Workers.  | 
   (A) Original issuance: $35; with $10 to the Guide  | 
 Dogs of America Fund, $10 to the Mechanics Training  | 
 Fund, and $15 to the Secretary of State Special  | 
 License Plate Fund. | 
   (B) Renewal: $30; with $13 to the Guide Dogs of  | 
 America Fund, $15 to the Mechanics Training Fund, and  | 
 $2 to the Secretary of State Special License Plate  | 
 Fund. | 
  (9) Illinois Department of Human Services. | 
   (A) Original issuance: $25; with $10 to the  | 
 Theresa Tracy Trot - Illinois CancerCare Foundation  | 
 Fund and $15 to the Secretary of State Special License  | 
 Plate Fund. | 
   (B) Renewal: $25; with $23 to the Theresa Tracy  | 
 | 
 Trot - Illinois CancerCare Foundation Fund and $2 to  | 
 the Secretary of State Special License Plate Fund. | 
  (10) The Illinois Department of Human Services for  | 
 developmental disabilities awareness decals. | 
   (A) Original issuance: $25; with $10 to the
 | 
 Developmental Disabilities Awareness Fund and $15 to  | 
 the Secretary of State Special License Plate Fund. | 
   (B) Renewal: $25; with $23 to the Developmental  | 
 Disabilities
Awareness Fund and $2 to the Secretary of  | 
 State Special License Plate Fund. | 
  (11) The Illinois Department of Human Services for  | 
 pediatric cancer awareness decals. | 
   (A) Original issuance: $25; with $10 to the
 | 
 Pediatric Cancer Awareness Fund and $15 to the  | 
 Secretary of State Special License Plate Fund. | 
   (B) Renewal: $25; with $23 to the Pediatric Cancer
 | 
 Awareness Fund and $2 to the Secretary of State  | 
 Special License Plate Fund. | 
  (12) The Department of Veterans' Affairs for Fold of  | 
 Honor decals.  | 
   (A) Original issuance: $25; with $10 to the Folds  | 
 of Honor Foundation Fund and $15 to the Secretary of  | 
 State Special License Plate Fund.  | 
   (B) Renewal: $25; with $23 to the Folds of Honor  | 
 Foundation Fund and $2 to the Secretary of State  | 
 Special License Plate Fund. | 
 | 
  (13) (12) The Illinois chapters of the Experimental  | 
 Aircraft Association for aviation enthusiast decals. | 
   (A) Original issuance: $25; with $10 to the  | 
 Experimental Aircraft Association Fund and $15 to the  | 
 Secretary of State Special License Plate Fund. | 
   (B) Renewal: $25; with $23 to the Experimental  | 
 Aircraft Association Fund and $2 to the Secretary of  | 
 State Special License Plate Fund.  | 
  (14) (12) The Illinois Department of Human Services  | 
 for Child Abuse Council of the Quad Cities decals.  | 
   (A) Original issuance: $25; with $10 to the Child  | 
 Abuse Council of the Quad Cities Fund and $15 to the  | 
 Secretary of State Special License Plate Fund.  | 
   (B) Renewal: $25; with $23 to the Child Abuse  | 
 Council of the Quad Cities Fund and $2 to the Secretary  | 
 of State Special License Plate Fund. | 
  (15) (12) The Illinois Department of Public Health for  | 
 health care worker decals. | 
   (A) Original issuance: $25; with $10 to the  | 
 Illinois Health Care Workers Benefit Fund, and $15 to  | 
 the Secretary of State Special License Plate Fund. | 
   (B) Renewal: $25; with $23 to the Illinois Health  | 
 Care Workers Benefit Fund and $2 to the Secretary of  | 
 State Special License Plate Fund.  | 
 (f) The following funds are created as special funds in  | 
the State treasury:  | 
 | 
  (1) The Roadside Monarch Habitat Fund. All money in  | 
 the Roadside Monarch Habitat Fund shall be paid as grants  | 
 to the Illinois Department of Natural Resources to fund  | 
 roadside monarch and other pollinator habitat development,  | 
 enhancement, and restoration projects in this State.  | 
  (2) The Prostate Cancer Awareness Fund. All money in  | 
 the Prostate Cancer Awareness Fund shall be paid as grants  | 
 to the Prostate Cancer Foundation of Chicago.  | 
  (3) The Horsemen's Council of Illinois Fund. All money  | 
 in the Horsemen's Council of Illinois Fund shall be paid  | 
 as grants to the Horsemen's Council of Illinois.  | 
  (4) The Post-Traumatic Stress Disorder Awareness Fund.  | 
 All money in the Post-Traumatic Stress Disorder Awareness  | 
 Fund shall be paid as grants to K9s for Veterans, NFP for  | 
 support, education, and awareness of veterans with  | 
 post-traumatic stress disorder. | 
  (5) The Guide Dogs of America Fund. All money in the  | 
 Guide Dogs of America Fund shall be paid as grants to the  | 
 International Guiding Eyes, Inc., doing business as Guide  | 
 Dogs of America. | 
  (6) The Mechanics Training Fund. All money in the  | 
 Mechanics Training Fund shall be paid as grants to the  | 
 Mechanics Local 701 Training Fund. | 
  (7) The Theresa Tracy Trot - Illinois CancerCare  | 
 Foundation Fund. All money in the Theresa Tracy Trot -  | 
 Illinois CancerCare Foundation Fund shall be paid to the  | 
 | 
 Illinois CancerCare Foundation for the purpose of  | 
 furthering pancreatic cancer research. | 
  (8) The Developmental Disabilities Awareness Fund. All  | 
 money in the Developmental Disabilities Awareness Fund  | 
 shall
be paid as grants to the Illinois Department of  | 
 Human Services to fund legal aid groups to assist with  | 
 guardianship fees for private citizens willing to become  | 
 guardians for individuals with developmental disabilities  | 
 but who are unable to pay the legal fees associated with  | 
 becoming a guardian. | 
  (9) The Pediatric Cancer Awareness Fund. All money in  | 
 the Pediatric Cancer Awareness Fund shall
be paid as  | 
 grants to the Cancer Center at Illinois for pediatric  | 
 cancer treatment and research. | 
  (10) The Folds of Honor Foundation Fund. All money in  | 
 the Folds of Honor Foundation Fund shall be paid as grants  | 
 to the Folds of Honor Foundation to aid in providing  | 
 educational scholarships to military families.  | 
  (11) (10) The Experimental Aircraft Association Fund.  | 
 All money in the Experimental Aircraft Association Fund  | 
 shall be paid, subject to appropriation by the General  | 
 Assembly and distribution by the Secretary, as grants to  | 
 promote recreational aviation.  | 
  (12) (10) The Child Abuse Council of the Quad Cities  | 
 Fund. All money in the Child Abuse Council of the Quad  | 
 Cities Fund shall be paid as grants to benefit the Child  | 
 | 
 Abuse Council of the Quad Cities.  | 
  (13) (10) The Illinois Health Care Workers Benefit  | 
 Fund. All money in the Illinois Health Care Workers  | 
 Benefit Fund shall be paid as grants to the Trinity Health  | 
 Foundation for the benefit of health care workers,  | 
 doctors, nurses, and others who work in the health care  | 
 industry in this State.  | 
(Source: P.A. 101-248, eff. 1-1-20; 101-256, eff. 1-1-20;  | 
101-276, eff. 8-9-19; 101-282, eff. 1-1-20; 101-372, eff.  | 
1-1-20; 102-383, eff. 1-1-22; 102-422, eff. 8-20-21; 102-423,  | 
eff. 8-20-21; 102-515, eff. 1-1-22; 102-558, eff. 8-20-21;  | 
revised 9-22-21.)
 | 
 (625 ILCS 5/5-102) (from Ch. 95 1/2, par. 5-102)
 | 
 Sec. 5-102. Used vehicle dealers must be licensed. 
 | 
 (a) No person, other than a licensed new vehicle dealer,  | 
shall engage in
the business of selling or dealing in, on  | 
consignment or otherwise, 5 or
more used vehicles of any make  | 
during the year (except house trailers as
authorized by  | 
paragraph (j) of this Section and rebuilt salvage vehicles
 | 
sold by their rebuilders to persons licensed under this  | 
Chapter), or act as
an intermediary, agent or broker for any  | 
licensed dealer or vehicle
purchaser (other than as a  | 
salesperson) or represent or advertise that he
is so engaged  | 
or intends to so engage in such business unless licensed to
do  | 
so by the Secretary of State under the provisions of this  | 
 | 
Section.
 | 
 (b) An application for a used vehicle dealer's license  | 
shall be
filed with the Secretary of State, duly verified by  | 
oath, in such form
as the Secretary of State may by rule or  | 
regulation prescribe and shall
contain:
 | 
  1. The name and type of business organization  | 
 established and additional
places of business, if any, in  | 
 this State.
 | 
  2. If the applicant is a corporation, a list of its  | 
 officers,
directors, and shareholders having a ten percent  | 
 or greater ownership
interest in the corporation, setting  | 
 forth the residence address of
each; if the applicant is a  | 
 sole proprietorship, a partnership, an
unincorporated  | 
 association, a trust, or any similar form of business
 | 
 organization, the names and residence address of the  | 
 proprietor or of
each partner, member, officer, director,  | 
 trustee, or manager.
 | 
  3. A statement that the applicant has been approved  | 
 for registration
under the Retailers' Occupation Tax Act  | 
 by the Department of Revenue. However,
this requirement  | 
 does not apply to a dealer who is already licensed
 | 
 hereunder with the Secretary of State, and who is merely  | 
 applying for a
renewal of his license. As evidence of this  | 
 fact, the application shall be
accompanied by a  | 
 certification from the Department of Revenue showing that
 | 
 the Department has approved the applicant for registration  | 
 | 
 under the
Retailers' Occupation Tax Act.
 | 
  4. A statement that the applicant has complied with  | 
 the appropriate
liability insurance requirement. A  | 
 Certificate of Insurance in a solvent
company authorized  | 
 to do business in the State of Illinois shall be included
 | 
 with each application covering each location at which he  | 
 proposes to act
as a used vehicle dealer. The policy must  | 
 provide liability coverage in
the minimum amounts of  | 
 $100,000 for bodily injury to, or death of, any person,
 | 
 $300,000 for bodily injury to, or death of, two or more  | 
 persons in any one
accident, and $50,000 for damage to  | 
 property. Such policy shall expire
not sooner than  | 
 December 31 of the year for which the license was issued
or  | 
 renewed. The expiration of the insurance policy shall not  | 
 terminate
the liability under the policy arising during  | 
 the period for which the policy
was filed. Trailer and  | 
 mobile home dealers are exempt from this requirement.
 | 
  If the permitted user has a liability insurance policy  | 
 that provides
automobile
liability insurance coverage of  | 
 at least $100,000 for bodily injury to or the
death of any
 | 
 person, $300,000 for bodily injury to or the death of any 2  | 
 or more persons in
any one
accident, and $50,000 for  | 
 damage to property,
then the permitted user's insurer  | 
 shall be the primary
insurer and the
dealer's insurer  | 
 shall be the secondary insurer. If the permitted user does  | 
 not
have a liability
insurance policy that provides  | 
 | 
 automobile liability insurance coverage of at
least
 | 
 $100,000 for bodily injury to or the death of any person,  | 
 $300,000 for bodily
injury to or
the death of any 2 or more  | 
 persons in any one accident, and $50,000 for damage
to
 | 
 property, or does not have any insurance at all,
then the
 | 
 dealer's
insurer shall be the primary insurer and the  | 
 permitted user's insurer shall be
the secondary
insurer.
 | 
  When a permitted user is "test driving" a used vehicle  | 
 dealer's automobile,
the used vehicle dealer's insurance  | 
 shall be primary and the permitted user's
insurance shall  | 
 be secondary.
 | 
  As used in this paragraph 4, a "permitted user" is a  | 
 person who, with the
permission of the used vehicle dealer  | 
 or an employee of the used vehicle
dealer, drives a  | 
 vehicle owned and held for sale or lease by the used  | 
 vehicle
dealer which the person is considering to purchase  | 
 or lease, in order to
evaluate the performance,  | 
 reliability, or condition of the vehicle.
The term  | 
 "permitted user" also includes a person who, with the  | 
 permission of
the used
vehicle dealer, drives a vehicle  | 
 owned or held for sale or lease by the used
vehicle dealer
 | 
 for loaner purposes while the user's vehicle is being  | 
 repaired or evaluated.
 | 
  As used in this paragraph 4, "test driving" occurs  | 
 when a permitted user
who,
with the permission of the used  | 
 vehicle dealer or an employee of the used
vehicle
dealer,  | 
 | 
 drives a vehicle owned and held for sale or lease by a used  | 
 vehicle
dealer that the person is considering to purchase  | 
 or lease, in order to
evaluate the performance,  | 
 reliability, or condition of the
vehicle.
 | 
  As used in this paragraph 4, "loaner purposes" means  | 
 when a person who,
with the permission of the used vehicle  | 
 dealer, drives a vehicle owned or held
for sale or lease by  | 
 the used vehicle dealer while the
user's vehicle is being  | 
 repaired or evaluated.
 | 
  5. An application for a used vehicle dealer's license  | 
 shall be
accompanied by the following license fees:
 | 
   (A) $1,000 for applicant's established place of  | 
 business, and
$50 for
each additional place of  | 
 business, if any, to which the application
pertains;  | 
 however, if the application is made after June 15 of  | 
 any
year, the license fee shall be $500 for  | 
 applicant's established
place of
business plus $25 for  | 
 each additional place of business, if any,
to
which  | 
 the application pertains. License fees shall be  | 
 returnable only in
the event that the application is  | 
 denied by
the Secretary of State. Of the money  | 
 received by the Secretary of State as
license fees  | 
 under this subparagraph (A) for the 2004 licensing  | 
 year and thereafter, 95%
shall be deposited into the  | 
 General Revenue Fund.
 | 
   (B) Except for dealers selling 25 or fewer  | 
 | 
 automobiles or as provided in subsection (h) of  | 
 Section 5-102.7 of this Code, an Annual Dealer  | 
 Recovery Fund Fee in the amount of $500 for the  | 
 applicant's established place of business, and $50 for  | 
 each additional place of business, if any, to which  | 
 the application pertains; but if the application is  | 
 made after June 15 of any year, the fee shall be $250  | 
 for the applicant's established place of business plus  | 
 $25 for each additional place of business, if any, to  | 
 which the application pertains. For a license renewal  | 
 application, the fee shall be based on the amount of  | 
 automobiles sold in the past year according to the  | 
 following formula:  | 
    (1) $0 for dealers selling 25 or less  | 
 automobiles;  | 
    (2) $150 for dealers selling more than 25 but  | 
 less than 200 automobiles;  | 
    (3) $300 for dealers selling 200 or more  | 
 automobiles but less than 300 automobiles; and  | 
    (4) $500 for dealers selling 300 or more  | 
 automobiles.  | 
   License fees shall be returnable only in the event  | 
 that the application is denied by the Secretary of  | 
 State. Moneys received under this subparagraph (B)  | 
 shall be deposited into the Dealer Recovery Trust  | 
 Fund.  | 
 | 
  6. A statement that the applicant's officers,  | 
 directors, shareholders
having a 10% or greater ownership  | 
 interest therein, proprietor, partner,
member, officer,  | 
 director, trustee, manager, or other principals in the
 | 
 business have not committed in the past 3 years any one  | 
 violation as
determined in any civil, criminal, or  | 
 administrative proceedings of any one
of the following  | 
 Acts:
 | 
   (A) The Anti-Theft Laws of the Illinois Vehicle  | 
 Code;
 | 
   (B) The Certificate of Title Laws of the Illinois  | 
 Vehicle Code;
 | 
   (C) The Offenses against Registration and  | 
 Certificates of Title
Laws of the Illinois Vehicle  | 
 Code;
 | 
   (D) The Dealers, Transporters, Wreckers and  | 
 Rebuilders Laws of the
Illinois Vehicle Code;
 | 
   (E) Section 21-2 of the Illinois Criminal Code of  | 
 1961 or the Criminal Code of 2012, Criminal
Trespass  | 
 to Vehicles; or
 | 
   (F) The Retailers' Occupation Tax Act.
 | 
  7. A statement that the applicant's officers,  | 
 directors,
shareholders having a 10% or greater ownership  | 
 interest therein,
proprietor, partner, member, officer,  | 
 director, trustee, manager, or
other principals in the  | 
 business have not committed in any calendar year
3 or more  | 
 | 
 violations, as determined in any civil, or criminal, or
 | 
 administrative proceedings, of any one or more of the  | 
 following Acts:
 | 
   (A) The Consumer Finance Act;
 | 
   (B) The Consumer Installment Loan Act;
 | 
   (C) The Retail Installment Sales Act;
 | 
   (D) The Motor Vehicle Retail Installment Sales  | 
 Act;
 | 
   (E) The Interest Act;
 | 
   (F) The Illinois Wage Assignment Act;
 | 
   (G) Part 8 of Article XII of the Code of Civil  | 
 Procedure; or
 | 
   (H) The Consumer Fraud and Deceptive Business  | 
 Practices Act.
 | 
  7.5. A statement that, within 10 years of application,
 | 
 each officer, director, shareholder having a
10% or  | 
 greater ownership interest therein, proprietor,
partner,  | 
 member, officer, director, trustee, manager, or
other  | 
 principal in the business of the applicant has not  | 
 committed, as determined
in any civil, criminal, or  | 
 administrative proceeding, in
any calendar year one or  | 
 more
forcible felonies under the Criminal Code of 1961 or  | 
 the
Criminal Code of 2012, or a violation of either or both  | 
 Article 16 or 17 of the Criminal Code of 1961 or a  | 
 violation of either or both Article 16 or 17 of the  | 
 Criminal Code of 2012, Article 29B of the Criminal Code of  | 
 | 
 1961 or the Criminal Code of 2012, or a similar  | 
 out-of-state offense.
For the purposes of this paragraph,  | 
 "forcible felony" has
the meaning provided in Section 2-8  | 
 of the Criminal Code
of 2012.  | 
  8. A bond or Certificate of Deposit in the amount of  | 
 $50,000 for
each location at which the applicant intends  | 
 to act as a used vehicle
dealer. The bond shall be for the  | 
 term of the license, or its renewal, for
which application  | 
 is made, and shall expire not sooner than December 31 of
 | 
 the year for which the license was issued or renewed. The  | 
 bond shall run
to the People of the State of Illinois, with  | 
 surety by a bonding or
insurance company authorized to do  | 
 business in this State. It shall be
conditioned upon the  | 
 proper transmittal of all title and registration fees
and  | 
 taxes (excluding taxes under the Retailers' Occupation Tax  | 
 Act) accepted
by the applicant as a used vehicle dealer.
 | 
  9. Such other information concerning the business of  | 
 the applicant as
the Secretary of State may by rule or  | 
 regulation prescribe.
 | 
  10. A statement that the applicant understands Chapter  | 
 1 through
Chapter 5 of this Code.
 | 
  11. A copy of the certification from the prelicensing  | 
 education
program.  | 
  12. The full name, address, and contact information of  | 
 each of the dealer's agents or legal representatives who  | 
 is an Illinois resident and liable for the performance of  | 
 | 
 the dealership.  | 
 (c) Any change which renders no longer accurate any  | 
information
contained in any application for a used vehicle  | 
dealer's license shall
be amended within 30 days after the  | 
occurrence of each change on such
form as the Secretary of  | 
State may prescribe by rule or regulation,
accompanied by an  | 
amendatory fee of $2.
 | 
 (d) Anything in this Chapter to the contrary  | 
notwithstanding, no
person shall be licensed as a used vehicle  | 
dealer unless such person
maintains an established place of  | 
business as
defined in this Chapter.
 | 
 (e) The Secretary of State shall, within a reasonable time  | 
after
receipt, examine an application submitted to him under  | 
this Section.
Unless the Secretary makes a determination that  | 
the application
submitted to him does not conform to this  | 
Section or that grounds exist
for a denial of the application  | 
under Section 5-501 of this Chapter, he
must grant the  | 
applicant an original used vehicle dealer's license in
writing  | 
for his established place of business and a supplemental  | 
license
in writing for each additional place of business in  | 
such form as he may
prescribe by rule or regulation which shall  | 
include the following:
 | 
  1. The name of the person licensed;
 | 
  2. If a corporation, the name and address of its  | 
 officers or if a
sole proprietorship, a partnership, an  | 
 unincorporated association or any
similar form of business  | 
 | 
 organization, the name and address of the
proprietor or of  | 
 each partner, member, officer, director, trustee, or
 | 
 manager;
 | 
  3. In case of an original license, the established  | 
 place of business
of the licensee;
 | 
  4. In the case of a supplemental license, the  | 
 established place of
business of the licensee and the  | 
 additional place of business to which such
supplemental  | 
 license pertains;
 | 
  5. The full name, address, and contact information of  | 
 each of the dealer's agents or legal representatives who  | 
 is an Illinois resident and liable for the performance of  | 
 the dealership.  | 
 (f) The appropriate instrument evidencing the license or a  | 
certified
copy thereof, provided by the Secretary of State  | 
shall be kept posted,
conspicuously, in the established place  | 
of business of the licensee and
in each additional place of  | 
business, if any, maintained by such
licensee.
 | 
 (g) Except as provided in subsection (h) of this Section,  | 
all used
vehicle dealer's licenses granted under this Section  | 
expire by operation
of law on December 31 of the calendar year  | 
for which they are granted
unless sooner revoked or cancelled  | 
under Section 5-501 of this Chapter.
 | 
 (h) A used vehicle dealer's license may be renewed upon  | 
application
and payment of the fee required herein, and  | 
submission of proof of
coverage by an approved bond under the  | 
 | 
"Retailers' Occupation Tax Act"
or proof that applicant is not  | 
subject to such bonding requirements, as
in the case of an  | 
original license, but in case an application for the
renewal  | 
of an effective license is made during the month of December,
 | 
the effective license shall remain in force until the  | 
application for
renewal is granted or denied by the Secretary  | 
of State.
 | 
 (i) All persons licensed as a used vehicle dealer are  | 
required to
furnish each purchaser of a motor vehicle:
 | 
  1. A certificate of title properly assigned to the  | 
 purchaser;
 | 
  2. A statement verified under oath that all  | 
 identifying numbers on
the vehicle agree with those on the  | 
 certificate of title;
 | 
  3. A bill of sale properly executed on behalf of such  | 
 person;
 | 
  4. A copy of the Uniform Invoice-transaction reporting  | 
 return
referred to in Section 5-402 of this Chapter;
 | 
  5. In the case of a rebuilt vehicle, a copy of the  | 
 Disclosure of Rebuilt
Vehicle Status; and
 | 
  6. In the case of a vehicle for which the warranty has  | 
 been reinstated, a
copy of the warranty.
 | 
 (j) A real estate broker holding a valid certificate of  | 
registration issued
pursuant to "The Real Estate Brokers and  | 
Salesmen License Act" may engage
in the business of selling or  | 
dealing in house trailers not his own without
being licensed  | 
 | 
as a used vehicle dealer under this Section; however such
 | 
broker shall maintain a record of the transaction including  | 
the following:
 | 
  (1) the name and address of the buyer and seller,
 | 
  (2) the date of sale,
 | 
  (3) a description of the mobile home, including the  | 
 vehicle identification
number, make, model, and year, and
 | 
  (4) the Illinois certificate of title number.
 | 
 The foregoing records shall be available for inspection by  | 
any officer
of the Secretary of State's Office at any  | 
reasonable hour.
 | 
 (k) Except at the time of sale or repossession of the  | 
vehicle, no
person licensed as a used vehicle dealer may issue  | 
any other person a newly
created key to a vehicle unless the  | 
used vehicle dealer makes a color photocopy or electronic scan  | 
of the
driver's license or State identification card of the  | 
person requesting or
obtaining the newly created key. The used  | 
vehicle dealer must retain the photocopy or scan
for 30 days.
 | 
 A used vehicle dealer who violates this subsection (k) is  | 
guilty of a
petty offense. Violation of this subsection (k) is  | 
not cause to suspend,
revoke, cancel, or deny renewal of the  | 
used vehicle dealer's license. | 
 (l) Used vehicle dealers licensed under this Section shall  | 
provide the Secretary of State a register for the sale at  | 
auction of each salvage or junk certificate vehicle. Each  | 
register shall include the following information: | 
 | 
  1. The year, make, model, style, and color of the  | 
 vehicle; | 
  2. The vehicle's manufacturer's identification number  | 
 or, if applicable, the Secretary of State or Illinois  | 
 State Police identification number; | 
  3. The date of acquisition of the vehicle; | 
  4. The name and address of the person from whom the  | 
 vehicle was acquired; | 
  5. The name and address of the person to whom any  | 
 vehicle was disposed, the person's Illinois license number  | 
 or if the person is an out-of-state salvage vehicle buyer,  | 
 the license number from the state or jurisdiction where  | 
 the buyer is licensed; and | 
  6. The purchase price of the vehicle. | 
 The register shall be submitted to the Secretary of State  | 
via written or electronic means within 10 calendar days from  | 
the date of the auction. 
 | 
 (m) If a licensee under this Section voluntarily  | 
surrenders a license to the Illinois Secretary of State Police  | 
or a representative of the Secretary of State Vehicle Services  | 
Department due to the licensee's inability to adhere to  | 
recordkeeping provisions, or the inability to properly issue  | 
certificates of title or registrations under this Code, or the  | 
Secretary revokes a license under this Section, then the  | 
licensee and the licensee's agent, designee, or legal  | 
representative, if applicable, may not be named on a new  | 
 | 
application for a licensee under this Section or under this  | 
Chapter, nor is the licensee or the licensee's agent,  | 
designee, or legal representative permitted to work for  | 
another licensee under this Chapter in a recordkeeping,  | 
management, or financial position or as an employee who  | 
handles certificate of title and registration documents and  | 
applications. | 
(Source: P.A. 101-505, eff. 1-1-20; 102-154, eff. 1-1-22;  | 
102-538, eff. 8-20-21; revised 10-15-21.)
 | 
 (625 ILCS 5/5-402.1) (from Ch. 95 1/2, par. 5-402.1)
 | 
 Sec. 5-402.1. Use of Secretary of State Uniform Invoice  | 
for Essential
Parts. | 
 (a) Except for scrap processors, every person licensed or  | 
required
to be licensed under Section 5-101, 5-101.1, 5-102,  | 
5-102.8, or 5-301 of this Code
shall
issue, in a form the  | 
Secretary of State may by rule or regulation
prescribe, a  | 
Uniform Invoice, which may also act as a bill of sale, with  | 
respect to each transaction in which he disposes of
an  | 
essential part other than quarter panels and transmissions of  | 
vehicles
of the first division. Such Invoice shall be made out  | 
at the time of the
disposition of the essential part. If the  | 
licensee disposes of several
essential parts in the same  | 
transaction, the licensee may issue one Uniform
Invoice  | 
covering all essential parts disposed of in that transaction.
 | 
 (b) The following information shall be contained on the  | 
 | 
Uniform Invoice:
 | 
  (1) the business name, address, and dealer license  | 
 number of the person
disposing of the essential part;
 | 
  (2) the name and address of the person acquiring the  | 
 essential part,
and if that person is a dealer, the  | 
 Illinois or out-of-state dealer license
number of that  | 
 dealer;
 | 
  (3) the date of the disposition of the essential part;
 | 
  (4) the year, make, model, color, and description of  | 
 each essential part
disposed of by the person;
 | 
  (5) the manufacturer's vehicle identification number,  | 
 Secretary of State
identification
number, or Illinois  | 
 State Police identification number,
for each essential
 | 
 part disposed of by the person;
 | 
  (6) the printed name and legible signature of the  | 
 person or agent disposing of the
essential part; and
 | 
  (7) if the person is a dealer the printed name and  | 
 legible
signature of the dealer or his agent or employee  | 
 accepting
delivery of
the essential part.
 | 
 (c) Except for scrap processors, and except as set forth  | 
in subsection
(d) of this Section, whenever a person licensed  | 
or
required to be licensed by Section
5-101, 5-101.1, 5-102,  | 
or 5-301 accepts delivery of an essential
part, other than  | 
quarter panels and transmissions of vehicles of the
first  | 
division, that person shall, at the time of the acceptance or
 | 
delivery, comply
with the following procedures:
 | 
 | 
  (1) Before acquiring or accepting delivery of any
 | 
 essential part, the licensee or
his authorized agent or  | 
 employee shall inspect the part to determine
whether the  | 
 vehicle identification number, Secretary of State
 | 
 identification number, Illinois State Police
 | 
 identification number, or identification plate or sticker  | 
 attached to or
stamped on any part being acquired or  | 
 delivered has been removed,
falsified, altered, defaced,  | 
 destroyed, or tampered with. If the licensee
or his agent  | 
 or employee determines that the vehicle identification  | 
 number,
Secretary of State identification number, Illinois  | 
 State
Police identification number, identification plate  | 
 or identification
sticker containing an identification  | 
 number, or Federal Certificate label
of an essential part  | 
 has been removed, falsified, altered, defaced,
destroyed,  | 
 or tampered with, the licensee or agent shall not accept  | 
 or receive
that part.
 | 
  If that part was physically acquired by or delivered  | 
 to a licensee or
his agent or employee while that  | 
 licensee, agent, or employee was outside
this State, that  | 
 licensee or agent or employee shall not bring that
 | 
 essential part into this State or cause it to be brought  | 
 into this State.
 | 
  (2) If the person disposing of or delivering the  | 
 essential part to
the licensee is a licensed in-state or  | 
 out-of-state dealer, the licensee or
his agent or  | 
 | 
 employee, after inspecting the essential part as required  | 
 by
paragraph (1) of this subsection (c), shall examine the  | 
 Uniform Invoice, or
bill of sale, as the case may be, to  | 
 ensure that it contains all the
information required to be  | 
 provided by persons disposing
of essential parts as set  | 
 forth in subsection (b) of this Section. If the
Uniform  | 
 Invoice or bill of sale does not contain all the  | 
 information
required to be listed by subsection (b) of  | 
 this Section, the dealer
disposing of or delivering such  | 
 part or his agent or employee shall record
such additional  | 
 information or other needed modifications on the Uniform
 | 
 Invoice or bill of sale or, if needed, an attachment  | 
 thereto. The dealer
or his agent or employee delivering  | 
 the essential part shall initial all
additions or  | 
 modifications to the Uniform Invoice or bill of sale and
 | 
 legibly print his name at the bottom of each document  | 
 containing his
initials. If the transaction involves a  | 
 bill of sale rather
than a Uniform Invoice, the licensee  | 
 or his agent or employee accepting
delivery of or  | 
 acquiring the essential part shall affix his printed name
 | 
 and legible signature on the space on the bill of sale  | 
 provided for his
signature or, if no space is provided, on  | 
 the back of the bill of sale.
If the dealer or his agent or
 | 
 employee disposing of or delivering the essential part  | 
 cannot or does
not provide all the information required by
 | 
 subsection (b) of this Section, the licensee or his agent  | 
 | 
 or employee shall
not accept or receive any essential part  | 
 for which that required
information is not provided. If  | 
 such essential part for which the
information required is  | 
 not fully provided was physically acquired while
the  | 
 licensee or his agent or employee was outside this State,  | 
 the licensee
or his agent or employee shall not bring that  | 
 essential part into this
State or cause it to be brought  | 
 into this State.
 | 
  (3) If the person disposing of the essential part is  | 
 not a licensed
dealer, the licensee or his agent or  | 
 employee shall, after inspecting the
essential part as  | 
 required by paragraph (1) of subsection (c) of this
 | 
 Section verify the identity of the person disposing of
the  | 
 essential part
by examining 2 sources of identification,  | 
 one of which shall be either a
driver's license or state  | 
 identification card. The licensee or his agent
or employee  | 
 shall then prepare a Uniform Invoice listing all the
 | 
 information required to be provided by subsection (b) of  | 
 this Section. In
the space on the Uniform Invoice provided  | 
 for the dealer license number of
the person disposing of  | 
 the part, the licensee or his agent or employee
shall list  | 
 the numbers taken from the documents of identification  | 
 provided
by the person disposing of the part. The person
 | 
 disposing of the part
shall affix his printed name and  | 
 legible signature on the space on the
Uniform Invoice  | 
 provided for the person disposing of the
essential part  | 
 | 
 and
the licensee or his agent or employee acquiring the  | 
 part shall affix his
printed name and legible signature on  | 
 the space provided on the Uniform
Invoice for the person  | 
 acquiring the essential part. If the person
disposing of  | 
 the essential part cannot or does not provide all the
 | 
 information required to be provided by this paragraph, or  | 
 does not present
2 satisfactory forms of identification,  | 
 the licensee or his agent or
employee shall not acquire  | 
 that essential part.
 | 
 (d) If an essential part other than quarter panels and
 | 
transmissions of vehicles of the first division was delivered  | 
by a licensed commercial
delivery service delivering such part  | 
on behalf of a licensed dealer, the
person required to comply  | 
with subsection (c) of this Section may conduct
the inspection  | 
of that part required by paragraph (1) of subsection (c) and  | 
examination
of the Uniform Invoice or bill of sale required by  | 
paragraph (2) of subsection (c) of
this Section immediately  | 
after the acceptance of the part.
 | 
  (1) If the inspection of the essential part pursuant  | 
 to paragraph (1) of subsection
(c) reveals that the  | 
 vehicle identification number, Secretary of State
 | 
 identification number, Illinois State Police  | 
 identification
number, identification plate or sticker  | 
 containing an identification
number, or Federal  | 
 Certificate label of an essential part has been removed,
 | 
 falsified, altered, defaced, destroyed, or tampered with,  | 
 | 
 the licensee or
his agent shall immediately record such  | 
 fact on the Uniform Invoice or bill
of sale, assign the  | 
 part an inventory or stock number, place such inventory
or  | 
 stock number on both the essential part and the Uniform  | 
 Invoice or bill
of sale, and record the date of the  | 
 inspection of the part on the Uniform
Invoice or bill of  | 
 sale.
The licensee shall, within 7 days of such  | 
 inspection, return such part to
the dealer from whom it  | 
 was acquired.
 | 
  (2) If the examination of the Uniform Invoice or bill  | 
 of sale pursuant
to paragraph (2) of subsection (c)  | 
 reveals that any of the information required to be
listed  | 
 by subsection (b) of this Section is missing, the licensee  | 
 or person
required to be licensed shall immediately assign  | 
 a stock or inventory
number to such part, place such stock  | 
 or inventory number on both the
essential part and the  | 
 Uniform Invoice or bill of sale, and record the date
of  | 
 examination on the Uniform Invoice or bill of sale. The  | 
 licensee or
person required to be licensed shall acquire  | 
 the information missing from
the Uniform Invoice or bill  | 
 of sale within 7 days of the examination of
such Uniform  | 
 Invoice or bill of sale. Such information may be received  | 
 by
telephone conversation with the dealer from whom the  | 
 part was acquired. If
the dealer provides the missing  | 
 information the licensee shall record such
information on  | 
 the Uniform Invoice or bill of sale along with the name of
 | 
 | 
 the person providing the information. If the dealer does  | 
 not provide the
required information within the  | 
 aforementioned 7-day 7 day period, the licensee
shall  | 
 return the part to that dealer.
 | 
 (e) Except for scrap processors, all persons licensed or  | 
required to
be licensed who acquire or
dispose of essential  | 
parts other than quarter panels and transmissions of
vehicles  | 
of the first division shall retain a copy of the Uniform  | 
Invoice
required to be made by subsections (a), (b), and (c) of  | 
this Section for a
period of 3 years.
 | 
 (f) Except for scrap processors, any person licensed or  | 
required to
be licensed under Section Sections 5-101,
5-102,  | 
or 5-301 who knowingly fails to record on a Uniform Invoice any  | 
of the
information or entries required to be recorded by  | 
subsections (a), (b), and
(c) of this Section, or who  | 
knowingly places false entries or other misleading
information  | 
on such Uniform Invoice, or who knowingly fails to retain for 3  | 
years a
copy of a Uniform Invoice reflecting transactions  | 
required to be recorded
by subsections (a), (b), and (c) of  | 
this Section, or who knowingly acquires or
disposes of  | 
essential parts without receiving, issuing, or executing a
 | 
Uniform Invoice reflecting that transaction as required by  | 
subsections (a),
(b), and (c) of this Section, or who brings or  | 
causes to be brought into
this State essential parts for which  | 
the information required to be
recorded on a Uniform Invoice  | 
is not recorded as prohibited by subsection
(c) of this  | 
 | 
Section, or who knowingly fails to comply with the provisions  | 
of
this
Section in any other manner shall be guilty of a Class  | 
2 felony. Each
violation shall constitute a separate and  | 
distinct offense and a separate
count may be brought in the  | 
same indictment or information for each
essential part for  | 
which a record was not kept as required by this Section
or for  | 
which the person failed to comply with other provisions of  | 
this
Section.
 | 
 (g) The records required to be kept by this Section
may be  | 
examined by a person or persons making a lawful
inspection of  | 
the licensee's premises pursuant to Section 5-403.
 | 
 (h) The records required to be kept by this Section shall  | 
be retained by
the licensee at his principal place of business  | 
for a period of 3 years.
 | 
 (i) The requirements of this Section shall not apply to  | 
the disposition
of an essential part other than a cowl which  | 
has been damaged or altered to
a state in which it can no  | 
longer be returned to a usable condition and
which is being  | 
sold or transferred to a scrap processor or for delivery to
a  | 
scrap processor.
 | 
(Source: P.A. 101-505, eff. 1-1-20; 102-318, eff. 1-1-22;  | 
102-538, eff. 8-20-21; revised 9-21-21.)
 | 
 (625 ILCS 5/6-106.1) (from Ch. 95 1/2, par. 6-106.1)
  | 
 Sec. 6-106.1. School bus driver permit.
 | 
 (a) The Secretary of State shall issue a school bus driver
 | 
 | 
permit to those applicants who have met all the requirements  | 
of the
application and screening process under this Section to  | 
insure the
welfare and safety of children who are transported  | 
on school buses
throughout the State of Illinois. Applicants  | 
shall obtain the
proper application required by the Secretary  | 
of State from their
prospective or current employer and submit  | 
the completed
application to the prospective or current  | 
employer along
with the necessary fingerprint submission as  | 
required by the Illinois
State Police to conduct fingerprint  | 
based criminal background
checks on current and future  | 
information available in the state
system and current  | 
information available through the Federal Bureau
of  | 
Investigation's system. Applicants who have completed the
 | 
fingerprinting requirements shall not be subjected to the
 | 
fingerprinting process when applying for subsequent permits or
 | 
submitting proof of successful completion of the annual  | 
refresher
course. Individuals who on July 1, 1995 (the  | 
effective date of Public Act 88-612) possess a valid
school  | 
bus driver permit that has been previously issued by the  | 
appropriate
Regional School Superintendent are not subject to  | 
the fingerprinting
provisions of this Section as long as the  | 
permit remains valid and does not
lapse. The applicant shall  | 
be required to pay all related
application and fingerprinting  | 
fees as established by rule
including, but not limited to, the  | 
amounts established by the Illinois
State Police and the  | 
Federal Bureau of Investigation to process
fingerprint based  | 
 | 
criminal background investigations. All fees paid for
 | 
fingerprint processing services under this Section shall be  | 
deposited into the
State Police Services Fund for the cost  | 
incurred in processing the fingerprint
based criminal  | 
background investigations. All other fees paid under this
 | 
Section shall be deposited into the Road
Fund for the purpose  | 
of defraying the costs of the Secretary of State in
 | 
administering this Section. All applicants must:
 | 
  1. be 21 years of age or older;
 | 
  2. possess a valid and properly classified driver's  | 
 license
issued by the Secretary of State;
 | 
  3. possess a valid driver's license, which has not  | 
 been
revoked, suspended, or canceled for 3 years  | 
 immediately prior to
the date of application, or have not  | 
 had his or her commercial motor vehicle
driving privileges
 | 
 disqualified within the 3 years immediately prior to the  | 
 date of application;
 | 
  4. successfully pass a written test, administered by  | 
 the
Secretary of State, on school bus operation, school  | 
 bus safety, and
special traffic laws relating to school  | 
 buses and submit to a review
of the applicant's driving  | 
 habits by the Secretary of State at the time the
written  | 
 test is given;
 | 
  5. demonstrate ability to exercise reasonable care in  | 
 the operation of
school buses in accordance with rules  | 
 promulgated by the Secretary of State;
 | 
 | 
  6. demonstrate physical fitness to operate school  | 
 buses by
submitting the results of a medical examination,  | 
 including tests for drug
use for each applicant not  | 
 subject to such testing pursuant to
federal law, conducted  | 
 by a licensed physician, a licensed advanced practice  | 
 registered nurse, or a licensed physician assistant
within  | 
 90 days of the date
of application according to standards  | 
 promulgated by the Secretary of State;
 | 
  7. affirm under penalties of perjury that he or she  | 
 has not made a
false statement or knowingly concealed a  | 
 material fact
in any application for permit;
 | 
  8. have completed an initial classroom course,  | 
 including first aid
procedures, in school bus driver  | 
 safety as promulgated by the Secretary of
State; and after  | 
 satisfactory completion of said initial course an annual
 | 
 refresher course; such courses and the agency or  | 
 organization conducting such
courses shall be approved by  | 
 the Secretary of State; failure to
complete the annual  | 
 refresher course, shall result in
cancellation of the  | 
 permit until such course is completed;
 | 
  9. not have been under an order of court supervision  | 
 for or convicted of 2 or more serious traffic offenses, as
 | 
 defined by rule, within one year prior to the date of  | 
 application that may
endanger the life or safety of any of  | 
 the driver's passengers within the
duration of the permit  | 
 period;
 | 
 | 
  10. not have been under an order of court supervision  | 
 for or convicted of reckless driving, aggravated reckless  | 
 driving, driving while under the influence of alcohol,  | 
 other drug or drugs, intoxicating compound or compounds or  | 
 any combination thereof, or reckless homicide resulting  | 
 from the operation of a motor
vehicle within 3 years of the  | 
 date of application;
 | 
  11. not have been convicted of committing or  | 
 attempting
to commit any
one or more of the following  | 
 offenses: (i) those offenses defined in
Sections 8-1,  | 
 8-1.2, 9-1, 9-1.2, 9-2, 9-2.1, 9-3, 9-3.2, 9-3.3, 10-1,  | 
 10-2, 10-3.1,
10-4,
10-5, 10-5.1, 10-6, 10-7, 10-9,  | 
 11-1.20, 11-1.30, 11-1.40, 11-1.50, 11-1.60, 11-6, 11-6.5,  | 
 11-6.6,
11-9, 11-9.1, 11-9.1A, 11-9.3, 11-9.4, 11-9.4-1,  | 
 11-14, 11-14.1, 11-14.3, 11-14.4, 11-15, 11-15.1, 11-16,  | 
 11-17, 11-17.1, 11-18, 11-18.1, 11-19, 11-19.1,
11-19.2,
 | 
 11-20, 11-20.1, 11-20.1B, 11-20.3, 11-21, 11-22, 11-23,  | 
 11-24, 11-25, 11-26, 11-30, 12-2.6, 12-3.05, 12-3.1,  | 
 12-3.3, 12-4, 12-4.1, 12-4.2, 12-4.2-5, 12-4.3, 12-4.4,
 | 
 12-4.5, 12-4.6, 12-4.7, 12-4.9,
12-5.3, 12-6, 12-6.2,  | 
 12-7.1, 12-7.3, 12-7.4, 12-7.5, 12-11,
12-13, 12-14,  | 
 12-14.1, 12-15, 12-16, 12-21.5, 12-21.6, 12-33, 12C-5,  | 
 12C-10, 12C-20, 12C-30, 12C-45, 16-16, 16-16.1,
18-1,
 | 
 18-2,
18-3, 18-4, 18-5, 19-6,
20-1, 20-1.1, 20-1.2,  | 
 20-1.3, 20-2, 24-1, 24-1.1, 24-1.2, 24-1.2-5, 24-1.6,  | 
 24-1.7, 24-2.1, 24-3.3, 24-3.5, 24-3.8, 24-3.9, 31A-1.1,
 | 
 | 
 33A-2, and 33D-1, in subsection (A), clauses (a) and (b),  | 
 of Section 24-3, and those offenses contained in Article  | 
 29D of the Criminal Code of 1961 or the Criminal Code of  | 
 2012; (ii) those offenses defined in the
Cannabis Control  | 
 Act except those offenses defined in subsections (a) and
 | 
 (b) of Section 4, and subsection (a) of Section 5 of the  | 
 Cannabis Control
Act; (iii) those offenses defined in the  | 
 Illinois Controlled Substances
Act; (iv) those offenses  | 
 defined in the Methamphetamine Control and Community  | 
 Protection Act; and (v) any offense committed or attempted  | 
 in any other state or against
the laws of the United  | 
 States, which if committed or attempted in this
State  | 
 would be punishable as one or more of the foregoing  | 
 offenses; (vi)
the offenses defined in Section 4.1 and 5.1  | 
 of the Wrongs to Children Act or Section 11-9.1A of the  | 
 Criminal Code of 1961 or the Criminal Code of 2012; (vii)  | 
 those offenses defined in Section 6-16 of the Liquor  | 
 Control Act of
1934;
and (viii) those offenses defined in  | 
 the Methamphetamine Precursor Control Act;
 | 
  12. not have been repeatedly involved as a driver in  | 
 motor vehicle
collisions or been repeatedly convicted of  | 
 offenses against
laws and ordinances regulating the  | 
 movement of traffic, to a degree which
indicates lack of  | 
 ability to exercise ordinary and reasonable care in the
 | 
 safe operation of a motor vehicle or disrespect for the  | 
 traffic laws and
the safety of other persons upon the  | 
 | 
 highway;
 | 
  13. not have, through the unlawful operation of a  | 
 motor
vehicle, caused an accident resulting in the death  | 
 of any person;
 | 
  14. not have, within the last 5 years, been adjudged  | 
 to be
afflicted with or suffering from any mental  | 
 disability or disease;
 | 
  15. consent, in writing, to the release of results of  | 
 reasonable suspicion drug and alcohol testing under  | 
 Section 6-106.1c of this Code by the employer of the  | 
 applicant to the Secretary of State; and | 
  16. not have been convicted of committing or  | 
 attempting to commit within the last 20 years: (i) an  | 
 offense defined in subsection (c) of Section 4, subsection  | 
 (b) of Section 5, and subsection (a) of Section 8 of the  | 
 Cannabis Control Act; or (ii) any offenses in any other  | 
 state or against the laws of the United States that, if  | 
 committed or attempted in this State, would be punishable  | 
 as one or more of the foregoing offenses.  | 
 (b) A school bus driver permit shall be valid for a period  | 
specified by
the Secretary of State as set forth by rule. It  | 
shall be renewable upon compliance with subsection (a) of this
 | 
Section.
 | 
 (c) A school bus driver permit shall contain the holder's  | 
driver's
license number, legal name, residence address, zip  | 
code, and date
of birth, a brief description of the holder and  | 
 | 
a space for signature. The
Secretary of State may require a  | 
suitable photograph of the holder.
 | 
 (d) The employer shall be responsible for conducting a  | 
pre-employment
interview with prospective school bus driver  | 
candidates, distributing school
bus driver applications and  | 
medical forms to be completed by the applicant, and
submitting  | 
the applicant's fingerprint cards to the Illinois State Police
 | 
that are required for the criminal background investigations.  | 
The employer
shall certify in writing to the Secretary of  | 
State that all pre-employment
conditions have been  | 
successfully completed including the successful completion
of  | 
an Illinois specific criminal background investigation through  | 
the Illinois
State Police and the submission of necessary
 | 
fingerprints to the Federal Bureau of Investigation for  | 
criminal
history information available through the Federal  | 
Bureau of
Investigation system. The applicant shall present  | 
the
certification to the Secretary of State at the time of  | 
submitting
the school bus driver permit application.
 | 
 (e) Permits shall initially be provisional upon receiving
 | 
certification from the employer that all pre-employment  | 
conditions
have been successfully completed, and upon  | 
successful completion of
all training and examination  | 
requirements for the classification of
the vehicle to be  | 
operated, the Secretary of State shall
provisionally issue a  | 
School Bus Driver Permit. The permit shall
remain in a  | 
provisional status pending the completion of the
Federal  | 
 | 
Bureau of Investigation's criminal background investigation  | 
based
upon fingerprinting specimens submitted to the Federal  | 
Bureau of
Investigation by the Illinois State Police. The  | 
Federal Bureau of
Investigation shall report the findings  | 
directly to the Secretary
of State. The Secretary of State  | 
shall remove the bus driver
permit from provisional status  | 
upon the applicant's successful
completion of the Federal  | 
Bureau of Investigation's criminal
background investigation.
 | 
 (f) A school bus driver permit holder shall notify the
 | 
employer and the Secretary of State if he or she is issued an  | 
order of court supervision for or convicted in
another state  | 
of an offense that would make him or her ineligible
for a  | 
permit under subsection (a) of this Section. The
written  | 
notification shall be made within 5 days of the entry of
the  | 
order of court supervision or conviction. Failure of the  | 
permit holder to provide the
notification is punishable as a  | 
petty
offense for a first violation and a Class B misdemeanor  | 
for a
second or subsequent violation.
 | 
 (g) Cancellation; suspension; notice and procedure.
 | 
  (1) The Secretary of State shall cancel a school bus
 | 
 driver permit of an applicant whose criminal background  | 
 investigation
discloses that he or she is not in  | 
 compliance with the provisions of subsection
(a) of this  | 
 Section.
 | 
  (2) The Secretary of State shall cancel a school
bus  | 
 driver permit when he or she receives notice that the  | 
 | 
 permit holder fails
to comply with any provision of this  | 
 Section or any rule promulgated for the
administration of  | 
 this Section.
 | 
  (3) The Secretary of State shall cancel a school bus
 | 
 driver permit if the permit holder's restricted commercial  | 
 or
commercial driving privileges are withdrawn or  | 
 otherwise
invalidated.
 | 
  (4) The Secretary of State may not issue a school bus
 | 
 driver permit for a period of 3 years to an applicant who  | 
 fails to
obtain a negative result on a drug test as  | 
 required in item 6 of
subsection (a) of this Section or  | 
 under federal law.
 | 
  (5) The Secretary of State shall forthwith suspend
a  | 
 school bus driver permit for a period of 3 years upon  | 
 receiving
notice that the holder has failed to obtain a  | 
 negative result on a
drug test as required in item 6 of  | 
 subsection (a) of this Section
or under federal law.
 | 
  (6) The Secretary of State shall suspend a school bus  | 
 driver permit for a period of 3 years upon receiving  | 
 notice from the employer that the holder failed to perform  | 
 the inspection procedure set forth in subsection (a) or  | 
 (b) of Section 12-816 of this Code.  | 
  (7) The Secretary of State shall suspend a school bus  | 
 driver permit for a period of 3 years upon receiving  | 
 notice from the employer that the holder refused to submit  | 
 to an alcohol or drug test as required by Section 6-106.1c  | 
 | 
 or has submitted to a test required by that Section which  | 
 disclosed an alcohol concentration of more than 0.00 or  | 
 disclosed a positive result on a National Institute on  | 
 Drug Abuse five-drug panel, utilizing federal standards  | 
 set forth in 49 CFR 40.87.  | 
 The Secretary of State shall notify the State  | 
Superintendent
of Education and the permit holder's  | 
prospective or current
employer that the applicant has (1) has  | 
failed a criminal
background investigation or (2) is no
longer  | 
eligible for a school bus driver permit; and of the related
 | 
cancellation of the applicant's provisional school bus driver  | 
permit. The
cancellation shall remain in effect pending the  | 
outcome of a
hearing pursuant to Section 2-118 of this Code.  | 
The scope of the
hearing shall be limited to the issuance  | 
criteria contained in
subsection (a) of this Section. A  | 
petition requesting a
hearing shall be submitted to the  | 
Secretary of State and shall
contain the reason the individual  | 
feels he or she is entitled to a
school bus driver permit. The  | 
permit holder's
employer shall notify in writing to the  | 
Secretary of State
that the employer has certified the removal  | 
of the offending school
bus driver from service prior to the  | 
start of that school bus
driver's next workshift. An employing  | 
school board that fails to
remove the offending school bus  | 
driver from service is
subject to the penalties defined in  | 
Section 3-14.23 of the School Code. A
school bus
contractor  | 
who violates a provision of this Section is
subject to the  | 
 | 
penalties defined in Section 6-106.11.
 | 
 All valid school bus driver permits issued under this  | 
Section
prior to January 1, 1995, shall remain effective until  | 
their
expiration date unless otherwise invalidated.
 | 
 (h) When a school bus driver permit holder who is a service  | 
member is called to active duty, the employer of the permit  | 
holder shall notify the Secretary of State, within 30 days of  | 
notification from the permit holder, that the permit holder  | 
has been called to active duty. Upon notification pursuant to  | 
this subsection, (i) the Secretary of State shall characterize  | 
the permit as inactive until a permit holder renews the permit  | 
as provided in subsection (i) of this Section, and (ii) if a  | 
permit holder fails to comply with the requirements of this  | 
Section while called to active duty, the Secretary of State  | 
shall not characterize the permit as invalid.  | 
 (i) A school bus driver permit holder who is a service  | 
member returning from active duty must, within 90 days, renew  | 
a permit characterized as inactive pursuant to subsection (h)  | 
of this Section by complying with the renewal requirements of  | 
subsection (b) of this Section.  | 
 (j) For purposes of subsections (h) and (i) of this  | 
Section:  | 
 "Active duty" means active duty pursuant to an executive  | 
order of the President of the United States, an act of the  | 
Congress of the United States, or an order of the Governor.  | 
 "Service member" means a member of the Armed Services or  | 
 | 
reserve forces of the United States or a member of the Illinois  | 
National Guard.  | 
 (k) A private carrier employer of a school bus driver  | 
permit holder, having satisfied the employer requirements of  | 
this Section, shall be held to a standard of ordinary care for  | 
intentional acts committed in the course of employment by the  | 
bus driver permit holder. This subsection (k) shall in no way  | 
limit the liability of the private carrier employer for  | 
violation of any provision of this Section or for the  | 
negligent hiring or retention of a school bus driver permit  | 
holder.  | 
(Source: P.A. 101-458, eff. 1-1-20; 102-168, eff. 7-27-21;  | 
102-299, eff. 8-6-21; 102-538, eff. 8-20-21; revised  | 
10-13-21.)
 | 
 (625 ILCS 5/6-107.5) | 
 Sec. 6-107.5. Adult Driver Education Course. | 
 (a) The Secretary shall establish by rule the curriculum  | 
and designate the materials to be used in an adult driver  | 
education course. The course shall be at least 6 hours in  | 
length and shall include instruction on traffic laws; highway  | 
signs, signals, and markings that regulate, warn, or direct  | 
traffic; issues commonly associated with motor vehicle  | 
accidents including poor decision-making, risk taking,  | 
impaired driving, distraction, speed, failure to use a safety  | 
belt, driving at night, failure to yield the right-of-way,  | 
 | 
texting while driving, using wireless communication devices,  | 
and alcohol and drug awareness; and instruction on law  | 
enforcement procedures during traffic stops, including actions  | 
that a motorist should take during a traffic stop and  | 
appropriate interactions with law enforcement officers. The  | 
curriculum shall not require the operation of a motor vehicle. | 
 (b) The Secretary shall certify course providers. The  | 
requirements to be a certified course provider, the process  | 
for applying for certification, and the procedure for  | 
decertifying a course provider shall be established by rule. | 
 (b-5) In order to qualify for certification as an adult  | 
driver education course provider, each applicant must  | 
authorize an investigation that includes a fingerprint-based  | 
background check to determine if the applicant has ever been  | 
convicted of a criminal offense and, if so, the disposition of  | 
any conviction. This authorization shall indicate the scope of  | 
the inquiry and the agencies that may be contacted. Upon  | 
receiving this authorization, the Secretary of State may  | 
request and receive information and assistance from any  | 
federal, State, or local governmental agency as part of the  | 
authorized investigation. Each applicant shall submit his or  | 
her fingerprints to the Illinois State Police in the form and  | 
manner prescribed by the Illinois State Police. These  | 
fingerprints shall be checked against fingerprint records now  | 
and hereafter filed in the Illinois State Police and Federal  | 
Bureau of Investigation criminal history record databases. The  | 
 | 
Illinois State Police shall charge applicants a fee for  | 
conducting the criminal history record check, which shall be  | 
deposited into the State Police Services Fund and shall not  | 
exceed the actual cost of the State and national criminal  | 
history record check. The Illinois State Police shall furnish,  | 
pursuant to positive identification, records of Illinois  | 
criminal convictions to the Secretary and shall forward the  | 
national criminal history record information to the Secretary.  | 
Applicants shall pay any other fingerprint-related fees.  | 
Unless otherwise prohibited by law, the information derived  | 
from the investigation, including the source of the  | 
information and any conclusions or recommendations derived  | 
from the information by the Secretary of State, shall be  | 
provided to the applicant upon request to the Secretary of  | 
State prior to any final action by the Secretary of State on  | 
the application. Any criminal conviction information obtained  | 
by the Secretary of State shall be confidential and may not be  | 
transmitted outside the Office of the Secretary of State,  | 
except as required by this subsection (b-5), and may not be  | 
transmitted to anyone within the Office of the Secretary of  | 
State except as needed for the purpose of evaluating the  | 
applicant. At any administrative hearing held under Section  | 
2-118 of this Code relating to the denial, cancellation,  | 
suspension, or revocation of certification of an adult driver  | 
education course provider, the Secretary of State may utilize  | 
at that hearing any criminal history, criminal conviction, and  | 
 | 
disposition information obtained under this subsection (b-5).  | 
The information obtained from the investigation may be  | 
maintained by the Secretary of State or any agency to which the  | 
information was transmitted. Only information and standards  | 
which bear a reasonable and rational relation to the  | 
performance of providing adult driver education shall be used  | 
by the Secretary of State. Any employee of the Secretary of  | 
State who gives or causes to be given away any confidential  | 
information concerning any criminal convictions or disposition  | 
of criminal convictions of an applicant shall be guilty of a  | 
Class A misdemeanor unless release of the information is  | 
authorized by this Section.  | 
 (c) The Secretary may permit a course provider to offer  | 
the course online, if the Secretary is satisfied the course  | 
provider has established adequate procedures for verifying: | 
  (1) the identity of the person taking the course  | 
 online; and | 
  (2) the person completes the entire course. | 
 (d) The Secretary shall establish a method of electronic  | 
verification of a student's successful completion of the  | 
course. | 
 (e) The fee charged by the course provider must bear a  | 
reasonable relationship to the cost of the course. The  | 
Secretary shall post on the Secretary of State's website a  | 
list of approved course providers, the fees charged by the  | 
providers, and contact information for each provider.  | 
 | 
 (f) In addition to any other fee charged by the course  | 
provider, the course provider shall collect a fee of $5 from  | 
each student to offset the costs incurred by the Secretary in  | 
administering this program. The $5 shall be submitted to the  | 
Secretary within 14 days of the day on which it was collected.  | 
All such fees received by the Secretary shall be deposited in  | 
the Secretary of State Driver Services Administration Fund.
 | 
(Source: P.A. 102-455, eff. 1-1-22; 102-538, eff. 8-20-21;  | 
revised 10-12-21.)
 | 
 (625 ILCS 5/6-206)
 | 
 Sec. 6-206. Discretionary authority to suspend or revoke  | 
license or
permit; right to a hearing.
 | 
 (a) The Secretary of State is authorized to suspend or  | 
revoke the
driving privileges of any person without  | 
preliminary hearing upon a showing
of the person's records or  | 
other sufficient evidence that
the person:
 | 
  1. Has committed an offense for which mandatory  | 
 revocation of
a driver's license or permit is required  | 
 upon conviction;
 | 
  2. Has been convicted of not less than 3 offenses  | 
 against traffic
regulations governing the movement of  | 
 vehicles committed within any 12-month period. No  | 
 revocation or suspension shall be entered more than
6  | 
 months after the date of last conviction;
 | 
  3. Has been repeatedly involved as a driver in motor  | 
 | 
 vehicle
collisions or has been repeatedly convicted of  | 
 offenses against laws and
ordinances regulating the  | 
 movement of traffic, to a degree that
indicates lack of  | 
 ability to exercise ordinary and reasonable care in
the  | 
 safe operation of a motor vehicle or disrespect for the  | 
 traffic laws
and the safety of other persons upon the  | 
 highway;
 | 
  4. Has by the unlawful operation of a motor vehicle  | 
 caused or
contributed to an accident resulting in injury  | 
 requiring
immediate professional treatment in a medical  | 
 facility or doctor's office
to any person, except that any  | 
 suspension or revocation imposed by the
Secretary of State  | 
 under the provisions of this subsection shall start no
 | 
 later than 6 months after being convicted of violating a  | 
 law or
ordinance regulating the movement of traffic, which  | 
 violation is related
to the accident, or shall start not  | 
 more than one year
after
the date of the accident,  | 
 whichever date occurs later;
 | 
  5. Has permitted an unlawful or fraudulent use of a  | 
 driver's
license, identification card, or permit;
 | 
  6. Has been lawfully convicted of an offense or  | 
 offenses in another
state, including the authorization  | 
 contained in Section 6-203.1, which
if committed within  | 
 this State would be grounds for suspension or revocation;
 | 
  7. Has refused or failed to submit to an examination  | 
 provided for by
Section 6-207 or has failed to pass the  | 
 | 
 examination;
 | 
  8. Is ineligible for a driver's license or permit  | 
 under the provisions
of Section 6-103;
 | 
  9. Has made a false statement or knowingly concealed a  | 
 material fact
or has used false information or  | 
 identification in any application for a
license,  | 
 identification card, or permit;
 | 
  10. Has possessed, displayed, or attempted to  | 
 fraudulently use any
license, identification card, or  | 
 permit not issued to the person;
 | 
  11. Has operated a motor vehicle upon a highway of  | 
 this State when
the person's driving privilege or  | 
 privilege to obtain a driver's license
or permit was  | 
 revoked or suspended unless the operation was authorized  | 
 by
a monitoring device driving permit, judicial driving  | 
 permit issued prior to January 1, 2009, probationary  | 
 license to drive, or restricted
driving permit issued  | 
 under this Code;
 | 
  12. Has submitted to any portion of the application  | 
 process for
another person or has obtained the services of  | 
 another person to submit to
any portion of the application  | 
 process for the purpose of obtaining a
license,  | 
 identification card, or permit for some other person;
 | 
  13. Has operated a motor vehicle upon a highway of  | 
 this State when
the person's driver's license or permit  | 
 was invalid under the provisions of
Sections 6-107.1 and
 | 
 | 
 6-110;
 | 
  14. Has committed a violation of Section 6-301,  | 
 6-301.1, or 6-301.2
of this Code, or Section 14, 14A, or  | 
 14B of the Illinois Identification Card
Act;
 | 
  15. Has been convicted of violating Section 21-2 of  | 
 the Criminal Code
of 1961 or the Criminal Code of 2012  | 
 relating to criminal trespass to vehicles if the person  | 
 exercised actual physical control over the vehicle during  | 
 the commission of the offense, in which case the  | 
 suspension
shall be for one year;
 | 
  16. Has been convicted of violating Section 11-204 of  | 
 this Code relating
to fleeing from a peace officer;
 | 
  17. Has refused to submit to a test, or tests, as  | 
 required under Section
11-501.1 of this Code and the  | 
 person has not sought a hearing as
provided for in Section  | 
 11-501.1;
 | 
  18. (Blank);
 | 
  19. Has committed a violation of paragraph (a) or (b)  | 
 of Section 6-101
relating to driving without a driver's  | 
 license;
 | 
  20. Has been convicted of violating Section 6-104  | 
 relating to
classification of driver's license;
 | 
  21. Has been convicted of violating Section 11-402 of
 | 
 this Code relating to leaving the scene of an accident  | 
 resulting in damage
to a vehicle in excess of $1,000, in  | 
 which case the suspension shall be
for one year;
 | 
 | 
  22. Has used a motor vehicle in violating paragraph  | 
 (3), (4), (7), or
(9) of subsection (a) of Section 24-1 of  | 
 the Criminal Code of 1961 or the Criminal Code of 2012  | 
 relating
to unlawful use of weapons, in which case the  | 
 suspension shall be for one
year;
 | 
  23. Has, as a driver, been convicted of committing a  | 
 violation of
paragraph (a) of Section 11-502 of this Code  | 
 for a second or subsequent
time within one year of a  | 
 similar violation;
 | 
  24. Has been convicted by a court-martial or punished  | 
 by non-judicial
punishment by military authorities of the  | 
 United States at a military
installation in Illinois or in  | 
 another state of or for a traffic-related offense that is  | 
 the
same as or similar to an offense specified under  | 
 Section 6-205 or 6-206 of
this Code;
 | 
  25. Has permitted any form of identification to be  | 
 used by another in
the application process in order to  | 
 obtain or attempt to obtain a license,
identification  | 
 card, or permit;
 | 
  26. Has altered or attempted to alter a license or has  | 
 possessed an
altered license, identification card, or  | 
 permit;
 | 
  27. (Blank);
 | 
  28. Has been convicted for a first time of the illegal  | 
 possession, while operating or
in actual physical control,  | 
 as a driver, of a motor vehicle, of any
controlled  | 
 | 
 substance prohibited under the Illinois Controlled  | 
 Substances
Act, any cannabis prohibited under the Cannabis  | 
 Control
Act, or any methamphetamine prohibited under the  | 
 Methamphetamine Control and Community Protection Act, in  | 
 which case the person's driving privileges shall be  | 
 suspended for
one year.
Any defendant found guilty of this  | 
 offense while operating a motor vehicle
shall have an  | 
 entry made in the court record by the presiding judge that
 | 
 this offense did occur while the defendant was operating a  | 
 motor vehicle
and order the clerk of the court to report  | 
 the violation to the Secretary
of State;
 | 
  29. Has been convicted of the following offenses that  | 
 were committed
while the person was operating or in actual  | 
 physical control, as a driver,
of a motor vehicle:  | 
 criminal sexual assault,
predatory criminal sexual assault  | 
 of a child,
aggravated criminal sexual
assault, criminal  | 
 sexual abuse, aggravated criminal sexual abuse, juvenile
 | 
 pimping, soliciting for a juvenile prostitute, promoting  | 
 juvenile prostitution as described in subdivision (a)(1),  | 
 (a)(2), or (a)(3) of Section 11-14.4 of the Criminal Code  | 
 of 1961 or the Criminal Code of 2012, and the manufacture,  | 
 sale or
delivery of controlled substances or instruments  | 
 used for illegal drug use
or abuse in which case the  | 
 driver's driving privileges shall be suspended
for one  | 
 year;
 | 
  30. Has been convicted a second or subsequent time for  | 
 | 
 any
combination of the offenses named in paragraph 29 of  | 
 this subsection,
in which case the person's driving  | 
 privileges shall be suspended for 5
years;
 | 
  31. Has refused to submit to a test as
required by  | 
 Section 11-501.6 of this Code or Section 5-16c of the Boat  | 
 Registration and Safety Act or has submitted to a test  | 
 resulting in
an alcohol concentration of 0.08 or more or  | 
 any amount of a drug, substance, or
compound resulting  | 
 from the unlawful use or consumption of cannabis as listed
 | 
 in the Cannabis Control Act, a controlled substance as  | 
 listed in the Illinois
Controlled Substances Act, an  | 
 intoxicating compound as listed in the Use of
Intoxicating  | 
 Compounds Act, or methamphetamine as listed in the  | 
 Methamphetamine Control and Community Protection Act, in  | 
 which case the penalty shall be
as prescribed in Section  | 
 6-208.1;
 | 
  32. Has been convicted of Section 24-1.2 of the  | 
 Criminal Code of
1961 or the Criminal Code of 2012  | 
 relating to the aggravated discharge of a firearm if the  | 
 offender was
located in a motor vehicle at the time the  | 
 firearm was discharged, in which
case the suspension shall  | 
 be for 3 years;
 | 
  33. Has as a driver, who was less than 21 years of age  | 
 on the date of
the offense, been convicted a first time of  | 
 a violation of paragraph (a) of
Section 11-502 of this  | 
 Code or a similar provision of a local ordinance;
 | 
 | 
  34. Has committed a violation of Section 11-1301.5 of  | 
 this Code or a similar provision of a local ordinance;
 | 
  35. Has committed a violation of Section 11-1301.6 of  | 
 this Code or a similar provision of a local ordinance;
 | 
  36. Is under the age of 21 years at the time of arrest  | 
 and has been
convicted of not less than 2 offenses against  | 
 traffic regulations governing
the movement of vehicles  | 
 committed within any 24-month period. No revocation
or  | 
 suspension shall be entered more than 6 months after the  | 
 date of last
conviction;
 | 
  37. Has committed a violation of subsection (c) of  | 
 Section 11-907 of this
Code that resulted in damage to the  | 
 property of another or the death or injury of another;
 | 
  38. Has been convicted of a violation of Section 6-20  | 
 of the Liquor
Control Act of 1934 or a similar provision of  | 
 a local ordinance and the person was an occupant of a motor  | 
 vehicle at the time of the violation;
 | 
  39. Has committed a second or subsequent violation of  | 
 Section
11-1201 of this Code;
 | 
  40. Has committed a violation of subsection (a-1) of  | 
 Section 11-908 of
this Code; | 
  41. Has committed a second or subsequent violation of  | 
 Section 11-605.1 of this Code, a similar provision of a  | 
 local ordinance, or a similar violation in any other state  | 
 within 2 years of the date of the previous violation, in  | 
 which case the suspension shall be for 90 days; | 
 | 
  42. Has committed a violation of subsection (a-1) of  | 
 Section 11-1301.3 of this Code or a similar provision of a  | 
 local ordinance;
 | 
  43. Has received a disposition of court supervision  | 
 for a violation of subsection (a), (d), or (e) of Section  | 
 6-20 of the Liquor
Control Act of 1934 or a similar  | 
 provision of a local ordinance and the person was an  | 
 occupant of a motor vehicle at the time of the violation,  | 
 in which case the suspension shall be for a period of 3  | 
 months;
 | 
  44.
Is under the age of 21 years at the time of arrest  | 
 and has been convicted of an offense against traffic  | 
 regulations governing the movement of vehicles after  | 
 having previously had his or her driving privileges
 | 
 suspended or revoked pursuant to subparagraph 36 of this  | 
 Section; | 
  45.
Has, in connection with or during the course of a  | 
 formal hearing conducted under Section 2-118 of this Code:  | 
 (i) committed perjury; (ii) submitted fraudulent or  | 
 falsified documents; (iii) submitted documents that have  | 
 been materially altered; or (iv) submitted, as his or her  | 
 own, documents that were in fact prepared or composed for  | 
 another person; | 
  46. Has committed a violation of subsection (j) of  | 
 Section 3-413 of this Code;
 | 
  47. Has committed a violation of subsection (a) of  | 
 | 
 Section 11-502.1 of this Code;  | 
  48. Has submitted a falsified or altered medical  | 
 examiner's certificate to the Secretary of State or  | 
 provided false information to obtain a medical examiner's  | 
 certificate;  | 
  49. Has been convicted of a violation of Section  | 
 11-1002 or 11-1002.5 that resulted in a Type A injury to  | 
 another, in which case the driving privileges of the  | 
 person shall be suspended for 12 months; or  | 
  50. Has committed a violation of subsection (b-5) of  | 
 Section 12-610.2 that resulted in great bodily harm,  | 
 permanent disability, or disfigurement, in which case the  | 
 driving privileges of the person shall be suspended for 12  | 
 months.; or 50 | 
 For purposes of paragraphs 5, 9, 10, 12, 14, 19, 25, 26,  | 
and 27 of this
subsection, license means any driver's license,  | 
any traffic ticket issued when
the person's driver's license  | 
is deposited in lieu of bail, a suspension
notice issued by the  | 
Secretary of State, a duplicate or corrected driver's
license,  | 
a probationary driver's license, or a temporary driver's  | 
license. | 
 (b) If any conviction forming the basis of a suspension or
 | 
revocation authorized under this Section is appealed, the
 | 
Secretary of State may rescind or withhold the entry of the  | 
order of suspension
or revocation, as the case may be,  | 
provided that a certified copy of a stay
order of a court is  | 
 | 
filed with the Secretary of State. If the conviction is
 | 
affirmed on appeal, the date of the conviction shall relate  | 
back to the time
the original judgment of conviction was  | 
entered and the 6-month limitation
prescribed shall not apply.
 | 
 (c) 1. Upon suspending or revoking the driver's license or  | 
permit of
any person as authorized in this Section, the  | 
Secretary of State shall
immediately notify the person in  | 
writing of the revocation or suspension.
The notice to be  | 
deposited in the United States mail, postage prepaid,
to the  | 
last known address of the person.
 | 
 2. If the Secretary of State suspends the driver's license
 | 
of a person under subsection 2 of paragraph (a) of this  | 
Section, a
person's privilege to operate a vehicle as an  | 
occupation shall not be
suspended, provided an affidavit is  | 
properly completed, the appropriate fee
received, and a permit  | 
issued prior to the effective date of the
suspension, unless 5  | 
offenses were committed, at least 2 of which occurred
while  | 
operating a commercial vehicle in connection with the driver's
 | 
regular occupation. All other driving privileges shall be  | 
suspended by the
Secretary of State. Any driver prior to  | 
operating a vehicle for
occupational purposes only must submit  | 
the affidavit on forms to be
provided by the Secretary of State  | 
setting forth the facts of the person's
occupation. The  | 
affidavit shall also state the number of offenses
committed  | 
while operating a vehicle in connection with the driver's  | 
regular
occupation. The affidavit shall be accompanied by the  | 
 | 
driver's license.
Upon receipt of a properly completed  | 
affidavit, the Secretary of State
shall issue the driver a  | 
permit to operate a vehicle in connection with the
driver's  | 
regular occupation only. Unless the permit is issued by the
 | 
Secretary of State prior to the date of suspension, the  | 
privilege to drive
any motor vehicle shall be suspended as set  | 
forth in the notice that was
mailed under this Section. If an  | 
affidavit is received subsequent to the
effective date of this  | 
suspension, a permit may be issued for the remainder
of the  | 
suspension period.
 | 
 The provisions of this subparagraph shall not apply to any  | 
driver
required to possess a CDL for the purpose of operating a  | 
commercial motor vehicle.
 | 
 Any person who falsely states any fact in the affidavit  | 
required
herein shall be guilty of perjury under Section 6-302  | 
and upon conviction
thereof shall have all driving privileges  | 
revoked without further rights.
 | 
 3. At the conclusion of a hearing under Section 2-118 of  | 
this Code,
the Secretary of State shall either rescind or  | 
continue an order of
revocation or shall substitute an order  | 
of suspension; or, good
cause appearing therefor, rescind,  | 
continue, change, or extend the
order of suspension. If the  | 
Secretary of State does not rescind the order,
the Secretary  | 
may upon application,
to relieve undue hardship (as defined by  | 
the rules of the Secretary of State), issue
a restricted  | 
driving permit granting the privilege of driving a motor
 | 
 | 
vehicle between the petitioner's residence and petitioner's  | 
place of
employment or within the scope of the petitioner's  | 
employment-related duties, or to
allow the petitioner to  | 
transport himself or herself, or a family member of the
 | 
petitioner's household to a medical facility, to receive  | 
necessary medical care, to allow the petitioner to transport  | 
himself or herself to and from alcohol or drug
remedial or  | 
rehabilitative activity recommended by a licensed service  | 
provider, or to allow the petitioner to transport himself or  | 
herself or a family member of the petitioner's household to  | 
classes, as a student, at an accredited educational  | 
institution, or to allow the petitioner to transport children,  | 
elderly persons, or persons with disabilities who do not hold  | 
driving privileges and are living in the petitioner's  | 
household to and from daycare. The
petitioner must demonstrate  | 
that no alternative means of
transportation is reasonably  | 
available and that the petitioner will not endanger
the public  | 
safety or welfare.
 | 
  (A) If a person's license or permit is revoked or  | 
 suspended due to 2
or more convictions of violating  | 
 Section 11-501 of this Code or a similar
provision of a  | 
 local ordinance or a similar out-of-state offense, or  | 
 Section 9-3 of the Criminal Code of 1961 or the Criminal  | 
 Code of 2012, where the use of alcohol or other drugs is  | 
 recited as an element of the offense, or a similar  | 
 out-of-state offense, or a combination of these offenses,  | 
 | 
 arising out
of separate occurrences, that person, if  | 
 issued a restricted driving permit,
may not operate a  | 
 vehicle unless it has been equipped with an ignition
 | 
 interlock device as defined in Section 1-129.1.
 | 
  (B) If a person's license or permit is revoked or  | 
 suspended 2 or more
times due to any combination of: | 
   (i) a single conviction of violating Section
 | 
 11-501 of this Code or a similar provision of a local  | 
 ordinance or a similar
out-of-state offense or Section  | 
 9-3 of the Criminal Code of 1961 or the Criminal Code  | 
 of 2012, where the use of alcohol or other drugs is  | 
 recited as an element of the offense, or a similar  | 
 out-of-state offense; or | 
   (ii) a statutory summary suspension or revocation  | 
 under Section
11-501.1; or | 
   (iii) a suspension under Section 6-203.1;  | 
 arising out of
separate occurrences; that person, if  | 
 issued a restricted driving permit, may
not operate a  | 
 vehicle unless it has been
equipped with an ignition  | 
 interlock device as defined in Section 1-129.1. | 
  (B-5) If a person's license or permit is revoked or  | 
 suspended due to a conviction for a violation of  | 
 subparagraph (C) or (F) of paragraph (1) of subsection (d)  | 
 of Section 11-501 of this Code, or a similar provision of a  | 
 local ordinance or similar out-of-state offense, that  | 
 person, if issued a restricted driving permit, may not  | 
 | 
 operate a vehicle unless it has been equipped with an  | 
 ignition interlock device as defined in Section 1-129.1.  | 
  (C)
The person issued a permit conditioned upon the  | 
 use of an ignition interlock device must pay to the  | 
 Secretary of State DUI Administration Fund an amount
not  | 
 to exceed $30 per month. The Secretary shall establish by  | 
 rule the amount
and the procedures, terms, and conditions  | 
 relating to these fees. | 
  (D) If the
restricted driving permit is issued for  | 
 employment purposes, then the prohibition against  | 
 operating a motor vehicle that is not equipped with an  | 
 ignition interlock device does not apply to the operation  | 
 of an occupational vehicle owned or
leased by that  | 
 person's employer when used solely for employment  | 
 purposes. For any person who, within a 5-year period, is  | 
 convicted of a second or subsequent offense under Section  | 
 11-501 of this Code, or a similar provision of a local  | 
 ordinance or similar out-of-state offense, this employment  | 
 exemption does not apply until either a one-year period  | 
 has elapsed during which that person had his or her  | 
 driving privileges revoked or a one-year period has  | 
 elapsed during which that person had a restricted driving  | 
 permit which required the use of an ignition interlock  | 
 device on every motor vehicle owned or operated by that  | 
 person. | 
  (E) In each case the Secretary may issue a
restricted  | 
 | 
 driving permit for a period deemed appropriate, except  | 
 that all
permits shall expire no later than 2 years from  | 
 the date of issuance. A
restricted driving permit issued  | 
 under this Section shall be subject to
cancellation,  | 
 revocation, and suspension by the Secretary of State in  | 
 like
manner and for like cause as a driver's license  | 
 issued under this Code may be
cancelled, revoked, or  | 
 suspended; except that a conviction upon one or more
 | 
 offenses against laws or ordinances regulating the  | 
 movement of traffic
shall be deemed sufficient cause for  | 
 the revocation, suspension, or
cancellation of a  | 
 restricted driving permit. The Secretary of State may, as
 | 
 a condition to the issuance of a restricted driving  | 
 permit, require the
applicant to participate in a  | 
 designated driver remedial or rehabilitative
program. The  | 
 Secretary of State is authorized to cancel a restricted
 | 
 driving permit if the permit holder does not successfully  | 
 complete the program.
 | 
  (F) A person subject to the provisions of paragraph 4  | 
 of subsection (b) of Section 6-208 of this Code may make  | 
 application for a restricted driving permit at a hearing  | 
 conducted under Section 2-118 of this Code after the  | 
 expiration of 5 years from the effective date of the most  | 
 recent revocation or after 5 years from the date of  | 
 release from a period of imprisonment resulting from a  | 
 conviction of the most recent offense, whichever is later,  | 
 | 
 provided the person, in addition to all other requirements  | 
 of the Secretary, shows by clear and convincing evidence:  | 
   (i) a minimum of 3 years of uninterrupted  | 
 abstinence from alcohol and the unlawful use or  | 
 consumption of cannabis under the Cannabis Control  | 
 Act, a controlled substance under the Illinois  | 
 Controlled Substances Act, an intoxicating compound  | 
 under the Use of Intoxicating Compounds Act, or  | 
 methamphetamine under the Methamphetamine Control and  | 
 Community Protection Act; and | 
   (ii) the successful completion of any  | 
 rehabilitative treatment and involvement in any  | 
 ongoing rehabilitative activity that may be  | 
 recommended by a properly licensed service provider  | 
 according to an assessment of the person's alcohol or  | 
 drug use under Section 11-501.01 of this Code.  | 
  In determining whether an applicant is eligible for a  | 
 restricted driving permit under this subparagraph (F), the  | 
 Secretary may consider any relevant evidence, including,  | 
 but not limited to, testimony, affidavits, records, and  | 
 the results of regular alcohol or drug tests. Persons  | 
 subject to the provisions of paragraph 4 of subsection (b)  | 
 of Section 6-208 of this Code and who have been convicted  | 
 of more than one violation of paragraph (3), paragraph  | 
 (4), or paragraph (5) of subsection (a) of Section 11-501  | 
 of this Code shall not be eligible to apply for a  | 
 | 
 restricted driving permit under this subparagraph (F).  | 
  A restricted driving permit issued under this  | 
 subparagraph (F) shall provide that the holder may only  | 
 operate motor vehicles equipped with an ignition interlock  | 
 device as required under paragraph (2) of subsection (c)  | 
 of Section 6-205 of this Code and subparagraph (A) of  | 
 paragraph 3 of subsection (c) of this Section. The  | 
 Secretary may revoke a restricted driving permit or amend  | 
 the conditions of a restricted driving permit issued under  | 
 this subparagraph (F) if the holder operates a vehicle  | 
 that is not equipped with an ignition interlock device, or  | 
 for any other reason authorized under this Code.  | 
  A restricted driving permit issued under this  | 
 subparagraph (F) shall be revoked, and the holder barred  | 
 from applying for or being issued a restricted driving  | 
 permit in the future, if the holder is convicted of a  | 
 violation of Section 11-501 of this Code, a similar  | 
 provision of a local ordinance, or a similar offense in  | 
 another state.  | 
 (c-3) In the case of a suspension under paragraph 43 of  | 
subsection (a), reports received by the Secretary of State  | 
under this Section shall, except during the actual time the  | 
suspension is in effect, be privileged information and for use  | 
only by the courts, police officers, prosecuting authorities,  | 
the driver licensing administrator of any other state, the  | 
Secretary of State, or the parent or legal guardian of a driver  | 
 | 
under the age of 18. However, beginning January 1, 2008, if the  | 
person is a CDL holder, the suspension shall also be made  | 
available to the driver licensing administrator of any other  | 
state, the U.S. Department of Transportation, and the affected  | 
driver or motor
carrier or prospective motor carrier upon  | 
request.
 | 
 (c-4) In the case of a suspension under paragraph 43 of  | 
subsection (a), the Secretary of State shall notify the person  | 
by mail that his or her driving privileges and driver's  | 
license will be suspended one month after the date of the  | 
mailing of the notice.
 | 
 (c-5) The Secretary of State may, as a condition of the  | 
reissuance of a
driver's license or permit to an applicant  | 
whose driver's license or permit has
been suspended before he  | 
or she reached the age of 21 years pursuant to any of
the  | 
provisions of this Section, require the applicant to  | 
participate in a
driver remedial education course and be  | 
retested under Section 6-109 of this
Code.
 | 
 (d) This Section is subject to the provisions of the  | 
Driver License
Compact.
 | 
 (e) The Secretary of State shall not issue a restricted  | 
driving permit to
a person under the age of 16 years whose  | 
driving privileges have been suspended
or revoked under any  | 
provisions of this Code.
 | 
 (f) In accordance with 49 C.F.R. 384, the Secretary of  | 
State may not issue a restricted driving permit for the  | 
 | 
operation of a commercial motor vehicle to a person holding a  | 
CDL whose driving privileges have been suspended, revoked,  | 
cancelled, or disqualified under any provisions of this Code. | 
(Source: P.A. 101-90, eff. 7-1-20; 101-470, eff. 7-1-20;  | 
101-623, eff. 7-1-20; 101-652, eff. 1-1-23; 102-299, eff.  | 
8-6-21; 102-558, eff. 8-20-21; revised 10-28-21.)
 | 
 (625 ILCS 5/6-508) (from Ch. 95 1/2, par. 6-508)
 | 
 Sec. 6-508. Commercial Driver's License (CDL);  | 
qualification (CDL) - qualification standards.
 | 
 (a) Testing.
 | 
  (1) General. No person shall be issued an original or  | 
 renewal CDL
unless that person is
domiciled in this State  | 
 or is applying for a non-domiciled CDL under Sections  | 
 6-509 and 6-510 of this Code. The Secretary shall cause to  | 
 be administered such
tests as the Secretary deems  | 
 necessary to meet the requirements of 49 CFR
C.F.R. Part  | 
 383, subparts F, G, H, and J.
 | 
  (1.5) Effective July 1, 2014, no person shall be  | 
 issued an original CDL or an upgraded CDL that requires a  | 
 skills test unless that person has held a CLP, for a  | 
 minimum of 14 calendar days, for the classification of  | 
 vehicle and endorsement, if any, for which the person is  | 
 seeking a CDL.  | 
  (2) Third party testing. The Secretary of State may  | 
 authorize a
"third party tester", pursuant to 49 CFR  | 
 | 
 C.F.R. 383.75 and 49 CFR C.F.R. 384.228 and 384.229, to  | 
 administer the
skills test or tests specified by the  | 
 Federal Motor Carrier Safety
Administration pursuant to  | 
 the
Commercial Motor Vehicle Safety Act of 1986 and any  | 
 appropriate federal rule.
 | 
  (3)(i) Effective February 7, 2020, unless the person  | 
 is exempted by 49 CFR 380.603, no person shall be issued an  | 
 original (first time issuance) CDL, an upgraded CDL or a  | 
 school bus (S), passenger (P), or hazardous Materials (H)  | 
 endorsement unless the person has successfully completed  | 
 entry-level driver training (ELDT) taught by a training  | 
 provider listed on the federal Training Provider Registry. | 
  (ii) Persons who obtain a CLP before February 7, 2020  | 
 are not required to complete ELDT if the person obtains a  | 
 CDL before the CLP or renewed CLP expires. | 
  (iii) Except for persons seeking the H endorsement,  | 
 persons must complete the theory and behind-the-wheel  | 
 (range and public road) portions of ELDT within one year  | 
 of completing the first portion. | 
  (iv) The Secretary shall adopt rules to implement this  | 
 subsection. 
 | 
 (b) Waiver of Skills Test. The Secretary of State may  | 
waive the skills
test specified in this Section for a driver  | 
applicant for a commercial driver license
who meets the  | 
requirements of 49 CFR C.F.R. 383.77.
The Secretary of State  | 
shall waive the skills tests specified in this Section for a  | 
 | 
driver applicant who has military commercial motor vehicle  | 
experience, subject to the requirements of 49 CFR C.F.R.  | 
383.77.
 | 
 (b-1) No person shall be issued a CDL unless the person  | 
certifies to the Secretary one of the following types of  | 
driving operations in which he or she will be engaged: | 
  (1) non-excepted interstate; | 
  (2) non-excepted intrastate; | 
  (3) excepted interstate; or | 
  (4) excepted intrastate. | 
 (b-2) (Blank). | 
 (c) Limitations on issuance of a CDL. A CDL shall not be  | 
issued to a person while the person is
subject to a  | 
disqualification from driving a commercial motor vehicle, or
 | 
unless otherwise permitted by this Code, while the person's  | 
driver's
license is suspended, revoked, or cancelled in
any  | 
state, or any territory or province of Canada; nor may a CLP or  | 
CDL be issued
to a person who has a CLP or CDL issued by any  | 
other state, or foreign
jurisdiction, nor may a CDL be issued  | 
to a person who has an Illinois CLP unless the person first  | 
surrenders all of these
licenses or permits. However, a person  | 
may hold an Illinois CLP and an Illinois CDL providing the CLP  | 
is necessary to train or practice for an endorsement or  | 
vehicle classification not present on the current CDL. No CDL  | 
shall be issued to or renewed for a person who does not
meet  | 
the requirement of 49 CFR 391.41(b)(11). The requirement may  | 
 | 
be met with
the aid of a hearing aid.
 | 
 (c-1) The Secretary may issue a CDL with a school bus  | 
driver endorsement
to allow a person to drive the type of bus  | 
described in subsection (d-5) of
Section 6-104 of this Code.  | 
The CDL with a school bus driver endorsement may be
issued only  | 
to a person meeting the following requirements:
 | 
  (1) the person has submitted his or her fingerprints  | 
 to the Illinois
State Police in the form and manner
 | 
 prescribed by the Illinois State Police. These
 | 
 fingerprints shall be checked against the fingerprint  | 
 records
now and hereafter filed in the Illinois State  | 
 Police and
Federal Bureau of Investigation criminal  | 
 history records databases;
 | 
  (2) the person has passed a written test, administered  | 
 by the Secretary of
State, on charter bus operation,  | 
 charter bus safety, and certain special
traffic laws
 | 
 relating to school buses determined by the Secretary of  | 
 State to be relevant to
charter buses, and submitted to a  | 
 review of the driver applicant's driving
habits by the  | 
 Secretary of State at the time the written test is given;
 | 
  (3) the person has demonstrated physical fitness to  | 
 operate school buses
by
submitting the results of a  | 
 medical examination, including tests for drug
use; and
 | 
  (4) the person has not been convicted of committing or  | 
 attempting
to commit any
one or more of the following  | 
 offenses: (i) those offenses defined in
Sections 8-1.2,  | 
 | 
 9-1, 9-1.2, 9-2, 9-2.1, 9-3, 9-3.2, 9-3.3, 10-1, 10-2,  | 
 10-3.1,
10-4,
10-5, 10-5.1, 10-6, 10-7, 10-9, 11-1.20,  | 
 11-1.30, 11-1.40, 11-1.50, 11-1.60, 11-6, 11-6.5, 11-6.6,
 | 
 11-9, 11-9.1, 11-9.3, 11-9.4, 11-14, 11-14.1, 11-14.3,  | 
 11-14.4, 11-15, 11-15.1, 11-16, 11-17, 11-17.1, 11-18,  | 
 11-18.1, 11-19, 11-19.1,
11-19.2,
11-20, 11-20.1,  | 
 11-20.1B, 11-20.3, 11-21, 11-22, 11-23, 11-24, 11-25,  | 
 11-26, 11-30, 12-2.6, 12-3.1, 12-3.3, 12-4, 12-4.1,  | 
 12-4.2, 12-4.2-5, 12-4.3, 12-4.4,
12-4.5, 12-4.6, 12-4.7,  | 
 12-4.9, 12-6, 12-6.2, 12-7.1, 12-7.3, 12-7.4, 12-7.5,  | 
 12-11,
12-13, 12-14, 12-14.1, 12-15, 12-16, 12-21.5,  | 
 12-21.6, 12-33, 12C-5, 12C-10, 12C-20, 12C-30, 12C-45,  | 
 16-16, 16-16.1,
18-1,
18-2,
18-3, 18-4, 18-5, 19-6,
20-1,  | 
 20-1.1, 20-1.2, 20-1.3, 20-2, 24-1, 24-1.1, 24-1.2,  | 
 24-1.2-5, 24-1.6, 24-1.7, 24-2.1, 24-3.3, 24-3.5, 24-3.8,  | 
 24-3.9, 31A-1, 31A-1.1,
33A-2, and 33D-1, and in  | 
 subsection (b) of Section 8-1, and in subdivisions (a)(1),  | 
 (a)(2), (b)(1), (e)(1), (e)(2), (e)(3), (e)(4), and (f)(1)  | 
 of Section 12-3.05, and in subsection (a) and subsection  | 
 (b), clause (1), of Section
12-4, and in subsection (A),  | 
 clauses (a) and (b), of Section 24-3, and those offenses  | 
 contained in Article 29D of the Criminal Code of 1961 or  | 
 the Criminal Code of 2012; (ii) those offenses defined in  | 
 the
Cannabis Control Act except those offenses defined in  | 
 subsections (a) and
(b) of Section 4, and subsection (a)  | 
 of Section 5 of the Cannabis Control
Act; (iii) those  | 
 | 
 offenses defined in the Illinois Controlled Substances
 | 
 Act; (iv) those offenses defined in the Methamphetamine  | 
 Control and Community Protection Act; (v) any offense  | 
 committed or attempted in any other state or against
the  | 
 laws of the United States, which if committed or attempted  | 
 in this
State would be punishable as one or more of the  | 
 foregoing offenses; (vi)
the offenses defined in Sections  | 
 4.1 and 5.1 of the Wrongs to Children Act or Section  | 
 11-9.1A of the Criminal Code of 1961 or the Criminal Code  | 
 of 2012; (vii) those offenses defined in Section 6-16 of  | 
 the Liquor Control Act of
1934; and (viii) those offenses  | 
 defined in the Methamphetamine Precursor Control Act.
 | 
 The Illinois State Police shall charge
a fee for  | 
conducting the criminal history records check, which shall be
 | 
deposited into the State Police Services Fund and may not  | 
exceed the actual
cost of the records check.
 | 
 (c-2) The Secretary shall issue a CDL with a school bus  | 
endorsement to allow a person to drive a school bus as defined  | 
in this Section. The CDL shall be issued according to the  | 
requirements outlined in 49 CFR C.F.R. 383. A person may not  | 
operate a school bus as defined in this Section without a  | 
school bus endorsement. The Secretary of State may adopt rules  | 
consistent with Federal guidelines to implement this  | 
subsection (c-2).
 | 
 (d) (Blank).
 | 
(Source: P.A. 101-185, eff. 1-1-20; 102-168, eff. 7-27-21;  | 
 | 
102-299, eff. 8-6-21; 102-538, eff. 8-20-21; revised  | 
10-12-21.)
 | 
 (625 ILCS 5/11-212)
 | 
 Sec. 11-212. Traffic and pedestrian stop statistical  | 
study. 
 | 
 (a) Whenever a State or local law enforcement officer  | 
issues a
uniform traffic citation or warning citation for an  | 
alleged
violation of the Illinois Vehicle Code, he or she  | 
shall
record at least the following:
 | 
  (1) the name, address, gender, and
the officer's  | 
 subjective determination of the race of
the person
 | 
 stopped; the person's race shall be selected from the  | 
 following list:
American Indian or Alaska Native, Asian,  | 
 Black or African American, Hispanic or Latino, Native  | 
 Hawaiian or Other Pacific Islander, or White;
 | 
  (2) the alleged traffic violation that led to the
stop  | 
 of the motorist;
 | 
  (3) the make and year of the vehicle
stopped;
 | 
  (4) the date and time of the stop, beginning when the  | 
 vehicle was stopped and ending when the driver is free to  | 
 leave or taken into physical custody;
 | 
  (5) the location of the traffic stop; | 
  (5.5) whether or not a consent search contemporaneous  | 
 to the stop was requested of the vehicle, driver,  | 
 passenger, or passengers; and, if so, whether consent was  | 
 | 
 given or denied;
 | 
  (6) whether or not a search contemporaneous to the  | 
 stop was conducted of
the
vehicle, driver, passenger, or  | 
 passengers; and, if so, whether it was with
consent or by  | 
 other means; | 
  (6.2) whether or not a police dog performed a sniff of  | 
 the vehicle; and, if so, whether or not the dog alerted to  | 
 the presence of contraband; and, if so, whether or not an  | 
 officer searched the vehicle; and, if so, whether or not  | 
 contraband was discovered; and, if so, the type and amount  | 
 of contraband;  | 
  (6.5) whether or not contraband was found during a  | 
 search; and, if so, the type and amount of contraband  | 
 seized; and
 | 
  (7) the name and badge number of the issuing officer.
 | 
 (b) Whenever a State or local law enforcement officer  | 
stops a
motorist for an alleged violation of the Illinois  | 
Vehicle Code
and does not issue a uniform traffic citation or
 | 
warning citation for an alleged violation of the Illinois
 | 
Vehicle Code, he or she shall complete a uniform stop card,  | 
which includes
field
contact cards, or any other existing form  | 
currently used by law enforcement
containing
information  | 
required pursuant to this Act,
that records
at least the  | 
following:
 | 
  (1) the name, address, gender,
and
the officer's  | 
 subjective determination of the race of the person
 | 
 | 
 stopped; the person's race shall be selected from the  | 
 following list:
American Indian or Alaska Native, Asian,  | 
 Black or African American, Hispanic or Latino, Native  | 
 Hawaiian or Other Pacific Islander, or White;
 | 
  (2) the reason that led to the stop of the
motorist;
 | 
  (3) the make and year of the vehicle
stopped;
 | 
  (4) the date and time of the stop, beginning when the  | 
 vehicle was stopped and ending when the driver is free to  | 
 leave or taken into physical custody;
 | 
  (5) the location of the traffic stop; | 
  (5.5) whether or not a consent search contemporaneous  | 
 to the stop was requested of the vehicle, driver,  | 
 passenger, or passengers; and, if so, whether consent was  | 
 given or denied;
 | 
  (6) whether or not a search contemporaneous to the  | 
 stop was conducted of
the
vehicle, driver, passenger, or  | 
 passengers; and, if so, whether it was with
consent or by  | 
 other means; | 
  (6.2) whether or not a police dog performed a sniff of  | 
 the vehicle; and, if so, whether or not the dog alerted to  | 
 the presence of contraband; and, if so, whether or not an  | 
 officer searched the vehicle; and, if so, whether or not  | 
 contraband was discovered; and, if so, the type and amount  | 
 of contraband;  | 
  (6.5) whether or not contraband was found during a  | 
 search; and, if so, the type and amount of contraband  | 
 | 
 seized; and
 | 
  (7) the name and badge number of the issuing
officer.
 | 
 (b-5) For purposes of this subsection (b-5), "detention"  | 
means all frisks, searches, summons, and arrests. Whenever a  | 
law enforcement officer subjects a pedestrian to detention in  | 
a public place, he or she shall complete a uniform pedestrian  | 
stop card, which includes any existing form currently used by  | 
law enforcement containing all the information required under  | 
this Section, that records at least the following: | 
  (1) the gender, and the officer's subjective  | 
 determination of the race of the person stopped; the  | 
 person's race shall be selected from the following list:  | 
 American Indian or Alaska Native, Asian, Black or African  | 
 American, Hispanic or Latino, Native Hawaiian or Other  | 
 Pacific Islander, or White; | 
  (2) all the alleged reasons that led to the stop of the  | 
 person; | 
  (3) the date and time of the stop; | 
  (4) the location of the stop; | 
  (5) whether or not a protective pat down or frisk was  | 
 conducted of the person; and, if so, all the alleged  | 
 reasons that led to the protective pat down or frisk, and  | 
 whether it was with consent or by other means; | 
  (6) whether or not contraband was found during the  | 
 protective pat down or frisk; and, if so, the type and  | 
 amount of contraband seized; | 
 | 
  (7) whether or not a search beyond a protective pat  | 
 down or frisk was conducted of the person or his or her  | 
 effects; and, if so, all the alleged reasons that led to  | 
 the search, and whether it was with consent or by other  | 
 means; | 
  (8) whether or not contraband was found during the  | 
 search beyond a protective pat down or frisk; and, if so,  | 
 the type and amount of contraband seized; | 
  (9) the disposition of the stop, such as a warning, a  | 
 ticket, a summons, or an arrest; | 
  (10) if a summons or ticket was issued, or an arrest  | 
 made, a record of the violations, offenses, or crimes  | 
 alleged or charged; and | 
  (11) the name and badge number of the officer who  | 
 conducted the detention.  | 
 This subsection (b-5) does not apply to searches or  | 
inspections for compliance authorized under the Fish and  | 
Aquatic Life Code, the Wildlife Code, the Herptiles-Herps Act,  | 
or searches or inspections during routine security screenings  | 
at facilities or events. | 
 (c) The Illinois Department of Transportation shall  | 
provide a
standardized law
enforcement data compilation form  | 
on its website.
 | 
 (d) Every law enforcement agency shall, by March 1 with  | 
regard to data collected during July through December of the  | 
previous calendar year and by August 1 with regard to data  | 
 | 
collected during January through June of the current calendar  | 
year, compile the data described in subsections (a), (b), and  | 
(b-5) on
the
standardized law enforcement data compilation  | 
form provided by the Illinois
Department
of Transportation and  | 
transmit the data to the Department.
 | 
 (e) The Illinois Department of Transportation shall  | 
analyze the data
provided
by law
enforcement agencies required  | 
by this Section and submit a report of the
previous year's
 | 
findings to the
Governor, the General Assembly, the Racial  | 
Profiling Prevention and Data Oversight Board, and each law  | 
enforcement agency no later than
July 1
of each year. The  | 
Illinois Department of
Transportation may contract with
an  | 
outside entity for the analysis of the data provided. In  | 
analyzing the data
collected
under this Section, the analyzing  | 
entity shall scrutinize the data for evidence
of statistically
 | 
significant aberrations. The following list, which
is  | 
illustrative, and not exclusive, contains examples of areas in  | 
which
statistically
significant aberrations may be found:
 | 
  (1) The percentage of minority drivers, passengers, or  | 
 pedestrians being stopped in a
given
area
is substantially  | 
 higher than the proportion of the overall population in or
 | 
 traveling
through the area that the minority constitutes.
 | 
  (2) A substantial number of false stops including  | 
 stops not resulting in
the
issuance of a traffic ticket or  | 
 the making of an arrest.
 | 
  (3) A disparity between the proportion of citations  | 
 | 
 issued to minorities
and
proportion of minorities in the  | 
 population.
 | 
  (4) A disparity among the officers of the same law  | 
 enforcement agency with
regard to the number of minority  | 
 drivers, passengers, or pedestrians being stopped in a  | 
 given
area.
 | 
  (5) A disparity between the frequency of searches  | 
 performed on minority
drivers or pedestrians
and the  | 
 frequency of searches performed on non-minority drivers or  | 
 pedestrians.
 | 
 (f) Any law enforcement officer identification information  | 
and driver or pedestrian
identification information
that is
 | 
compiled by any law enforcement agency or the Illinois  | 
Department of
Transportation
pursuant to this Act for
the  | 
purposes of fulfilling the requirements of this Section shall  | 
be
confidential and exempt
from
public inspection and copying,  | 
as provided under Section 7 of the Freedom of
Information
Act,
 | 
and the information shall not be transmitted to anyone except  | 
as needed to
comply with
this Section. This Section shall not  | 
exempt those materials that, prior to the
effective date of  | 
this
amendatory Act of the 93rd General Assembly, were  | 
available under the Freedom
of
Information Act. This  | 
subsection (f) shall not preclude law enforcement agencies  | 
from reviewing data to perform internal reviews.
 | 
 (g) Funding to implement this Section shall come from  | 
federal highway
safety
funds available to Illinois, as  | 
 | 
directed by the Governor.
 | 
 (h) The Illinois Criminal Justice Information Authority,  | 
in consultation with
law enforcement agencies, officials, and  | 
organizations, including Illinois
chiefs of police,
the  | 
Illinois State Police, the Illinois Sheriffs Association, and  | 
the
Chicago Police
Department, and community groups and other  | 
experts, shall undertake a study to
determine the best use of  | 
technology to collect, compile, and analyze the
traffic stop
 | 
statistical study data required by this Section. The  | 
Department shall report
its findings
and recommendations to  | 
the Governor and the General Assembly by March 1, 2022. | 
 (h-1) The Traffic and Pedestrian Stop Data Use and  | 
Collection Task Force is hereby created.  | 
  (1) The Task Force shall undertake a study to  | 
 determine the best use of technology to collect, compile,  | 
 and analyze the traffic stop statistical study data  | 
 required by this Section. | 
  (2) The Task Force shall be an independent Task Force  | 
 under the Illinois Criminal Justice Information Authority  | 
 for administrative purposes, and shall consist of the  | 
 following members: | 
   (A) 2 academics or researchers who have studied  | 
 issues related to traffic or pedestrian stop data  | 
 collection and have education or expertise in  | 
 statistics; | 
   (B) one professor from an Illinois university who  | 
 | 
 specializes in policing and racial equity; | 
   (C) one representative from the Illinois State  | 
 Police; | 
   (D) one representative from the Chicago Police  | 
 Department; | 
   (E) one representative from the Illinois Chiefs of  | 
 Police; | 
   (F) one representative from the Illinois Sheriffs  | 
 Association; | 
   (G) one representative from the Chicago Fraternal  | 
 Order of Police; | 
   (H) one representative from the Illinois Fraternal  | 
 Order of Police; | 
   (I) the Executive Director of the American Civil  | 
 Liberties Union of Illinois, or his or her designee;  | 
 and | 
   (J) 5 representatives from different community  | 
 organizations who specialize in civil or human rights,  | 
 policing, or criminal justice reform work, and that  | 
 represent a range of minority interests or different  | 
 parts of the State. | 
  (3) The Illinois Criminal Justice Information  | 
 Authority may consult, contract, work in conjunction with,  | 
 and obtain any information from any individual, agency,  | 
 association, or research institution deemed appropriate by  | 
 the Authority. | 
 | 
  (4) The Task Force shall report its findings and  | 
 recommendations to the Governor and the General Assembly  | 
 by March 1, 2022 and every 3 years after.  | 
 (h-5) For purposes of this Section:  | 
  (1) "American Indian or Alaska Native" means a person  | 
 having origins in any of the original peoples of North and  | 
 South America, including Central America, and who  | 
 maintains tribal affiliation or community attachment. | 
  (2) "Asian" means a person having origins in any of  | 
 the original peoples of the Far East, Southeast Asia, or  | 
 the Indian subcontinent, including, but not limited to,  | 
 Cambodia, China, India, Japan, Korea, Malaysia, Pakistan,  | 
 the Philippine Islands, Thailand, and Vietnam. | 
  (2.5) "Badge" means an officer's department issued  | 
 identification number associated with his or her position  | 
 as a police officer with that department.  | 
  (3) "Black or African American" means a person having  | 
 origins in any of the black racial groups of Africa. | 
  (4) "Hispanic or Latino" means a person of Cuban,  | 
 Mexican, Puerto Rican, South or Central American, or other  | 
 Spanish culture or origin, regardless of race. | 
  (5) "Native Hawaiian or Other Pacific Islander" means  | 
 a person having origins in any of the original peoples of  | 
 Hawaii, Guam, Samoa, or other Pacific Islands. | 
  (6) "White" means a person having origins in any of  | 
 the original peoples of Europe, the Middle East, or North  | 
 | 
 Africa. | 
 (i) (Blank).
 | 
(Source: P.A. 101-24, eff. 6-21-19; 102-465, eff. 1-1-22;  | 
102-538, eff. 8-20-21; revised 9-21-21.)
 | 
 (625 ILCS 5/11-907) (from Ch. 95 1/2, par. 11-907)
 | 
 Sec. 11-907. Operation of vehicles and streetcars on  | 
approach of authorized
emergency
vehicles. | 
 (a) Upon the immediate approach of an authorized emergency  | 
vehicle
making use of audible and visual signals meeting the  | 
requirements of this
Code or a police vehicle properly and  | 
lawfully making use of an audible
or visual signal:
 | 
  (1) the driver of every other vehicle
shall yield the  | 
 right-of-way and shall immediately drive to a position
 | 
 parallel to, and as close as possible to, the right-hand  | 
 edge or curb of
the highway clear of any intersection and  | 
 shall, if necessary to permit
the safe passage of the  | 
 emergency vehicle, stop and remain
in such position until  | 
 the authorized emergency vehicle has passed, unless
 | 
 otherwise directed by a police officer; and
 | 
  (2) the operator of every streetcar shall
immediately  | 
 stop such
car clear of any intersection and keep it in such  | 
 position until the
authorized emergency vehicle has  | 
 passed, unless otherwise
directed by
a police officer.
 | 
 (b) This Section shall not operate to relieve the driver  | 
of an
authorized emergency vehicle from the duty to drive with  | 
 | 
due regard for the
safety of all persons using the highway.
 | 
 (c) Upon approaching a stationary authorized emergency  | 
vehicle, when the
authorized emergency vehicle is giving a  | 
signal by displaying alternately
flashing
red, red and white,  | 
blue, or red and blue lights or amber or yellow warning
lights,  | 
a
person who drives an approaching vehicle shall:
 | 
  (1) proceeding with due caution, yield the  | 
 right-of-way by making a
lane change into a lane not  | 
 adjacent to that of the authorized
emergency vehicle, if  | 
 possible with due regard to safety and traffic
conditions,  | 
 if on a highway having at least 4 lanes with not less
than  | 
 2 lanes proceeding in the same direction as the  | 
 approaching
vehicle; or
 | 
  (2) if changing lanes would be impossible or unsafe,  | 
 proceeding with due caution, reduce the speed of the  | 
 vehicle,
maintaining a safe speed for road conditions and  | 
 leaving a safe distance until safely past the stationary  | 
 emergency vehicles.
 | 
 The visual signal specified under this subsection (c)  | 
given by an authorized emergency vehicle is an indication to  | 
drivers of approaching vehicles that a hazardous condition is  | 
present when circumstances are not immediately clear. Drivers  | 
of vehicles approaching a stationary emergency vehicle in any  | 
lane shall heed the warning of the signal, reduce the speed of  | 
the vehicle, proceed with due caution, maintain a safe speed  | 
for road conditions, be prepared to stop, and leave a safe  | 
 | 
distance until safely passed the stationary emergency vehicle.  | 
 As used in this subsection (c), "authorized emergency  | 
vehicle"
includes any vehicle authorized by law to be equipped  | 
with oscillating,
rotating, or flashing lights under Section  | 
12-215 of this Code, while the owner
or operator of the vehicle  | 
is engaged in his or her official duties.
 | 
 (d) A person who violates subsection (c) of this Section  | 
commits a business
offense punishable by a fine of not less  | 
than $250 or more than $10,000 for a first violation, and a  | 
fine of not less than $750 or more than $10,000 for a second or  | 
subsequent violation. It is a factor in
aggravation if the  | 
person committed the offense while in violation of Section
 | 
11-501, 12-610.1, or 12-610.2 of this Code. Imposition of the  | 
penalties authorized by this subsection (d) for a violation of  | 
subsection (c) of this Section that results in the death of
 | 
another person does not preclude imposition of appropriate  | 
additional civil or criminal penalties. A person who violates  | 
subsection (c) and the violation results in damage to another  | 
vehicle commits a Class A misdemeanor. A person who violates  | 
subsection (c) and the violation results in the injury or  | 
death of another person commits a Class 4 felony.
 | 
 (e) If a violation of subsection (c) of this Section  | 
results in damage to
the
property of another person, in  | 
addition to any other penalty imposed,
the person's driving  | 
privileges shall be suspended for a fixed
period of not less  | 
than 90 days and not more than one year.
 | 
 | 
 (f) If a violation of subsection (c) of this Section  | 
results in injury to
another
person, in addition to any other  | 
penalty imposed,
the person's driving privileges shall be  | 
suspended for a fixed period of not
less
than 180
days and not  | 
more than 2 years.
 | 
 (g) If a violation of subsection (c) of this Section  | 
results in the death of
another person, in addition to any  | 
other penalty imposed,
the person's driving privileges shall  | 
be suspended for 2 years.
 | 
 (h) The Secretary of State shall, upon receiving a record  | 
of a judgment
entered against a person under subsection (c) of  | 
this Section:
 | 
  (1) suspend the person's driving privileges for the  | 
 mandatory period; or
 | 
  (2) extend the period of an existing suspension by the  | 
 appropriate
mandatory period.
 | 
 (i) The Scott's Law Fund shall be a special fund in the  | 
State treasury. Subject to appropriation by the General  | 
Assembly and approval by the Director, the Director of the  | 
State Police shall use all moneys in the Scott's Law Fund in  | 
the Department's discretion to fund the production of  | 
materials to educate drivers on approaching stationary  | 
authorized emergency vehicles, to hire off-duty Department of  | 
State Police for enforcement of this Section, and for other  | 
law enforcement purposes the Director deems necessary in these  | 
efforts. | 
 | 
 (j) For violations of this Section issued by a county or  | 
municipal police officer, the assessment shall be deposited  | 
into the county's or municipality's Transportation Safety  | 
Highway Hire-back Fund. The county shall use the moneys in its  | 
Transportation Safety Highway Hire-back Fund to hire off-duty  | 
county police officers to monitor construction or maintenance  | 
zones in that county on highways other than interstate  | 
highways. The county, in its discretion, may also use a  | 
portion of the moneys in its Transportation Safety Highway  | 
Hire-back Fund to purchase equipment for county law  | 
enforcement and fund the production of materials to educate  | 
drivers on construction zone safe driving habits and  | 
approaching stationary authorized emergency vehicles.  | 
 (k) In addition to other penalties imposed by this  | 
Section, the court may order a person convicted of a violation  | 
of subsection (c) to perform community service as determined  | 
by the court.  | 
(Source: P.A. 101-173, eff. 1-1-20; 102-336, eff. 1-1-22;  | 
102-338, eff. 1-1-22; revised 9-21-21.)
 | 
 (625 ILCS 5/11-1201.1)
 | 
 Sec. 11-1201.1. Automated railroad crossing enforcement  | 
system. 
 | 
 (a) For the purposes of this Section, an automated  | 
railroad grade crossing
enforcement system is a system in a  | 
municipality or county operated by a governmental agency that  | 
 | 
produces a recorded image of a motor vehicle's violation of a  | 
provision of this Code or local ordinance and is designed to  | 
obtain a clear recorded image of the vehicle and vehicle's  | 
license plate. The recorded image must also display the time,  | 
date, and location of the violation. | 
 As used in this Section, "recorded images" means images  | 
recorded by an automated railroad grade crossing enforcement  | 
system on: | 
  (1) 2 or more photographs; | 
  (2) 2 or more microphotographs; | 
  (3) 2 or more electronic images; or | 
  (4) a video recording showing the motor vehicle and,  | 
 on at least one image or portion of the recording, clearly  | 
 identifying the registration plate or digital registration  | 
 plate number of the motor vehicle.
 | 
 (b) The Illinois
Commerce Commission may, in cooperation  | 
with a
local law enforcement agency, establish in any county  | 
or municipality an automated
railroad grade crossing  | 
enforcement system at any railroad grade crossing equipped  | 
with a crossing gate designated by local authorities. Local  | 
authorities desiring the establishment of an automated  | 
railroad crossing enforcement system must initiate the process  | 
by enacting a local ordinance requesting the creation of such  | 
a system. After the ordinance has been enacted, and before any  | 
additional steps toward the establishment of the system are  | 
undertaken, the local authorities and the Commission must  | 
 | 
agree to a plan for obtaining, from any combination of  | 
federal, State, and local funding sources, the moneys required  | 
for the purchase and installation of any necessary equipment.
 | 
 (b-1) (Blank).)
 | 
 (c) For each violation of Section 11-1201 of this Code or a  | 
local ordinance recorded by an automated railroad grade  | 
crossing enforcement system, the county or municipality having  | 
jurisdiction shall issue a written notice of the violation to  | 
the registered owner of the vehicle as the alleged violator.  | 
The notice shall be delivered to the registered owner of the  | 
vehicle, by mail, no later than 90 days after the violation. | 
 The notice shall include: | 
  (1) the name and address of the registered owner of  | 
 the vehicle; | 
  (2) the registration number of the motor vehicle  | 
 involved in the violation; | 
  (3) the violation charged; | 
  (4) the location where the violation occurred; | 
  (5) the date and time of the violation; | 
  (6) a copy of the recorded images; | 
  (7) the amount of the civil penalty imposed and the  | 
 date by which the civil penalty should be paid; | 
  (8) a statement that recorded images are evidence of a  | 
 violation of a railroad grade crossing; | 
  (9) a warning that failure to pay the civil penalty or  | 
 to contest liability in a timely manner is an admission of  | 
 | 
 liability; and | 
  (10) a statement that the person may elect to proceed  | 
 by: | 
   (A) paying the fine; or | 
   (B) challenging the charge in court, by mail, or  | 
 by administrative hearing.
 | 
 (d) (Blank).
 | 
 (d-1) (Blank).)
 | 
 (d-2) (Blank).)
 | 
 (e) Based on inspection of recorded images produced by an  | 
automated railroad grade crossing enforcement system, a notice  | 
alleging that the violation occurred shall be evidence of the  | 
facts contained in the notice and admissible in any proceeding  | 
alleging a violation under this Section.
 | 
 (e-1) Recorded images made by an automated railroad grade  | 
crossing enforcement system are confidential and shall be made  | 
available only to the alleged violator and governmental and  | 
law enforcement agencies for purposes of adjudicating a  | 
violation of this Section, for statistical purposes, or for  | 
other governmental purposes. Any recorded image evidencing a  | 
violation of this Section, however, may be admissible in any  | 
proceeding resulting from the issuance of the citation.
 | 
 (e-2) The court or hearing officer may consider the  | 
following in the defense of a violation:
 | 
  (1) that the motor vehicle or registration plates or  | 
 digital registration plates of the motor vehicle were  | 
 | 
 stolen before the violation occurred and not under the  | 
 control of or in the possession of the owner at the time of  | 
 the violation;
 | 
  (2) that the driver of the motor vehicle received a  | 
 Uniform Traffic Citation from a police officer at the time  | 
 of the violation for the same offense; | 
  (3) any other evidence or issues provided by municipal  | 
 or county ordinance. | 
 (e-3) To demonstrate that the motor vehicle or the  | 
registration plates or digital registration plates were stolen  | 
before the violation occurred and were not under the control  | 
or possession of the owner at the time of the violation, the  | 
owner must submit proof that a report concerning the stolen  | 
motor vehicle or registration plates was filed with a law  | 
enforcement agency in a timely manner.
 | 
 (f) Rail crossings equipped with an automatic railroad  | 
grade crossing
enforcement system shall be posted with a sign  | 
visible to approaching traffic
stating that the railroad grade  | 
crossing is being monitored, that citations
will be issued,  | 
and the amount of the fine for violation.
 | 
 (g) The compensation paid for an automated railroad grade  | 
crossing enforcement system must be based on the value of the  | 
equipment or the services provided and may not be based on the  | 
number of citations issued or the revenue generated by the  | 
system.
 | 
 (h) (Blank).)
 | 
 | 
 (i) If any part or parts of this Section are held by a  | 
court of competent
jurisdiction to be unconstitutional, the  | 
unconstitutionality shall not affect
the validity of the  | 
remaining parts of this Section. The General Assembly
hereby  | 
declares that it would have passed the remaining parts of this  | 
Section
if it had known that the other part or parts of this  | 
Section would be declared
unconstitutional.
 | 
 (j) Penalty. A civil fine of
$250 shall be imposed for a  | 
first violation of this Section, and a civil fine of $500 shall  | 
be
imposed for a second or subsequent violation of this  | 
Section.
 | 
(Source: P.A. 101-395, eff. 8-16-19; 101-652, eff. 7-1-21;  | 
revised 11-24-21.)
 | 
 (625 ILCS 5/13-108) (from Ch. 95 1/2, par. 13-108)
 | 
 Sec. 13-108. Hearing on complaint against official testing  | 
station or official portable emissions testing company;  | 
suspension or
revocation of permit. If it appears to the  | 
Department, either through its own investigation or
upon  | 
charges verified under oath, that any of the provisions of  | 
this
Chapter or the rules and regulations of the Department,  | 
are being violated,
the Department, shall, after notice to the  | 
person, firm, or corporation
charged with such violation,  | 
conduct a hearing. At least 10 days prior to
the date of such  | 
hearing the Department shall cause to be served upon the
 | 
person, firm, or corporation charged with such violation, a  | 
 | 
copy of such
charge or charges by registered mail or by the  | 
personal service thereof,
together with a notice specifying  | 
the time and place of such hearing. At
the time and place  | 
specified in such notice, the person, firm, or corporation
 | 
charged with such violation shall be given an opportunity to  | 
appear in
person or by counsel and to be heard by the Secretary  | 
of Transportation or
an officer or employee of the Department  | 
designated in writing by him to
conduct such hearing. If it  | 
appears from the hearing that such person, firm,
or  | 
corporation is guilty of the charge preferred against the  | 
person, firm, or corporation him or it, the
Secretary of  | 
Transportation may order the permit suspended or revoked, and
 | 
the bond forfeited. Any such revocation or suspension shall  | 
not be a bar to
subsequent arrest and prosecution for  | 
violation of this Chapter.
 | 
(Source: P.A. 102-566, eff. 1-1-22; revised 11-24-21.)
 | 
 (625 ILCS 5/13-109.1)
 | 
 Sec. 13-109.1. Annual emission inspection tests;
 | 
standards; penalties;
funds. | 
 (a) For each diesel powered vehicle that (i) is registered  | 
for a gross
weight of
more than 16,000 pounds, (ii) is  | 
registered within an affected area, and
(iii) is a 2 year
or  | 
older model year, an annual emission
inspection test
shall be  | 
conducted at an official testing station or by an official  | 
portable emissions testing company certified by the Illinois
 | 
 | 
Department
of Transportation to perform
diesel emission  | 
inspections pursuant to the standards set forth in
subsection
 | 
(b) of this
Section. This annual emission inspection test may  | 
be conducted in conjunction
with a
semi-annual safety test.
 | 
 (a-5) (Blank).
 | 
 (b) Diesel emission inspections conducted under this  | 
Chapter 13 shall be
conducted in accordance with the Society  | 
of Automotive Engineers Recommended
Practice J1667
 | 
"Snap-Acceleration Smoke Test Procedure for Heavy-Duty Diesel  | 
Powered
Vehicles" and the cutpoint standards set forth in the  | 
United States
Environmental Protection Agency guidance
 | 
document "Guidance to States on Smoke Opacity Cutpoints to be  | 
used with the
SAE J1667 In-Use Smoke Test Procedure". Those  | 
procedures and standards, as
now in effect, are made a part of  | 
this Code, in the same manner as though they
were set out in  | 
full in this Code.
 | 
 Notwithstanding the above cutpoint standards, for motor  | 
vehicles that are
model years 1973 and
older, until
December  | 
31,
2002, the level of peak smoke opacity shall not exceed 70  | 
percent. Beginning
January
1, 2003, for motor vehicles that  | 
are model years 1973 and older, the level of
peak smoke
opacity  | 
shall not exceed 55 percent. 
 | 
 (c) If the annual emission inspection under subsection (a)  | 
reveals
that the vehicle is not in compliance with
the
diesel  | 
emission standards set forth in subsection (b) of this  | 
Section, the
operator of the
official
testing station or  | 
 | 
official portable emissions testing company shall issue a  | 
warning notice requiring correction of the
violation. The  | 
correction shall be made and the vehicle submitted to an
 | 
emissions retest at an official testing station or official  | 
portable emissions testing company certified by the Department  | 
to
perform diesel emission inspections within 30 days from the  | 
issuance of the
warning notice requiring correction of the  | 
violation.
 | 
 If, within 30 days from the issuance of the warning  | 
notice, the vehicle is
not in compliance with the diesel
 | 
emission standards set forth in subsection (b) as determined  | 
by an emissions
retest at an official testing station or  | 
through an official portable emissions testing company, the  | 
certified emissions testing operator or the Department shall  | 
place the vehicle out-of-service in
accordance with the rules  | 
promulgated by the Department. Operating a vehicle
that has  | 
been placed out-of-service under this subsection (c) is a  | 
petty
offense punishable by a $1,000 fine.
The vehicle must  | 
pass a diesel emission inspection at an official testing
 | 
station before it is again placed in service.
The Secretary of  | 
State, Illinois State Police, and other law enforcement
 | 
officers shall enforce this Section.
No emergency vehicle, as  | 
defined in Section 1-105, may be placed out-of-service
 | 
pursuant to this Section.
 | 
 The Department, an official testing station, or an  | 
official portable emissions testing company may issue a  | 
 | 
certificate of
waiver subsequent to a reinspection of a  | 
vehicle that failed the emissions
inspection. Certificate of  | 
waiver shall be issued upon determination that
documented  | 
proof demonstrates that emissions repair costs for the  | 
noncompliant
vehicle of at least $3,000 have been spent in an  | 
effort to achieve
compliance with the emission standards set  | 
forth in subsection (b). The
Department of Transportation  | 
shall adopt rules for the implementation of this
subsection  | 
including standards of documented proof as well as the  | 
criteria by
which a waiver shall be granted.
 | 
 (c-5) (Blank).
 | 
 (d) (Blank).
 | 
(Source: P.A. 102-538, eff. 8-20-21; 102-566, eff. 1-1-22;  | 
revised 10-12-21.)
 | 
 (625 ILCS 5/15-102) (from Ch. 95 1/2, par. 15-102)
 | 
 Sec. 15-102. Width of vehicles. 
 | 
 (a) On Class III and non-designated State and local  | 
highways, the total
outside width of any vehicle or load  | 
thereon shall not exceed 8 feet 6 inches.
 | 
 (b) Except during those times when, due to insufficient  | 
light or unfavorable
atmospheric conditions, persons and  | 
vehicles on the highway are not clearly
discernible at a  | 
distance of 1000 feet, the following vehicles may exceed
the 8  | 
feet 6 inch limitation during the period from a half hour  | 
before
sunrise to a half hour after sunset:
 | 
 | 
  (1) Loads of hay, straw or other similar farm products  | 
 provided that the
load is not more than 12 feet wide.
 | 
  (2) Implements of husbandry being transported on  | 
 another vehicle and the
transporting vehicle while loaded.
 | 
  The following requirements apply to the transportation  | 
 on another vehicle
of an implement of husbandry wider than  | 
 8 feet 6 inches on the National System
of Interstate and  | 
 Defense Highways or other highways in the system of State
 | 
 highways:
 | 
   (A) The driver of a vehicle transporting an  | 
 implement of husbandry
that exceeds 8 feet 6 inches in  | 
 width shall obey all traffic laws and shall
check the  | 
 roadways prior to making a movement in order to ensure  | 
 that adequate
clearance is available for the movement.  | 
 It is prima facie evidence that the
driver of a vehicle  | 
 transporting an implement of husbandry has failed to  | 
 check
the roadway prior to making a movement if the  | 
 vehicle is involved in a
collision with a bridge,  | 
 overpass, fixed structure, or properly placed traffic
 | 
 control device or if the vehicle blocks traffic due
to  | 
 its inability to proceed because of a bridge,  | 
 overpass, fixed structure, or
properly placed traffic  | 
 control device.
 | 
   (B) Flags shall be displayed so as to wave freely  | 
 at the extremities of
overwidth objects and at the  | 
 extreme ends of all protrusions, projections, and
 | 
 | 
 overhangs. All flags shall be clean, bright red flags  | 
 with no advertising,
wording, emblem, or insignia  | 
 inscribed upon them and at least 18 inches square.
 | 
   (C) "OVERSIZE LOAD" signs are mandatory on the  | 
 front and rear of all
vehicles with loads over 10 feet  | 
 wide. These signs must have 12-inch high
black letters  | 
 with a 2-inch stroke on a yellow sign that is 7 feet  | 
 wide by 18
inches high.
 | 
   (D) One civilian escort vehicle is required for a  | 
 load that exceeds 14
feet 6 inches in width and 2  | 
 civilian escort vehicles are required for a
load that  | 
 exceeds 16 feet in width on the National System of  | 
 Interstate and
Defense Highways or other highways in  | 
 the system of State highways.
 | 
   (E) The requirements for a civilian escort vehicle  | 
 and driver are as
follows:
 | 
    (1) The civilian escort vehicle shall be a  | 
 vehicle not exceeding a gross vehicle weight  | 
 rating of 26,000 pounds that is
designed to afford  | 
 clear and unobstructed vision to both front and  | 
 rear.
 | 
    (2) The escort vehicle driver must be properly  | 
 licensed to operate
the vehicle.
 | 
    (3) While in use, the escort vehicle must be  | 
 equipped with illuminated
rotating, oscillating,  | 
 or flashing amber lights or flashing amber strobe  | 
 | 
 lights
mounted on top that are of sufficient  | 
 intensity to be visible at 500 feet in
normal  | 
 sunlight.
 | 
    (4) "OVERSIZE LOAD" signs are mandatory on all  | 
 escort vehicles. The
sign on an escort vehicle  | 
 shall have 8-inch high black letters on a yellow
 | 
 sign that is 5 feet wide by 12 inches high.
 | 
    (5) When only one escort vehicle is required  | 
 and it is operating on a
two-lane highway, the  | 
 escort vehicle shall travel approximately 300 feet  | 
 ahead
of the load. The rotating, oscillating, or  | 
 flashing lights or flashing amber
strobe lights  | 
 and an "OVERSIZE LOAD" sign shall be displayed on  | 
 the escort
vehicle and shall be visible from the  | 
 front. When only one escort vehicle is
required  | 
 and it is operating on a multilane divided  | 
 highway, the escort vehicle
shall travel  | 
 approximately 300 feet behind the load and the  | 
 sign and lights
shall be visible from the rear.
 | 
    (6) When 2 escort vehicles are required, one  | 
 escort shall travel
approximately 300 feet ahead  | 
 of the load and the second escort shall travel
 | 
 approximately 300 feet behind the load. The  | 
 rotating, oscillating, or flashing
lights or  | 
 flashing amber strobe lights and an "OVERSIZE  | 
 LOAD" sign shall be
displayed on the escort  | 
 | 
 vehicles and shall be visible from the front on  | 
 the
lead escort and from the rear on the trailing  | 
 escort.
 | 
    (7) When traveling within the corporate limits  | 
 of a municipality, the
escort vehicle shall  | 
 maintain a reasonable and proper distance from the
 | 
 oversize load, consistent with existing traffic  | 
 conditions.
 | 
    (8) A separate escort shall be provided for  | 
 each load hauled.
 | 
    (9) The driver of an escort vehicle shall obey  | 
 all traffic laws.
 | 
    (10) The escort vehicle must be in safe  | 
 operational condition.
 | 
    (11) The driver of the escort vehicle must be  | 
 in radio contact with
the driver of the vehicle  | 
 carrying the oversize load.
 | 
   (F) A transport vehicle while under load of more  | 
 than 8 feet 6 inches
in width must be equipped with an  | 
 illuminated rotating, oscillating, or
flashing amber  | 
 light or lights or a flashing amber strobe light or  | 
 lights
mounted on the top of the cab that are of  | 
 sufficient intensity to be visible at
500 feet in  | 
 normal sunlight. If the load on the transport vehicle  | 
 blocks the
visibility of the amber lighting from the  | 
 rear of the vehicle, the vehicle must
also be equipped  | 
 | 
 with an illuminated rotating, oscillating, or flashing  | 
 amber
light or lights or a flashing amber strobe light  | 
 or lights mounted on the rear
of the load that are of  | 
 sufficient intensity to be visible at 500 feet in
 | 
 normal sunlight.
 | 
   (G) When a flashing amber light is required on the  | 
 transport vehicle
under load and it is operating on a  | 
 two-lane highway, the transport vehicle
shall display  | 
 to the rear at least one rotating, oscillating, or  | 
 flashing light
or a flashing amber strobe light and an  | 
 "OVERSIZE LOAD" sign. When a flashing
amber light is  | 
 required on the transport vehicle under load and it is  | 
 operating
on a multilane divided highway, the sign and  | 
 light shall be visible from the
rear.
 | 
   (H) Maximum speed shall be 45 miles per hour on all  | 
 such moves or 5
miles per hour above the posted minimum  | 
 speed limit, whichever is greater, but
the vehicle  | 
 shall not at any time exceed the posted maximum speed  | 
 limit.
 | 
  (3) Portable buildings designed and used for  | 
 agricultural and livestock
raising operations that are not  | 
 more than 14 feet wide and with not more
than a one-foot 1  | 
 foot overhang along the left side of the hauling vehicle.  | 
 However,
the buildings shall not be transported more than  | 
 10 miles and not on any
route that is part of the National  | 
 System of Interstate and Defense Highways.
 | 
 | 
 All buildings when being transported shall display at  | 
least 2 red
cloth flags, not less than 12 inches square,  | 
mounted as high as practicable
on the left and right side of  | 
the building.
 | 
 An Illinois State Police escort shall be required if it is  | 
necessary for this load
to use part of the left lane when  | 
crossing any 2-laned 2 laned State highway bridge.
 | 
 (c) Vehicles propelled by electric power obtained from  | 
overhead trolley
wires operated wholly within the corporate  | 
limits of a municipality are
also exempt from the width  | 
limitation.
 | 
 (d) (Blank).
 | 
 (d-1) A recreational vehicle, as defined in Section 1-169,  | 
may exceed 8 feet 6 inches in width if:
 | 
  (1) the excess width is attributable to appurtenances  | 
 that extend 6 inches or less beyond either side of the body  | 
 of the vehicle; and
 | 
  (2) the roadway on which the vehicle is traveling has  | 
 marked lanes for vehicular traffic that are at least 11  | 
 feet in width. | 
 As used in this subsection (d-1) and in subsection (d-2),  | 
the term appurtenance includes (i) a retracted awning and its  | 
support hardware and (ii) any appendage that is intended to be  | 
an integral part of a recreational vehicle. | 
 (d-2) A recreational vehicle that exceeds 8 feet 6 inches  | 
in width as provided in subsection (d-1) may travel any  | 
 | 
roadway of the State if the vehicle is being operated between a  | 
roadway permitted under subsection (d-1) and: | 
  (1) the location where the recreational vehicle is  | 
 garaged; | 
  (2) the destination of the recreational vehicle; or | 
  (3) a facility for food, fuel, repair, services, or  | 
 rest.
 | 
 (e) A vehicle and load traveling upon the National System  | 
of Interstate
and Defense Highways or any other highway in the  | 
system of State highways
that has been designated as a Class I  | 
or Class II highway by the
Department, or any street or highway  | 
designated by local authorities, may have a total outside  | 
width of 8 feet 6
inches, provided that certain safety devices  | 
that the Department
determines as necessary for the safe and  | 
efficient operation of motor
vehicles shall not be included in  | 
the calculation of width.
 | 
 Section 5-35 of the Illinois Administrative Procedure Act  | 
relating to
procedures for rulemaking shall not apply to the  | 
designation of highways under
this paragraph (e).
 | 
 (f) Mirrors required by Section 12-502 of this Code may  | 
project up to 14 inches beyond each side of
a bus and up to 6  | 
inches beyond each
side
of any other vehicle, and that  | 
projection shall not be deemed a
violation of the width  | 
restrictions of this Section.
 | 
 (g) Any person who is convicted of violating this Section  | 
is subject to
the penalty as provided in paragraph (b) of  | 
 | 
Section 15-113.
 | 
 (h) Safety devices identified by the Department in  | 
accordance with Section 12-812 shall not be deemed a violation  | 
of the width restrictions of this Section.  | 
(Source: P.A. 102-441, eff. 1-1-22; 102-538, eff. 8-20-21;  | 
revised 9-22-21.)
 | 
 (625 ILCS 5/15-305) (from Ch. 95 1/2, par. 15-305)
 | 
 Sec. 15-305. Fees for legal weight but overdimension  | 
vehicles, combinations,
and loads ;oads, other than house  | 
trailer combinations.
Fees for special permits to move  | 
overdimension vehicles, combinations, and
loads, other than  | 
house trailer combinations, shall be paid by the applicant
to  | 
the Department at the following rates:
 | 
|
  | 
 | 
90 Day | 
Annual | 
 
|
  | 
 | 
Limited | 
Limited | 
 
|
  | 
Single | 
Continuous | 
Continuous | 
 
|
  | 
Trip | 
Operation | 
Operation | 
 
|
 (a) Overall width of 10 feet
 |  or less, overall height of
14  |  feet 6 inches or less,
and  |  overall length of 70 | 
 |  |  |  
|
 feet or less | 
 | 
$100.00 | 
$400.00 | 
 
|
 For the first 90 miles | 
$12.00 | 
 |  |  
|
 From 90 miles to 180 miles | 
$15.00 | 
 |  |  
|
 From 180 miles to 270 miles | 
$18.00 | 
 |  |  
|
 
  | 
 | 
From 180 miles to 270 miles | 
$100.00 | 
 |  |  
|
 For more than 270 miles | 
$125.00 | 
 |  |  
  | 
 Permits issued under this Section shall be for a vehicle,  | 
or vehicle
combination and load not exceeding legal weights, ;  | 
and, in the case of the
limited continuous operation, shall be  | 
for the same vehicle, vehicle
combination, or like load.
 | 
 Escort requirements shall be as prescribed in the  | 
Department's rules and
regulations. Fees for the Illinois  | 
State Police vehicle escort, when required, shall
be in  | 
addition to the permit fees.
 | 
(Source: P.A. 102-538, eff. 8-20-21; revised 11-24-21.)
 | 
 (625 ILCS 5/16-103) (from Ch. 95 1/2, par. 16-103)
 | 
 (Text of Section before amendment by P.A. 101-652)
 | 
 Sec. 16-103. Arrest outside county where violation  | 
committed. 
 | 
 Whenever a defendant is arrested upon a warrant charging a  | 
violation of
this Act in a county other than that in which such  | 
warrant was issued, the
arresting officer, immediately upon  | 
the request of the defendant, shall
take such defendant before  | 
a circuit judge or associate circuit judge in
the county in  | 
which the arrest was made who shall admit the defendant to
bail  | 
for his appearance before the court named in the warrant. On  | 
taking
such bail, the circuit judge or associate circuit judge  | 
shall certify such
fact on the warrant and deliver the warrant  | 
and undertaking of bail or
other security, or the drivers  | 
 | 
license of such defendant if deposited,
under the law relating  | 
to such licenses, in lieu of such security, to the
officer  | 
having charge of the defendant. Such officer shall then  | 
immediately
discharge the defendant from arrest and without  | 
delay deliver such warrant
and such undertaking of bail, or  | 
other security or drivers license to the
court before which  | 
the defendant is required to appear.
 | 
(Source: P.A. 77-1280.)
 | 
 (Text of Section after amendment by P.A. 101-652)
 | 
 Sec. 16-103. Arrest outside county where violation  | 
committed. 
 | 
 Whenever a defendant is arrested upon a warrant charging a  | 
violation of
this Act in a county other than that in which such  | 
warrant was issued, the
arresting officer, immediately upon  | 
the request of the defendant, shall
take such defendant before  | 
a circuit judge or associate circuit judge in
the county in  | 
which the arrest was made who shall admit the defendant to
 | 
pretrial release for his appearance before the court named in  | 
the warrant. On setting the conditions of pretrial release,  | 
the circuit judge or associate circuit judge shall certify  | 
such
fact on the warrant and deliver the warrant and  | 
conditions of pretrial release, or the drivers license of such  | 
defendant if deposited,
under the law relating to such  | 
licenses, in lieu of such security, to the
officer having  | 
charge of the defendant. Such officer shall then immediately
 | 
 | 
discharge the defendant from arrest and without delay deliver  | 
such warrant
and such acknowledgment by the defendant of his  | 
or her receiving the conditions of pretrial release or drivers  | 
license to the
court before which the defendant is required to  | 
appear.
 | 
(Source: P.A. 101-652, eff. 1-1-23; revised 11-24-21.)
 | 
 (625 ILCS 5/16-105) (from Ch. 95 1/2, par. 16-105)
 | 
 Sec. 16-105. Disposition of fines and forfeitures. 
 | 
 (a) Except as provided in Section 15-113 of this Act and  | 
except those amounts subject to disbursement by the circuit
 | 
clerk under the Criminal and Traffic Assessment Act, fines and  | 
penalties
recovered under the provisions of Chapters 3 through  | 
17 and 18b inclusive of this
Code shall be paid and used as  | 
follows:
 | 
  1. For offenses committed upon a highway within the  | 
 limits of a
city, village, or incorporated town or under  | 
 the jurisdiction of any
park district, to the treasurer of  | 
 the particular city, village,
incorporated town, or park  | 
 district, if the violator was arrested by the
authorities  | 
 of the city, village, incorporated town, or park district,
 | 
 provided the police officers and officials of cities,  | 
 villages,
incorporated towns, and park districts shall  | 
 seasonably prosecute for all
fines and penalties under  | 
 this Code. If the violation is prosecuted by
the  | 
 authorities of the county, any fines or penalties  | 
 | 
 recovered shall be
paid to the county treasurer, except  | 
 that fines and penalties recovered from violations  | 
 arrested by the Illinois State Police shall be remitted to  | 
 the State Treasurer for deposit into the State Police Law  | 
 Enforcement Administration Fund. Provided further that if  | 
 the violator was
arrested by the Illinois State Police,  | 
 fines and penalties recovered under the
provisions of  | 
 paragraph (a) of Section 15-113 of this Code or paragraph  | 
 (e)
of Section 15-316 of this Code shall be remitted  | 
 Illinois to the State Treasurer who shall
deposit the  | 
 amount so remitted in the special fund in the State  | 
 treasury
known as the Road Fund except that if the  | 
 violation is prosecuted by the
State's Attorney, 10% of  | 
 the fine or penalty recovered shall be paid to
the State's  | 
 Attorney as a fee of his office and the balance shall be  | 
 remitted to the State Treasurer Illinois
for remittance to  | 
 and
deposit by the State Treasurer as hereinabove  | 
 provided.
 | 
  2. Except as provided in paragraph 4, for offenses  | 
 committed upon any
highway outside the limits of a
city,  | 
 village, incorporated town, or park district, to the  | 
 county
treasurer of the county where the offense was  | 
 committed except if such
offense was committed on a  | 
 highway maintained by or under the
supervision of a  | 
 township, township district, or a road district to the
 | 
 Treasurer thereof for deposit in the road and bridge fund  | 
 | 
 of such
township or other district, except that fines and  | 
 penalties recovered from violations arrested by the  | 
 Illinois State Police shall be remitted to the State  | 
 Treasurer for deposit into the State Police Law  | 
 Enforcement Administration Fund; provided, that fines and  | 
 penalties recovered
under the provisions of paragraph (a)  | 
 of Section 15-113, paragraph (d) of
Section 3-401, or  | 
 paragraph (e) of Section 15-316 of this Code shall
be  | 
 remitted Illinois to the State Treasurer
who shall deposit  | 
 the amount so remitted in the special fund in the State
 | 
 treasury known as the Road Fund except that if the  | 
 violation is prosecuted
by the State's Attorney, 10% of  | 
 the fine or penalty recovered shall be paid
to the State's  | 
 Attorney as a fee of his office and the balance shall be  | 
 remitted
to the State Treasurer Illinois for remittance to  | 
 and deposit
by the State Treasurer as hereinabove  | 
 provided.
 | 
  3. Notwithstanding subsections 1 and 2 of this  | 
 paragraph, for violations
of overweight and overload  | 
 limits found in Sections 15-101 through 15-203
of this  | 
 Code, which are committed upon the highways belonging to  | 
 the Illinois
State Toll Highway Authority, fines and  | 
 penalties shall be remitted to
the Illinois State Toll  | 
 Highway Authority for deposit with the State Treasurer
 | 
 into that special fund known as the Illinois State Toll  | 
 Highway Authority
Fund, except that if the violation is  | 
 | 
 prosecuted by the State's Attorney,
10% of the fine or  | 
 penalty recovered shall be paid to the State's Attorney
as  | 
 a fee of his office and the balance shall be remitted to  | 
 the Illinois
State Toll Highway Authority for remittance  | 
 to and deposit by the State
Treasurer as hereinabove  | 
 provided.
 | 
  4. With regard to violations of overweight and  | 
 overload limits found in
Sections 15-101 through 15-203 of  | 
 this Code committed by operators of vehicles
registered as  | 
 Special Hauling Vehicles, for offenses committed upon a  | 
 highway
within the limits of a city, village, or  | 
 incorporated town or under the
jurisdiction of any park  | 
 district, all fines and penalties shall be paid over
or  | 
 retained as required in paragraph 1. However, with regard  | 
 to the above
offenses committed by operators of vehicles  | 
 registered as Special Hauling
Vehicles upon any highway  | 
 outside the limits of a city, village, incorporated
town,  | 
 or park district, fines and penalties shall be paid over  | 
 or retained by
the entity having jurisdiction over the  | 
 road or highway upon which the offense
occurred, except  | 
 that if the violation is prosecuted by the State's  | 
 Attorney,
10% of the fine or penalty recovered shall be  | 
 paid to the State's Attorney as a
fee of his office.
 | 
 (b) Failure, refusal, or neglect on the part of any  | 
judicial or other
officer or employee receiving or having  | 
custody of any such fine or
forfeiture either before or after a  | 
 | 
deposit with the proper official as
defined in paragraph (a)  | 
of this Section, shall constitute misconduct in
office and  | 
shall be grounds for removal therefrom.
 | 
(Source: P.A. 102-145, eff. 7-23-21; 102-538, eff. 8-20-21;  | 
revised 10-12-21.)
 | 
 Section 580. The Snowmobile Registration and Safety Act is  | 
amended by changing Section 5-7 as follows:
 | 
 (625 ILCS 40/5-7)
 | 
 (Text of Section before amendment by P.A. 101-652) | 
 Sec. 5-7. Operating a snowmobile while under the influence  | 
of alcohol or
other drug or drugs, intoxicating compound or  | 
compounds, or a combination of
them; criminal penalties;  | 
suspension of operating privileges. | 
 (a) A person may not operate or be in actual physical  | 
control of a
snowmobile within this State
while:
 | 
  1. The alcohol concentration in that person's blood,  | 
 other bodily substance, or breath is a
concentration at  | 
 which driving a motor vehicle is prohibited under
 | 
 subdivision (1) of subsection (a) of
Section 11-501 of the  | 
 Illinois Vehicle Code;
 | 
  2. The person is under the influence of alcohol;
 | 
  3. The person is under the influence of any other drug  | 
 or combination of
drugs to a degree that renders that  | 
 person incapable of safely operating a
snowmobile;
 | 
 | 
  3.1. The person is under the influence of any  | 
 intoxicating compound or
combination of intoxicating  | 
 compounds to a degree that renders the person
incapable of  | 
 safely operating a snowmobile;
 | 
  4. The person is under the combined influence of  | 
 alcohol and any other
drug or drugs or intoxicating  | 
 compound or compounds to a degree that
renders that person  | 
 incapable of safely
operating a snowmobile;
 | 
  4.3. The person who is not a CDL holder has a  | 
 tetrahydrocannabinol concentration in the person's whole  | 
 blood or other bodily substance at which driving a motor  | 
 vehicle is prohibited under
subdivision (7) of subsection  | 
 (a) of
Section 11-501 of the Illinois Vehicle Code;  | 
  4.5. The person who is a CDL holder has any amount of a  | 
 drug, substance, or
compound in the person's breath,  | 
 blood, other bodily substance, or urine resulting from the  | 
 unlawful use or consumption of cannabis listed in the  | 
 Cannabis Control Act; or  | 
  5. There is any amount of a drug, substance, or  | 
 compound in that person's
breath, blood, other bodily  | 
 substance, or urine resulting from the unlawful use or  | 
 consumption
of a controlled substance listed in the
 | 
 Illinois Controlled Substances Act, methamphetamine as  | 
 listed in the Methamphetamine Control and Community  | 
 Protection Act, or intoxicating compound listed in the
use
 | 
 of Intoxicating Compounds Act.
 | 
 | 
 (b) The fact that a person charged with violating this  | 
Section is or has
been legally entitled to use alcohol, other  | 
drug or drugs, any
intoxicating
compound or compounds, or any  | 
combination of them does not constitute a
defense against a  | 
charge of violating this Section.
 | 
 (c) Every person convicted of violating this Section or a  | 
similar
provision of a local ordinance is guilty of a
Class A  | 
misdemeanor, except as otherwise provided in this Section.
 | 
 (c-1) As used in this Section, "first time offender" means  | 
any person who has not had a previous conviction or been  | 
assigned supervision for violating this Section or a similar  | 
provision of a local ordinance, or any person who has not had a  | 
suspension imposed under subsection (e) of Section 5-7.1. | 
 (c-2) For purposes of this Section, the following are  | 
equivalent to a conviction: | 
  (1) a forfeiture of bail or collateral deposited to  | 
 secure a defendant's appearance in court when forfeiture  | 
 has not been vacated; or | 
  (2) the failure of a defendant to appear for trial.
 | 
 (d) Every person convicted of violating this Section is  | 
guilty of a
Class 4 felony if:
 | 
  1. The person has a previous conviction under this  | 
 Section;
 | 
  2. The offense results in personal injury where a  | 
 person other than the
operator suffers great bodily harm  | 
 or permanent disability or disfigurement,
when the  | 
 | 
 violation was a proximate cause of the injuries.
A person  | 
 guilty of a Class 4 felony under this paragraph 2, if  | 
 sentenced to a
term of imprisonment, shall be sentenced to  | 
 not less than one year nor more
than
12 years; or
 | 
  3. The offense occurred during a period in which the  | 
 person's privileges
to
operate a snowmobile are revoked or  | 
 suspended, and the revocation or
suspension was for a  | 
 violation of this Section or was imposed under Section
 | 
 5-7.1.
 | 
 (e) Every person convicted of violating this Section is  | 
guilty
of a
Class 2 felony if the offense results in the death  | 
of a person.
A person guilty of a Class 2 felony under this  | 
subsection (e), if sentenced
to
a term of imprisonment, shall  | 
be sentenced to a term of not less than 3 years
and not more  | 
than 14 years.
 | 
 (e-1) Every person convicted of violating this Section or  | 
a similar
provision of a local ordinance who had a child under  | 
the age of 16 on board the
snowmobile at the time of offense  | 
shall be subject to a mandatory minimum fine
of $500 and shall  | 
be subject to a mandatory minimum of 5 days of community
 | 
service in a program benefiting children. The assignment under  | 
this subsection
shall not be subject to suspension nor shall  | 
the person be eligible for
probation in order to reduce the  | 
assignment.
 | 
 (e-2) Every person found guilty of violating this Section,  | 
whose operation
of
a snowmobile while in violation of this  | 
 | 
Section proximately caused any incident
resulting in an  | 
appropriate emergency response, shall be liable for the  | 
expense
of an emergency response as provided in subsection (i)  | 
of Section 11-501.01 of the Illinois Vehicle Code.
 | 
 (e-3) In addition to any other penalties and liabilities,  | 
a person who is
found guilty of violating this Section,  | 
including any person placed on court
supervision, shall be  | 
fined $100, payable to the circuit clerk, who shall
distribute  | 
the money to the law enforcement agency that made the arrest or  | 
as provided in subsection (c) of Section 10-5 of the Criminal  | 
and Traffic Assessment Act if the arresting agency is a State  | 
agency, unless more than one agency is responsible for the  | 
arrest, in which case the amount shall be remitted to each unit  | 
of government equally. Any moneys received by a law  | 
enforcement agency under
this subsection (e-3) shall be used  | 
to purchase law enforcement equipment or to
provide law  | 
enforcement training that will assist in the prevention of  | 
alcohol
related criminal violence throughout the State. Law  | 
enforcement equipment shall
include, but is not limited to,  | 
in-car video cameras, radar and laser speed
detection devices,  | 
and alcohol breath testers.
 | 
 (f) In addition to any criminal penalties imposed, the
 | 
Department of Natural Resources shall suspend the
snowmobile  | 
operation privileges of
a person convicted or found guilty of  | 
a misdemeanor under this
Section for a period of one
year,  | 
except that first-time offenders are exempt from
this  | 
 | 
mandatory one-year one year suspension.
 | 
 (g) In addition to any criminal penalties imposed, the  | 
Department of Natural
Resources shall suspend for a period of  | 
5 years the snowmobile operation
privileges of any person  | 
convicted or found guilty of a felony under this
Section.
 | 
(Source: P.A. 102-145, eff. 7-23-21; revised 8-5-21.)
 | 
 (Text of Section after amendment by P.A. 101-652) | 
 Sec. 5-7. Operating a snowmobile while under the influence  | 
of alcohol or
other drug or drugs, intoxicating compound or  | 
compounds, or a combination of
them; criminal penalties;  | 
suspension of operating privileges. | 
 (a) A person may not operate or be in actual physical  | 
control of a
snowmobile within this State
while:
 | 
  1. The alcohol concentration in that person's blood,  | 
 other bodily substance, or breath is a
concentration at  | 
 which driving a motor vehicle is prohibited under
 | 
 subdivision (1) of subsection (a) of
Section 11-501 of the  | 
 Illinois Vehicle Code;
 | 
  2. The person is under the influence of alcohol;
 | 
  3. The person is under the influence of any other drug  | 
 or combination of
drugs to a degree that renders that  | 
 person incapable of safely operating a
snowmobile;
 | 
  3.1. The person is under the influence of any  | 
 intoxicating compound or
combination of intoxicating  | 
 compounds to a degree that renders the person
incapable of  | 
 | 
 safely operating a snowmobile;
 | 
  4. The person is under the combined influence of  | 
 alcohol and any other
drug or drugs or intoxicating  | 
 compound or compounds to a degree that
renders that person  | 
 incapable of safely
operating a snowmobile;
 | 
  4.3. The person who is not a CDL holder has a  | 
 tetrahydrocannabinol concentration in the person's whole  | 
 blood or other bodily substance at which driving a motor  | 
 vehicle is prohibited under
subdivision (7) of subsection  | 
 (a) of
Section 11-501 of the Illinois Vehicle Code;  | 
  4.5. The person who is a CDL holder has any amount of a  | 
 drug, substance, or
compound in the person's breath,  | 
 blood, other bodily substance, or urine resulting from the  | 
 unlawful use or consumption of cannabis listed in the  | 
 Cannabis Control Act; or  | 
  5. There is any amount of a drug, substance, or  | 
 compound in that person's
breath, blood, other bodily  | 
 substance, or urine resulting from the unlawful use or  | 
 consumption
of a controlled substance listed in the
 | 
 Illinois Controlled Substances Act, methamphetamine as  | 
 listed in the Methamphetamine Control and Community  | 
 Protection Act, or intoxicating compound listed in the
use
 | 
 of Intoxicating Compounds Act.
 | 
 (b) The fact that a person charged with violating this  | 
Section is or has
been legally entitled to use alcohol, other  | 
drug or drugs, any
intoxicating
compound or compounds, or any  | 
 | 
combination of them does not constitute a
defense against a  | 
charge of violating this Section.
 | 
 (c) Every person convicted of violating this Section or a  | 
similar
provision of a local ordinance is guilty of a
Class A  | 
misdemeanor, except as otherwise provided in this Section.
 | 
 (c-1) As used in this Section, "first time offender" means  | 
any person who has not had a previous conviction or been  | 
assigned supervision for violating this Section or a similar  | 
provision of a local ordinance, or any person who has not had a  | 
suspension imposed under subsection (e) of Section 5-7.1. | 
 (c-2) For purposes of this Section, the following are  | 
equivalent to a conviction: | 
  (1) a violation of the terms of pretrial release when  | 
 the court has not relieved the defendant of complying with  | 
 the terms of pretrial release; or | 
  (2) the failure of a defendant to appear for trial.
 | 
 (d) Every person convicted of violating this Section is  | 
guilty of a
Class 4 felony if:
 | 
  1. The person has a previous conviction under this  | 
 Section;
 | 
  2. The offense results in personal injury where a  | 
 person other than the
operator suffers great bodily harm  | 
 or permanent disability or disfigurement,
when the  | 
 violation was a proximate cause of the injuries.
A person  | 
 guilty of a Class 4 felony under this paragraph 2, if  | 
 sentenced to a
term of imprisonment, shall be sentenced to  | 
 | 
 not less than one year nor more
than
12 years; or
 | 
  3. The offense occurred during a period in which the  | 
 person's privileges
to
operate a snowmobile are revoked or  | 
 suspended, and the revocation or
suspension was for a  | 
 violation of this Section or was imposed under Section
 | 
 5-7.1.
 | 
 (e) Every person convicted of violating this Section is  | 
guilty
of a
Class 2 felony if the offense results in the death  | 
of a person.
A person guilty of a Class 2 felony under this  | 
subsection (e), if sentenced
to
a term of imprisonment, shall  | 
be sentenced to a term of not less than 3 years
and not more  | 
than 14 years.
 | 
 (e-1) Every person convicted of violating this Section or  | 
a similar
provision of a local ordinance who had a child under  | 
the age of 16 on board the
snowmobile at the time of offense  | 
shall be subject to a mandatory minimum fine
of $500 and shall  | 
be subject to a mandatory minimum of 5 days of community
 | 
service in a program benefiting children. The assignment under  | 
this subsection
shall not be subject to suspension nor shall  | 
the person be eligible for
probation in order to reduce the  | 
assignment.
 | 
 (e-2) Every person found guilty of violating this Section,  | 
whose operation
of
a snowmobile while in violation of this  | 
Section proximately caused any incident
resulting in an  | 
appropriate emergency response, shall be liable for the  | 
expense
of an emergency response as provided in subsection (i)  | 
 | 
of Section 11-501.01 of the Illinois Vehicle Code.
 | 
 (e-3) In addition to any other penalties and liabilities,  | 
a person who is
found guilty of violating this Section,  | 
including any person placed on court
supervision, shall be  | 
fined $100, payable to the circuit clerk, who shall
distribute  | 
the money to the law enforcement agency that made the arrest or  | 
as provided in subsection (c) of Section 10-5 of the Criminal  | 
and Traffic Assessment Act if the arresting agency is a State  | 
agency, unless more than one agency is responsible for the  | 
arrest, in which case the amount shall be remitted to each unit  | 
of government equally. Any moneys received by a law  | 
enforcement agency under
this subsection (e-3) shall be used  | 
to purchase law enforcement equipment or to
provide law  | 
enforcement training that will assist in the prevention of  | 
alcohol
related criminal violence throughout the State. Law  | 
enforcement equipment shall
include, but is not limited to,  | 
in-car video cameras, radar and laser speed
detection devices,  | 
and alcohol breath testers.
 | 
 (f) In addition to any criminal penalties imposed, the
 | 
Department of Natural Resources shall suspend the
snowmobile  | 
operation privileges of
a person convicted or found guilty of  | 
a misdemeanor under this
Section for a period of one
year,  | 
except that first-time offenders are exempt from
this  | 
mandatory one-year one year suspension.
 | 
 (g) In addition to any criminal penalties imposed, the  | 
Department of Natural
Resources shall suspend for a period of  | 
 | 
5 years the snowmobile operation
privileges of any person  | 
convicted or found guilty of a felony under this
Section.
 | 
(Source: P.A. 101-652, eff. 1-1-23; 102-145, eff. 7-23-21;  | 
revised 8-5-21.)
 | 
 Section 585. The Clerks of Courts Act is amended by  | 
changing Section 27.1b as follows:
 | 
 (705 ILCS 105/27.1b) | 
 (Section scheduled to be repealed on January 1, 2024) | 
 Sec. 27.1b. Circuit court clerk fees. Notwithstanding any  | 
other provision of law, all fees charged by the clerks of the  | 
circuit court for the services described in this Section shall  | 
be established, collected, and disbursed in accordance with  | 
this Section. Except as otherwise specified in this Section,  | 
all fees under this Section shall be paid in advance and  | 
disbursed by each clerk on a monthly basis. In a county with a  | 
population of over 3,000,000, units of local government and  | 
school districts shall not be required to pay fees under this  | 
Section in advance and the clerk shall instead send an  | 
itemized bill to the unit of local government or school  | 
district, within 30 days of the fee being incurred, and the  | 
unit of local government or school district shall be allowed  | 
at least 30 days from the date of the itemized bill to pay;  | 
these payments shall be disbursed by each clerk on a monthly  | 
basis. Unless otherwise specified in this Section, the amount  | 
 | 
of a fee shall be determined by ordinance or resolution of the  | 
county board and remitted to the county treasurer to be used  | 
for purposes related to the operation of the court system in  | 
the county. In a county with a population of over 3,000,000,  | 
any amount retained by the clerk of the circuit court or  | 
remitted to the county treasurer shall be subject to  | 
appropriation by the county board. | 
 (a) Civil cases. The fee for filing a complaint, petition,  | 
or other pleading initiating a civil action shall be as set  | 
forth in the applicable schedule under this subsection in  | 
accordance with case categories established by the Supreme  | 
Court in schedules.  | 
  (1) SCHEDULE 1: not to exceed a total of $366 in a  | 
 county with a population of 3,000,000 or more and not to  | 
 exceed $316 in any other county, except as applied to  | 
 units of local government and school districts in counties  | 
 with more than 3,000,000 inhabitants an amount not to  | 
 exceed $190 through December 31, 2021 and $184 on and  | 
 after January 1, 2022. The fees collected under this  | 
 schedule shall be disbursed as follows: | 
   (A) The clerk shall retain a sum, in an amount not  | 
 to exceed $55 in a county with a population of  | 
 3,000,000 or more and in an amount not to exceed $45 in  | 
 any other county determined by the clerk with the  | 
 approval of the Supreme Court, to be used for court  | 
 automation, court document storage, and administrative  | 
 | 
 purposes. | 
   (B) The clerk shall remit up to $21 to the State  | 
 Treasurer. The State Treasurer shall deposit the  | 
 appropriate amounts, in accordance with the clerk's  | 
 instructions, as follows: | 
    (i) up to $10, as specified by the Supreme  | 
 Court in accordance with Part 10A of Article II of  | 
 the Code of Civil Procedure, into the Mandatory  | 
 Arbitration Fund; | 
    (ii) $2 into the Access to Justice Fund; and | 
    (iii) $9 into the Supreme Court Special  | 
 Purposes Fund. | 
   (C) The clerk shall remit a sum to the County  | 
 Treasurer, in an amount not to exceed $290 in a county  | 
 with a population of 3,000,000 or more and in an amount  | 
 not to exceed $250 in any other county, as specified by  | 
 ordinance or resolution passed by the county board,  | 
 for purposes related to the operation of the court  | 
 system in the county. | 
  (2) SCHEDULE 2: not to exceed a total of $357 in a  | 
 county with a population of 3,000,000 or more and not to  | 
 exceed $266 in any other county, except as applied to  | 
 units of local government and school districts in counties  | 
 with more than 3,000,000 inhabitants an amount not to  | 
 exceed $190 through December 31, 2021 and $184 on and  | 
 after January 1, 2022. The fees collected under this  | 
 | 
 schedule shall be disbursed as follows: | 
   (A) The clerk shall retain a sum, in an amount not  | 
 to exceed $55 in a county with a population of  | 
 3,000,000 or more and in an amount not to exceed $45 in  | 
 any other county determined by the clerk with the  | 
 approval of the Supreme Court, to be used for court  | 
 automation, court document storage, and administrative  | 
 purposes. | 
   (B) The clerk shall remit up to $21 to the State  | 
 Treasurer. The State Treasurer shall deposit the  | 
 appropriate amounts, in accordance with the clerk's  | 
 instructions, as follows: | 
    (i) up to $10, as specified by the Supreme  | 
 Court in accordance with Part 10A of Article II of  | 
 the Code of Civil Procedure, into the Mandatory  | 
 Arbitration Fund; | 
    (ii) $2 into the Access to Justice Fund: and | 
    (iii) $9 into the Supreme Court Special  | 
 Purposes Fund. | 
   (C) The clerk shall remit a sum to the County  | 
 Treasurer, in an amount not to exceed $281 in a county  | 
 with a population of 3,000,000 or more and in an amount  | 
 not to exceed $200 in any other county, as specified by  | 
 ordinance or resolution passed by the county board,  | 
 for purposes related to the operation of the court  | 
 system in the county. | 
 | 
  (3) SCHEDULE 3: not to exceed a total of $265 in a  | 
 county with a population of 3,000,000 or more and not to  | 
 exceed $89 in any other county, except as applied to units  | 
 of local government and school districts in counties with  | 
 more than 3,000,000 inhabitants an amount not to exceed  | 
 $190 through December 31, 2021 and $184 on and after  | 
 January 1, 2022. The fees collected under this schedule  | 
 shall be disbursed as follows: | 
   (A) The clerk shall retain a sum, in an amount not  | 
 to exceed $55 in a county with a population of  | 
 3,000,000 or more and in an amount not to exceed $22 in  | 
 any other county determined by the clerk with the  | 
 approval of the Supreme Court, to be used for court  | 
 automation, court document storage, and administrative  | 
 purposes. | 
   (B) The clerk shall remit $11 to the State  | 
 Treasurer. The State Treasurer shall deposit the  | 
 appropriate amounts in accordance with the clerk's  | 
 instructions, as follows: | 
    (i) $2 into the Access to Justice Fund; and | 
    (ii) $9 into the Supreme Court Special  | 
 Purposes Fund. | 
   (C) The clerk shall remit a sum to the County  | 
 Treasurer, in an amount not to exceed $199 in a county  | 
 with a population of 3,000,000 or more and in an amount  | 
 not to exceed $56 in any other county, as specified by  | 
 | 
 ordinance or resolution passed by the county board,  | 
 for purposes related to the operation of the court  | 
 system in the county. | 
  (4) SCHEDULE 4: $0. | 
 (b) Appearance. The fee for filing an appearance in a  | 
civil action, including a cannabis civil law action under the  | 
Cannabis Control Act, shall be as set forth in the applicable  | 
schedule under this subsection in accordance with case  | 
categories established by the Supreme Court in schedules. | 
  (1) SCHEDULE 1: not to exceed a total of $230 in a  | 
 county with a population of 3,000,000 or more and not to  | 
 exceed $191 in any other county, except as applied to  | 
 units of local government and school districts in counties  | 
 with more than 3,000,000 inhabitants an amount not to  | 
 exceed $75. The fees collected under this schedule shall  | 
 be disbursed as follows: | 
   (A) The clerk shall retain a sum, in an amount not  | 
 to exceed $50 in a county with a population of  | 
 3,000,000 or more and in an amount not to exceed $45 in  | 
 any other county determined by the clerk with the  | 
 approval of the Supreme Court, to be used for court  | 
 automation, court document storage, and administrative  | 
 purposes. | 
   (B) The clerk shall remit up to $21 to the State  | 
 Treasurer. The State Treasurer shall deposit the  | 
 appropriate amounts, in accordance with the clerk's  | 
 | 
 instructions, as follows: | 
    (i) up to $10, as specified by the Supreme  | 
 Court in accordance with Part 10A of Article II of  | 
 the Code of Civil Procedure, into the Mandatory  | 
 Arbitration Fund; | 
    (ii) $2 into the Access to Justice Fund; and | 
    (iii) $9 into the Supreme Court Special  | 
 Purposes Fund. | 
   (C) The clerk shall remit a sum to the County  | 
 Treasurer, in an amount not to exceed $159 in a county  | 
 with a population of 3,000,000 or more and in an amount  | 
 not to exceed $125 in any other county, as specified by  | 
 ordinance or resolution passed by the county board,  | 
 for purposes related to the operation of the court  | 
 system in the county. | 
  (2) SCHEDULE 2: not to exceed a total of $130 in a  | 
 county with a population of 3,000,000 or more and not to  | 
 exceed $109 in any other county, except as applied to  | 
 units of local government and school districts in counties  | 
 with more than 3,000,000 inhabitants an amount not to  | 
 exceed $75. The fees collected under this schedule shall  | 
 be disbursed as follows: | 
   (A) The clerk shall retain a sum, in an amount not  | 
 to exceed $50 in a county with a population of  | 
 3,000,000 or more and in an amount not to exceed $10 in  | 
 any other county determined by the clerk with the  | 
 | 
 approval of the Supreme Court, to be used for court  | 
 automation, court document storage, and administrative  | 
 purposes. | 
   (B) The clerk shall remit $9 to the State  | 
 Treasurer, which the State Treasurer shall deposit  | 
 into the Supreme Court Special Purposes Fund. | 
   (C) The clerk shall remit a sum to the County  | 
 Treasurer, in an amount not to exceed $71 in a county  | 
 with a population of 3,000,000 or more and in an amount  | 
 not to exceed $90 in any other county, as specified by  | 
 ordinance or resolution passed by the county board,  | 
 for purposes related to the operation of the court  | 
 system in the county. | 
  (3) SCHEDULE 3: $0. | 
 (b-5) Kane County and Will County. In Kane County and Will  | 
County civil cases, there is an additional fee of up to $30 as  | 
set by the county board under Section 5-1101.3 of the Counties  | 
Code to be paid by each party at the time of filing the first  | 
pleading, paper, or other appearance; provided that no  | 
additional fee shall be required if more than one party is  | 
represented in a single pleading, paper, or other appearance.  | 
Distribution of fees collected under this subsection (b-5)  | 
shall be as provided in Section 5-1101.3 of the Counties Code.  | 
 (c) Counterclaim or third party complaint. When any  | 
defendant files a counterclaim or third party complaint, as  | 
part of the defendant's answer or otherwise, the defendant  | 
 | 
shall pay a filing fee for each counterclaim or third party  | 
complaint in an amount equal to the filing fee the defendant  | 
would have had to pay had the defendant brought a separate  | 
action for the relief sought in the counterclaim or third  | 
party complaint, less the amount of the appearance fee, if  | 
any, that the defendant has already paid in the action in which  | 
the counterclaim or third party complaint is filed. | 
 (d) Alias summons. The clerk shall collect a fee not to  | 
exceed $6 in a county with a population of 3,000,000 or more  | 
and not to exceed $5 in any other county for each alias summons  | 
or citation issued by the clerk, except as applied to units of  | 
local government and school districts in counties with more  | 
than 3,000,000 inhabitants an amount not to exceed $5 for each  | 
alias summons or citation issued by the clerk. | 
 (e) Jury services. The clerk shall collect, in addition to  | 
other fees allowed by law, a sum not to exceed $212.50, as a  | 
fee for the services of a jury in every civil action not  | 
quasi-criminal in its nature and not a proceeding for the  | 
exercise of the right of eminent domain and in every other  | 
action wherein the right of trial by jury is or may be given by  | 
law. The jury fee shall be paid by the party demanding a jury  | 
at the time of filing the jury demand. If the fee is not paid  | 
by either party, no jury shall be called in the action or  | 
proceeding, and the action or proceeding shall be tried by the  | 
court without a jury. | 
 (f) Change of venue. In connection with a change of venue: | 
 | 
  (1) The clerk of the jurisdiction from which the case  | 
 is transferred may charge a fee, not to exceed $40, for the  | 
 preparation and certification of the record; and | 
  (2) The clerk of the jurisdiction to which the case is  | 
 transferred may charge the same filing fee as if it were  | 
 the commencement of a new suit. | 
 (g) Petition to vacate or modify. | 
  (1) In a proceeding involving a petition to vacate or  | 
 modify any final judgment or order filed within 30 days  | 
 after the judgment or order was entered, except for an  | 
 eviction case, small claims case, petition to reopen an  | 
 estate, petition to modify, terminate, or enforce a  | 
 judgment or order for child or spousal support, or  | 
 petition to modify, suspend, or terminate an order for  | 
 withholding, the fee shall not exceed $60 in a county with  | 
 a population of 3,000,000 or more and shall not exceed $50  | 
 in any other county, except as applied to units of local  | 
 government and school districts in counties with more than  | 
 3,000,000 inhabitants an amount not to exceed $50. | 
  (2) In a proceeding involving a petition to vacate or  | 
 modify any final judgment or order filed more than 30 days  | 
 after the judgment or order was entered, except for a  | 
 petition to modify, terminate, or enforce a judgment or  | 
 order for child or spousal support, or petition to modify,  | 
 suspend, or terminate an order for withholding, the fee  | 
 shall not exceed $75. | 
 | 
  (3) In a proceeding involving a motion to vacate or  | 
 amend a final order, motion to vacate an ex parte  | 
 judgment, judgment of forfeiture, or "failure to appear"  | 
 or "failure to comply" notices sent to the Secretary of  | 
 State, the fee shall equal $40. | 
 (h) Appeals preparation. The fee for preparation of a  | 
record on appeal shall be based on the number of pages, as  | 
follows: | 
  (1) if the record contains no more than 100 pages, the  | 
 fee shall not exceed $70 in a county with a population of  | 
 3,000,000 or more and shall not exceed $50 in any other  | 
 county; | 
  (2) if the record contains between 100 and 200 pages,  | 
 the fee shall not exceed $100; and | 
  (3) if the record contains 200 or more pages, the  | 
 clerk may collect an additional fee not to exceed 25 cents  | 
 per page. | 
 (i) Remands. In any cases remanded to the circuit court  | 
from the Supreme Court or the appellate court for a new trial,  | 
the clerk shall reinstate the case with either its original  | 
number or a new number. The clerk shall not charge any new or  | 
additional fee for the reinstatement. Upon reinstatement, the  | 
clerk shall advise the parties of the reinstatement. Parties  | 
shall have the same right to a jury trial on remand and  | 
reinstatement that they had before the appeal, and no  | 
additional or new fee or charge shall be made for a jury trial  | 
 | 
after remand. | 
 (j) Garnishment, wage deduction, and citation. In  | 
garnishment affidavit, wage deduction affidavit, and citation  | 
petition proceedings: | 
  (1) if the amount in controversy in the proceeding is  | 
 not more than $1,000, the fee may not exceed $35 in a  | 
 county with a population of 3,000,000 or more and may not  | 
 exceed $15 in any other county, except as applied to units  | 
 of local government and school districts in counties with  | 
 more than 3,000,000 inhabitants an amount not to exceed  | 
 $15; | 
  (2) if the amount in controversy in the proceeding is  | 
 greater than $1,000 and not more than $5,000, the fee may  | 
 not exceed $45 in a county with a population of 3,000,000  | 
 or more and may not exceed $30 in any other county, except  | 
 as applied to units of local government and school  | 
 districts in counties with more than 3,000,000 inhabitants  | 
 an amount not to exceed $30; and | 
  (3) if the amount in controversy in the proceeding is  | 
 greater than $5,000, the fee may not exceed $65 in a county  | 
 with a population of 3,000,000 or more and may not exceed  | 
 $50 in any other county, except as applied to units of  | 
 local government and school districts in counties with  | 
 more than 3,000,000 inhabitants an amount not to exceed  | 
 $50. | 
 (j-5) Debt collection. In any proceeding to collect a debt  | 
 | 
subject to the exception in item (ii) of subparagraph (A-5) of  | 
paragraph (1) of subsection (z) of this Section, the circuit  | 
court shall order and the clerk shall collect from each  | 
judgment debtor a fee of:  | 
  (1) $35 if the amount in controversy in the proceeding  | 
 is not more than $1,000; | 
  (2) $45 if the amount in controversy in the proceeding  | 
 is greater than $1,000 and not more than $5,000; and  | 
  (3) $65 if the amount in controversy in the proceeding  | 
 is greater than $5,000.  | 
 (k) Collections. | 
  (1) For all collections made of others, except the  | 
 State and county and except in maintenance or child  | 
 support cases, the clerk may collect a fee of up to 2.5% of  | 
 the amount collected and turned over. | 
  (2) In child support and maintenance cases, the clerk  | 
 may collect an annual fee of up to $36 from the person  | 
 making payment for maintaining child support records and  | 
 the processing of support orders to the State of Illinois  | 
 KIDS system and the recording of payments issued by the  | 
 State Disbursement Unit for the official record of the  | 
 Court. This fee is in addition to and separate from  | 
 amounts ordered to be paid as maintenance or child support  | 
 and shall be deposited into a Separate Maintenance and  | 
 Child Support Collection Fund, of which the clerk shall be  | 
 the custodian, ex officio, to be used by the clerk to  | 
 | 
 maintain child support orders and record all payments  | 
 issued by the State Disbursement Unit for the official  | 
 record of the Court. The clerk may recover from the person  | 
 making the maintenance or child support payment any  | 
 additional cost incurred in the collection of this annual  | 
 fee. | 
  (3) The clerk may collect a fee of $5 for  | 
 certifications made to the Secretary of State as provided  | 
 in Section 7-703 of the Illinois Vehicle Code, and this  | 
 fee shall be deposited into the Separate Maintenance and  | 
 Child Support Collection Fund. | 
  (4) In proceedings
to foreclose the lien of delinquent  | 
 real estate taxes, State's Attorneys
shall receive a fee  | 
 of 10%
of the total amount realized from the sale of real  | 
 estate sold in the
proceedings. The clerk shall collect  | 
 the fee from the total amount realized from
the sale of the  | 
 real estate sold in the proceedings and remit to the  | 
 County Treasurer to be credited to the earnings of the  | 
 Office of the State's Attorney.  | 
 (l) Mailing. The fee for the clerk mailing documents shall  | 
not exceed $10 plus the cost of postage. | 
 (m) Certified copies. The fee for each certified copy of a  | 
judgment, after the first copy, shall not exceed $10. | 
 (n) Certification, authentication, and reproduction. | 
  (1) The fee for each certification or authentication  | 
 for taking the acknowledgment of a deed or other  | 
 | 
 instrument in writing with the seal of office shall not  | 
 exceed $6. | 
  (2) The fee for reproduction of any document contained  | 
 in the clerk's files shall not exceed: | 
   (A) $2 for the first page; | 
   (B) 50 cents per page for the next 19 pages; and | 
   (C) 25 cents per page for all additional pages. | 
 (o) Record search. For each record search, within a  | 
division or municipal district, the clerk may collect a search  | 
fee not to exceed $6 for each year searched. | 
 (p) Hard copy. For each page of hard copy print output,  | 
when case records are maintained on an automated medium, the  | 
clerk may collect a fee not to exceed $10 in a county with a  | 
population of 3,000,000 or more and not to exceed $6 in any  | 
other county, except as applied to units of local government  | 
and school districts in counties with more than 3,000,000  | 
inhabitants an amount not to exceed $6. | 
 (q) Index inquiry and other records. No fee shall be  | 
charged for a single plaintiff and defendant index inquiry or  | 
single case record inquiry when this request is made in person  | 
and the records are maintained in a current automated medium,  | 
and when no hard copy print output is requested. The fees to be  | 
charged for management records, multiple case records, and  | 
multiple journal records may be specified by the Chief Judge  | 
pursuant to the guidelines for access and dissemination of  | 
information approved by the Supreme Court. | 
 | 
 (r) Performing a marriage. There shall be a $10 fee for  | 
performing a marriage in court. | 
 (s) Voluntary assignment. For filing each deed of  | 
voluntary assignment, the clerk shall collect a fee not to  | 
exceed $20. For recording a deed of voluntary assignment, the  | 
clerk shall collect a fee not to exceed 50 cents for each 100  | 
words. Exceptions filed to claims presented to an assignee of  | 
a debtor who has made a voluntary assignment for the benefit of  | 
creditors shall be considered and treated, for the purpose of  | 
taxing costs therein, as actions in which the party or parties  | 
filing the exceptions shall be considered as party or parties  | 
plaintiff, and the claimant or claimants as party or parties  | 
defendant, and those parties respectively shall pay to the  | 
clerk the same fees as provided by this Section to be paid in  | 
other actions. | 
 (t) Expungement petition. The clerk may collect a fee not  | 
to exceed $60 for each expungement petition filed and an  | 
additional fee not to exceed $4 for each certified copy of an  | 
order to expunge arrest records. | 
 (u) Transcripts of judgment. For the filing of a  | 
transcript of judgment, the clerk may collect the same fee as  | 
if it were the commencement of a new suit. | 
 (v) Probate filings. | 
  (1) For each account (other than one final account)  | 
 filed in the estate of a decedent, or ward, the fee shall  | 
 not exceed $25. | 
 | 
  (2) For filing a claim in an estate when the amount  | 
 claimed is greater than $150 and not more than $500, the  | 
 fee shall not exceed $40 in a county with a population of  | 
 3,000,000 or more and shall not exceed $25 in any other  | 
 county; when the amount claimed is greater than $500 and  | 
 not more than $10,000, the fee shall not exceed $55 in a  | 
 county with a population of 3,000,000 or more and shall  | 
 not exceed $40 in any other county; and when the amount  | 
 claimed is more than $10,000, the fee shall not exceed $75  | 
 in a county with a population of 3,000,000 or more and  | 
 shall not exceed $60 in any other county; except the court  | 
 in allowing a claim may add to the amount allowed the  | 
 filing fee paid by the claimant. | 
  (3) For filing in an estate a claim, petition, or  | 
 supplemental proceeding based upon an action seeking  | 
 equitable relief including the construction or contest of  | 
 a will, enforcement of a contract to make a will, and  | 
 proceedings involving testamentary trusts or the  | 
 appointment of testamentary trustees, the fee shall not  | 
 exceed $60. | 
  (4) There shall be no fee for filing in an estate: (i)  | 
 the appearance of any person for the purpose of consent;  | 
 or (ii) the appearance of an executor, administrator,  | 
 administrator to collect, guardian, guardian ad litem, or  | 
 special administrator. | 
  (5) For each jury demand, the fee shall not exceed  | 
 | 
 $137.50. | 
  (6) For each certified copy of letters of office, of  | 
 court order, or other certification, the fee shall not  | 
 exceed
$2 per page. | 
  (7) For each exemplification, the fee shall not exceed  | 
 $2, plus the fee for certification. | 
  (8) The executor, administrator, guardian, petitioner,  | 
 or other interested person or his or her attorney shall  | 
 pay the cost of publication by the clerk directly to the  | 
 newspaper. | 
  (9) The person on whose behalf a charge is incurred  | 
 for witness, court reporter, appraiser, or other  | 
 miscellaneous fees shall pay the same directly to the  | 
 person entitled thereto. | 
  (10) The executor, administrator, guardian,  | 
 petitioner, or other interested person or his or her  | 
 attorney shall pay to the clerk all postage charges  | 
 incurred by the clerk in mailing petitions, orders,  | 
 notices, or other documents pursuant to the provisions of  | 
 the Probate Act of 1975. | 
 (w) Corrections of numbers. For correction of the case  | 
number, case title, or attorney computer identification  | 
number, if required by rule of court, on any document filed in  | 
the clerk's office, to be charged against the party that filed  | 
the document, the fee shall not exceed $25. | 
 (x) Miscellaneous. | 
 | 
  (1) Interest earned on any fees collected by the clerk  | 
 shall be turned over to the county general fund as an  | 
 earning of the office. | 
  (2) For any check, draft, or other bank instrument  | 
 returned to the clerk for non-sufficient funds, account  | 
 closed, or payment stopped, the clerk shall collect a fee  | 
 of $25. | 
 (y) Other fees. Any fees not covered in this Section shall  | 
be set by rule or administrative order of the circuit court  | 
with the approval of the Administrative Office of the Illinois  | 
Courts. The clerk of the circuit court may provide services in  | 
connection with the operation of the clerk's office, other  | 
than those services mentioned in this Section, as may be  | 
requested by the public and agreed to by the clerk and approved  | 
by the Chief Judge. Any charges for additional services shall  | 
be as agreed to between the clerk and the party making the  | 
request and approved by the Chief Judge. Nothing in this  | 
subsection shall be construed to require any clerk to provide  | 
any service not otherwise required by law. | 
 (y-5) Unpaid fees. Unless a court ordered payment schedule  | 
is implemented or the fee
requirements of this Section are  | 
waived under a court order, the clerk of
the circuit court may  | 
add to any unpaid fees and costs under this Section a  | 
delinquency
amount equal to 5% of the unpaid fees that remain  | 
unpaid after 30 days, 10% of
the unpaid fees that remain unpaid  | 
after 60 days, and 15% of the unpaid fees
that remain unpaid  | 
 | 
after 90 days. Notice to those parties may be made by
signage  | 
posting or publication. The additional delinquency amounts  | 
collected under this Section shall
be deposited into the  | 
Circuit Court Clerk Operations and Administration Fund and  | 
used to defray additional administrative costs incurred by the  | 
clerk of the
circuit court in collecting unpaid fees and  | 
costs.  | 
 (z) Exceptions. | 
  (1) No fee authorized by this Section shall apply to: | 
   (A) police departments or other law enforcement  | 
 agencies. In this Section, "law enforcement agency"  | 
 means: an agency of the State or agency of a unit of  | 
 local government which is vested by law or ordinance  | 
 with the duty to maintain public order and to enforce  | 
 criminal laws or ordinances; the Attorney General; or  | 
 any State's Attorney; | 
   (A-5) any unit of local government or school  | 
 district, except in counties having a population of  | 
 500,000 or more the county board may by resolution set  | 
 fees for units of local government or school districts  | 
 no greater than the minimum fees applicable in  | 
 counties with a population less than 3,000,000;  | 
 provided however, no fee may be charged to any unit of  | 
 local government or school district in connection with  | 
 any action which, in whole or in part, is: (i) to  | 
 enforce an ordinance; (ii) to collect a debt; or (iii)  | 
 | 
 under the Administrative Review Law;  | 
   (B) any action instituted by the corporate  | 
 authority of a municipality with more than 1,000,000  | 
 inhabitants under Section 11-31-1 of the Illinois  | 
 Municipal Code and any action instituted under  | 
 subsection (b) of Section 11-31-1 of the Illinois  | 
 Municipal Code by a private owner or tenant of real  | 
 property within 1,200 feet of a dangerous or unsafe  | 
 building seeking an order compelling the owner or  | 
 owners of the building to take any of the actions  | 
 authorized under that subsection; | 
   (C) any commitment petition or petition for an  | 
 order authorizing the administration of psychotropic  | 
 medication or electroconvulsive therapy under the  | 
 Mental Health and Developmental Disabilities Code; | 
   (D) a petitioner in any order of protection  | 
 proceeding, including, but not limited to, fees for  | 
 filing, modifying, withdrawing, certifying, or  | 
 photocopying petitions for orders of protection,  | 
 issuing alias summons, any related filing service, or  | 
 certifying, modifying, vacating, or photocopying any  | 
 orders of protection; or | 
   (E) proceedings for the appointment of a  | 
 confidential intermediary under the Adoption Act. | 
  (2) No fee other than the filing fee contained in the  | 
 applicable schedule in subsection (a) shall be charged to  | 
 | 
 any person in connection with an adoption proceeding. | 
  (3) Upon good cause shown, the court may waive any  | 
 fees associated with a special needs adoption. The term  | 
 "special needs adoption" has the meaning provided by the  | 
 Illinois Department of Children and Family Services. | 
 (aa) This Section is repealed on January 1, 2024. 
 | 
(Source: P.A. 101-645, eff. 6-26-20; 102-145, eff. 7-23-21;  | 
102-278, eff. 8-6-21; 102-558, eff. 8-20-21; revised  | 
10-13-21.)
 | 
 Section 590. The Criminal and Traffic Assessment Act is  | 
amended by changing Section 15-70 as follows:
 | 
 (705 ILCS 135/15-70)
 | 
 (Section scheduled to be repealed on January 1, 2024) | 
 Sec. 15-70. Conditional assessments. In addition to  | 
payments under one of the Schedule of Assessments 1 through 13  | 
of this Act, the court shall also order payment of any of the  | 
following conditional assessment amounts for each sentenced  | 
violation in the case to which a conditional assessment is  | 
applicable, which shall be collected and remitted by the Clerk  | 
of the Circuit Court as provided in this Section: | 
  (1) arson, residential arson, or aggravated arson,  | 
 $500 per conviction to the State Treasurer for deposit  | 
 into the Fire Prevention Fund; | 
  (2) child pornography under Section 11-20.1 of the  | 
 | 
 Criminal Code of 1961 or the Criminal Code of 2012, $500  | 
 per conviction, unless more than one agency is responsible  | 
 for the arrest in which case the amount shall be remitted  | 
 to each unit of government equally: | 
   (A) if the arresting agency is an agency of a unit  | 
 of local government, $500 to the treasurer of the unit  | 
 of local government for deposit into the unit of local  | 
 government's General Fund, except that if the Illinois  | 
 State Police provides digital or electronic forensic  | 
 examination assistance, or both, to the arresting  | 
 agency then $100 to the State Treasurer for deposit  | 
 into the State Crime Laboratory Fund; or | 
   (B) if the arresting agency is the Illinois State  | 
 Police, $500 to the State Treasurer for deposit into  | 
 the State Crime Laboratory Fund; | 
  (3)
crime laboratory drug analysis for a drug-related  | 
 offense involving possession or delivery of cannabis or  | 
 possession or delivery of a controlled substance as  | 
 defined in the Cannabis Control Act, the Illinois  | 
 Controlled Substances Act, or the Methamphetamine Control  | 
 and Community Protection Act, $100 reimbursement for  | 
 laboratory analysis, as set forth in subsection (f) of  | 
 Section 5-9-1.4 of the Unified Code of Corrections; | 
  (4)
DNA analysis, $250 on each conviction in which it  | 
 was used to the State Treasurer for deposit into the State  | 
 Crime Laboratory Fund as set forth in Section 5-9-1.4 of  | 
 | 
 the Unified Code of Corrections; | 
  (5)
DUI analysis, $150 on each sentenced violation in  | 
 which it was used as set forth in subsection (f) of Section  | 
 5-9-1.9 of the Unified Code of Corrections; | 
  (6) drug-related
offense involving possession or  | 
 delivery of cannabis or possession or delivery
of a  | 
 controlled substance, other than methamphetamine, as  | 
 defined in the Cannabis Control Act
or the Illinois  | 
 Controlled Substances Act, an amount not less than
the  | 
 full street value of the cannabis or controlled substance  | 
 seized for each conviction to be disbursed as follows: | 
   (A) 12.5% of the street value assessment shall be  | 
 paid into the Youth Drug Abuse Prevention Fund, to be  | 
 used by the Department of Human Services for the  | 
 funding of programs and services for drug-abuse  | 
 treatment, and prevention and education services; | 
   (B) 37.5% to the county in which the charge was  | 
 prosecuted, to be deposited into the county General  | 
 Fund; | 
   (C) 50% to the treasurer of the arresting law  | 
 enforcement agency of the municipality or county, or  | 
 to the State Treasurer if the arresting agency was a  | 
 state agency, to be deposited as provided in  | 
 subsection (c) of Section 10-5; | 
   (D) if the arrest was made in combination with  | 
 multiple law enforcement agencies, the clerk shall  | 
 | 
 equitably allocate the portion in subparagraph (C) of  | 
 this paragraph (6) among the law enforcement agencies  | 
 involved in the arrest; | 
  (6.5) Kane County or Will County, in felony,  | 
 misdemeanor, local or county ordinance, traffic, or  | 
 conservation cases, up to $30 as set by the county board  | 
 under Section 5-1101.3 of the Counties Code upon the entry  | 
 of a judgment of conviction, an order of supervision, or a  | 
 sentence of probation without entry of judgment under  | 
 Section 10 of the Cannabis Control Act, Section 410 of the  | 
 Illinois Controlled Substances Act, Section 70 of the  | 
 Methamphetamine Control and Community Protection Act,  | 
 Section 12-4.3 or subdivision (b)(1) of Section 12-3.05 of  | 
 the Criminal Code of 1961 or the Criminal Code of 2012,  | 
 Section 10-102 of the Illinois Alcoholism and Other Drug  | 
 Dependency Act, or Section 10 of the Steroid Control Act;  | 
 except in local or county ordinance, traffic, and  | 
 conservation cases, if fines are paid in full without a  | 
 court appearance, then the assessment shall not be imposed  | 
 or collected. Distribution of assessments collected under  | 
 this paragraph (6.5) shall be as provided in Section  | 
 5-1101.3 of the Counties Code; | 
  (7) methamphetamine-related
offense involving  | 
 possession or delivery of methamphetamine or any salt of  | 
 an optical isomer of methamphetamine or possession of a  | 
 methamphetamine manufacturing material as set forth in  | 
 | 
 Section 10 of the Methamphetamine Control and Community  | 
 Protection Act with the intent to manufacture a substance  | 
 containing methamphetamine or salt of an optical isomer of  | 
 methamphetamine, an amount not less than
the full street  | 
 value of the methamphetamine or salt of an optical isomer  | 
 of methamphetamine or methamphetamine manufacturing  | 
 materials seized for each conviction to be disbursed as  | 
 follows: | 
   (A) 12.5% of the street value assessment shall be  | 
 paid into the Youth Drug Abuse Prevention Fund, to be  | 
 used by the Department of Human Services for the  | 
 funding of programs and services for drug-abuse  | 
 treatment, and prevention and education services; | 
   (B) 37.5% to the county in which the charge was  | 
 prosecuted, to be deposited into the county General  | 
 Fund; | 
   (C) 50% to the treasurer of the arresting law  | 
 enforcement agency of the municipality or county, or  | 
 to the State Treasurer if the arresting agency was a  | 
 state agency, to be deposited as provided in  | 
 subsection (c) of Section 10-5; | 
   (D) if the arrest was made in combination with  | 
 multiple law enforcement agencies, the clerk shall  | 
 equitably allocate the portion in subparagraph (C) of  | 
 this paragraph (6) among the law enforcement agencies  | 
 involved in the arrest; | 
 | 
  (8)
order of protection violation under Section 12-3.4  | 
 of the Criminal Code of 2012, $200 for each conviction to  | 
 the county treasurer for deposit into the Probation and  | 
 Court Services Fund for implementation of a domestic  | 
 violence surveillance program and any other assessments or  | 
 fees imposed under Section 5-9-1.16 of the Unified Code of  | 
 Corrections; | 
  (9)
order of protection violation, $25 for each  | 
 violation to the State Treasurer, for deposit into the  | 
 Domestic Violence Abuser Services Fund; | 
  (10)
prosecution by the State's Attorney of a: | 
   (A) petty or business offense, $4 to the county  | 
 treasurer of which $2 deposited into the State's  | 
 Attorney Records Automation Fund and $2 into the  | 
 Public Defender Records Automation Fund; | 
   (B) conservation or traffic offense, $2 to the  | 
 county treasurer for deposit into the State's Attorney  | 
 Records Automation Fund; | 
  (11) speeding in a construction zone violation, $250  | 
 to the State Treasurer for deposit into the Transportation  | 
 Safety Highway Hire-back Fund, unless (i) the violation  | 
 occurred on a highway other than an interstate highway and  | 
 (ii) a county police officer wrote the ticket for the  | 
 violation, in which case to the county treasurer for  | 
 deposit into that county's Transportation Safety Highway  | 
 Hire-back Fund; | 
 | 
  (12) supervision disposition on an offense under the  | 
 Illinois Vehicle Code or similar provision of a local  | 
 ordinance, 50 cents, unless waived by the court, into the  | 
 Prisoner Review Board Vehicle and Equipment Fund; | 
  (13) victim and offender are family or household  | 
 members as defined in Section 103 of the Illinois Domestic  | 
 Violence Act of 1986 and offender pleads guilty
or no  | 
 contest to or is convicted of murder, voluntary  | 
 manslaughter,
involuntary manslaughter, burglary,  | 
 residential burglary, criminal trespass
to residence,  | 
 criminal trespass to vehicle, criminal trespass to land,
 | 
 criminal damage to property, telephone harassment,  | 
 kidnapping, aggravated
kidnaping, unlawful restraint,  | 
 forcible detention, child abduction,
indecent solicitation  | 
 of a child, sexual relations between siblings,
 | 
 exploitation of a child, child pornography, assault,  | 
 aggravated assault,
battery, aggravated battery, heinous  | 
 battery, aggravated battery of a
child, domestic battery,  | 
 reckless conduct, intimidation, criminal sexual
assault,  | 
 predatory criminal sexual assault of a child, aggravated  | 
 criminal
sexual assault, criminal sexual abuse,
aggravated  | 
 criminal sexual abuse, violation of an order of  | 
 protection,
disorderly conduct, endangering the life or  | 
 health of a child, child
abandonment, contributing to  | 
 dependency or neglect of child, or cruelty to
children and  | 
 others, $200 for each sentenced violation to the State  | 
 | 
 Treasurer
for deposit as follows: (i) for sexual assault,  | 
 as defined in Section 5-9-1.7 of the Unified Code of  | 
 Corrections, when
the offender and victim are family  | 
 members, one-half to the Domestic Violence
Shelter and  | 
 Service Fund, and one-half to the Sexual Assault Services  | 
 Fund;
(ii) for the remaining offenses to the Domestic  | 
 Violence Shelter and Service
Fund; | 
  (14)
violation of Section 11-501 of the Illinois  | 
 Vehicle Code, Section 5-7 of the Snowmobile Registration  | 
 and Safety Act, Section 5-16 of the Boat Registration and  | 
 Safety Act, or a similar provision, whose operation of a  | 
 motor vehicle, snowmobile, or watercraft while in  | 
 violation of Section 11-501, Section 5-7 of the Snowmobile  | 
 Registration and Safety Act, Section 5-16 of the Boat  | 
 Registration and Safety Act, or a similar provision  | 
 proximately caused an incident resulting in an appropriate  | 
 emergency response, $1,000 maximum to the public agency  | 
 that provided an emergency response related to the  | 
 person's violation, or as provided in subsection (c) of  | 
 Section 10-5 if the arresting agency was a State agency,  | 
 unless more than one agency was responsible for the  | 
 arrest, in which case the amount shall be remitted to each  | 
 unit of government equally; | 
  (15)
violation of Section 401, 407, or 407.2 of the  | 
 Illinois Controlled Substances Act that proximately caused  | 
 any incident resulting in an appropriate drug-related  | 
 | 
 emergency response, $1,000 as reimbursement for the  | 
 emergency response to the law enforcement agency that
made  | 
 the arrest, or as provided in subsection (c) of Section  | 
 10-5 if the arresting agency was a State agency, unless  | 
 more than one agency was responsible for the arrest, in  | 
 which case the amount shall be remitted to each unit of  | 
 government equally; | 
  (16)
violation of reckless driving, aggravated  | 
 reckless driving, or driving 26 miles per hour or more in  | 
 excess of the speed limit that triggered an emergency  | 
 response, $1,000 maximum reimbursement for the emergency  | 
 response to be distributed in its entirety to a public  | 
 agency that provided an emergency response related to the  | 
 person's violation, or as provided in subsection (c) of  | 
 Section 10-5 if the arresting agency was a State agency,  | 
 unless more than one agency was responsible for the  | 
 arrest, in which case the amount shall be remitted to each  | 
 unit of government equally; | 
  (17) violation based upon each plea of guilty,  | 
 stipulation of facts, or finding of guilt resulting in a  | 
 judgment of conviction or order of supervision for an  | 
 offense under Section 10-9, 11-14.1, 11-14.3, or 11-18 of  | 
 the Criminal Code of 2012 that results in the imposition  | 
 of a fine, to be distributed as follows:
 | 
   (A) $50 to the county treasurer for deposit into  | 
 the Circuit Court Clerk Operation and Administrative  | 
 | 
 Fund to cover the costs in administering this  | 
 paragraph (17);
 | 
   (B) $300 to the State Treasurer who shall deposit  | 
 the portion as follows:
 | 
    (i) if the arresting or investigating agency  | 
 is the Illinois State
Police, into the State  | 
 Police Law Enforcement Administration Fund;
 | 
    (ii) if the arresting or investigating agency  | 
 is the Department of
Natural Resources, into the  | 
 Conservation Police Operations Assistance Fund;
 | 
    (iii) if the arresting or investigating agency  | 
 is the Secretary of State,
into the Secretary of  | 
 State Police Services Fund;
 | 
    (iv) if the arresting or investigating agency  | 
 is the Illinois Commerce
Commission, into the  | 
 Transportation Regulatory Fund; or
 | 
    (v) if more than one of the State agencies in  | 
 this subparagraph (B) is the arresting or  | 
 investigating agency, then equal shares with the  | 
 shares deposited as provided in the applicable  | 
 items (i) through (iv) of this subparagraph (B);  | 
 and | 
   (C) the remainder for deposit into the Specialized  | 
 Services for Survivors of Human Trafficking Fund;
 | 
  (18) weapons violation under Section 24-1.1, 24-1.2,  | 
 or 24-1.5 of the Criminal Code of 1961 or the Criminal Code  | 
 | 
 of 2012, $100 for each conviction to the State Treasurer  | 
 for deposit into the Trauma Center Fund; and
 | 
  (19) violation of subsection (c) of Section 11-907 of  | 
 the Illinois Vehicle Code, $250 to the State Treasurer for  | 
 deposit into the Scott's Law Fund, unless a county or  | 
 municipal police officer wrote the ticket for the  | 
 violation, in which case to the county treasurer for  | 
 deposit into that county's or municipality's  | 
 Transportation Safety Highway Hire-back Fund to be used as  | 
 provided in subsection (j) of Section 11-907 of the  | 
 Illinois Vehicle Code. | 
(Source: P.A. 101-173, eff. 1-1-20; 101-636, eff. 6-10-20;  | 
102-145, eff. 7-23-21; 102-505, eff. 8-20-21; 102-538, eff.  | 
8-20-21; revised 10-13-21.)
 | 
 Section 595. The Juvenile Court Act of 1987 is amended by  | 
setting forth and renumbering multiple versions of Section  | 
1-4.2 and by changing Sections 1-7, 1-8, 2-10, 2-28, 5-501,  | 
and 5-901 as follows:
 | 
 (705 ILCS 405/1-4.2) | 
 Sec. 1-4.2. Trauma-sensitive transport. | 
 (a) The Department of Children and Family Services shall  | 
ensure the provision of trauma-sensitive transport to minors  | 
placed in its care
in accordance with this Act.  | 
Notwithstanding any other law to the contrary, no minor shall  | 
 | 
be
subjected to restraints, as defined in Section 4e of the  | 
Children and Family Services Act, during the provision of any  | 
transportation services
provided or arranged by the Department  | 
of Children and Family Services or its contractual assigns.  | 
 (b) The Department of Children and Family Services'  | 
application to the court for approval of an individualized  | 
trauma-sensitive
transportation plan must include a copy of  | 
the plan developed in accordance with Section 4e of the  | 
Children
and Family Services Act and the written approval of  | 
the Department as required by paragraph (2) of subsection (e)  | 
of
Section 4e of the Children and Family Services Act.  | 
 (c) When considering whether to approve the individualized  | 
trauma-sensitive transportation plan, the court shall
consider  | 
the minor's best interest and the following additional  | 
factors: the reason for the transport, the
type of placement  | 
the minor is being transported from and to, the anticipated  | 
length of travel, the
clinical needs of the minor, including  | 
any medical or emotional needs, any available less restrictive
 | 
alternatives, and any other factor the court deems relevant.  | 
The court may require amendments to the
minor's  | 
trauma-sensitive individualized transportation plan based on  | 
written findings of fact that the
plan, as written, is not in  | 
the minor's best interest. 
 | 
(Source: P.A. 102-649, eff. 8-27-21.)
 | 
 (705 ILCS 405/1-4.3)
 | 
 | 
 Sec. 1-4.3 1-4.2. Special immigrant minor. | 
 (a) The court hearing a case under this Act has  | 
jurisdiction to make the findings necessary to enable a minor  | 
who has been adjudicated a ward of the court to petition the  | 
United States Citizenship and Immigration Services for  | 
classification as a special immigrant juvenile under 8 U.S.C.  | 
1101(a)(27)(J). A minor for whom the court finds under  | 
subsection (b) shall remain under the jurisdiction of the  | 
court until his or her special immigrant juvenile petition is  | 
filed with the United States Citizenship and Immigration  | 
Services, or its successor agency. | 
 (b) If a motion requests findings regarding Special  | 
Immigrant Juvenile Status under 8 U.S.C. 1101(a)(27)(J) and  | 
the evidence, which may consist solely of, but is not limited  | 
to, a declaration of the minor, supports the findings, the  | 
court shall issue an order that includes the following  | 
findings: | 
  (1) the minor is: | 
   (i) declared a dependent of the court; or | 
   (ii) legally committed to, or placed under the  | 
 custody of, a State agency or department, or an  | 
 individual or entity appointed by the court; | 
  (2) that reunification of the minor with one or both  | 
 of the minor's parents is not viable due to abuse,  | 
 neglect, abandonment, or other similar basis; and | 
  (3) that it is not in the best interest of the minor to  | 
 | 
 be returned to the minor's or parent's previous country of  | 
 nationality or last habitual residence. | 
 (c) For purposes of this Section: | 
 "Abandonment" means, but is not limited to, the failure of  | 
a parent or legal guardian to maintain a reasonable degree of  | 
interest, concern, or responsibility for the welfare of his or  | 
her minor child or ward. "Abandonment" includes the definition  | 
of "dependency" provided in Section 2-4. | 
 "Abuse" has the meaning provided in Section 2-3. | 
 "Neglect" has the meaning provided in Section 2-3.
 | 
(Source: P.A. 102-259, eff. 8-6-21; revised 11-18-21.)
 | 
 (705 ILCS 405/1-7)
 | 
 (Text of Section before amendment by P.A. 101-652) | 
 Sec. 1-7. Confidentiality of juvenile law enforcement and  | 
municipal ordinance violation records. 
 | 
 (A) All juvenile law enforcement records which have not  | 
been expunged are confidential and may never be disclosed to  | 
the general public or otherwise made widely available.  | 
Juvenile law enforcement records may be obtained only under  | 
this Section and Section 1-8 and Part 9 of Article V of this  | 
Act, when their use is needed for good cause and with an order  | 
from the juvenile court, as required by those not authorized  | 
to retain them. Inspection, copying, and disclosure of  | 
juvenile law enforcement records maintained by law
enforcement  | 
agencies or records of municipal ordinance violations  | 
 | 
maintained by any State, local, or municipal agency that  | 
relate to a minor who has been investigated, arrested, or  | 
taken
into custody before his or her 18th birthday shall be  | 
restricted to the
following:
 | 
  (0.05) The minor who is the subject of the juvenile  | 
 law enforcement record, his or her parents, guardian, and  | 
 counsel.  | 
  (0.10) Judges of the circuit court and members of the  | 
 staff of the court designated by the judge.  | 
  (0.15) An administrative adjudication hearing officer  | 
 or members of the staff designated to assist in the  | 
 administrative adjudication process.  | 
  (1) Any local, State, or federal law enforcement  | 
 officers or designated law enforcement staff of any
 | 
 jurisdiction or agency when necessary for the discharge of  | 
 their official
duties during the investigation or  | 
 prosecution of a crime or relating to a
minor who has been  | 
 adjudicated delinquent and there has been a previous  | 
 finding
that the act which constitutes the previous  | 
 offense was committed in
furtherance of criminal  | 
 activities by a criminal street gang, or, when necessary  | 
 for the discharge of its official duties in connection  | 
 with a particular investigation of the conduct of a law  | 
 enforcement officer, an independent agency or its staff  | 
 created by ordinance and charged by a unit of local  | 
 government with the duty of investigating the conduct of  | 
 | 
 law enforcement officers. For purposes of
this Section,  | 
 "criminal street gang" has the meaning ascribed to it in
 | 
 Section 10 of the Illinois Streetgang Terrorism Omnibus  | 
 Prevention Act.
 | 
  (2) Prosecutors, public defenders, probation officers,  | 
 social workers, or other
individuals assigned by the court  | 
 to conduct a pre-adjudication or
pre-disposition  | 
 investigation, and individuals responsible for supervising
 | 
 or providing temporary or permanent care and custody for  | 
 minors under
the order of the juvenile court, when  | 
 essential to performing their
responsibilities.
 | 
  (3) Federal, State, or local prosecutors, public  | 
 defenders, probation officers, and designated staff:
 | 
   (a) in the course of a trial when institution of  | 
 criminal proceedings
has been permitted or required  | 
 under Section 5-805;
 | 
   (b) when institution of criminal proceedings has  | 
 been permitted or required under Section 5-805 and the  | 
 minor is the
subject
of a proceeding to determine the  | 
 amount of bail;
 | 
   (c) when criminal proceedings have been permitted
 | 
 or
required under Section 5-805 and the minor is the  | 
 subject of a
pre-trial
investigation, pre-sentence  | 
 investigation, fitness hearing, or proceedings
on an  | 
 application for probation; or
 | 
   (d) in the course of prosecution or administrative  | 
 | 
 adjudication of a violation of a traffic, boating, or  | 
 fish and game law, or a county or municipal ordinance.  | 
  (4) Adult and Juvenile Prisoner Review Board.
 | 
  (5) Authorized military personnel.
 | 
  (5.5) Employees of the federal government authorized  | 
 by law.  | 
  (6) Persons engaged in bona fide research, with the  | 
 permission of the
Presiding Judge and the chief executive  | 
 of the respective
law enforcement agency; provided that  | 
 publication of such research results
in no disclosure of a  | 
 minor's identity and protects the confidentiality
of the  | 
 minor's record.
 | 
  (7) Department of Children and Family Services child  | 
 protection
investigators acting in their official  | 
 capacity.
 | 
  (8) The appropriate school official only if the agency  | 
 or officer believes that there is an imminent threat of  | 
 physical harm to students, school personnel, or others who  | 
 are present in the school or on school grounds. | 
   (A) Inspection and copying
shall be limited to  | 
 juvenile law enforcement records transmitted to the  | 
 appropriate
school official or officials whom the  | 
 school has determined to have a legitimate educational  | 
 or safety interest by a local law enforcement agency  | 
 under a reciprocal reporting
system established and  | 
 maintained between the school district and the local  | 
 | 
 law
enforcement agency under Section 10-20.14 of the  | 
 School Code concerning a minor
enrolled in a school  | 
 within the school district who has been arrested or  | 
 taken
into custody for any of the following offenses:
 | 
    (i) any violation of Article 24 of the  | 
 Criminal Code of
1961 or the Criminal Code of  | 
 2012;
 | 
    (ii) a violation of the Illinois Controlled  | 
 Substances Act;
 | 
    (iii) a violation of the Cannabis Control Act;
 | 
    (iv) a forcible felony as defined in Section  | 
 2-8 of the Criminal Code
of 1961 or the Criminal  | 
 Code of 2012; | 
    (v) a violation of the Methamphetamine Control  | 
 and Community Protection Act;
 | 
    (vi) a violation of Section 1-2 of the  | 
 Harassing and Obscene Communications Act;  | 
    (vii) a violation of the Hazing Act; or  | 
    (viii) a violation of Section 12-1, 12-2,  | 
 12-3, 12-3.05, 12-3.1, 12-3.2, 12-3.4, 12-3.5,  | 
 12-5, 12-7.3, 12-7.4, 12-7.5, 25-1, or 25-5 of the  | 
 Criminal Code of 1961 or the Criminal Code of  | 
 2012.  | 
   The information derived from the juvenile law  | 
 enforcement records shall be kept separate from and  | 
 shall not become a part of the official school record  | 
 | 
 of that child and shall not be a public record. The  | 
 information shall be used solely by the appropriate  | 
 school official or officials whom the school has  | 
 determined to have a legitimate educational or safety  | 
 interest to aid in the proper rehabilitation of the  | 
 child and to protect the safety of students and  | 
 employees in the school. If the designated law  | 
 enforcement and school officials deem it to be in the  | 
 best interest of the minor, the student may be  | 
 referred to in-school or community-based social  | 
 services if those services are available.  | 
 "Rehabilitation services" may include interventions by  | 
 school support personnel, evaluation for eligibility  | 
 for special education, referrals to community-based  | 
 agencies such as youth services, behavioral healthcare  | 
 service providers, drug and alcohol prevention or  | 
 treatment programs, and other interventions as deemed  | 
 appropriate for the student.  | 
   (B) Any information provided to appropriate school  | 
 officials whom the school has determined to have a  | 
 legitimate educational or safety interest by local law  | 
 enforcement officials about a minor who is the subject  | 
 of a current police investigation that is directly  | 
 related to school safety shall consist of oral  | 
 information only, and not written juvenile law  | 
 enforcement records, and shall be used solely by the  | 
 | 
 appropriate school official or officials to protect  | 
 the safety of students and employees in the school and  | 
 aid in the proper rehabilitation of the child. The  | 
 information derived orally from the local law  | 
 enforcement officials shall be kept separate from and  | 
 shall not become a part of the official school record  | 
 of the child and shall not be a public record. This  | 
 limitation on the use of information about a minor who  | 
 is the subject of a current police investigation shall  | 
 in no way limit the use of this information by  | 
 prosecutors in pursuing criminal charges arising out  | 
 of the information disclosed during a police  | 
 investigation of the minor. For purposes of this  | 
 paragraph, "investigation" means an official  | 
 systematic inquiry by a law enforcement agency into  | 
 actual or suspected criminal activity.  | 
  (9) Mental health professionals on behalf of the  | 
 Department of
Corrections or the Department of Human  | 
 Services or prosecutors who are
evaluating, prosecuting,  | 
 or investigating a potential or actual petition
brought
 | 
 under the Sexually Violent Persons Commitment Act relating  | 
 to a person who is
the
subject of juvenile law enforcement  | 
 records or the respondent to a petition
brought under the  | 
 Sexually Violent Persons Commitment Act who is the subject  | 
 of
the
juvenile law enforcement records sought.
Any  | 
 juvenile law enforcement records and any information  | 
 | 
 obtained from those juvenile law enforcement records under  | 
 this
paragraph (9) may be used only in sexually violent  | 
 persons commitment
proceedings.
 | 
  (10) The president of a park district. Inspection and  | 
 copying shall be limited to juvenile law enforcement  | 
 records transmitted to the president of the park district  | 
 by the Illinois State Police under Section 8-23 of the  | 
 Park District Code or Section 16a-5 of the Chicago Park  | 
 District Act concerning a person who is seeking employment  | 
 with that park district and who has been adjudicated a  | 
 juvenile delinquent for any of the offenses listed in  | 
 subsection (c) of Section 8-23 of the Park District Code  | 
 or subsection (c) of Section 16a-5 of the Chicago Park  | 
 District Act.  | 
  (11) Persons managing and designated to participate in  | 
 a court diversion program as designated in subsection (6)  | 
 of Section 5-105.  | 
  (12) The Public Access Counselor of the Office of the  | 
 Attorney General, when reviewing juvenile law enforcement  | 
 records under its powers and duties under the Freedom of  | 
 Information Act.  | 
  (13) Collection agencies, contracted or otherwise  | 
 engaged by a governmental entity, to collect any debts due  | 
 and owing to the governmental entity.  | 
 (B)(1) Except as provided in paragraph (2), no law  | 
enforcement
officer or other person or agency may knowingly  | 
 | 
transmit to the Department of
Corrections, the Illinois State  | 
Police, or the Federal
Bureau of Investigation any fingerprint  | 
or photograph relating to a minor who
has been arrested or  | 
taken into custody before his or her 18th birthday,
unless the  | 
court in proceedings under this Act authorizes the  | 
transmission or
enters an order under Section 5-805 permitting  | 
or requiring the
institution of
criminal proceedings.
 | 
 (2) Law enforcement officers or other persons or agencies  | 
shall transmit
to the Illinois State Police copies of  | 
fingerprints and descriptions
of all minors who have been  | 
arrested or taken into custody before their
18th birthday for  | 
the offense of unlawful use of weapons under Article 24 of
the  | 
Criminal Code of 1961 or the Criminal Code of 2012, a Class X  | 
or Class 1 felony, a forcible felony as
defined in Section 2-8  | 
of the Criminal Code of 1961 or the Criminal Code of 2012, or a  | 
Class 2 or greater
felony under the Cannabis Control Act, the  | 
Illinois Controlled Substances Act, the Methamphetamine  | 
Control and Community Protection Act,
or Chapter 4 of the  | 
Illinois Vehicle Code, pursuant to Section 5 of the
Criminal  | 
Identification Act. Information reported to the Department  | 
pursuant
to this Section may be maintained with records that  | 
the Department files
pursuant to Section 2.1 of the Criminal  | 
Identification Act. Nothing in this
Act prohibits a law  | 
enforcement agency from fingerprinting a minor taken into
 | 
custody or arrested before his or her 18th birthday for an  | 
offense other than
those listed in this paragraph (2).
 | 
 | 
 (C) The records of law enforcement officers, or of an  | 
independent agency created by ordinance and charged by a unit  | 
of local government with the duty of investigating the conduct  | 
of law enforcement officers, concerning all minors under
18  | 
years of age must be maintained separate from the records of  | 
arrests and
may not be open to public inspection or their  | 
contents disclosed to the
public. For purposes of obtaining  | 
documents under this Section, a civil subpoena is not an order  | 
of the court. | 
  (1) In cases where the law enforcement, or independent  | 
 agency, records concern a pending juvenile court case, the  | 
 party seeking to inspect the records shall provide actual  | 
 notice to the attorney or guardian ad litem of the minor  | 
 whose records are sought. | 
  (2) In cases where the records concern a juvenile  | 
 court case that is no longer pending, the party seeking to  | 
 inspect the records shall provide actual notice to the  | 
 minor or the minor's parent or legal guardian, and the  | 
 matter shall be referred to the chief judge presiding over  | 
 matters pursuant to this Act. | 
  (3) In determining whether the records should be  | 
 available for inspection, the court shall consider the  | 
 minor's interest in confidentiality and rehabilitation  | 
 over the moving party's interest in obtaining the  | 
 information. Any records obtained in violation of this  | 
 subsection (C) shall not be admissible in any criminal or  | 
 | 
 civil proceeding, or operate to disqualify a minor from  | 
 subsequently holding public office or securing employment,  | 
 or operate as a forfeiture of any public benefit, right,  | 
 privilege, or right to receive any license granted by  | 
 public authority.
 | 
 (D) Nothing contained in subsection (C) of this Section  | 
shall prohibit
the inspection or disclosure to victims and  | 
witnesses of photographs
contained in the records of law  | 
enforcement agencies when the
inspection and disclosure is  | 
conducted in the presence of a law enforcement
officer for the  | 
purpose of the identification or apprehension of any person
 | 
subject to the provisions of this Act or for the investigation  | 
or
prosecution of any crime.
 | 
 (E) Law enforcement officers, and personnel of an  | 
independent agency created by ordinance and charged by a unit  | 
of local government with the duty of investigating the conduct  | 
of law enforcement officers, may not disclose the identity of  | 
any minor
in releasing information to the general public as to  | 
the arrest, investigation
or disposition of any case involving  | 
a minor.
 | 
 (F) Nothing contained in this Section shall prohibit law  | 
enforcement
agencies from communicating with each other by  | 
letter, memorandum, teletype, or
intelligence alert bulletin  | 
or other means the identity or other relevant
information  | 
pertaining to a person under 18 years of age if there are
 | 
reasonable grounds to believe that the person poses a real and  | 
 | 
present danger
to the safety of the public or law enforcement  | 
officers. The information
provided under this subsection (F)  | 
shall remain confidential and shall not
be publicly disclosed,  | 
except as otherwise allowed by law.
 | 
 (G) Nothing in this Section shall prohibit the right of a  | 
Civil Service
Commission or appointing authority of any  | 
federal government, state, county or municipality
examining  | 
the character and fitness of an applicant for employment with  | 
a law
enforcement agency, correctional institution, or fire  | 
department
from obtaining and examining the
records of any law  | 
enforcement agency relating to any record of the applicant
 | 
having been arrested or taken into custody before the  | 
applicant's 18th
birthday.
 | 
 (G-5) Information identifying victims and alleged victims  | 
of sex offenses shall not be disclosed or open to the public  | 
under any circumstances. Nothing in this Section shall  | 
prohibit the victim or alleged victim of any sex offense from  | 
voluntarily disclosing his or her own identity.  | 
 (H) The changes made to this Section by Public Act 98-61  | 
apply to law enforcement records of a minor who has been  | 
arrested or taken into custody on or after January 1, 2014 (the  | 
effective date of Public Act 98-61).  | 
 (H-5) Nothing in this Section shall require any court or  | 
adjudicative proceeding for traffic, boating, fish and game  | 
law, or municipal and county ordinance violations to be closed  | 
to the public.  | 
 | 
 (I) Willful violation of this Section is a Class C  | 
misdemeanor and each violation is subject to a fine of $1,000.  | 
This subsection (I) shall not apply to the person who is the  | 
subject of the record. | 
 (J) A person convicted of violating this Section is liable  | 
for damages in the amount of $1,000 or actual damages,  | 
whichever is greater.  | 
(Source: P.A. 102-538, eff. 8-20-21.)
 | 
 (Text of Section after amendment by P.A. 101-652)
 | 
 Sec. 1-7. Confidentiality of juvenile law enforcement and  | 
municipal ordinance violation records. 
 | 
 (A) All juvenile law enforcement records which have not  | 
been expunged are confidential and may never be disclosed to  | 
the general public or otherwise made widely available.  | 
Juvenile law enforcement records may be obtained only under  | 
this Section and Section 1-8 and Part 9 of Article V of this  | 
Act, when their use is needed for good cause and with an order  | 
from the juvenile court, as required by those not authorized  | 
to retain them. Inspection, copying, and disclosure of  | 
juvenile law enforcement records maintained by law
enforcement  | 
agencies or records of municipal ordinance violations  | 
maintained by any State, local, or municipal agency that  | 
relate to a minor who has been investigated, arrested, or  | 
taken
into custody before his or her 18th birthday shall be  | 
restricted to the
following:
 | 
 | 
  (0.05) The minor who is the subject of the juvenile  | 
 law enforcement record, his or her parents, guardian, and  | 
 counsel.  | 
  (0.10) Judges of the circuit court and members of the  | 
 staff of the court designated by the judge.  | 
  (0.15) An administrative adjudication hearing officer  | 
 or members of the staff designated to assist in the  | 
 administrative adjudication process.  | 
  (1) Any local, State, or federal law enforcement  | 
 officers or designated law enforcement staff of any
 | 
 jurisdiction or agency when necessary for the discharge of  | 
 their official
duties during the investigation or  | 
 prosecution of a crime or relating to a
minor who has been  | 
 adjudicated delinquent and there has been a previous  | 
 finding
that the act which constitutes the previous  | 
 offense was committed in
furtherance of criminal  | 
 activities by a criminal street gang, or, when necessary  | 
 for the discharge of its official duties in connection  | 
 with a particular investigation of the conduct of a law  | 
 enforcement officer, an independent agency or its staff  | 
 created by ordinance and charged by a unit of local  | 
 government with the duty of investigating the conduct of  | 
 law enforcement officers. For purposes of
this Section,  | 
 "criminal street gang" has the meaning ascribed to it in
 | 
 Section 10 of the Illinois Streetgang Terrorism Omnibus  | 
 Prevention Act.
 | 
 | 
  (2) Prosecutors, public defenders, probation officers,  | 
 social workers, or other
individuals assigned by the court  | 
 to conduct a pre-adjudication or
pre-disposition  | 
 investigation, and individuals responsible for supervising
 | 
 or providing temporary or permanent care and custody for  | 
 minors under
the order of the juvenile court, when  | 
 essential to performing their
responsibilities.
 | 
  (3) Federal, State, or local prosecutors, public  | 
 defenders, probation officers, and designated staff:
 | 
   (a) in the course of a trial when institution of  | 
 criminal proceedings
has been permitted or required  | 
 under Section 5-805;
 | 
   (b) when institution of criminal proceedings has  | 
 been permitted or required under Section 5-805 and the  | 
 minor is the
subject
of a proceeding to determine the  | 
 conditions of pretrial release;
 | 
   (c) when criminal proceedings have been permitted
 | 
 or
required under Section 5-805 and the minor is the  | 
 subject of a
pre-trial
investigation, pre-sentence  | 
 investigation, fitness hearing, or proceedings
on an  | 
 application for probation; or
 | 
   (d) in the course of prosecution or administrative  | 
 adjudication of a violation of a traffic, boating, or  | 
 fish and game law, or a county or municipal ordinance.  | 
  (4) Adult and Juvenile Prisoner Review Board.
 | 
  (5) Authorized military personnel.
 | 
 | 
  (5.5) Employees of the federal government authorized  | 
 by law.  | 
  (6) Persons engaged in bona fide research, with the  | 
 permission of the
Presiding Judge and the chief executive  | 
 of the respective
law enforcement agency; provided that  | 
 publication of such research results
in no disclosure of a  | 
 minor's identity and protects the confidentiality
of the  | 
 minor's record.
 | 
  (7) Department of Children and Family Services child  | 
 protection
investigators acting in their official  | 
 capacity.
 | 
  (8) The appropriate school official only if the agency  | 
 or officer believes that there is an imminent threat of  | 
 physical harm to students, school personnel, or others who  | 
 are present in the school or on school grounds. | 
   (A) Inspection and copying
shall be limited to  | 
 juvenile law enforcement records transmitted to the  | 
 appropriate
school official or officials whom the  | 
 school has determined to have a legitimate educational  | 
 or safety interest by a local law enforcement agency  | 
 under a reciprocal reporting
system established and  | 
 maintained between the school district and the local  | 
 law
enforcement agency under Section 10-20.14 of the  | 
 School Code concerning a minor
enrolled in a school  | 
 within the school district who has been arrested or  | 
 taken
into custody for any of the following offenses:
 | 
 | 
    (i) any violation of Article 24 of the  | 
 Criminal Code of
1961 or the Criminal Code of  | 
 2012;
 | 
    (ii) a violation of the Illinois Controlled  | 
 Substances Act;
 | 
    (iii) a violation of the Cannabis Control Act;
 | 
    (iv) a forcible felony as defined in Section  | 
 2-8 of the Criminal Code
of 1961 or the Criminal  | 
 Code of 2012; | 
    (v) a violation of the Methamphetamine Control  | 
 and Community Protection Act;
 | 
    (vi) a violation of Section 1-2 of the  | 
 Harassing and Obscene Communications Act;  | 
    (vii) a violation of the Hazing Act; or  | 
    (viii) a violation of Section 12-1, 12-2,  | 
 12-3, 12-3.05, 12-3.1, 12-3.2, 12-3.4, 12-3.5,  | 
 12-5, 12-7.3, 12-7.4, 12-7.5, 25-1, or 25-5 of the  | 
 Criminal Code of 1961 or the Criminal Code of  | 
 2012.  | 
   The information derived from the juvenile law  | 
 enforcement records shall be kept separate from and  | 
 shall not become a part of the official school record  | 
 of that child and shall not be a public record. The  | 
 information shall be used solely by the appropriate  | 
 school official or officials whom the school has  | 
 determined to have a legitimate educational or safety  | 
 | 
 interest to aid in the proper rehabilitation of the  | 
 child and to protect the safety of students and  | 
 employees in the school. If the designated law  | 
 enforcement and school officials deem it to be in the  | 
 best interest of the minor, the student may be  | 
 referred to in-school or community-based social  | 
 services if those services are available.  | 
 "Rehabilitation services" may include interventions by  | 
 school support personnel, evaluation for eligibility  | 
 for special education, referrals to community-based  | 
 agencies such as youth services, behavioral healthcare  | 
 service providers, drug and alcohol prevention or  | 
 treatment programs, and other interventions as deemed  | 
 appropriate for the student.  | 
   (B) Any information provided to appropriate school  | 
 officials whom the school has determined to have a  | 
 legitimate educational or safety interest by local law  | 
 enforcement officials about a minor who is the subject  | 
 of a current police investigation that is directly  | 
 related to school safety shall consist of oral  | 
 information only, and not written juvenile law  | 
 enforcement records, and shall be used solely by the  | 
 appropriate school official or officials to protect  | 
 the safety of students and employees in the school and  | 
 aid in the proper rehabilitation of the child. The  | 
 information derived orally from the local law  | 
 | 
 enforcement officials shall be kept separate from and  | 
 shall not become a part of the official school record  | 
 of the child and shall not be a public record. This  | 
 limitation on the use of information about a minor who  | 
 is the subject of a current police investigation shall  | 
 in no way limit the use of this information by  | 
 prosecutors in pursuing criminal charges arising out  | 
 of the information disclosed during a police  | 
 investigation of the minor. For purposes of this  | 
 paragraph, "investigation" means an official  | 
 systematic inquiry by a law enforcement agency into  | 
 actual or suspected criminal activity.  | 
  (9) Mental health professionals on behalf of the  | 
 Department of
Corrections or the Department of Human  | 
 Services or prosecutors who are
evaluating, prosecuting,  | 
 or investigating a potential or actual petition
brought
 | 
 under the Sexually Violent Persons Commitment Act relating  | 
 to a person who is
the
subject of juvenile law enforcement  | 
 records or the respondent to a petition
brought under the  | 
 Sexually Violent Persons Commitment Act who is the subject  | 
 of
the
juvenile law enforcement records sought.
Any  | 
 juvenile law enforcement records and any information  | 
 obtained from those juvenile law enforcement records under  | 
 this
paragraph (9) may be used only in sexually violent  | 
 persons commitment
proceedings.
 | 
  (10) The president of a park district. Inspection and  | 
 | 
 copying shall be limited to juvenile law enforcement  | 
 records transmitted to the president of the park district  | 
 by the Illinois State Police under Section 8-23 of the  | 
 Park District Code or Section 16a-5 of the Chicago Park  | 
 District Act concerning a person who is seeking employment  | 
 with that park district and who has been adjudicated a  | 
 juvenile delinquent for any of the offenses listed in  | 
 subsection (c) of Section 8-23 of the Park District Code  | 
 or subsection (c) of Section 16a-5 of the Chicago Park  | 
 District Act.  | 
  (11) Persons managing and designated to participate in  | 
 a court diversion program as designated in subsection (6)  | 
 of Section 5-105.  | 
  (12) The Public Access Counselor of the Office of the  | 
 Attorney General, when reviewing juvenile law enforcement  | 
 records under its powers and duties under the Freedom of  | 
 Information Act.  | 
  (13) Collection agencies, contracted or otherwise  | 
 engaged by a governmental entity, to collect any debts due  | 
 and owing to the governmental entity.  | 
 (B)(1) Except as provided in paragraph (2), no law  | 
enforcement
officer or other person or agency may knowingly  | 
transmit to the Department of
Corrections, the Illinois State  | 
Police, or the Federal
Bureau of Investigation any fingerprint  | 
or photograph relating to a minor who
has been arrested or  | 
taken into custody before his or her 18th birthday,
unless the  | 
 | 
court in proceedings under this Act authorizes the  | 
transmission or
enters an order under Section 5-805 permitting  | 
or requiring the
institution of
criminal proceedings.
 | 
 (2) Law enforcement officers or other persons or agencies  | 
shall transmit
to the Illinois State Police copies of  | 
fingerprints and descriptions
of all minors who have been  | 
arrested or taken into custody before their
18th birthday for  | 
the offense of unlawful use of weapons under Article 24 of
the  | 
Criminal Code of 1961 or the Criminal Code of 2012, a Class X  | 
or Class 1 felony, a forcible felony as
defined in Section 2-8  | 
of the Criminal Code of 1961 or the Criminal Code of 2012, or a  | 
Class 2 or greater
felony under the Cannabis Control Act, the  | 
Illinois Controlled Substances Act, the Methamphetamine  | 
Control and Community Protection Act,
or Chapter 4 of the  | 
Illinois Vehicle Code, pursuant to Section 5 of the
Criminal  | 
Identification Act. Information reported to the Department  | 
pursuant
to this Section may be maintained with records that  | 
the Department files
pursuant to Section 2.1 of the Criminal  | 
Identification Act. Nothing in this
Act prohibits a law  | 
enforcement agency from fingerprinting a minor taken into
 | 
custody or arrested before his or her 18th birthday for an  | 
offense other than
those listed in this paragraph (2).
 | 
 (C) The records of law enforcement officers, or of an  | 
independent agency created by ordinance and charged by a unit  | 
of local government with the duty of investigating the conduct  | 
of law enforcement officers, concerning all minors under
18  | 
 | 
years of age must be maintained separate from the records of  | 
arrests and
may not be open to public inspection or their  | 
contents disclosed to the
public. For purposes of obtaining  | 
documents under this Section, a civil subpoena is not an order  | 
of the court. | 
  (1) In cases where the law enforcement, or independent  | 
 agency, records concern a pending juvenile court case, the  | 
 party seeking to inspect the records shall provide actual  | 
 notice to the attorney or guardian ad litem of the minor  | 
 whose records are sought. | 
  (2) In cases where the records concern a juvenile  | 
 court case that is no longer pending, the party seeking to  | 
 inspect the records shall provide actual notice to the  | 
 minor or the minor's parent or legal guardian, and the  | 
 matter shall be referred to the chief judge presiding over  | 
 matters pursuant to this Act. | 
  (3) In determining whether the records should be  | 
 available for inspection, the court shall consider the  | 
 minor's interest in confidentiality and rehabilitation  | 
 over the moving party's interest in obtaining the  | 
 information. Any records obtained in violation of this  | 
 subsection (C) shall not be admissible in any criminal or  | 
 civil proceeding, or operate to disqualify a minor from  | 
 subsequently holding public office or securing employment,  | 
 or operate as a forfeiture of any public benefit, right,  | 
 privilege, or right to receive any license granted by  | 
 | 
 public authority.
 | 
 (D) Nothing contained in subsection (C) of this Section  | 
shall prohibit
the inspection or disclosure to victims and  | 
witnesses of photographs
contained in the records of law  | 
enforcement agencies when the
inspection and disclosure is  | 
conducted in the presence of a law enforcement
officer for the  | 
purpose of the identification or apprehension of any person
 | 
subject to the provisions of this Act or for the investigation  | 
or
prosecution of any crime.
 | 
 (E) Law enforcement officers, and personnel of an  | 
independent agency created by ordinance and charged by a unit  | 
of local government with the duty of investigating the conduct  | 
of law enforcement officers, may not disclose the identity of  | 
any minor
in releasing information to the general public as to  | 
the arrest, investigation
or disposition of any case involving  | 
a minor.
 | 
 (F) Nothing contained in this Section shall prohibit law  | 
enforcement
agencies from communicating with each other by  | 
letter, memorandum, teletype, or
intelligence alert bulletin  | 
or other means the identity or other relevant
information  | 
pertaining to a person under 18 years of age if there are
 | 
reasonable grounds to believe that the person poses a real and  | 
present danger
to the safety of the public or law enforcement  | 
officers. The information
provided under this subsection (F)  | 
shall remain confidential and shall not
be publicly disclosed,  | 
except as otherwise allowed by law.
 | 
 | 
 (G) Nothing in this Section shall prohibit the right of a  | 
Civil Service
Commission or appointing authority of any  | 
federal government, state, county or municipality
examining  | 
the character and fitness of an applicant for employment with  | 
a law
enforcement agency, correctional institution, or fire  | 
department
from obtaining and examining the
records of any law  | 
enforcement agency relating to any record of the applicant
 | 
having been arrested or taken into custody before the  | 
applicant's 18th
birthday.
 | 
 (G-5) Information identifying victims and alleged victims  | 
of sex offenses shall not be disclosed or open to the public  | 
under any circumstances. Nothing in this Section shall  | 
prohibit the victim or alleged victim of any sex offense from  | 
voluntarily disclosing his or her own identity.  | 
 (H) The changes made to this Section by Public Act 98-61  | 
apply to law enforcement records of a minor who has been  | 
arrested or taken into custody on or after January 1, 2014 (the  | 
effective date of Public Act 98-61).  | 
 (H-5) Nothing in this Section shall require any court or  | 
adjudicative proceeding for traffic, boating, fish and game  | 
law, or municipal and county ordinance violations to be closed  | 
to the public.  | 
 (I) Willful violation of this Section is a Class C  | 
misdemeanor and each violation is subject to a fine of $1,000.  | 
This subsection (I) shall not apply to the person who is the  | 
subject of the record. | 
 | 
 (J) A person convicted of violating this Section is liable  | 
for damages in the amount of $1,000 or actual damages,  | 
whichever is greater.  | 
(Source: P.A. 101-652, eff. 1-1-23; 102-538, eff. 8-20-21;  | 
revised 10-13-21.)
 | 
 (705 ILCS 405/1-8)
 | 
 (Text of Section before amendment by P.A. 101-652) | 
 Sec. 1-8. Confidentiality and accessibility of juvenile  | 
court records. 
 | 
 (A) A juvenile adjudication shall never be considered a  | 
conviction nor shall an adjudicated individual be considered a  | 
criminal. Unless expressly allowed by law, a juvenile  | 
adjudication shall not operate to impose upon the individual  | 
any of the civil disabilities ordinarily imposed by or  | 
resulting from conviction. Unless expressly allowed by law,  | 
adjudications shall not prejudice or disqualify the individual  | 
in any civil service application or appointment, from holding  | 
public office, or from receiving any license granted by public  | 
authority. All juvenile court records which have not been  | 
expunged are sealed and may never be disclosed to the general  | 
public or otherwise made widely available. Sealed juvenile  | 
court records may be obtained only under this Section and  | 
Section 1-7 and Part 9 of Article V of this Act, when their use  | 
is needed for good cause and with an order from the juvenile  | 
court. Inspection and copying of juvenile court records  | 
 | 
relating to a minor
who is the subject of a proceeding under  | 
this Act shall be restricted to the
following:
 | 
  (1) The minor who is the subject of record, his or her  | 
 parents, guardian,
and counsel.
 | 
  (2) Law enforcement officers and law enforcement  | 
 agencies when such
information is essential to executing  | 
 an arrest or search warrant or other
compulsory process,  | 
 or to conducting an ongoing investigation
or relating to a  | 
 minor who
has been adjudicated delinquent and there has  | 
 been a previous finding that
the act which constitutes the  | 
 previous offense was committed in furtherance
of criminal  | 
 activities by a criminal street gang.
 | 
  Before July 1, 1994, for the purposes of this Section,  | 
 "criminal street
gang" means any ongoing
organization,  | 
 association, or group of 3 or more persons, whether formal  | 
 or
informal, having as one of its primary activities the  | 
 commission of one or
more criminal acts and that has a  | 
 common name or common identifying sign,
symbol or specific  | 
 color apparel displayed, and whose members individually
or  | 
 collectively engage in or have engaged in a pattern of  | 
 criminal activity.
 | 
  Beginning July 1, 1994, for purposes of this Section,  | 
 "criminal street
gang" has the meaning ascribed to it in  | 
 Section 10 of the Illinois Streetgang
Terrorism Omnibus  | 
 Prevention Act.
 | 
  (3) Judges, hearing officers, prosecutors, public  | 
 | 
 defenders, probation officers, social
workers, or other
 | 
 individuals assigned by the court to conduct a  | 
 pre-adjudication or pre-disposition
investigation, and  | 
 individuals responsible for supervising
or providing  | 
 temporary or permanent care and custody for minors under  | 
 the order of the juvenile court when essential to  | 
 performing their
responsibilities.
 | 
  (4) Judges, federal, State, and local prosecutors,  | 
 public defenders, probation officers, and designated  | 
 staff:
 | 
   (a) in the course of a trial when institution of  | 
 criminal proceedings
has been permitted or required  | 
 under Section 5-805;
 | 
   (b) when criminal proceedings have been permitted
 | 
 or
required under Section 5-805 and a minor is the  | 
 subject of a
proceeding to
determine the amount of  | 
 bail;
 | 
   (c) when criminal proceedings have been permitted
 | 
 or
required under Section 5-805 and a minor is the  | 
 subject of a
pre-trial
investigation, pre-sentence  | 
 investigation or fitness hearing, or
proceedings on an  | 
 application for probation; or
 | 
   (d) when a minor becomes 18 years of age or older,  | 
 and is the subject
of criminal proceedings, including  | 
 a hearing to determine the amount of
bail, a pre-trial  | 
 investigation, a pre-sentence investigation, a fitness
 | 
 | 
 hearing, or proceedings on an application for  | 
 probation.
 | 
  (5) Adult and Juvenile Prisoner Review Boards.
 | 
  (6) Authorized military personnel.
 | 
  (6.5) Employees of the federal government authorized  | 
 by law.  | 
  (7) Victims, their subrogees and legal  | 
 representatives; however, such
persons shall have access  | 
 only to the name and address of the minor and
information  | 
 pertaining to the disposition or alternative adjustment  | 
 plan
of the juvenile court.
 | 
  (8) Persons engaged in bona fide research, with the  | 
 permission of the
presiding judge of the juvenile court  | 
 and the chief executive of the agency
that prepared the  | 
 particular records; provided that publication of such
 | 
 research results in no disclosure of a minor's identity  | 
 and protects the
confidentiality of the record.
 | 
  (9) The Secretary of State to whom the Clerk of the  | 
 Court shall report
the disposition of all cases, as  | 
 required in Section 6-204 of the Illinois
Vehicle Code.  | 
 However, information reported relative to these offenses  | 
 shall
be privileged and available only to the Secretary of  | 
 State, courts, and police
officers.
 | 
  (10) The administrator of a bonafide substance abuse  | 
 student
assistance program with the permission of the  | 
 presiding judge of the
juvenile court.
 | 
 | 
  (11) Mental health professionals on behalf of the  | 
 Department of
Corrections or the Department of Human  | 
 Services or prosecutors who are
evaluating, prosecuting,  | 
 or investigating a potential or actual petition
brought
 | 
 under the Sexually Violent Persons Commitment Act relating  | 
 to a person who is the
subject of
juvenile court records or  | 
 the respondent to a petition brought under
the
Sexually  | 
 Violent Persons Commitment Act, who is the subject of  | 
 juvenile
court records
sought. Any records and any  | 
 information obtained from those records under this
 | 
 paragraph (11) may be used only in sexually violent  | 
 persons commitment
proceedings.
 | 
  (12) Collection agencies, contracted or otherwise  | 
 engaged by a governmental entity, to collect any debts due  | 
 and owing to the governmental entity.  | 
 (A-1) Findings and exclusions of paternity entered in  | 
proceedings occurring under Article II of this Act shall be  | 
disclosed, in a manner and form approved by the Presiding  | 
Judge of the Juvenile Court, to the Department of Healthcare  | 
and Family Services when necessary to discharge the duties of  | 
the Department of Healthcare and Family Services under Article  | 
X of the Illinois Public Aid Code.  | 
 (B) A minor who is the victim in a juvenile proceeding  | 
shall be
provided the same confidentiality regarding  | 
disclosure of identity as the
minor who is the subject of  | 
record.
 | 
 | 
 (C)(0.1) In cases where the records concern a pending  | 
juvenile court case, the requesting party seeking to inspect  | 
the juvenile court records shall provide actual notice to the  | 
attorney or guardian ad litem of the minor whose records are  | 
sought. | 
 (0.2) In cases where the juvenile court records concern a  | 
juvenile court case that is no longer pending, the requesting  | 
party seeking to inspect the juvenile court records shall  | 
provide actual notice to the minor or the minor's parent or  | 
legal guardian, and the matter shall be referred to the chief  | 
judge presiding over matters pursuant to this Act. | 
 (0.3) In determining whether juvenile court records should  | 
be made available for inspection and whether inspection should  | 
be limited to certain parts of the file, the court shall  | 
consider the minor's interest in confidentiality and  | 
rehabilitation over the requesting party's interest in  | 
obtaining the information. The State's Attorney, the minor,  | 
and the minor's parents, guardian, and counsel shall at all  | 
times have the right to examine court files and records. | 
 (0.4) Any records obtained in violation of this Section  | 
shall not be admissible in any criminal or civil proceeding,  | 
or operate to disqualify a minor from subsequently holding  | 
public office, or operate as a forfeiture of any public  | 
benefit, right, privilege, or right to receive any license  | 
granted by public authority.
 | 
 (D) Pending or following any adjudication of delinquency  | 
 | 
for
any offense defined
in Sections 11-1.20 through 11-1.60 or  | 
12-13 through 12-16 of the Criminal Code of 1961 or the  | 
Criminal Code of 2012,
the victim of any such offense shall  | 
receive the
rights set out in Sections 4 and 6 of the Bill of
 | 
Rights for Victims and Witnesses of Violent Crime Act; and the
 | 
juvenile who is the subject of the adjudication,  | 
notwithstanding any other
provision of this Act, shall be  | 
treated
as an adult for the purpose of affording such rights to  | 
the victim.
 | 
 (E) Nothing in this Section shall affect the right of a  | 
Civil Service
Commission or appointing authority of the  | 
federal government, or any state, county, or municipality
 | 
examining the character and fitness of
an applicant for  | 
employment with a law enforcement
agency, correctional  | 
institution, or fire department to
ascertain
whether that  | 
applicant was ever adjudicated to be a delinquent minor and,
 | 
if so, to examine the records of disposition or evidence which  | 
were made in
proceedings under this Act.
 | 
 (F) Following any adjudication of delinquency for a crime  | 
which would be
a felony if committed by an adult, or following  | 
any adjudication of delinquency
for a violation of Section  | 
24-1, 24-3, 24-3.1, or 24-5
of the Criminal Code of 1961 or the  | 
Criminal Code of 2012, the State's Attorney shall ascertain
 | 
whether the minor respondent is enrolled in school and, if so,  | 
shall provide
a copy of the dispositional order to the  | 
principal or chief administrative
officer of the school.  | 
 | 
Access to the dispositional order shall be limited
to the  | 
principal or chief administrative officer of the school and  | 
any school
counselor designated by him or her.
 | 
 (G) Nothing contained in this Act prevents the sharing or
 | 
disclosure of information or records relating or pertaining to  | 
juveniles
subject to the provisions of the Serious Habitual  | 
Offender Comprehensive
Action Program when that information is  | 
used to assist in the early
identification and treatment of  | 
habitual juvenile offenders.
 | 
 (H) When a court hearing a proceeding under Article II of  | 
this Act becomes
aware that an earlier proceeding under  | 
Article II had been heard in a different
county, that court  | 
shall request, and the court in which the earlier
proceedings  | 
were initiated shall transmit, an authenticated copy of the  | 
juvenile court
record, including all documents, petitions, and  | 
orders filed and the
minute orders, transcript of proceedings,  | 
and docket entries of the court.
 | 
 (I) The Clerk of the Circuit Court shall report to the  | 
Illinois
State
Police, in the form and manner required by the  | 
Illinois State Police, the
final disposition of each minor who  | 
has been arrested or taken into custody
before his or her 18th  | 
birthday for those offenses required to be reported
under  | 
Section 5 of the Criminal Identification Act. Information  | 
reported to
the Department under this Section may be  | 
maintained with records that the
Department files under  | 
Section 2.1 of the Criminal Identification Act.
 | 
 | 
 (J) The changes made to this Section by Public Act 98-61  | 
apply to juvenile law enforcement records of a minor who has  | 
been arrested or taken into custody on or after January 1, 2014  | 
(the effective date of Public Act 98-61).  | 
 (K) Willful violation of this Section is a Class C  | 
misdemeanor and each violation is subject to a fine of $1,000.  | 
This subsection (K) shall not apply to the person who is the  | 
subject of the record. | 
 (L) A person convicted of violating this Section is liable  | 
for damages in the amount of $1,000 or actual damages,  | 
whichever is greater.  | 
(Source: P.A. 102-197, eff. 7-30-21; 102-538, eff. 8-20-21;  | 
revised 10-12-21.)
 | 
 (Text of Section after amendment by P.A. 101-652)
 | 
 Sec. 1-8. Confidentiality and accessibility of juvenile  | 
court records. 
 | 
 (A) A juvenile adjudication shall never be considered a  | 
conviction nor shall an adjudicated individual be considered a  | 
criminal. Unless expressly allowed by law, a juvenile  | 
adjudication shall not operate to impose upon the individual  | 
any of the civil disabilities ordinarily imposed by or  | 
resulting from conviction. Unless expressly allowed by law,  | 
adjudications shall not prejudice or disqualify the individual  | 
in any civil service application or appointment, from holding  | 
public office, or from receiving any license granted by public  | 
 | 
authority. All juvenile court records which have not been  | 
expunged are sealed and may never be disclosed to the general  | 
public or otherwise made widely available. Sealed juvenile  | 
court records may be obtained only under this Section and  | 
Section 1-7 and Part 9 of Article V of this Act, when their use  | 
is needed for good cause and with an order from the juvenile  | 
court. Inspection and copying of juvenile court records  | 
relating to a minor
who is the subject of a proceeding under  | 
this Act shall be restricted to the
following:
 | 
  (1) The minor who is the subject of record, his or her  | 
 parents, guardian,
and counsel.
 | 
  (2) Law enforcement officers and law enforcement  | 
 agencies when such
information is essential to executing  | 
 an arrest or search warrant or other
compulsory process,  | 
 or to conducting an ongoing investigation
or relating to a  | 
 minor who
has been adjudicated delinquent and there has  | 
 been a previous finding that
the act which constitutes the  | 
 previous offense was committed in furtherance
of criminal  | 
 activities by a criminal street gang.
 | 
  Before July 1, 1994, for the purposes of this Section,  | 
 "criminal street
gang" means any ongoing
organization,  | 
 association, or group of 3 or more persons, whether formal  | 
 or
informal, having as one of its primary activities the  | 
 commission of one or
more criminal acts and that has a  | 
 common name or common identifying sign,
symbol or specific  | 
 color apparel displayed, and whose members individually
or  | 
 | 
 collectively engage in or have engaged in a pattern of  | 
 criminal activity.
 | 
  Beginning July 1, 1994, for purposes of this Section,  | 
 "criminal street
gang" has the meaning ascribed to it in  | 
 Section 10 of the Illinois Streetgang
Terrorism Omnibus  | 
 Prevention Act.
 | 
  (3) Judges, hearing officers, prosecutors, public  | 
 defenders, probation officers, social
workers, or other
 | 
 individuals assigned by the court to conduct a  | 
 pre-adjudication or pre-disposition
investigation, and  | 
 individuals responsible for supervising
or providing  | 
 temporary or permanent care and custody for minors under  | 
 the order of the juvenile court when essential to  | 
 performing their
responsibilities.
 | 
  (4) Judges, federal, State, and local prosecutors,  | 
 public defenders, probation officers, and designated  | 
 staff:
 | 
   (a) in the course of a trial when institution of  | 
 criminal proceedings
has been permitted or required  | 
 under Section 5-805;
 | 
   (b) when criminal proceedings have been permitted
 | 
 or
required under Section 5-805 and a minor is the  | 
 subject of a
proceeding to
determine the conditions of  | 
 pretrial release;
 | 
   (c) when criminal proceedings have been permitted
 | 
 or
required under Section 5-805 and a minor is the  | 
 | 
 subject of a
pre-trial
investigation, pre-sentence  | 
 investigation or fitness hearing, or
proceedings on an  | 
 application for probation; or
 | 
   (d) when a minor becomes 18 years of age or older,  | 
 and is the subject
of criminal proceedings, including  | 
 a hearing to determine the conditions of pretrial  | 
 release, a pre-trial investigation, a pre-sentence  | 
 investigation, a fitness
hearing, or proceedings on an  | 
 application for probation.
 | 
  (5) Adult and Juvenile Prisoner Review Boards.
 | 
  (6) Authorized military personnel.
 | 
  (6.5) Employees of the federal government authorized  | 
 by law.  | 
  (7) Victims, their subrogees and legal  | 
 representatives; however, such
persons shall have access  | 
 only to the name and address of the minor and
information  | 
 pertaining to the disposition or alternative adjustment  | 
 plan
of the juvenile court.
 | 
  (8) Persons engaged in bona fide research, with the  | 
 permission of the
presiding judge of the juvenile court  | 
 and the chief executive of the agency
that prepared the  | 
 particular records; provided that publication of such
 | 
 research results in no disclosure of a minor's identity  | 
 and protects the
confidentiality of the record.
 | 
  (9) The Secretary of State to whom the Clerk of the  | 
 Court shall report
the disposition of all cases, as  | 
 | 
 required in Section 6-204 of the Illinois
Vehicle Code.  | 
 However, information reported relative to these offenses  | 
 shall
be privileged and available only to the Secretary of  | 
 State, courts, and police
officers.
 | 
  (10) The administrator of a bonafide substance abuse  | 
 student
assistance program with the permission of the  | 
 presiding judge of the
juvenile court.
 | 
  (11) Mental health professionals on behalf of the  | 
 Department of
Corrections or the Department of Human  | 
 Services or prosecutors who are
evaluating, prosecuting,  | 
 or investigating a potential or actual petition
brought
 | 
 under the Sexually Violent Persons Commitment Act relating  | 
 to a person who is the
subject of
juvenile court records or  | 
 the respondent to a petition brought under
the
Sexually  | 
 Violent Persons Commitment Act, who is the subject of  | 
 juvenile
court records
sought. Any records and any  | 
 information obtained from those records under this
 | 
 paragraph (11) may be used only in sexually violent  | 
 persons commitment
proceedings.
 | 
  (12) Collection agencies, contracted or otherwise  | 
 engaged by a governmental entity, to collect any debts due  | 
 and owing to the governmental entity.  | 
 (A-1) Findings and exclusions of paternity entered in  | 
proceedings occurring under Article II of this Act shall be  | 
disclosed, in a manner and form approved by the Presiding  | 
Judge of the Juvenile Court, to the Department of Healthcare  | 
 | 
and Family Services when necessary to discharge the duties of  | 
the Department of Healthcare and Family Services under Article  | 
X of the Illinois Public Aid Code.  | 
 (B) A minor who is the victim in a juvenile proceeding  | 
shall be
provided the same confidentiality regarding  | 
disclosure of identity as the
minor who is the subject of  | 
record.
 | 
 (C)(0.1) In cases where the records concern a pending  | 
juvenile court case, the requesting party seeking to inspect  | 
the juvenile court records shall provide actual notice to the  | 
attorney or guardian ad litem of the minor whose records are  | 
sought. | 
 (0.2) In cases where the juvenile court records concern a  | 
juvenile court case that is no longer pending, the requesting  | 
party seeking to inspect the juvenile court records shall  | 
provide actual notice to the minor or the minor's parent or  | 
legal guardian, and the matter shall be referred to the chief  | 
judge presiding over matters pursuant to this Act. | 
 (0.3) In determining whether juvenile court records should  | 
be made available for inspection and whether inspection should  | 
be limited to certain parts of the file, the court shall  | 
consider the minor's interest in confidentiality and  | 
rehabilitation over the requesting party's interest in  | 
obtaining the information. The State's Attorney, the minor,  | 
and the minor's parents, guardian, and counsel shall at all  | 
times have the right to examine court files and records. | 
 | 
 (0.4) Any records obtained in violation of this Section  | 
shall not be admissible in any criminal or civil proceeding,  | 
or operate to disqualify a minor from subsequently holding  | 
public office, or operate as a forfeiture of any public  | 
benefit, right, privilege, or right to receive any license  | 
granted by public authority.
 | 
 (D) Pending or following any adjudication of delinquency  | 
for
any offense defined
in Sections 11-1.20 through 11-1.60 or  | 
12-13 through 12-16 of the Criminal Code of 1961 or the  | 
Criminal Code of 2012,
the victim of any such offense shall  | 
receive the
rights set out in Sections 4 and 6 of the Bill of
 | 
Rights for Victims and Witnesses of Violent Crime Act; and the
 | 
juvenile who is the subject of the adjudication,  | 
notwithstanding any other
provision of this Act, shall be  | 
treated
as an adult for the purpose of affording such rights to  | 
the victim.
 | 
 (E) Nothing in this Section shall affect the right of a  | 
Civil Service
Commission or appointing authority of the  | 
federal government, or any state, county, or municipality
 | 
examining the character and fitness of
an applicant for  | 
employment with a law enforcement
agency, correctional  | 
institution, or fire department to
ascertain
whether that  | 
applicant was ever adjudicated to be a delinquent minor and,
 | 
if so, to examine the records of disposition or evidence which  | 
were made in
proceedings under this Act.
 | 
 (F) Following any adjudication of delinquency for a crime  | 
 | 
which would be
a felony if committed by an adult, or following  | 
any adjudication of delinquency
for a violation of Section  | 
24-1, 24-3, 24-3.1, or 24-5
of the Criminal Code of 1961 or the  | 
Criminal Code of 2012, the State's Attorney shall ascertain
 | 
whether the minor respondent is enrolled in school and, if so,  | 
shall provide
a copy of the dispositional order to the  | 
principal or chief administrative
officer of the school.  | 
Access to the dispositional order shall be limited
to the  | 
principal or chief administrative officer of the school and  | 
any school
counselor designated by him or her.
 | 
 (G) Nothing contained in this Act prevents the sharing or
 | 
disclosure of information or records relating or pertaining to  | 
juveniles
subject to the provisions of the Serious Habitual  | 
Offender Comprehensive
Action Program when that information is  | 
used to assist in the early
identification and treatment of  | 
habitual juvenile offenders.
 | 
 (H) When a court hearing a proceeding under Article II of  | 
this Act becomes
aware that an earlier proceeding under  | 
Article II had been heard in a different
county, that court  | 
shall request, and the court in which the earlier
proceedings  | 
were initiated shall transmit, an authenticated copy of the  | 
juvenile court
record, including all documents, petitions, and  | 
orders filed and the
minute orders, transcript of proceedings,  | 
and docket entries of the court.
 | 
 (I) The Clerk of the Circuit Court shall report to the  | 
Illinois
State
Police, in the form and manner required by the  | 
 | 
Illinois State Police, the
final disposition of each minor who  | 
has been arrested or taken into custody
before his or her 18th  | 
birthday for those offenses required to be reported
under  | 
Section 5 of the Criminal Identification Act. Information  | 
reported to
the Department under this Section may be  | 
maintained with records that the
Department files under  | 
Section 2.1 of the Criminal Identification Act.
 | 
 (J) The changes made to this Section by Public Act 98-61  | 
apply to juvenile law enforcement records of a minor who has  | 
been arrested or taken into custody on or after January 1, 2014  | 
(the effective date of Public Act 98-61).  | 
 (K) Willful violation of this Section is a Class C  | 
misdemeanor and each violation is subject to a fine of $1,000.  | 
This subsection (K) shall not apply to the person who is the  | 
subject of the record. | 
 (L) A person convicted of violating this Section is liable  | 
for damages in the amount of $1,000 or actual damages,  | 
whichever is greater.  | 
(Source: P.A. 101-652, eff. 1-1-23; 102-197, eff. 7-30-21;  | 
102-538, eff. 8-20-21; revised 10-12-21.)
 | 
 (705 ILCS 405/2-10) (from Ch. 37, par. 802-10)
 | 
 Sec. 2-10. Temporary custody hearing. At the appearance of  | 
the
minor before the court at the temporary custody hearing,  | 
all
witnesses present shall be examined before the court in  | 
relation to any
matter connected with the allegations made in  | 
 | 
the petition.
 | 
 (1) If the court finds that there is not probable cause to  | 
believe
that the minor is abused, neglected or dependent it  | 
shall release
the minor and dismiss the petition.
 | 
 (2) If the court finds that there is probable cause to  | 
believe that
the minor is abused, neglected or dependent, the  | 
court shall state in writing
the factual basis supporting its  | 
finding and the minor, his or her parent,
guardian, custodian  | 
and other persons able to give relevant testimony
shall be  | 
examined before the court. The Department of Children and
 | 
Family Services shall give testimony concerning indicated  | 
reports of abuse
and neglect, of which they are aware through  | 
the central registry,
involving the minor's parent, guardian  | 
or custodian. After such
testimony, the court may, consistent  | 
with
the health,
safety and best interests of the minor,
enter  | 
an order that the minor shall be released
upon the request of  | 
parent, guardian or custodian if the parent, guardian
or  | 
custodian appears to take custody. If it is determined that a  | 
parent's, guardian's, or custodian's compliance with critical  | 
services mitigates the necessity for removal of the minor from  | 
his or her home, the court may enter an Order of Protection  | 
setting forth reasonable conditions of behavior that a parent,  | 
guardian, or custodian must observe for a specified period of  | 
time, not to exceed 12 months, without a violation; provided,  | 
however, that the 12-month period shall begin anew after any  | 
violation. "Custodian" includes the Department of Children and  | 
 | 
Family Services, if it has been given custody of the child, or  | 
any other agency of the State which has been given custody or  | 
wardship of the child. If it is
consistent with the health,  | 
safety and best interests of the
minor, the
court may also  | 
prescribe shelter care and
order that the minor be kept in a  | 
suitable place designated by the court or in
a shelter care  | 
facility designated by the Department of Children and Family
 | 
Services or a licensed child welfare
agency; however, on and  | 
after January 1, 2015 (the effective date of Public Act  | 
98-803) and before January 1, 2017, a minor charged with a
 | 
criminal offense under the Criminal Code of 1961 or the  | 
Criminal Code of 2012 or adjudicated delinquent
shall not be  | 
placed in the custody of or committed to the Department of
 | 
Children and Family Services by any court, except a minor less  | 
than 16
years of age and committed to the Department of  | 
Children and Family Services
under Section 5-710 of this Act  | 
or a minor for whom an independent
basis of
abuse, neglect, or  | 
dependency exists; and on and after January 1, 2017, a minor  | 
charged with a
criminal offense under the Criminal Code of  | 
1961 or the Criminal Code of 2012 or adjudicated delinquent
 | 
shall not be placed in the custody of or committed to the  | 
Department of
Children and Family Services by any court,  | 
except a minor less than 15 years of age and committed to the  | 
Department of Children and Family Services
under Section 5-710  | 
of this Act or a minor for whom an independent
basis of
abuse,  | 
neglect, or dependency exists.
An independent basis exists  | 
 | 
when the allegations or adjudication of abuse, neglect, or  | 
dependency do not arise from the same facts, incident, or  | 
circumstances which give rise to a charge or adjudication of  | 
delinquency.
 | 
 In placing the minor, the Department or other
agency  | 
shall, to the extent
compatible with the court's order, comply  | 
with Section 7 of the Children and
Family Services Act.
In  | 
determining
the health, safety and best interests of the minor  | 
to prescribe shelter
care, the court must
find that it is a  | 
matter of immediate and urgent necessity for the safety
and  | 
protection
of the minor or of the person or property of another  | 
that the minor be placed
in a shelter care facility or that he  | 
or she is likely to flee the jurisdiction
of the court, and  | 
must further find that reasonable efforts have been made or
 | 
that, consistent with the health, safety and best interests of
 | 
the minor, no efforts reasonably can be made to
prevent or  | 
eliminate the necessity of removal of the minor from his or her
 | 
home. The court shall require documentation from the  | 
Department of Children and
Family Services as to the  | 
reasonable efforts that were made to prevent or
eliminate the  | 
necessity of removal of the minor from his or her home or the
 | 
reasons why no efforts reasonably could be made to prevent or  | 
eliminate the
necessity of removal. When a minor is placed in  | 
the home of a relative, the
Department of Children and Family  | 
Services shall complete a preliminary
background review of the  | 
members of the minor's custodian's household in
accordance  | 
 | 
with Section 4.3 of the Child Care Act of 1969 within 90 days  | 
of
that placement. If the minor is ordered placed in a shelter  | 
care facility of
the Department of Children and
Family  | 
Services or a licensed child welfare agency, the court shall,  | 
upon
request of the appropriate Department or other agency,  | 
appoint the
Department of Children and Family Services  | 
Guardianship Administrator or
other appropriate agency  | 
executive temporary custodian of the minor and the
court may  | 
enter such other orders related to the temporary custody as it
 | 
deems fit and proper, including the provision of services to  | 
the minor or
his family to ameliorate the causes contributing  | 
to the finding of probable
cause or to the finding of the  | 
existence of immediate and urgent necessity. | 
 Where the Department of Children and Family Services  | 
Guardianship Administrator is appointed as the executive  | 
temporary custodian, the Department of Children and Family  | 
Services shall file with the court and serve on the parties a  | 
parent-child visiting plan, within 10 days, excluding weekends  | 
and holidays, after the appointment. The parent-child visiting  | 
plan shall set out the time and place of visits, the frequency  | 
of visits, the length of visits, who shall be present at the  | 
visits, and where appropriate, the minor's opportunities to  | 
have telephone and mail communication with the parents. | 
 Where the Department of Children and Family Services  | 
Guardianship Administrator is
appointed as the executive  | 
temporary custodian, and when the child has siblings in care,
 | 
 | 
the Department of Children and Family Services shall file with  | 
the court and serve on the
parties a sibling placement and  | 
contact plan within 10 days, excluding weekends and
holidays,  | 
after the appointment. The sibling placement and contact plan  | 
shall set forth
whether the siblings are placed together, and  | 
if they are not placed together, what, if any,
efforts are  | 
being made to place them together. If the Department has  | 
determined that it is
not in a child's best interest to be  | 
placed with a sibling, the Department shall document in
the  | 
sibling placement and contact plan the basis for its  | 
determination. For siblings placed
separately, the sibling  | 
placement and contact plan shall set the time and place for  | 
visits,
the frequency of the visits, the length of visits, who  | 
shall be present for the visits, and
where appropriate, the  | 
child's opportunities to have contact with their siblings in  | 
addition to
in person contact. If the Department determines it  | 
is not in the best interest of a sibling to
have contact with a  | 
sibling, the Department shall document in the sibling  | 
placement and
contact plan the basis for its determination.  | 
The sibling placement and contact plan shall
specify a date  | 
for development of the Sibling Contact Support Plan, under  | 
subsection (f) of Section 7.4 of the Children and Family  | 
Services Act, and shall remain in effect until the Sibling  | 
Contact Support Plan is developed.  | 
 For good cause, the court may waive the requirement to  | 
file the parent-child visiting plan or the sibling placement  | 
 | 
and contact plan, or extend the time for filing either plan.  | 
Any party may, by motion, request the court to review the  | 
parent-child visiting plan to determine whether it is  | 
reasonably calculated to expeditiously facilitate the  | 
achievement of the permanency goal. A party may, by motion,  | 
request the court to review the parent-child visiting plan or  | 
the sibling placement and contact plan to determine whether it  | 
is consistent with the minor's best interest. The court may  | 
refer the parties to mediation where available. The frequency,  | 
duration, and locations of visitation shall be measured by the  | 
needs of the child and family, and not by the convenience of  | 
Department personnel. Child development principles shall be  | 
considered by the court in its analysis of how frequent  | 
visitation should be, how long it should last, where it should  | 
take place, and who should be present. If upon motion of the  | 
party to review either plan and after receiving evidence, the  | 
court determines that the parent-child visiting plan is not  | 
reasonably calculated to expeditiously facilitate the  | 
achievement of the permanency goal or that the restrictions  | 
placed on parent-child contact or sibling placement or contact  | 
are contrary to the child's best interests, the court shall  | 
put in writing the factual basis supporting the determination  | 
and enter specific findings based on the evidence. The court  | 
shall enter an order for the Department to implement changes  | 
to the parent-child visiting plan or sibling placement or  | 
contact plan, consistent with the court's findings. At any  | 
 | 
stage of proceeding, any party may by motion request the court  | 
to enter any orders necessary to implement the parent-child  | 
visiting plan, sibling placement or contact plan or  | 
subsequently developed Sibling Contact Support Plan. Nothing  | 
under this subsection (2) shall restrict the court from  | 
granting discretionary authority to the Department to increase  | 
opportunities for additional parent-child contacts or sibling  | 
contacts, without further court orders. Nothing in this  | 
subsection (2) shall restrict the Department from immediately  | 
restricting or terminating parent-child contact or sibling  | 
contacts, without either amending the parent-child visiting  | 
plan or the sibling contact plan or obtaining a court order,  | 
where the Department or its assigns reasonably believe there  | 
is an immediate need to protect the child's health, safety,  | 
and welfare. Such restrictions or terminations must be based  | 
on available facts to the Department and its assigns when  | 
viewed in light of the surrounding circumstances and shall  | 
only occur on an individual case-by-case basis. The Department  | 
shall file with the court and serve on the parties any  | 
amendments to the plan within 10 days, excluding weekends and  | 
holidays, of the change of the visitation. | 
 Acceptance of services shall not be considered an  | 
admission of any
allegation in a petition made pursuant to  | 
this Act, nor may a referral of
services be considered as  | 
evidence in any proceeding pursuant to this Act,
except where  | 
the issue is whether the Department has made reasonable
 | 
 | 
efforts to reunite the family. In making its findings that it  | 
is
consistent with the health, safety and best
interests of  | 
the minor to prescribe shelter care, the court shall state in
 | 
writing (i) the factual basis supporting its findings  | 
concerning the
immediate and urgent necessity for the  | 
protection of the minor or of the person
or property of another  | 
and (ii) the factual basis supporting its findings that
 | 
reasonable efforts were made to prevent or eliminate the  | 
removal of the minor
from his or her home or that no efforts  | 
reasonably could be made to prevent or
eliminate the removal  | 
of the minor from his or her home. The
parents, guardian,  | 
custodian, temporary custodian and minor shall each be
 | 
furnished a copy of such written findings. The temporary  | 
custodian shall
maintain a copy of the court order and written  | 
findings in the case record
for the child. The order together  | 
with the court's findings of fact in
support thereof shall be  | 
entered of record in the court.
 | 
 Once the court finds that it is a matter of immediate and  | 
urgent necessity
for the protection of the minor that the  | 
minor be placed in a shelter care
facility, the minor shall not  | 
be returned to the parent, custodian or guardian
until the  | 
court finds that such placement is no longer necessary for the
 | 
protection of the minor.
 | 
 If the child is placed in the temporary custody of the  | 
Department of
Children
and Family
Services for his or her  | 
protection, the court shall admonish the parents,
guardian,
 | 
 | 
custodian or responsible relative that the parents must  | 
cooperate with the
Department of Children and Family Services,  | 
comply
with the terms of the service plans, and correct the  | 
conditions which require
the child to be in care, or risk  | 
termination of their parental
rights. The court shall ensure,  | 
by inquiring in open court of each parent, guardian, custodian  | 
or responsible relative, that the parent, guardian, custodian  | 
or responsible relative has had the opportunity to provide the  | 
Department with all known names, addresses, and telephone  | 
numbers of each of the minor's living maternal and paternal  | 
adult relatives, including, but not limited to, grandparents,  | 
aunts, uncles, and siblings. The court shall advise the  | 
parents, guardian, custodian or responsible relative to inform  | 
the Department if additional information regarding the minor's  | 
adult relatives becomes available.
 | 
 (3) If prior to the shelter care hearing for a minor  | 
described in Sections
2-3, 2-4, 3-3 and 4-3 the moving party is  | 
unable to serve notice on the
party respondent, the shelter  | 
care hearing may proceed ex parte. A shelter
care order from an  | 
ex parte hearing shall be endorsed with the date and
hour of  | 
issuance and shall be filed with the clerk's office and  | 
entered of
record. The order shall expire after 10 days from  | 
the time it is issued
unless before its expiration it is  | 
renewed, at a hearing upon appearance
of the party respondent,  | 
or upon an affidavit of the moving party as to all
diligent  | 
efforts to notify the party respondent by notice as herein
 | 
 | 
prescribed. The notice prescribed shall be in writing and  | 
shall be
personally delivered to the minor or the minor's  | 
attorney and to the last
known address of the other person or  | 
persons entitled to notice. The
notice shall also state the  | 
nature of the allegations, the nature of the
order sought by  | 
the State, including whether temporary custody is sought,
and  | 
the consequences of failure to appear and shall contain a  | 
notice
that the parties will not be entitled to further  | 
written notices or publication
notices of proceedings in this  | 
case, including the filing of an amended
petition or a motion  | 
to terminate parental rights, except as required by
Supreme  | 
Court Rule 11; and shall explain the
right of
the parties and  | 
the procedures to vacate or modify a shelter care order as
 | 
provided in this Section. The notice for a shelter care  | 
hearing shall be
substantially as follows:
 | 
NOTICE TO PARENTS AND CHILDREN
 | 
OF SHELTER CARE HEARING
 | 
  On ................ at ........., before the Honorable  | 
 ................,
(address:) ................., the State  | 
 of Illinois will present evidence
(1) that (name of child  | 
 or children) ....................... are abused,
neglected  | 
 or dependent for the following reasons:
 | 
 ..............................................
and (2)  | 
 whether there is "immediate and urgent necessity" to  | 
 remove the child
or children from the responsible  | 
 relative.
 | 
 | 
  YOUR FAILURE TO APPEAR AT THE HEARING MAY RESULT IN  | 
 PLACEMENT of the
child or children in foster care until a  | 
 trial can be held. A trial may
not be held for up to 90  | 
 days. You will not be entitled to further notices
of  | 
 proceedings in this case, including the filing of an  | 
 amended petition or a
motion to terminate parental rights.
 | 
  At the shelter care hearing, parents have the  | 
 following rights:
 | 
   1. To ask the court to appoint a lawyer if they  | 
 cannot afford one.
 | 
   2. To ask the court to continue the hearing to  | 
 allow them time to
prepare.
 | 
   3. To present evidence concerning:
 | 
    a. Whether or not the child or children were  | 
 abused, neglected
or dependent.
 | 
    b. Whether or not there is "immediate and  | 
 urgent necessity" to remove
the child from home  | 
 (including: their ability to care for the child,
 | 
 conditions in the home, alternative means of  | 
 protecting the child other
than removal).
 | 
    c. The best interests of the child.
 | 
   4. To cross examine the State's witnesses.
 | 
 The Notice for rehearings shall be substantially as  | 
follows:
 | 
NOTICE OF PARENT'S AND CHILDREN'S RIGHTS
 | 
 | 
TO REHEARING ON TEMPORARY CUSTODY
 | 
  If you were not present at and did not have adequate  | 
 notice of the
Shelter Care Hearing at which temporary  | 
 custody of ............... was
awarded to  | 
 ................, you have the right to request a full  | 
 rehearing
on whether the State should have temporary  | 
 custody of ................. To
request this rehearing,  | 
 you must file with the Clerk of the Juvenile Court
 | 
 (address): ........................, in person or by  | 
 mailing a statement
(affidavit) setting forth the  | 
 following:
 | 
   1. That you were not present at the shelter care  | 
 hearing.
 | 
   2. That you did not get adequate notice  | 
 (explaining how the notice
was inadequate).
 | 
   3. Your signature.
 | 
   4. Signature must be notarized.
 | 
  The rehearing should be scheduled within 48 hours of  | 
 your filing this
affidavit.
 | 
  At the rehearing, your rights are the same as at the  | 
 initial shelter care
hearing. The enclosed notice explains  | 
 those rights.
 | 
  At the Shelter Care Hearing, children have the  | 
 following rights:
 | 
   1. To have a guardian ad litem appointed.
 | 
   2. To be declared competent as a witness and to  | 
 | 
 present testimony
concerning:
 | 
    a. Whether they are abused, neglected or  | 
 dependent.
 | 
    b. Whether there is "immediate and urgent  | 
 necessity" to be
removed from home.
 | 
    c. Their best interests.
 | 
   3. To cross examine witnesses for other parties.
 | 
   4. To obtain an explanation of any proceedings and  | 
 orders of the
court.
 | 
 (4) If the parent, guardian, legal custodian, responsible  | 
relative,
minor age 8 or over, or counsel of the minor did not  | 
have actual notice of
or was not present at the shelter care  | 
hearing, he or she may file an
affidavit setting forth these  | 
facts, and the clerk shall set the matter for
rehearing not  | 
later than 48 hours, excluding Sundays and legal holidays,
 | 
after the filing of the affidavit. At the rehearing, the court  | 
shall
proceed in the same manner as upon the original hearing.
 | 
 (5) Only when there is reasonable cause to believe that  | 
the minor
taken into custody is a person described in  | 
subsection (3) of Section
5-105 may the minor be
kept or  | 
detained in a detention home or county or municipal jail. This
 | 
Section shall in no way be construed to limit subsection (6).
 | 
 (6) No minor under 16 years of age may be confined in a  | 
jail or place
ordinarily used for the confinement of prisoners  | 
in a police station. Minors
under 18 years of age must be kept  | 
separate from confined adults and may
not at any time be kept  | 
 | 
in the same cell, room, or yard with adults confined
pursuant  | 
to the criminal law.
 | 
 (7) If the minor is not brought before a judicial officer  | 
within the
time period as specified in Section 2-9, the minor  | 
must immediately be
released from custody.
 | 
 (8) If neither the parent, guardian or custodian appears  | 
within 24
hours to take custody of a minor released upon  | 
request pursuant to
subsection (2) of this Section, then the  | 
clerk of the court shall set the
matter for rehearing not later  | 
than 7 days after the original order and
shall issue a summons  | 
directed to the parent, guardian or custodian to
appear. At  | 
the same time the probation department shall prepare a report
 | 
on the minor. If a parent, guardian or custodian does not  | 
appear at such
rehearing, the judge may enter an order  | 
prescribing that the minor be kept
in a suitable place  | 
designated by the Department of Children and Family
Services  | 
or a licensed child welfare agency.
 | 
 (9) Notwithstanding any other provision of this
Section  | 
any interested party, including the State, the temporary
 | 
custodian, an agency providing services to the minor or family  | 
under a
service plan pursuant to Section 8.2 of the Abused and  | 
Neglected Child
Reporting Act, foster parent, or any of their  | 
representatives, on notice
to all parties entitled to notice,  | 
may file a motion that it is in the best
interests of the minor  | 
to modify or vacate a
temporary custody order on any of the  | 
following grounds:
 | 
 | 
  (a) It is no longer a matter of immediate and urgent  | 
 necessity that the
minor remain in shelter care; or
 | 
  (b) There is a material change in the circumstances of  | 
 the natural
family from which the minor was removed and  | 
 the child can be cared for at
home without endangering the  | 
 child's health or safety; or
 | 
  (c) A person not a party to the alleged abuse, neglect  | 
 or dependency,
including a parent, relative or legal  | 
 guardian, is capable of assuming
temporary custody of the  | 
 minor; or
 | 
  (d) Services provided by the Department of Children  | 
 and Family Services
or a child welfare agency or other  | 
 service provider have been successful in
eliminating the  | 
 need for temporary custody and the child can be cared for  | 
 at
home without endangering the child's health or safety.
 | 
 In ruling on the motion, the court shall determine whether  | 
it is consistent
with the health, safety and best interests of  | 
the minor to modify
or vacate a temporary custody order. If the
 | 
minor is being restored to the custody of a parent, legal  | 
custodian, or guardian who lives
outside of Illinois, and an  | 
Interstate Compact has been requested and refused, the court  | 
may order the
Department of Children and Family Services to  | 
arrange for an assessment of the minor's
proposed living  | 
arrangement and for ongoing monitoring of the health, safety,  | 
and best
interest of the minor and compliance with any order of  | 
protective supervision entered in
accordance with Section 2-20  | 
 | 
or 2-25.
 | 
 The clerk shall set the matter for hearing not later than  | 
14 days after
such motion is filed. In the event that the court  | 
modifies or vacates a
temporary custody order but does not  | 
vacate its finding of probable cause,
the court may order that  | 
appropriate services be continued or initiated in
behalf of  | 
the minor and his or her family.
 | 
 (10) When the court finds or has found that there is  | 
probable cause to
believe a minor is an abused minor as  | 
described in subsection (2) of Section
2-3
and that there is an  | 
immediate and urgent necessity for the abused minor to be
 | 
placed in shelter care, immediate and urgent necessity shall  | 
be presumed for
any other minor residing in the same household  | 
as the abused minor provided:
 | 
  (a) Such other minor is the subject of an abuse or  | 
 neglect petition
pending before the court; and
 | 
  (b) A party to the petition is seeking shelter care  | 
 for such other minor.
 | 
 Once the presumption of immediate and urgent necessity has  | 
been raised, the
burden of demonstrating the lack of immediate  | 
and urgent necessity shall be on
any party that is opposing  | 
shelter care for the other minor.
 | 
 (11) The changes made to this Section by Public Act 98-61  | 
apply to a minor who has been
arrested or taken into custody on  | 
or after January 1, 2014 (the effective date
of Public Act  | 
98-61). | 
 | 
 (12) After the court has placed a minor in the care of a  | 
temporary custodian pursuant to this Section, any party may  | 
file a motion requesting the court to grant the temporary  | 
custodian the authority to serve as a surrogate decision maker  | 
for the minor under the Health Care Surrogate Act for purposes  | 
of making decisions pursuant to paragraph (1) of subsection  | 
(b) of Section 20 of the Health Care Surrogate Act. The court  | 
may grant the motion if it determines by clear and convincing  | 
evidence that it is in the best interests of the minor to grant  | 
the temporary custodian such authority. In making its  | 
determination, the court shall weigh the following factors in  | 
addition to considering the best interests factors listed in  | 
subsection (4.05) of Section 1-3 of this Act:  | 
  (a) the efforts to identify and locate the respondents  | 
 and adult family members of the minor and the results of  | 
 those efforts; | 
  (b) the efforts to engage the respondents and adult  | 
 family members of the minor in decision making on behalf  | 
 of the minor; | 
  (c) the length of time the efforts in paragraphs (a)  | 
 and (b) have been ongoing; | 
  (d) the relationship between the respondents and adult  | 
 family members and the minor; | 
  (e) medical testimony regarding the extent to which  | 
 the minor is suffering and the impact of a delay in  | 
 decision-making on the minor; and | 
 | 
  (f) any other factor the court deems relevant. | 
 If the Department of Children and Family Services is the  | 
temporary custodian of the minor, in addition to the  | 
requirements of paragraph (1) of subsection (b) of Section 20  | 
of the Health Care Surrogate Act, the Department shall follow  | 
its rules and procedures in exercising authority granted under  | 
this subsection.  | 
(Source: P.A. 102-489, eff. 8-20-21; 102-502, eff. 1-1-22;  | 
revised 10-14-21.)
 | 
 (705 ILCS 405/2-28) (from Ch. 37, par. 802-28)
 | 
 Sec. 2-28. Court review. 
 | 
 (1) The court may require any legal custodian or guardian  | 
of the person
appointed under this Act to report periodically  | 
to the court or may cite
him into court and require him or his  | 
agency, to make a full and
accurate report of his or its doings  | 
in behalf of the minor. The
custodian or guardian, within 10  | 
days after such citation, or earlier if the court determines  | 
it to be necessary to protect the health, safety, or welfare of  | 
the minor, shall make
the report, either in writing verified  | 
by affidavit or orally under oath
in open court, or otherwise  | 
as the court directs. Upon the hearing of
the report the court  | 
may remove the custodian or guardian and appoint
another in  | 
his stead or restore the minor to the custody of his parents
or  | 
former guardian or custodian. However, custody of the minor  | 
shall
not be restored to any parent, guardian, or legal  | 
 | 
custodian in any case
in which the minor is found to be  | 
neglected or abused under Section 2-3 or
dependent under  | 
Section 2-4 of this
Act, unless the minor can be cared for at  | 
home without endangering the
minor's health or safety and it  | 
is in the best interests of the minor, and
if such neglect,
 | 
abuse, or dependency is found by the court under paragraph (1)
 | 
of Section 2-21 of
this Act to have come about due to the acts  | 
or omissions or both of such
parent, guardian,
or legal  | 
custodian, until such time as an investigation is made as  | 
provided in
paragraph (5) and a hearing is held on the issue of  | 
the fitness of such parent,
guardian, or legal custodian to  | 
care for the minor and the court enters an order
that such  | 
parent, guardian, or legal custodian is fit to care for the  | 
minor.
 | 
 (1.5) The public agency that is the custodian or guardian  | 
of the minor shall file a written report with the court no  | 
later than 15 days after a minor in the agency's care remains: | 
  (1) in a shelter placement beyond 30 days; | 
  (2) in a psychiatric hospital past the time when the  | 
 minor is clinically ready for discharge or beyond medical  | 
 necessity for the minor's health; or | 
  (3) in a detention center or Department of Juvenile  | 
 Justice facility solely because the public agency cannot  | 
 find an appropriate placement for the minor. | 
 The report shall explain the steps the agency is taking to  | 
ensure the minor is placed appropriately, how the minor's  | 
 | 
needs are being met in the minor's shelter placement, and if a  | 
future placement has been identified by the Department, why  | 
the anticipated placement is appropriate for the needs of the  | 
minor and the anticipated placement date.  | 
 (1.6) Within 35 days after placing a child in its care in a  | 
qualified residential treatment program, as defined by the  | 
federal Social Security Act, the Department of Children and  | 
Family Services shall file a written report with the court and  | 
send copies of the report to all parties. Within 20 days of the  | 
filing of the report, the court shall hold a hearing to  | 
consider the Department's report and determine whether  | 
placement of the child in a qualified residential treatment  | 
program provides the most effective and appropriate level of  | 
care for the child in the least restrictive environment and if  | 
the placement is consistent with the short-term and long-term  | 
goals for the child, as specified in the permanency plan for  | 
the child. The court shall approve or disapprove the  | 
placement. If applicable, the requirements of Sections 2-27.1  | 
and 2-27.2 must also be met.
The Department's written report  | 
and the court's written determination shall be included in and  | 
made part of the case plan for the child. If the child remains  | 
placed in a qualified residential treatment program, the  | 
Department shall submit evidence at each status and permanency  | 
hearing:  | 
  (1) demonstrating that on-going assessment of the  | 
 strengths and needs of the child continues to support the  | 
 | 
 determination that the child's needs cannot be met through  | 
 placement in a foster family home, that the placement  | 
 provides the most effective and appropriate level of care  | 
 for the child in the least restrictive, appropriate  | 
 environment, and that the placement is consistent with the  | 
 short-term and long-term permanency goal for the child, as  | 
 specified in the permanency plan for the child;  | 
  (2) documenting the specific treatment or service  | 
 needs that should be met for the child in the placement and  | 
 the length of time the child is expected to need the  | 
 treatment or services; and  | 
  (3) the efforts made by the agency to prepare the  | 
 child to return home or to be placed with a fit and willing  | 
 relative, a legal guardian, or an adoptive parent, or in a  | 
 foster family home.  | 
 (2) The first permanency hearing shall be
conducted by the  | 
judge. Subsequent permanency hearings may be
heard by a judge  | 
or by hearing officers appointed or approved by the court in
 | 
the manner set forth in Section 2-28.1 of this Act.
The initial  | 
hearing shall be held (a) within 12 months from the date
 | 
temporary
custody was taken, regardless of whether an  | 
adjudication or dispositional hearing has been completed  | 
within that time frame, (b) if the parental rights of both  | 
parents have been
terminated in accordance with the procedure  | 
described in subsection (5) of
Section 2-21, within
30 days of  | 
the order for termination of parental rights and appointment  | 
 | 
of
a guardian with power to consent to adoption, or (c) in  | 
accordance with
subsection
(2) of Section 2-13.1. Subsequent  | 
permanency hearings
shall be held every 6 months
or more  | 
frequently if necessary in the court's determination following  | 
the
initial permanency hearing, in accordance with the  | 
standards set forth in this
Section, until the court  | 
determines that the plan and goal have been achieved.
Once the  | 
plan and goal have been achieved, if the minor remains in  | 
substitute
care, the case shall be reviewed at least every 6  | 
months thereafter, subject to
the provisions of this Section,  | 
unless the minor is placed in the guardianship
of a suitable  | 
relative or other person and the court determines that further
 | 
monitoring by the court does not further the health, safety or  | 
best interest of
the child and that this is a stable permanent  | 
placement.
The permanency hearings must occur within the time  | 
frames set forth in this
subsection and may not be delayed in  | 
anticipation of a report from any source or due to the agency's  | 
failure to timely file its written report (this
written report  | 
means the one required under the next paragraph and does not
 | 
mean the service plan also referred to in that paragraph).
 | 
 The public agency that is the custodian or guardian of the  | 
minor, or another
agency responsible for the minor's care,  | 
shall ensure that all parties to the
permanency hearings are  | 
provided a copy of the most recent
service plan prepared  | 
within the prior 6 months
at least 14 days in advance of the  | 
hearing. If not contained in the agency's service plan, the
 | 
 | 
agency shall also include a report setting forth (i) any  | 
special
physical, psychological, educational, medical,  | 
emotional, or other needs of the
minor or his or her family  | 
that are relevant to a permanency or placement
determination  | 
and (ii) for any minor age 16 or over, a written description of
 | 
the programs and services that will enable the minor to  | 
prepare for independent
living. If not contained in the  | 
agency's service plan, the agency's report shall specify if a  | 
minor is placed in a licensed child care facility under a  | 
corrective plan by the Department due to concerns impacting  | 
the minor's safety and well-being. The report shall explain  | 
the steps the Department is taking to ensure the safety and  | 
well-being of the minor and that the minor's needs are met in  | 
the facility. The agency's written report must detail what  | 
progress or lack of
progress the parent has made in correcting  | 
the conditions requiring the child
to be in care; whether the  | 
child can be returned home without jeopardizing the
child's  | 
health, safety, and welfare, and if not, what permanency goal  | 
is
recommended to be in the best interests of the child, and  | 
why the other
permanency goals are not appropriate. The  | 
caseworker must appear and testify
at the permanency hearing.  | 
If a permanency hearing has not previously been
scheduled by  | 
the court, the moving party shall move for the setting of a
 | 
permanency hearing and the entry of an order within the time  | 
frames set forth
in this subsection.
 | 
 At the permanency hearing, the court shall determine the  | 
 | 
future status
of the child. The court shall set one of the  | 
following permanency goals:
 | 
  (A) The minor will be returned home by a specific date  | 
 within 5
months.
 | 
  (B) The minor will be in short-term care with a
 | 
 continued goal to return home within a period not to  | 
 exceed one
year, where the progress of the parent or  | 
 parents is substantial giving
particular consideration to  | 
 the age and individual needs of the minor.
 | 
  (B-1) The minor will be in short-term care with a  | 
 continued goal to return
home pending a status hearing.  | 
 When the court finds that a parent has not made
reasonable  | 
 efforts or reasonable progress to date, the court shall  | 
 identify
what actions the parent and the Department must  | 
 take in order to justify a
finding of reasonable efforts  | 
 or reasonable progress and shall set a status
hearing to  | 
 be held not earlier than 9 months from the date of  | 
 adjudication nor
later than 11 months from the date of  | 
 adjudication during which the parent's
progress will again  | 
 be reviewed.
 | 
  (C) The minor will be in substitute care pending court
 | 
 determination on termination of parental rights.
 | 
  (D) Adoption, provided that parental rights have been  | 
 terminated or
relinquished.
 | 
  (E) The guardianship of the minor will be transferred  | 
 to an individual or
couple on a permanent basis provided  | 
 | 
 that goals (A) through (D) have
been deemed inappropriate  | 
 and not in the child's best interests. The court shall  | 
 confirm that the Department has discussed adoption, if  | 
 appropriate, and guardianship with the caregiver prior to  | 
 changing a goal to guardianship.
 | 
  (F) The minor over age 15 will be in substitute care  | 
 pending
independence. In selecting this permanency goal,  | 
 the Department of Children and Family Services may provide  | 
 services to enable reunification and to strengthen the  | 
 minor's connections with family, fictive kin, and other  | 
 responsible adults, provided the services are in the  | 
 minor's best interest. The services shall be documented in  | 
 the service plan. 
 | 
  (G) The minor will be in substitute care because he or  | 
 she cannot be
provided for in a home environment due to  | 
 developmental
disabilities or mental illness or because he  | 
 or she is a danger to self or
others, provided that goals  | 
 (A) through (D) have been deemed inappropriate and not in  | 
 the child's best interests.
 | 
 In selecting any permanency goal, the court shall indicate  | 
in writing the
reasons the goal was selected and why the  | 
preceding goals were deemed inappropriate and not in the  | 
child's best interest.
Where the court has selected a  | 
permanency goal other than (A), (B), or (B-1),
the
Department  | 
of Children and Family Services shall not provide further
 | 
reunification services, except as provided in paragraph (F) of  | 
 | 
this subsection (2), but shall provide services
consistent  | 
with the goal
selected.
 | 
  (H) Notwithstanding any other provision in this  | 
 Section, the court may select the goal of continuing  | 
 foster care as a permanency goal if:  | 
   (1) The Department of Children and Family Services  | 
 has custody and guardianship of the minor;  | 
   (2) The court has deemed all other permanency  | 
 goals inappropriate based on the child's best  | 
 interest;
 | 
   (3) The court has found compelling reasons, based  | 
 on written documentation reviewed by the court, to  | 
 place the minor in continuing foster care. Compelling  | 
 reasons include:
 | 
    (a) the child does not wish to be adopted or to  | 
 be placed in the guardianship of his or her  | 
 relative or foster care placement;
 | 
    (b) the child exhibits an extreme level of  | 
 need such that the removal of the child from his or  | 
 her placement would be detrimental to the child;  | 
 or
 | 
    (c) the child who is the subject of the  | 
 permanency hearing has existing close and strong  | 
 bonds with a sibling, and achievement of another  | 
 permanency goal would substantially interfere with  | 
 the subject child's sibling relationship, taking  | 
 | 
 into consideration the nature and extent of the  | 
 relationship, and whether ongoing contact is in  | 
 the subject child's best interest, including  | 
 long-term emotional interest, as compared with the  | 
 legal and emotional benefit of permanence;
 | 
   (4) The child has lived with the relative or  | 
 foster parent for at least one year; and
 | 
   (5) The relative or foster parent currently caring  | 
 for the child is willing and capable of providing the  | 
 child with a stable and permanent environment.  | 
 The court shall set a
permanency
goal that is in the best  | 
interest of the child. In determining that goal, the court  | 
shall consult with the minor in an age-appropriate manner  | 
regarding the proposed permanency or transition plan for the  | 
minor. The court's determination
shall include the following  | 
factors:
 | 
  (1) Age of the child.
 | 
  (2) Options available for permanence, including both  | 
 out-of-state and in-state placement options.
 | 
  (3) Current placement of the child and the intent of  | 
 the family regarding
adoption.
 | 
  (4) Emotional, physical, and mental status or  | 
 condition of the child.
 | 
  (5) Types of services previously offered and whether  | 
 or not
the services were successful and, if not  | 
 successful, the reasons the services
failed.
 | 
 | 
  (6) Availability of services currently needed and  | 
 whether the services
exist.
 | 
  (7) Status of siblings of the minor.
 | 
 The court shall consider (i) the permanency goal contained  | 
in the service
plan, (ii) the appropriateness of the
services  | 
contained in the plan and whether those services have been
 | 
provided, (iii) whether reasonable efforts have been made by  | 
all
the parties to the service plan to achieve the goal, and  | 
(iv) whether the plan
and goal have been achieved. All  | 
evidence
relevant to determining these questions, including  | 
oral and written reports,
may be admitted and may be relied on  | 
to the extent of their probative value.
 | 
 The court shall make findings as to whether, in violation  | 
of Section 8.2 of the Abused and Neglected Child Reporting  | 
Act, any portion of the service plan compels a child or parent  | 
to engage in any activity or refrain from any activity that is  | 
not reasonably related to remedying a condition or conditions  | 
that gave rise or which could give rise to any finding of child  | 
abuse or neglect. The services contained in the service plan  | 
shall include services reasonably related to remedy the  | 
conditions that gave rise to removal of the child from the home  | 
of his or her parents, guardian, or legal custodian or that the  | 
court has found must be remedied prior to returning the child  | 
home. Any tasks the court requires of the parents, guardian,  | 
or legal custodian or child prior to returning the child home,  | 
must be reasonably related to remedying a condition or  | 
 | 
conditions that gave rise to or which could give rise to any  | 
finding of child abuse or neglect.  | 
 If the permanency goal is to return home, the court shall  | 
make findings that identify any problems that are causing  | 
continued placement of the children away from the home and  | 
identify what outcomes would be considered a resolution to  | 
these problems. The court shall explain to the parents that  | 
these findings are based on the information that the court has  | 
at that time and may be revised, should additional evidence be  | 
presented to the court.  | 
 The court shall review the Sibling Contact Support Plan  | 
developed or modified under subsection (f) of Section 7.4 of  | 
the Children and Family Services Act, if applicable. If the  | 
Department has not convened a meeting to
develop or modify a  | 
Sibling Contact Support Plan, or if the court finds that the  | 
existing Plan
is not in the child's best interest, the court  | 
may enter an order requiring the Department to
develop, modify  | 
or implement a Sibling Contact Support Plan, or order  | 
mediation.  | 
 If the goal has been achieved, the court shall enter  | 
orders that are
necessary to conform the minor's legal custody  | 
and status to those findings.
 | 
 If, after receiving evidence, the court determines that  | 
the services
contained in the plan are not reasonably  | 
calculated to facilitate achievement
of the permanency goal,  | 
the court shall put in writing the factual basis
supporting  | 
 | 
the determination and enter specific findings based on the  | 
evidence.
The court also shall enter an order for the  | 
Department to develop and
implement a new service plan or to  | 
implement changes to the current service
plan consistent with  | 
the court's findings. The new service plan shall be filed
with  | 
the court and served on all parties within 45 days of the date  | 
of the
order. The court shall continue the matter until the new  | 
service plan is
filed. Except as authorized by subsection  | 
(2.5) of this Section and as otherwise specifically authorized  | 
by law, the court is not empowered under this Section to order  | 
specific placements, specific services, or specific service  | 
providers to be included in the service plan.
 | 
 A guardian or custodian appointed by the court pursuant to  | 
this Act shall
file updated case plans with the court every 6  | 
months.
 | 
 Rights of wards of the court under this Act are  | 
enforceable against
any public agency by complaints for relief  | 
by mandamus filed in any
proceedings brought under this Act.
 | 
 (2.5) If, after reviewing the evidence, including evidence  | 
from the Department, the court determines that the minor's  | 
current or planned placement is not necessary or appropriate  | 
to facilitate achievement of the permanency goal, the court  | 
shall put in writing the factual basis supporting its  | 
determination and enter specific findings based on the  | 
evidence. If the court finds that the minor's current or  | 
planned placement is not necessary or appropriate, the court  | 
 | 
may enter an order directing the Department to implement a  | 
recommendation by the minor's treating clinician or a  | 
clinician contracted by the Department to evaluate the minor  | 
or a recommendation made by the Department. If the Department  | 
places a minor in a placement under an order entered under this  | 
subsection (2.5), the Department has the authority to remove  | 
the minor from that placement when a change in circumstances  | 
necessitates the removal to protect the minor's health,  | 
safety, and best interest. If the Department determines  | 
removal is necessary, the Department shall notify the parties  | 
of the planned placement change in writing no later than 10  | 
days prior to the implementation of its determination unless  | 
remaining in the placement poses an imminent risk of harm to  | 
the minor, in which case the Department shall notify the  | 
parties of the placement change in writing immediately  | 
following the implementation of its decision. The Department  | 
shall notify others of the decision to change the minor's  | 
placement as required by Department rule.  | 
 (3) Following the permanency hearing, the court shall  | 
enter a written order
that includes the determinations  | 
required under subsection (2) of this
Section and sets forth  | 
the following:
 | 
  (a) The future status of the minor, including the  | 
 permanency goal, and
any order necessary to conform the  | 
 minor's legal custody and status to such
determination; or
 | 
  (b) If the permanency goal of the minor cannot be  | 
 | 
 achieved immediately,
the specific reasons for continuing  | 
 the minor in the care of the Department of
Children and  | 
 Family Services or other agency for short term placement,  | 
 and the
following determinations:
 | 
   (i) (Blank).
 | 
   (ii) Whether the services required by the court
 | 
 and by any service plan prepared within the prior 6  | 
 months
have been provided and (A) if so, whether the  | 
 services were reasonably
calculated to facilitate the  | 
 achievement of the permanency goal or (B) if not
 | 
 provided, why the services were not provided.
 | 
   (iii) Whether the minor's current or planned  | 
 placement is necessary, and appropriate to the
plan  | 
 and goal, recognizing the right of minors to the least  | 
 restrictive (most
family-like) setting available and  | 
 in close proximity to the parents' home
consistent  | 
 with the health, safety, best interest and special  | 
 needs of the
minor and, if the minor is placed  | 
 out-of-state, whether the out-of-state
placement  | 
 continues to be appropriate and consistent with the  | 
 health, safety,
and best interest of the minor.
 | 
   (iv) (Blank).
 | 
   (v) (Blank).
 | 
 (4) The minor or any person interested in the minor may  | 
apply to the
court for a change in custody of the minor and the  | 
appointment of a new
custodian or guardian of the person or for  | 
 | 
the restoration of the minor
to the custody of his parents or  | 
former guardian or custodian.
 | 
 When return home is not selected as the permanency goal:
 | 
  (a) The Department, the minor, or the current
foster  | 
 parent or relative
caregiver seeking private guardianship  | 
 may file a motion for private
guardianship of the minor.  | 
 Appointment of a guardian under this Section
requires  | 
 approval of the court.
 | 
  (b) The State's Attorney may file a motion to  | 
 terminate parental rights of
any parent who has failed to  | 
 make reasonable efforts to correct the conditions
which  | 
 led to the removal of the child or reasonable progress  | 
 toward the return
of the child, as defined in subdivision  | 
 (D)(m) of Section 1 of the Adoption Act
or for whom any  | 
 other unfitness ground for terminating parental rights as
 | 
 defined in subdivision (D) of Section 1 of the Adoption  | 
 Act exists. | 
  When parental rights have been terminated for a  | 
 minimum of 3 years and the child who is the subject of the  | 
 permanency hearing is 13 years old or older and is not  | 
 currently placed in a placement likely to achieve  | 
 permanency, the Department of
Children and Family Services  | 
 shall make reasonable efforts to locate parents whose  | 
 rights have been terminated, except when the Court  | 
 determines that those efforts would be futile or  | 
 inconsistent with the subject child's best interests. The  | 
 | 
 Department of
Children and Family Services shall assess  | 
 the appropriateness of the parent whose rights have been  | 
 terminated, and shall, as appropriate, foster and support  | 
 connections between the parent whose rights have been  | 
 terminated and the youth. The Department of
Children and  | 
 Family Services shall document its determinations and  | 
 efforts to foster connections in the child's case plan. 
 | 
 Custody of the minor shall not be restored to any parent,  | 
guardian, or legal
custodian in any case in which the minor is  | 
found to be neglected or abused
under Section 2-3 or dependent  | 
under Section 2-4 of this Act, unless the
minor can be cared  | 
for at home
without endangering his or her health or safety and  | 
it is in the best
interest of the minor,
and if such neglect,  | 
abuse, or dependency is found by the court
under paragraph (1)  | 
of Section 2-21 of this Act to have come
about due to the acts  | 
or omissions or both of such parent, guardian, or legal
 | 
custodian, until such time as an investigation is made as  | 
provided in
paragraph (5) and a hearing is held on the issue of  | 
the health,
safety, and
best interest of the minor and the  | 
fitness of such
parent, guardian, or legal custodian to care  | 
for the minor and the court
enters an order that such parent,  | 
guardian, or legal custodian is fit to
care for the minor. If a  | 
motion is filed to modify or
vacate a private guardianship  | 
order and return the child to a parent, guardian, or legal  | 
custodian, the
court may order the Department of Children and  | 
Family Services to assess the minor's current and
proposed  | 
 | 
living arrangements and to provide ongoing monitoring of the  | 
health, safety, and best interest
of the minor during the  | 
pendency of the motion to assist the court in making that  | 
determination. In the event that the minor has attained 18  | 
years
of age and the guardian or custodian petitions the court  | 
for an order
terminating his guardianship or custody,  | 
guardianship or custody shall
terminate automatically 30 days  | 
after the receipt of the petition unless
the court orders  | 
otherwise. No legal custodian or guardian of the
person may be  | 
removed without his consent until given notice and an
 | 
opportunity to be heard by the court.
 | 
 When the court orders a child restored to the custody of  | 
the parent or
parents, the court shall order the parent or  | 
parents to cooperate with the
Department of Children and  | 
Family Services and comply with the terms of an
after-care  | 
plan, or risk the loss of custody of the child and possible
 | 
termination of their parental rights. The court may also enter  | 
an order of
protective supervision in accordance with Section  | 
2-24.
 | 
 If the minor is being restored to the custody of a parent,  | 
legal custodian, or guardian who lives
outside of Illinois,  | 
and an Interstate Compact has been requested and refused, the  | 
court may order the
Department of Children and Family Services  | 
to arrange for an assessment of the minor's
proposed living  | 
arrangement and for ongoing monitoring of the health, safety,  | 
and best
interest of the minor and compliance with any order of  | 
 | 
protective supervision entered in
accordance with Section  | 
2-24.  | 
 (5) Whenever a parent, guardian, or legal custodian files  | 
a motion for
restoration of custody of the minor, and the minor  | 
was adjudicated
neglected, abused, or dependent as a result of  | 
physical abuse,
the court shall cause to be
made an  | 
investigation as to whether the movant has ever been charged
 | 
with or convicted of any criminal offense which would indicate  | 
the
likelihood of any further physical abuse to the minor.  | 
Evidence of such
criminal convictions shall be taken into  | 
account in determining whether the
minor can be cared for at  | 
home without endangering his or her health or safety
and  | 
fitness of the parent, guardian, or legal custodian.
 | 
  (a) Any agency of this State or any subdivision  | 
 thereof shall cooperate
co-operate with the agent of the  | 
 court in providing any information
sought in the  | 
 investigation.
 | 
  (b) The information derived from the investigation and  | 
 any
conclusions or recommendations derived from the  | 
 information shall be
provided to the parent, guardian, or  | 
 legal custodian seeking restoration
of custody prior to  | 
 the hearing on fitness and the movant shall have
an  | 
 opportunity at the hearing to refute the information or  | 
 contest its
significance.
 | 
  (c) All information obtained from any investigation  | 
 shall be confidential
as provided in Section 5-150 of this  | 
 | 
 Act.
 | 
(Source: P.A. 101-63, eff. 10-1-19; 102-193, eff. 7-30-21;  | 
102-489, eff. 8-20-21; revised 10-14-21.)
 | 
 (705 ILCS 405/5-501)
 | 
 (Text of Section before amendment by P.A. 102-654)
 | 
 Sec. 5-501. Detention or shelter care hearing. At the  | 
appearance of the minor before the court at the detention or  | 
shelter
care hearing,
the court shall receive all relevant  | 
information and evidence, including
affidavits concerning the  | 
allegations made in the petition. Evidence used by
the court  | 
in its findings or stated in or offered in connection with this
 | 
Section may be by way of proffer based on reliable information  | 
offered by the
State or minor. All evidence shall be  | 
admissible if it is relevant and
reliable regardless of  | 
whether it would be admissible under the rules of
evidence  | 
applicable at a trial. No hearing may be held unless the minor  | 
is
represented by counsel and no hearing shall be held until  | 
the minor has had adequate opportunity to consult with  | 
counsel.
 | 
 (1) If the court finds that there is not probable cause to  | 
believe that the
minor is a delinquent minor, it shall release  | 
the minor and dismiss the
petition.
 | 
 (2) If the court finds that there is probable cause to  | 
believe that the
minor is a
delinquent minor, the minor, his or  | 
her parent, guardian, custodian and other
persons able to give  | 
 | 
relevant testimony may be examined before the court. The
court  | 
may also consider any evidence by way of proffer based upon  | 
reliable
information offered by the State or the minor. All  | 
evidence, including
affidavits, shall be admissible if it is  | 
relevant and reliable regardless of
whether it would be  | 
admissible under the rules of evidence applicable at trial.
 | 
After such evidence is presented, the court may enter an order  | 
that the minor
shall be released upon the request of a parent,  | 
guardian or legal custodian if
the parent, guardian or  | 
custodian appears to take custody.
 | 
 If the court finds that it is a matter of immediate and  | 
urgent necessity for
the protection of the minor or of the  | 
person or property of another that the
minor be detained or  | 
placed in a
shelter care facility or that he or she is likely  | 
to flee the jurisdiction of
the court, the court may prescribe  | 
detention or shelter care and order that the
minor be kept in a  | 
suitable place designated by the court or in a shelter care
 | 
facility designated by the Department of Children and Family  | 
Services or a
licensed child welfare agency; otherwise it  | 
shall release the minor from
custody. If the court prescribes  | 
shelter care, then in placing the minor, the
Department or  | 
other agency shall, to the extent compatible with the court's
 | 
order, comply with Section 7 of the Children and Family  | 
Services Act. In
making the determination of the existence of  | 
immediate and urgent necessity,
the court shall consider among  | 
other matters: (a) the nature and seriousness of
the alleged  | 
 | 
offense; (b) the minor's record of delinquency offenses,
 | 
including whether the minor has delinquency cases pending; (c)  | 
the minor's
record of willful failure to appear following the  | 
issuance of a summons or
warrant; (d) the availability of  | 
non-custodial alternatives, including the
presence of a  | 
parent, guardian or other responsible relative able and  | 
willing
to provide supervision and care for the minor and to  | 
assure his or her
compliance with a summons. If the minor is  | 
ordered placed in a shelter care
facility of a licensed child  | 
welfare agency, the court shall, upon request of
the agency,  | 
appoint the appropriate agency executive temporary custodian  | 
of the
minor and the court may enter such other orders related  | 
to the temporary
custody of the minor as it deems fit and  | 
proper.
 | 
 The order together with the court's findings of fact in  | 
support of the order
shall
be entered
of record in the court.
 | 
 Once the court finds that it is a matter of immediate and  | 
urgent necessity
for the protection of the minor that the  | 
minor be placed in a shelter care
facility, the minor shall not  | 
be returned to the parent, custodian or guardian
until the  | 
court finds that the placement is no longer necessary for the
 | 
protection of the minor.
 | 
 (3) Only when there is reasonable cause to believe that  | 
the minor taken
into custody is a delinquent minor may the  | 
minor be kept or detained in a
facility authorized for  | 
juvenile detention. This Section shall in no way be
construed  | 
 | 
to limit
subsection (4).
 | 
 (4) (a) Minors 12 years of age or older must be kept  | 
separate from confined
adults and may not at any time be kept  | 
in the same cell, room or yard with
confined adults. This  | 
paragraph (4): (a) shall only apply to confinement pending an  | 
adjudicatory hearing
and
shall not exceed 40 hours, excluding  | 
Saturdays, Sundays, and court designated
holidays. To accept  | 
or hold minors during this time period, county jails shall
 | 
comply with all monitoring standards adopted
by the Department  | 
of Corrections and training standards approved by the
Illinois  | 
Law Enforcement Training Standards Board. 
 | 
 (b) To accept or hold minors, 12 years of age or older,  | 
after the time
period prescribed in clause (a) of subsection  | 
(4) of this Section but not
exceeding 7
days including  | 
Saturdays, Sundays, and holidays, pending an adjudicatory
 | 
hearing, county jails shall comply with all temporary  | 
detention standards adopted
by
the Department of Corrections  | 
and training standards approved by the Illinois
Law  | 
Enforcement Training Standards Board.
 | 
 (c) To accept or hold minors 12 years of age or older,  | 
after the time
period prescribed in clause (a) and (b), of this  | 
subsection, county jails shall
comply with all county juvenile  | 
detention standards adopted by the Department of Juvenile  | 
Justice.
 | 
 (5) If the minor is not brought before a judicial officer  | 
within the time
period as specified in Section 5-415, the  | 
 | 
minor must immediately be released
from
custody.
 | 
 (6) If neither the parent, guardian, or legal custodian  | 
appears within 24
hours to take custody of a minor released  | 
from detention or shelter care, then
the clerk of the court  | 
shall set the matter for rehearing not later than 7 days
after  | 
the original order and shall issue a summons directed to the  | 
parent,
guardian, or legal custodian to appear. At the same  | 
time the probation
department shall prepare a report on the  | 
minor. If a parent, guardian, or legal
custodian does not  | 
appear at such rehearing, the judge may enter an order
 | 
prescribing that the minor be kept in a suitable place  | 
designated by the
Department of Human Services or a licensed  | 
child welfare agency.
The time during which a minor is in  | 
custody after being released upon the
request of a parent,  | 
guardian, or legal custodian shall be considered as time
spent  | 
in detention for purposes of scheduling the trial.
 | 
 (7) Any party, including the State, the temporary  | 
custodian, an agency
providing services to the minor or family  | 
under a service plan pursuant to
Section 8.2 of the Abused and  | 
Neglected Child Reporting Act, foster parent, or
any of their  | 
representatives, may file a
motion to modify or vacate a  | 
temporary custody order or vacate a detention or
shelter care  | 
order on any of the following grounds:
 | 
  (a) It is no longer a matter of immediate and urgent  | 
 necessity that the
minor remain in detention or shelter  | 
 care; or
 | 
 | 
  (b) There is a material change in the circumstances of  | 
 the natural family
from which the minor was removed; or
 | 
  (c) A person, including a parent, relative, or legal  | 
 guardian, is capable
of assuming temporary custody of the  | 
 minor; or
 | 
  (d) Services provided by the Department of Children  | 
 and Family Services
or a
child welfare agency or other  | 
 service provider have been successful in
eliminating the  | 
 need for temporary custody.
 | 
 The clerk shall set the matter for hearing not later than  | 
14 days after such
motion is filed. In the event that the court  | 
modifies or vacates a temporary
order but does not vacate its  | 
finding of probable cause, the court may order
that  | 
appropriate services be continued or initiated on in behalf of  | 
the minor and
his or her family.
 | 
 (8) Whenever a petition has been filed under Section  | 
5-520, the court can,
at
any time prior to trial or sentencing,  | 
order that the minor be placed in
detention or a shelter care  | 
facility after the court conducts a hearing and
finds that the  | 
conduct and behavior of the minor may endanger the health,
 | 
person, welfare, or property of himself or others or that the  | 
circumstances
of his or her home environment may endanger his  | 
or her health, person, welfare,
or property.
 | 
(Source: P.A. 98-685, eff. 1-1-15.)
 | 
 (Text of Section after amendment by P.A. 102-654)
 | 
 | 
 Sec. 5-501. Detention or shelter care hearing. At the  | 
appearance of the minor before the court at the detention or  | 
shelter
care hearing,
the court shall receive all relevant  | 
information and evidence, including
affidavits concerning the  | 
allegations made in the petition. Evidence used by
the court  | 
in its findings or stated in or offered in connection with this
 | 
Section may be by way of proffer based on reliable information  | 
offered by the
State or minor. All evidence shall be  | 
admissible if it is relevant and
reliable regardless of  | 
whether it would be admissible under the rules of
evidence  | 
applicable at a trial. No hearing may be held unless the minor  | 
is
represented by counsel and no hearing shall be held until  | 
the minor has had adequate opportunity to consult with  | 
counsel.
 | 
 (1) If the court finds that there is not probable cause to  | 
believe that the
minor is a delinquent minor, it shall release  | 
the minor and dismiss the
petition.
 | 
 (2) If the court finds that there is probable cause to  | 
believe that the
minor is a
delinquent minor, the minor, his or  | 
her parent, guardian, custodian and other
persons able to give  | 
relevant testimony may be examined before the court. The
court  | 
may also consider any evidence by way of proffer based upon  | 
reliable
information offered by the State or the minor. All  | 
evidence, including
affidavits, shall be admissible if it is  | 
relevant and reliable regardless of
whether it would be  | 
admissible under the rules of evidence applicable at trial.
 | 
 | 
After such evidence is presented, the court may enter an order  | 
that the minor
shall be released upon the request of a parent,  | 
guardian or legal custodian if
the parent, guardian or  | 
custodian appears to take custody.
 | 
 If the court finds that it is a matter of immediate and  | 
urgent necessity for
the protection of the minor or of the  | 
person or property of another that the
minor be detained or  | 
placed in a
shelter care facility or that he or she is likely  | 
to flee the jurisdiction of
the court, the court may prescribe  | 
detention or shelter care and order that the
minor be kept in a  | 
suitable place designated by the court or in a shelter care
 | 
facility designated by the Department of Children and Family  | 
Services or a
licensed child welfare agency; otherwise it  | 
shall release the minor from
custody. If the court prescribes  | 
shelter care, then in placing the minor, the
Department or  | 
other agency shall, to the extent compatible with the court's
 | 
order, comply with Section 7 of the Children and Family  | 
Services Act. In
making the determination of the existence of  | 
immediate and urgent necessity,
the court shall consider among  | 
other matters: (a) the nature and seriousness of
the alleged  | 
offense; (b) the minor's record of delinquency offenses,
 | 
including whether the minor has delinquency cases pending; (c)  | 
the minor's
record of willful failure to appear following the  | 
issuance of a summons or
warrant; (d) the availability of  | 
non-custodial alternatives, including the
presence of a  | 
parent, guardian or other responsible relative able and  | 
 | 
willing
to provide supervision and care for the minor and to  | 
assure his or her
compliance with a summons. If the minor is  | 
ordered placed in a shelter care
facility of a licensed child  | 
welfare agency, the court shall, upon request of
the agency,  | 
appoint the appropriate agency executive temporary custodian  | 
of the
minor and the court may enter such other orders related  | 
to the temporary
custody of the minor as it deems fit and  | 
proper.
 | 
 If the court Court prescribes detention, and the minor is  | 
a youth in care of the Department of Children and Family  | 
Services, a hearing shall be held every 14 days to determine  | 
whether there is an urgent and immediate necessity to detain  | 
the minor for the protection of the person or property of  | 
another. If urgent and immediate necessity is not found on the  | 
basis of the protection of the person or property of another,  | 
the minor shall be released to the custody of the Department of  | 
Children and Family Services. If the court Court prescribes  | 
detention based on the minor being likely to flee the  | 
jurisdiction, and the minor is a youth in care of the  | 
Department of Children and Family Services, a hearing shall be  | 
held every 7 days for status on the location of shelter care  | 
placement by the Department of Children and Family Services.  | 
Detention shall not be used as a shelter care placement for  | 
minors in the custody or guardianship of the Department of  | 
Children and Family Services.  | 
 The order together with the court's findings of fact in  | 
 | 
support of the order
shall
be entered
of record in the court.
 | 
 Once the court finds that it is a matter of immediate and  | 
urgent necessity
for the protection of the minor that the  | 
minor be placed in a shelter care
facility, the minor shall not  | 
be returned to the parent, custodian or guardian
until the  | 
court finds that the placement is no longer necessary for the
 | 
protection of the minor.
 | 
 (3) Only when there is reasonable cause to believe that  | 
the minor taken
into custody is a delinquent minor may the  | 
minor be kept or detained in a
facility authorized for  | 
juvenile detention. This Section shall in no way be
construed  | 
to limit
subsection (4).
 | 
 (4) (a) Minors 12 years of age or older must be kept  | 
separate from confined
adults and may not at any time be kept  | 
in the same cell, room or yard with
confined adults. This  | 
paragraph (4): (a) shall only apply to confinement pending an  | 
adjudicatory hearing
and
shall not exceed 40 hours, excluding  | 
Saturdays, Sundays, and court designated
holidays. To accept  | 
or hold minors during this time period, county jails shall
 | 
comply with all monitoring standards adopted
by the Department  | 
of Corrections and training standards approved by the
Illinois  | 
Law Enforcement Training Standards Board. 
 | 
 (b) To accept or hold minors, 12 years of age or older,  | 
after the time
period prescribed in clause (a) of subsection  | 
(4) of this Section but not
exceeding 7
days including  | 
Saturdays, Sundays, and holidays, pending an adjudicatory
 | 
 | 
hearing, county jails shall comply with all temporary  | 
detention standards adopted
by
the Department of Corrections  | 
and training standards approved by the Illinois
Law  | 
Enforcement Training Standards Board.
 | 
 (c) To accept or hold minors 12 years of age or older,  | 
after the time
period prescribed in clause (a) and (b), of this  | 
subsection, county jails shall
comply with all county juvenile  | 
detention standards adopted by the Department of Juvenile  | 
Justice.
 | 
 (5) If the minor is not brought before a judicial officer  | 
within the time
period as specified in Section 5-415, the  | 
minor must immediately be released
from
custody.
 | 
 (6) If neither the parent, guardian, or legal custodian  | 
appears within 24
hours to take custody of a minor released  | 
from detention or shelter care, then
the clerk of the court  | 
shall set the matter for rehearing not later than 7 days
after  | 
the original order and shall issue a summons directed to the  | 
parent,
guardian, or legal custodian to appear. At the same  | 
time the probation
department shall prepare a report on the  | 
minor. If a parent, guardian, or legal
custodian does not  | 
appear at such rehearing, the judge may enter an order
 | 
prescribing that the minor be kept in a suitable place  | 
designated by the
Department of Human Services or a licensed  | 
child welfare agency.
The time during which a minor is in  | 
custody after being released upon the
request of a parent,  | 
guardian, or legal custodian shall be considered as time
spent  | 
 | 
in detention for purposes of scheduling the trial.
 | 
 (7) Any party, including the State, the temporary  | 
custodian, an agency
providing services to the minor or family  | 
under a service plan pursuant to
Section 8.2 of the Abused and  | 
Neglected Child Reporting Act, foster parent, or
any of their  | 
representatives, may file a
motion to modify or vacate a  | 
temporary custody order or vacate a detention or
shelter care  | 
order on any of the following grounds:
 | 
  (a) It is no longer a matter of immediate and urgent  | 
 necessity that the
minor remain in detention or shelter  | 
 care; or
 | 
  (b) There is a material change in the circumstances of  | 
 the natural family
from which the minor was removed; or
 | 
  (c) A person, including a parent, relative, or legal  | 
 guardian, is capable
of assuming temporary custody of the  | 
 minor; or
 | 
  (d) Services provided by the Department of Children  | 
 and Family Services
or a
child welfare agency or other  | 
 service provider have been successful in
eliminating the  | 
 need for temporary custody.
 | 
 The clerk shall set the matter for hearing not later than  | 
14 days after such
motion is filed. In the event that the court  | 
modifies or vacates a temporary
order but does not vacate its  | 
finding of probable cause, the court may order
that  | 
appropriate services be continued or initiated on in behalf of  | 
the minor and
his or her family.
 | 
 | 
 (8) Whenever a petition has been filed under Section  | 
5-520, the court can,
at
any time prior to trial or sentencing,  | 
order that the minor be placed in
detention or a shelter care  | 
facility after the court conducts a hearing and
finds that the  | 
conduct and behavior of the minor may endanger the health,
 | 
person, welfare, or property of himself or others or that the  | 
circumstances
of his or her home environment may endanger his  | 
or her health, person, welfare,
or property.
 | 
(Source: P.A. 102-654, eff. 1-1-23; revised 11-24-21.)
 | 
 (705 ILCS 405/5-901)
 | 
 Sec. 5-901. Court file. 
 | 
 (1) The Court file with respect to proceedings under this
 | 
Article shall consist of the petitions, pleadings, victim  | 
impact statements,
process,
service of process, orders, writs  | 
and docket entries reflecting hearings held
and judgments and  | 
decrees entered by the court. The court file shall be
kept  | 
separate from other records of the court.
 | 
  (a) The file, including information identifying the  | 
 victim or alleged
victim of any sex
offense, shall be  | 
 disclosed only to the following parties when necessary for
 | 
 discharge of their official duties:
 | 
   (i) A judge of the circuit court and members of the  | 
 staff of the court
designated by the judge;
 | 
   (ii) Parties to the proceedings and their  | 
 attorneys;
 | 
 | 
   (iii) Victims and their attorneys, except in cases  | 
 of multiple victims
of
sex offenses in which case the  | 
 information identifying the nonrequesting
victims  | 
 shall be redacted;
 | 
   (iv) Probation officers, law enforcement officers  | 
 or prosecutors or
their
staff;
 | 
   (v) Adult and juvenile Prisoner Review Boards.
 | 
  (b) The Court file redacted to remove any information  | 
 identifying the
victim or alleged victim of any sex  | 
 offense shall be disclosed only to the
following parties  | 
 when necessary for discharge of their official duties:
 | 
   (i) Authorized military personnel;
 | 
   (ii) Persons engaged in bona fide research, with  | 
 the permission of the
judge of the juvenile court and  | 
 the chief executive of the agency that prepared
the
 | 
 particular recording: provided that publication of  | 
 such research results in no
disclosure of a minor's  | 
 identity and protects the confidentiality of the
 | 
 record;
 | 
   (iii) The Secretary of State to whom the Clerk of  | 
 the Court shall report
the disposition of all cases,  | 
 as required in Section 6-204 or Section 6-205.1
of the  | 
 Illinois
Vehicle Code. However, information reported  | 
 relative to these offenses shall
be privileged and  | 
 available only to the Secretary of State, courts, and  | 
 police
officers;
 | 
 | 
   (iv) The administrator of a bonafide substance  | 
 abuse student
assistance program with the permission  | 
 of the presiding judge of the
juvenile court;
 | 
   (v) Any individual, or any public or private  | 
 agency or institution,
having
custody of the juvenile  | 
 under court order or providing educational, medical or
 | 
 mental health services to the juvenile or a  | 
 court-approved advocate for the
juvenile or any  | 
 placement provider or potential placement provider as
 | 
 determined by the court.
 | 
 (2) (Reserved).  | 
 (3) A minor who is the victim or alleged victim in a  | 
juvenile proceeding
shall be
provided the same confidentiality  | 
regarding disclosure of identity as the
minor who is the  | 
subject of record.
Information identifying victims and alleged  | 
victims of sex offenses,
shall not be disclosed or open to  | 
public inspection under any circumstances.
Nothing in this  | 
Section shall prohibit the victim or alleged victim of any sex
 | 
offense from voluntarily disclosing his or her identity.
 | 
 (4) Relevant information, reports and records shall be  | 
made available to the
Department of
Juvenile Justice when a  | 
juvenile offender has been placed in the custody of the
 | 
Department of Juvenile Justice.
 | 
 (4.5) Relevant information, reports and records, held by  | 
the Department of Juvenile Justice, including social  | 
investigation, psychological and medical records, of any  | 
 | 
juvenile offender, shall be made available to any county  | 
juvenile detention facility upon written request by the  | 
Superintendent or Director of that juvenile detention  | 
facility, to the Chief Records Officer of the Department of  | 
Juvenile Justice where the subject youth is or was in the  | 
custody of the Department of Juvenile Justice and is  | 
subsequently ordered to be held in a county juvenile detention  | 
facility. | 
 (5) Except as otherwise provided in this subsection (5),  | 
juvenile court
records shall not be made available to the  | 
general public
but may be inspected by representatives of  | 
agencies, associations and news
media or other properly  | 
interested persons by general or special order of
the court.  | 
The State's Attorney, the minor, his or her parents, guardian  | 
and
counsel
shall at all times have the right to examine court  | 
files and records.
 | 
  (a) The
court shall allow the general public to have  | 
 access to the name, address, and
offense of a minor
who is  | 
 adjudicated a delinquent minor under this Act under either  | 
 of the
following circumstances:
 | 
   (i) The
adjudication of
delinquency was based upon  | 
 the
minor's
commission of first degree murder, attempt  | 
 to commit first degree
murder, aggravated criminal  | 
 sexual assault, or criminal sexual assault; or
 | 
   (ii) The court has made a finding that the minor  | 
 was at least 13 years
of
age
at the time the act was  | 
 | 
 committed and the adjudication of delinquency was  | 
 based
upon the minor's commission of: (A)
an act in  | 
 furtherance of the commission of a felony as a member  | 
 of or on
behalf of a criminal street
gang, (B) an act  | 
 involving the use of a firearm in the commission of a
 | 
 felony, (C) an act that would be a Class X felony  | 
 offense
under or
the minor's second or subsequent
 | 
 Class 2 or greater felony offense under the Cannabis  | 
 Control Act if committed
by an adult,
(D) an act that  | 
 would be a second or subsequent offense under Section  | 
 402 of
the Illinois Controlled Substances Act if  | 
 committed by an adult, (E) an act
that would be an  | 
 offense under Section 401 of the Illinois Controlled
 | 
 Substances Act if committed by an adult, or (F) an act  | 
 that would be an offense under the Methamphetamine  | 
 Control and Community Protection Act if committed by  | 
 an adult.
 | 
  (b) The court
shall allow the general public to have  | 
 access to the name, address, and offense
of a minor who is  | 
 at least 13 years of age at
the time the offense
is  | 
 committed and who is convicted, in criminal proceedings
 | 
 permitted or required under Section 5-805, under either of
 | 
 the following
circumstances:
 | 
   (i) The minor has been convicted of first degree  | 
 murder, attempt
to commit first degree
murder,  | 
 aggravated criminal sexual
assault, or criminal sexual  | 
 | 
 assault,
 | 
   (ii) The court has made a finding that the minor  | 
 was at least 13 years
of age
at the time the offense  | 
 was committed and the conviction was based upon the
 | 
 minor's commission of: (A)
an offense in
furtherance  | 
 of the commission of a felony as a member of or on  | 
 behalf of a
criminal street gang, (B) an offense
 | 
 involving the use of a firearm in the commission of a  | 
 felony, (C)
a Class X felony offense under the  | 
 Cannabis Control Act or a second or
subsequent Class 2  | 
 or
greater felony offense under the Cannabis Control  | 
 Act, (D) a
second or subsequent offense under Section  | 
 402 of the Illinois
Controlled Substances Act, (E) an  | 
 offense under Section 401 of the Illinois
Controlled  | 
 Substances Act, or (F) an offense under the  | 
 Methamphetamine Control and Community Protection Act.
 | 
 (6) Nothing in this Section shall be construed to limit  | 
the use of an
adjudication of delinquency as
evidence in any  | 
juvenile or criminal proceeding, where it would otherwise be
 | 
admissible under the rules of evidence, including, but not  | 
limited to, use as
impeachment evidence against any witness,  | 
including the minor if he or she
testifies.
 | 
 (7) Nothing in this Section shall affect the right of a  | 
Civil Service
Commission or appointing authority examining the  | 
character and fitness of
an applicant for a position as a law  | 
enforcement officer to ascertain
whether that applicant was  | 
 | 
ever adjudicated to be a delinquent minor and,
if so, to  | 
examine the records or evidence which were made in
proceedings  | 
under this Act.
 | 
 (8) Following any adjudication of delinquency for a crime  | 
which would be
a felony if committed by an adult, or following  | 
any adjudication of delinquency
for a violation of Section  | 
24-1, 24-3, 24-3.1, or 24-5
of the Criminal Code of 1961 or the  | 
Criminal Code of 2012, the State's Attorney shall ascertain
 | 
whether the minor respondent is enrolled in school and, if so,  | 
shall provide
a copy of the sentencing order to the principal  | 
or chief administrative
officer of the school. Access to such  | 
juvenile records shall be limited
to the principal or chief  | 
administrative officer of the school and any school
counselor  | 
designated by him or her.
 | 
 (9) Nothing contained in this Act prevents the sharing or
 | 
disclosure of information or records relating or pertaining to  | 
juveniles
subject to the provisions of the Serious Habitual  | 
Offender Comprehensive
Action Program when that information is  | 
used to assist in the early
identification and treatment of  | 
habitual juvenile offenders.
 | 
 (10) (Reserved).  | 
 (11) The Clerk of the Circuit Court shall report to the  | 
Illinois
State
Police, in the form and manner required by the  | 
Illinois State Police, the
final disposition of each minor who  | 
has been arrested or taken into custody
before his or her 18th  | 
birthday for those offenses required to be reported
under  | 
 | 
Section 5 of the Criminal Identification Act. Information  | 
reported to
the Illinois
State
Police Department under this  | 
Section may be maintained with records that the Illinois
State
 | 
Police
Department files under Section 2.1 of the Criminal  | 
Identification Act.
 | 
 (12) Information or records may be disclosed to the  | 
general public when the
court is conducting hearings under  | 
Section 5-805 or 5-810.
 | 
 (13) The changes made to this Section by Public Act 98-61  | 
apply to juvenile court records of a minor who has been  | 
arrested or taken into custody on or after January 1, 2014 (the  | 
effective date of Public Act 98-61).  | 
(Source: P.A. 102-197, eff. 7-30-21; 102-320, eff. 8-6-21;  | 
102-538, eff. 8-20-21; revised 10-12-21.)
 | 
 Section 600. The Court of Claims Act is amended by  | 
changing Section 22 as follows:
 | 
 (705 ILCS 505/22) (from Ch. 37, par. 439.22)
 | 
 Sec. 22. Every claim cognizable by the court and not  | 
otherwise sooner
barred by law shall be forever barred from  | 
prosecution therein unless it
is filed with the clerk of the  | 
court within the time set forth as follows:
 | 
  (a) All claims arising out of a contract must be filed  | 
 within 5
years after it first accrues, saving to minors,  | 
 and persons under legal
disability at the time the claim  | 
 | 
 accrues, in which cases the claim must be
filed within 5  | 
 years from the time the disability ceases.
 | 
  (b) All claims cognizable against the State by vendors  | 
 of goods or services
under the Illinois Public Aid Code
 | 
 must be filed file within one year after the accrual of the  | 
 cause of action, as provided
in Section 11-13 of that  | 
 Code.
 | 
  (c) All claims arising under paragraph (c) of Section  | 
 8 of this Act
must
be automatically heard by the court
 | 
 within 120
days
after the person
asserting such
claim is  | 
 either issued a certificate of innocence from the circuit  | 
 court as provided in Section 2-702 of the Code of Civil  | 
 Procedure, or is granted a pardon by the Governor,  | 
 whichever occurs later,
without the person asserting the  | 
 claim being required to file a petition under Section 11  | 
 of this Act, except as otherwise provided by the Crime  | 
 Victims Compensation Act.
Any claims filed by the claimant  | 
 under paragraph (c) of Section 8 of this Act must be filed  | 
 within 2 years after the person asserting such claim is  | 
 either issued a certificate of innocence as provided in  | 
 Section 2-702 of the Code of Civil Procedure, or is  | 
 granted a pardon by the Governor, whichever occurs later.
 | 
  (d) All claims arising under paragraph (f) of Section  | 
 8 of this Act must
be filed within the time set forth in  | 
 Section 3 of the Line of Duty Compensation Act.
 | 
  (e) All claims arising under paragraph (h) of Section  | 
 | 
 8 of this Act must
be filed within one year of the date of  | 
 the death of the guardsman or
militiaman as provided in  | 
 Section 3 of the Illinois National Guardsman's
 | 
 Compensation Act.
 | 
  (f) All claims arising under paragraph (g) of Section  | 
 8 of this Act must
be filed within one year of the crime on  | 
 which a claim is based as
provided in Section 6.1 of the  | 
 Crime Victims Compensation Act.
 | 
  (g) All claims arising from the Comptroller's refusal  | 
 to issue a
replacement warrant pursuant to Section 10.10  | 
 of the State Comptroller Act
must be filed within 5 years  | 
 after the date of the Comptroller's refusal.
 | 
  (h) All other claims must be filed within 2 years  | 
 after it first accrues,
saving to minors, and persons  | 
 under legal disability at the time the claim
accrues, in  | 
 which case the claim must be filed within 2 years from the  | 
 time
the disability ceases.
 | 
  (i) The changes made by Public Act 86-458 apply to all
 | 
 warrants issued within the 5-year period preceding August  | 
 31, 1989 (the effective date of Public Act 86-458).
The  | 
 changes made to this Section by Public Act 100-1124 apply  | 
 to claims pending on November 27, 2018 (the effective date  | 
 of Public Act 100-1124) and to claims filed thereafter.
 | 
  (j) All time limitations established under this Act  | 
 and the rules
promulgated under this Act shall be binding  | 
 and jurisdictional, except upon
extension authorized by  | 
 | 
 law or rule and granted pursuant to a motion timely filed.
 | 
(Source: P.A. 102-558, eff. 8-20-21; revised 11-24-21.)
 | 
 Section 605. The Criminal Code of 2012 is amended by  | 
changing Sections 12-7.1, 24-3, and 24-8 as follows:
 | 
 (720 ILCS 5/12-7.1) (from Ch. 38, par. 12-7.1)
 | 
 Sec. 12-7.1. Hate crime. 
 | 
 (a) A person commits hate crime when, by reason of the  | 
actual or
perceived race, color, creed, religion, ancestry,  | 
gender, sexual orientation,
physical or mental disability,  | 
citizenship, immigration status, or national origin of another  | 
individual or
group of individuals, regardless of the  | 
existence of any other motivating
factor or factors, he or she  | 
commits assault, battery, aggravated assault, intimidation,  | 
stalking, cyberstalking, misdemeanor
theft, criminal trespass  | 
to residence, misdemeanor criminal damage
to property,  | 
criminal trespass to vehicle, criminal trespass to real  | 
property,
mob action, disorderly conduct, transmission of  | 
obscene messages, harassment by telephone, or harassment  | 
through electronic
communications as these crimes are defined  | 
in Sections 12-1,
12-2, 12-3(a), 12-7.3, 12-7.5, 16-1, 19-4,  | 
21-1, 21-2, 21-3, 25-1, 26-1, 26.5-1, 26.5-2, paragraphs  | 
(a)(1), (a)(2), and (a)(3) of Section 12-6, and paragraphs  | 
(a)(2) and (a)(5) of Section 26.5-3 of this Code,
 | 
respectively.
 | 
 | 
 (b) Except as provided in subsection (b-5), hate crime is  | 
a Class 4
felony for a first offense and a Class 2 felony for a  | 
second or subsequent
offense.
 | 
 (b-5) Hate crime is a Class 3 felony for a first offense  | 
and a Class 2
felony for a second or subsequent offense if  | 
committed:
 | 
  (1) in, or upon the exterior or grounds of, a church,  | 
 synagogue, mosque, or other building, structure, or place
 | 
 identified or associated with a particular religion or  | 
 used for religious worship or other religious purpose;
 | 
  (2) in a cemetery, mortuary, or other facility used  | 
 for the purpose of
burial or memorializing the dead;
 | 
  (3) in a school or other educational facility,  | 
 including an administrative facility or public or private  | 
 dormitory facility of or associated with the school or  | 
 other educational facility;
 | 
  (4) in a public park or an ethnic or religious  | 
 community center;
 | 
  (5) on the real property comprising any location  | 
 specified in
clauses (1) through (4) of this subsection  | 
 (b-5); or
 | 
  (6) on a public way within 1,000 feet of the real  | 
 property comprising any
location specified in clauses (1)  | 
 through (4) of this subsection (b-5).
 | 
 (b-10) Upon imposition of any sentence,
the trial
court  | 
shall also either order restitution paid to the victim
or  | 
 | 
impose a fine in an amount to be determined by the court based  | 
on the severity of the crime and the injury or damages suffered  | 
by the victim. In addition, any order of probation or
 | 
conditional discharge entered following a conviction or an  | 
adjudication of
delinquency shall include a condition that the  | 
offender perform public or
community service of no less than  | 
200 hours if that service is established in
the county where  | 
the offender was convicted of hate crime. In addition, any  | 
order of probation or
conditional discharge entered following  | 
a conviction or an adjudication of
delinquency shall include a  | 
condition that the offender enroll in an educational program  | 
discouraging hate crimes involving the protected class  | 
identified in subsection (a) that gave rise to the offense the  | 
offender committed. The educational program must be attended  | 
by the offender in-person and may be administered, as  | 
determined by the court, by a university, college, community  | 
college, non-profit organization, the Illinois Holocaust and  | 
Genocide Commission, or any other organization that provides  | 
educational programs discouraging hate crimes, except that  | 
programs administered online or that can otherwise be attended  | 
remotely are prohibited. The court may also
impose any other  | 
condition of probation or conditional discharge under this
 | 
Section. If the court sentences the offender to imprisonment  | 
or periodic imprisonment for a violation of this Section, as a  | 
condition of the offender's mandatory supervised release, the  | 
court shall require that the offender perform public or  | 
 | 
community service of no less than 200 hours and enroll in an  | 
educational program discouraging hate crimes involving the  | 
protected class
identified in subsection (a) that gave rise to  | 
the offense the offender committed. 
 | 
 (c) Independent of any criminal prosecution or the result
 | 
of a criminal prosecution, any
person suffering injury to his  | 
or her person, damage to his or her property, intimidation as  | 
defined in paragraphs (a)(1), (a)(2), and (a)(3) of Section  | 
12-6 of this Code, stalking as defined in Section 12-7.3 of  | 
this Code, cyberstalking as defined in Section 12-7.5 of this  | 
Code, disorderly conduct as defined in paragraph (a)(1),  | 
(a)(4), (a)(5), or (a)(6) of Section 26-1 of this Code,  | 
transmission of obscene messages as defined in Section 26.5-1  | 
of this Code, harassment by telephone as defined in Section  | 
26.5-2 of this Code, or harassment through electronic  | 
communications as defined in paragraphs (a)(2) and (a)(5) of  | 
Section 26.5-3 of this Code as a result
of a hate crime may  | 
bring a civil action for damages, injunction
or other  | 
appropriate relief. The court may award actual damages,  | 
including
damages for emotional distress, as well as punitive  | 
damages. The court may impose a civil penalty up to $25,000 for  | 
each violation of this subsection (c). A judgment in favor of a  | 
person who brings a civil action under this subsection (c)  | 
shall include
attorney's fees and costs. After consulting with  | 
the local State's Attorney, the Attorney General may bring a  | 
civil action in the name of the People of the State for an  | 
 | 
injunction or other equitable relief under this subsection  | 
(c). In addition, the Attorney General may request and the  | 
court may impose a civil penalty up to $25,000 for each  | 
violation under this subsection (c). The parents or legal  | 
guardians, other than
guardians appointed pursuant to the  | 
Juvenile Court Act or the Juvenile
Court Act of 1987, of an  | 
unemancipated minor shall be liable for the amount
of any  | 
judgment for all damages rendered against such minor under  | 
this
subsection (c) in any amount not exceeding the amount  | 
provided under
Section 5 of the Parental Responsibility Law.
 | 
 (d) "Sexual orientation" has the meaning ascribed to it in  | 
paragraph (O-1) of Section 1-103 of the Illinois Human Rights  | 
Act.
 | 
(Source: P.A. 102-235, eff. 1-1-22; 102-468, eff. 1-1-22;  | 
revised 11-18-21.)
 | 
 (720 ILCS 5/24-3) (from Ch. 38, par. 24-3)
 | 
 Sec. 24-3. Unlawful sale or delivery of firearms. 
 | 
 (A) A person commits the offense of unlawful sale or  | 
delivery of firearms when he
or she knowingly does any of the  | 
following:
 | 
  (a) Sells or gives any firearm of a size which may be  | 
 concealed upon the
person to any person under 18 years of  | 
 age.
 | 
  (b) Sells or gives any firearm to a person under 21  | 
 years of age who has
been convicted of a misdemeanor other  | 
 | 
 than a traffic offense or adjudged
delinquent.
 | 
  (c) Sells or gives any firearm to any narcotic addict.
 | 
  (d) Sells or gives any firearm to any person who has  | 
 been convicted of a
felony under the laws of this or any  | 
 other jurisdiction.
 | 
  (e) Sells or gives any firearm to any person who has  | 
 been a patient in a
mental institution within the past 5  | 
 years. In this subsection (e): | 
   "Mental institution" means any hospital,  | 
 institution, clinic, evaluation facility, mental  | 
 health center, or part thereof, which is used  | 
 primarily for the care or treatment of persons with  | 
 mental illness.  | 
   "Patient in a mental institution" means the person  | 
 was admitted, either voluntarily or involuntarily, to  | 
 a mental institution for mental health treatment,  | 
 unless the treatment was voluntary and solely for an  | 
 alcohol abuse disorder and no other secondary  | 
 substance abuse disorder or mental illness.
 | 
  (f) Sells or gives any firearms to any person who is a  | 
 person with an intellectual disability.
 | 
  (g) Delivers any firearm, incidental to a sale,  | 
 without withholding delivery of the firearm
for at least  | 
 72 hours after application for its purchase has been made,  | 
 or
delivers a stun gun or taser, incidental to a sale,
 | 
 without withholding delivery of the stun gun or taser for
 | 
 | 
 at least 24 hours after application for its purchase has  | 
 been made.
However,
this paragraph (g) does not apply to:  | 
 (1) the sale of a firearm
to a law enforcement officer if  | 
 the seller of the firearm knows that the person to whom he  | 
 or she is selling the firearm is a law enforcement officer  | 
 or the sale of a firearm to a person who desires to  | 
 purchase a firearm for
use in promoting the public  | 
 interest incident to his or her employment as a
bank  | 
 guard, armed truck guard, or other similar employment; (2)  | 
 a mail
order sale of a firearm from a federally licensed  | 
 firearms dealer to a nonresident of Illinois under which  | 
 the firearm
is mailed to a federally licensed firearms  | 
 dealer outside the boundaries of Illinois; (3) (blank);  | 
 (4) the sale of a
firearm to a dealer licensed as a federal  | 
 firearms dealer under Section 923
of the federal Gun  | 
 Control Act of 1968 (18 U.S.C. 923); or (5) the transfer or  | 
 sale of any rifle, shotgun, or other long gun to a resident  | 
 registered competitor or attendee or non-resident  | 
 registered competitor or attendee by any dealer licensed  | 
 as a federal firearms dealer under Section 923 of the  | 
 federal Gun Control Act of 1968 at competitive shooting  | 
 events held at the World Shooting Complex sanctioned by a  | 
 national governing body. For purposes of transfers or  | 
 sales under subparagraph (5) of this paragraph (g), the  | 
 Department of Natural Resources shall give notice to the  | 
 Illinois State Police at least 30 calendar days prior to  | 
 | 
 any competitive shooting events at the World Shooting  | 
 Complex sanctioned by a national governing body. The  | 
 notification shall be made on a form prescribed by the  | 
 Illinois State Police. The sanctioning body shall provide  | 
 a list of all registered competitors and attendees at  | 
 least 24 hours before the events to the Illinois State  | 
 Police. Any changes to the list of registered competitors  | 
 and attendees shall be forwarded to the Illinois State  | 
 Police as soon as practicable. The Illinois State Police  | 
 must destroy the list of registered competitors and  | 
 attendees no later than 30 days after the date of the  | 
 event. Nothing in this paragraph (g) relieves a federally  | 
 licensed firearm dealer from the requirements of  | 
 conducting a NICS background check through the Illinois  | 
 Point of Contact under 18 U.S.C. 922(t). For purposes of  | 
 this paragraph (g), "application" means when the buyer and  | 
 seller reach an agreement to purchase a firearm.
For  | 
 purposes of this paragraph (g), "national governing body"  | 
 means a group of persons who adopt rules and formulate  | 
 policy on behalf of a national firearm sporting  | 
 organization. 
 | 
  (h) While holding any license
as a dealer,
importer,  | 
 manufacturer or pawnbroker
under the federal Gun Control  | 
 Act of 1968,
manufactures, sells or delivers to any  | 
 unlicensed person a handgun having
a barrel, slide, frame  | 
 or receiver which is a die casting of zinc alloy or
any  | 
 | 
 other nonhomogeneous metal which will melt or deform at a  | 
 temperature
of less than 800 degrees Fahrenheit. For  | 
 purposes of this paragraph, (1)
"firearm" is defined as in  | 
 the Firearm Owners Identification Card Act; and (2)
 | 
 "handgun" is defined as a firearm designed to be held
and  | 
 fired by the use of a single hand, and includes a  | 
 combination of parts from
which such a firearm can be  | 
 assembled.
 | 
  (i) Sells or gives a firearm of any size to any person  | 
 under 18 years of
age who does not possess a valid Firearm  | 
 Owner's Identification Card.
 | 
  (j) Sells or gives a firearm while engaged in the  | 
 business of selling
firearms at wholesale or retail  | 
 without being licensed as a federal firearms
dealer under  | 
 Section 923 of the federal Gun Control Act of 1968 (18  | 
 U.S.C.
923). In this paragraph (j):
 | 
  A person "engaged in the business" means a person who  | 
 devotes time,
attention, and
labor to
engaging in the  | 
 activity as a regular course of trade or business with the
 | 
 principal objective of livelihood and profit, but does not  | 
 include a person who
makes occasional repairs of firearms  | 
 or who occasionally fits special barrels,
stocks, or  | 
 trigger mechanisms to firearms.
 | 
  "With the principal objective of livelihood and  | 
 profit" means that the
intent
underlying the sale or  | 
 disposition of firearms is predominantly one of
obtaining  | 
 | 
 livelihood and pecuniary gain, as opposed to other  | 
 intents, such as
improving or liquidating a personal  | 
 firearms collection; however, proof of
profit shall not be  | 
 required as to a person who engages in the regular and
 | 
 repetitive purchase and disposition of firearms for  | 
 criminal purposes or
terrorism.
 | 
  (k) Sells or transfers ownership of a firearm to a  | 
 person who does not display to the seller or transferor of  | 
 the firearm either: (1) a currently valid Firearm Owner's  | 
 Identification Card that has previously been issued in the  | 
 transferee's name by the Illinois State Police under the  | 
 provisions of the Firearm Owners Identification Card Act;  | 
 or (2) a currently valid license to carry a concealed  | 
 firearm that has previously been issued in the  | 
 transferee's name by the
Illinois State Police under the  | 
 Firearm Concealed Carry Act. This paragraph (k) does not  | 
 apply to the transfer of a firearm to a person who is  | 
 exempt from the requirement of possessing a Firearm  | 
 Owner's Identification Card under Section 2 of the Firearm  | 
 Owners Identification Card Act. For the purposes of this  | 
 Section, a currently valid Firearm Owner's Identification  | 
 Card or license to carry a concealed firearm means receipt  | 
 of an approval number issued in accordance with subsection  | 
 (a-10) of Section subsection 3 or Section 3.1 of the  | 
 Firearm Owners Identification Card Act. | 
   (1) In addition to the other requirements of this  | 
 | 
 paragraph (k), all persons who are not federally  | 
 licensed firearms dealers must also have complied with  | 
 subsection (a-10) of Section 3 of the Firearm Owners  | 
 Identification Card Act by determining the validity of  | 
 a purchaser's Firearm Owner's Identification Card. | 
   (2) All sellers or transferors who have complied  | 
 with the requirements of subparagraph (1) of this  | 
 paragraph (k) shall not be liable for damages in any  | 
 civil action arising from the use or misuse by the  | 
 transferee of the firearm transferred, except for  | 
 willful or wanton misconduct on the part of the seller  | 
 or transferor.  | 
  (l) Not
being entitled to the possession of a firearm,  | 
 delivers the
firearm, knowing it to have been stolen or  | 
 converted. It may be inferred that
a person who possesses  | 
 a firearm with knowledge that its serial number has
been  | 
 removed or altered has knowledge that the firearm is  | 
 stolen or converted.  | 
 (B) Paragraph (h) of subsection (A) does not include  | 
firearms sold within 6
months after enactment of Public
Act  | 
78-355 (approved August 21, 1973, effective October 1, 1973),  | 
nor is any
firearm legally owned or
possessed by any citizen or  | 
purchased by any citizen within 6 months after the
enactment  | 
of Public Act 78-355 subject
to confiscation or seizure under  | 
the provisions of that Public Act. Nothing in
Public Act  | 
78-355 shall be construed to prohibit the gift or trade of
any  | 
 | 
firearm if that firearm was legally held or acquired within 6  | 
months after
the enactment of that Public Act.
 | 
 (C) Sentence.
 | 
  (1) Any person convicted of unlawful sale or delivery  | 
 of firearms in violation of
paragraph (c), (e), (f), (g),  | 
 or (h) of subsection (A) commits a Class
4
felony.
 | 
  (2) Any person convicted of unlawful sale or delivery  | 
 of firearms in violation of
paragraph (b) or (i) of  | 
 subsection (A) commits a Class 3 felony.
 | 
  (3) Any person convicted of unlawful sale or delivery  | 
 of firearms in violation of
paragraph (a) of subsection  | 
 (A) commits a Class 2 felony.
 | 
  (4) Any person convicted of unlawful sale or delivery  | 
 of firearms in violation of
paragraph (a), (b), or (i) of  | 
 subsection (A) in any school, on the real
property  | 
 comprising a school, within 1,000 feet of the real  | 
 property comprising
a school, at a school related  | 
 activity, or on or within 1,000 feet of any
conveyance  | 
 owned, leased, or contracted by a school or school  | 
 district to
transport students to or from school or a  | 
 school related activity,
regardless of the time of day or  | 
 time of year at which the offense
was committed, commits a  | 
 Class 1 felony. Any person convicted of a second
or  | 
 subsequent violation of unlawful sale or delivery of  | 
 firearms in violation of paragraph
(a), (b), or (i) of  | 
 subsection (A) in any school, on the real property
 | 
 | 
 comprising a school, within 1,000 feet of the real  | 
 property comprising a
school, at a school related  | 
 activity, or on or within 1,000 feet of any
conveyance  | 
 owned, leased, or contracted by a school or school  | 
 district to
transport students to or from school or a  | 
 school related activity,
regardless of the time of day or  | 
 time of year at which the offense
was committed, commits a  | 
 Class 1 felony for which the sentence shall be a
term of  | 
 imprisonment of no less than 5 years and no more than 15  | 
 years.
 | 
  (5) Any person convicted of unlawful sale or delivery  | 
 of firearms in violation of
paragraph (a) or (i) of  | 
 subsection (A) in residential property owned,
operated, or  | 
 managed by a public housing agency or leased by a public  | 
 housing
agency as part of a scattered site or mixed-income  | 
 development, in a public
park, in a
courthouse, on  | 
 residential property owned, operated, or managed by a  | 
 public
housing agency or leased by a public housing agency  | 
 as part of a scattered site
or mixed-income development,  | 
 on the real property comprising any public park,
on the  | 
 real
property comprising any courthouse, or on any public  | 
 way within 1,000 feet
of the real property comprising any  | 
 public park, courthouse, or residential
property owned,  | 
 operated, or managed by a public housing agency or leased  | 
 by a
public housing agency as part of a scattered site or  | 
 mixed-income development
commits a
Class 2 felony.
 | 
 | 
  (6) Any person convicted of unlawful sale or delivery  | 
 of firearms in violation of
paragraph (j) of subsection  | 
 (A) commits a Class A misdemeanor. A second or
subsequent  | 
 violation is a Class 4 felony. | 
  (7) Any person convicted of unlawful sale or delivery  | 
 of firearms in violation of paragraph (k) of subsection  | 
 (A) commits a Class 4 felony, except that a violation of  | 
 subparagraph (1) of paragraph (k) of subsection (A) shall  | 
 not be punishable as a crime or petty offense. A third or  | 
 subsequent conviction for a violation of paragraph (k) of  | 
 subsection (A) is a Class 1 felony.
 | 
  (8) A person 18 years of age or older convicted of  | 
 unlawful sale or delivery of firearms in violation of  | 
 paragraph (a) or (i) of subsection (A), when the firearm  | 
 that was sold or given to another person under 18 years of  | 
 age was used in the commission of or attempt to commit a  | 
 forcible felony, shall be fined or imprisoned, or both,  | 
 not to exceed the maximum provided for the most serious  | 
 forcible felony so committed or attempted by the person  | 
 under 18 years of age who was sold or given the firearm.  | 
  (9) Any person convicted of unlawful sale or delivery  | 
 of firearms in violation of
paragraph (d) of subsection  | 
 (A) commits a Class 3 felony. | 
  (10) Any person convicted of unlawful sale or delivery  | 
 of firearms in violation of paragraph (l) of subsection  | 
 (A) commits a Class 2 felony if the delivery is of one  | 
 | 
 firearm. Any person convicted of unlawful sale or delivery  | 
 of firearms in violation of paragraph (l) of subsection  | 
 (A) commits a Class 1 felony if the delivery is of not less  | 
 than 2 and not more than 5 firearms at the
same time or  | 
 within a one-year one year period. Any person convicted of  | 
 unlawful sale or delivery of firearms in violation of  | 
 paragraph (l) of subsection (A) commits a Class X felony  | 
 for which he or she shall be sentenced
to a term of  | 
 imprisonment of not less than 6 years and not more than 30
 | 
 years if the delivery is of not less than 6 and not more  | 
 than 10 firearms at the
same time or within a 2-year 2 year  | 
 period. Any person convicted of unlawful sale or delivery  | 
 of firearms in violation of paragraph (l) of subsection  | 
 (A) commits a Class X felony for which he or she shall be  | 
 sentenced
to a term of imprisonment of not less than 6  | 
 years and not more than 40
years if the delivery is of not  | 
 less than 11 and not more than 20 firearms at the
same time  | 
 or within a 3-year 3 year period. Any person convicted of  | 
 unlawful sale or delivery of firearms in violation of  | 
 paragraph (l) of subsection (A) commits a Class X felony  | 
 for which he or she shall be sentenced
to a term of  | 
 imprisonment of not less than 6 years and not more than 50
 | 
 years if the delivery is of not less than 21 and not more  | 
 than 30 firearms at the
same time or within a 4-year 4 year  | 
 period. Any person convicted of unlawful sale or delivery  | 
 of firearms in violation of paragraph (l) of subsection  | 
 | 
 (A) commits a Class X felony for which he or she shall be  | 
 sentenced
to a term of imprisonment of not less than 6  | 
 years and not more than 60
years if the delivery is of 31  | 
 or more firearms at the
same time or within a 5-year 5 year  | 
 period.  | 
 (D) For purposes of this Section:
 | 
 "School" means a public or private elementary or secondary  | 
school,
community college, college, or university.
 | 
 "School related activity" means any sporting, social,  | 
academic, or
other activity for which students' attendance or  | 
participation is sponsored,
organized, or funded in whole or  | 
in part by a school or school district.
 | 
 (E) A prosecution for a violation of paragraph (k) of  | 
subsection (A) of this Section may be commenced within 6 years  | 
after the commission of the offense. A prosecution for a  | 
violation of this Section other than paragraph (g) of  | 
subsection (A) of this Section may be commenced within 5 years  | 
after the commission of the offense defined in the particular  | 
paragraph.
 | 
(Source: P.A. 102-237, eff. 1-1-22; 102-538, eff. 8-20-21;  | 
revised 10-12-21.)
 | 
 (720 ILCS 5/24-8)
 | 
 Sec. 24-8. Firearm evidence. 
 | 
 (a) Upon recovering a firearm from the possession
of  | 
anyone who is not permitted by federal or State
law
to possess  | 
 | 
a firearm, a law enforcement agency shall
use the best  | 
available information, including a firearms trace when  | 
necessary,
to determine how and from whom the person gained
 | 
possession of the firearm.
Upon recovering a firearm that was  | 
used in the commission of any offense
classified as a felony or  | 
upon recovering a firearm that appears to have been
lost,  | 
mislaid,
stolen, or
otherwise unclaimed, a law enforcement  | 
agency shall use the best
available
information, including a  | 
firearms trace, to determine prior
ownership of
the firearm.
 | 
 (b) Law enforcement shall, when appropriate, use the  | 
National
Tracing Center of the
Federal
Bureau of Alcohol,  | 
Tobacco and Firearms and the National Crime Information Center  | 
of the Federal Bureau of Investigation in complying with  | 
subsection (a) of
this Section.
 | 
 (c) Law enforcement agencies shall use the Illinois State  | 
Police Law Enforcement Agencies Data System (LEADS) Gun File  | 
to enter all
stolen, seized, or recovered firearms as  | 
prescribed by LEADS regulations and
policies. | 
 (d) Whenever a law enforcement agency recovers a fired  | 
cartridge case at a crime scene or has reason to believe that  | 
the recovered fired cartridge case is related to or associated  | 
with the commission of a crime, the law enforcement agency  | 
shall submit the evidence to the National Integrated  | 
Ballistics Information Network (NIBIN) or an Illinois State  | 
Police laboratory for NIBIN processing. Whenever a law  | 
enforcement agency seizes or recovers a semiautomatic firearm  | 
 | 
that is deemed suitable to be entered into the NIBIN that was:  | 
(i) unlawfully possessed, (ii) used for any unlawful purpose,  | 
(iii) recovered from the scene of a crime, (iv) is reasonably  | 
believed to have been used or associated with the commission  | 
of a crime, or (v) is acquired by the law enforcement agency as  | 
an abandoned or discarded firearm, the law enforcement agency  | 
shall submit the evidence to the NIBIN or an Illinois State  | 
Police laboratory for NIBIN processing.
When practicable, all  | 
NIBIN-suitable evidence and NIBIN-suitable test fires from  | 
recovered firearms shall be entered into the NIBIN within 2  | 
business days of submission to Illinois State Police  | 
laboratories that have NIBIN access or another NIBIN site.  | 
Exceptions to this may occur if the evidence in question  | 
requires analysis by other forensic disciplines. The Illinois  | 
State Police laboratory, submitting agency, and relevant court  | 
representatives shall determine whether the request for  | 
additional analysis outweighs the 2 business-day requirement.
 | 
Illinois State Police laboratories that do not have NIBIN  | 
access shall submit NIBIN-suitable evidence and test fires to  | 
an Illinois State Police laboratory with NIBIN access. Upon  | 
receipt at the laboratory with NIBIN access, when practicable,  | 
the evidence and test fires shall be entered into the NIBIN  | 
within 2 business days. Exceptions to this 2 business-day  | 
requirement may occur if the evidence in question requires  | 
analysis by other forensic disciplines. The Illinois State  | 
Police laboratory, submitting agency, and relevant court  | 
 | 
representatives shall determine whether the request for  | 
additional analysis outweighs the 2 business-day requirement.
 | 
Nothing in this Section shall be interpreted to conflict with  | 
standards and policies for NIBIN sites as promulgated by the  | 
federal Bureau of Alcohol, Tobacco, Firearms and Explosives or  | 
successor agencies. 
 | 
(Source: P.A. 102-237, eff. 1-1-22; 102-538, eff. 8-20-21;  | 
revised 10-14-21.)
 | 
 Section 610. The Cannabis Control Act is amended by  | 
changing Section 8 as follows:
 | 
 (720 ILCS 550/8) (from Ch. 56 1/2, par. 708)
 | 
 Sec. 8. Except as otherwise provided in the Cannabis  | 
Regulation and Tax Act and the Industrial Hemp Act, it is  | 
unlawful for any person knowingly to produce the Cannabis
 | 
sativa plant or to possess such plants unless production or  | 
possession
has been authorized pursuant to the provisions of  | 
Section 11 or 15.2 of the Act.
Any person who violates this  | 
Section with respect to production or possession of:
 | 
  (a) Not more than 5 plants is guilty of a civil  | 
 violation punishable by a minimum fine of $100 and a  | 
 maximum fine of $200. The proceeds of the fine are payable  | 
 to the clerk of the circuit court. Within 30 days after the  | 
 deposit of the fine, the clerk shall distribute the  | 
 proceeds of the fine as follows: | 
 | 
   (1) $10 of the fine to the circuit clerk and $10 of  | 
 the fine to the law enforcement agency that issued the  | 
 citation; the proceeds of each $10 fine distributed to  | 
 the circuit clerk and each $10 fine distributed to the  | 
 law enforcement agency that issued the citation for  | 
 the violation shall be used to defer the cost of  | 
 automatic expungements under paragraph (2.5) of  | 
 subsection (a) of Section 5.2 of the Criminal  | 
 Identification Act; | 
   (2) $15 to the county to fund drug addiction  | 
 services; | 
   (3) $10 to the Office of the State's Attorneys  | 
 Appellate Prosecutor for use in training programs; | 
   (4) $10 to the State's Attorney; and | 
   (5) any remainder of the fine to the law  | 
 enforcement agency that issued the citation for the  | 
 violation. | 
  With respect to funds designated for the Illinois  | 
 State Police, the moneys shall be remitted by the circuit  | 
 court clerk to the State Treasurer Illinois within one  | 
 month after receipt for deposit into the State Police  | 
 Operations Assistance Fund. With respect to funds  | 
 designated for the Department of Natural Resources, the  | 
 Department of Natural Resources shall deposit the moneys  | 
 into the Conservation Police Operations Assistance Fund.
 | 
  (b) More than 5, but not more than 20 plants, is guilty
 | 
 | 
 of a Class 4 felony.
 | 
  (c) More than 20, but not more than 50 plants, is
 | 
 guilty of a Class 3 felony.
 | 
  (d) More than 50, but not more than 200 plants, is  | 
 guilty of a Class 2 felony for which
a fine not to exceed  | 
 $100,000 may be imposed and for which liability for
the  | 
 cost of conducting the investigation and eradicating such  | 
 plants may be
assessed. Compensation for expenses incurred  | 
 in the enforcement of this
provision shall be transmitted  | 
 to and deposited in the treasurer's office
at the level of  | 
 government represented by the Illinois law enforcement
 | 
 agency whose officers or employees conducted the  | 
 investigation or caused
the arrest or arrests leading to  | 
 the prosecution, to be subsequently made
available to that  | 
 law enforcement agency as expendable receipts for use in
 | 
 the enforcement of laws regulating controlled substances  | 
 and cannabis. If
such seizure was made by a combination of  | 
 law enforcement personnel
representing different levels of  | 
 government, the court levying the
assessment shall  | 
 determine the allocation of such assessment. The proceeds
 | 
 of assessment awarded to the State treasury shall be  | 
 deposited in a special
fund known as the Drug Traffic  | 
 Prevention Fund. | 
  (e) More than 200 plants is guilty of a Class 1 felony  | 
 for which
a fine not to exceed $100,000 may be imposed and  | 
 for which liability for
the cost of conducting the  | 
 | 
 investigation and eradicating such plants may be
assessed.  | 
 Compensation for expenses incurred in the enforcement of  | 
 this
provision shall be transmitted to and deposited in  | 
 the treasurer's office
at the level of government  | 
 represented by the Illinois law enforcement
agency whose  | 
 officers or employees conducted the investigation or  | 
 caused
the arrest or arrests leading to the prosecution,  | 
 to be subsequently made
available to that law enforcement  | 
 agency as expendable receipts for use in
the enforcement  | 
 of laws regulating controlled substances and cannabis. If
 | 
 such seizure was made by a combination of law enforcement  | 
 personnel
representing different levels of government, the  | 
 court levying the
assessment shall determine the  | 
 allocation of such assessment. The proceeds
of assessment  | 
 awarded to the State treasury shall be deposited in a  | 
 special
fund known as the Drug Traffic Prevention Fund.
 | 
(Source: P.A. 101-27, eff. 6-25-19; 101-593, eff. 12-4-19;  | 
102-145, eff. 7-23-21; 102-538, eff. 8-20-21; revised  | 
10-14-21.)
 | 
 Section 615. The Illinois Controlled Substances Act is  | 
amended by changing Sections 102 and 316 as follows:
 | 
 (720 ILCS 570/102) (from Ch. 56 1/2, par. 1102) | 
 Sec. 102. Definitions.  As used in this Act, unless the  | 
context
otherwise requires:
 | 
 | 
 (a) "Addict" means any person who habitually uses any  | 
drug, chemical,
substance or dangerous drug other than alcohol  | 
so as to endanger the public
morals, health, safety or welfare  | 
or who is so far addicted to the use of a
dangerous drug or  | 
controlled substance other than alcohol as to have lost
the  | 
power of self control with reference to his or her addiction.
 | 
 (b) "Administer" means the direct application of a  | 
controlled
substance, whether by injection, inhalation,  | 
ingestion, or any other
means, to the body of a patient,  | 
research subject, or animal (as
defined by the Humane  | 
Euthanasia in Animal Shelters Act) by:
 | 
  (1) a practitioner (or, in his or her presence, by his  | 
 or her authorized agent),
 | 
  (2) the patient or research subject pursuant to an  | 
 order, or
 | 
  (3) a euthanasia technician as defined by the Humane  | 
 Euthanasia in
Animal Shelters Act.
 | 
 (c) "Agent" means an authorized person who acts on behalf  | 
of or at
the direction of a manufacturer, distributor,  | 
dispenser, prescriber, or practitioner. It does not
include a  | 
common or contract carrier, public warehouseman or employee of
 | 
the carrier or warehouseman.
 | 
 (c-1) "Anabolic Steroids" means any drug or hormonal  | 
substance,
chemically and pharmacologically related to  | 
testosterone (other than
estrogens, progestins,  | 
corticosteroids, and dehydroepiandrosterone),
and includes:
 | 
 | 
 (i) 3[beta],17-dihydroxy-5a-androstane,  | 
 (ii) 3[alpha],17[beta]-dihydroxy-5a-androstane,  | 
 (iii) 5[alpha]-androstan-3,17-dione,  | 
 (iv) 1-androstenediol (3[beta],  | 
  17[beta]-dihydroxy-5[alpha]-androst-1-ene),  | 
 (v) 1-androstenediol (3[alpha],  | 
  17[beta]-dihydroxy-5[alpha]-androst-1-ene),  | 
 (vi) 4-androstenediol  | 
  (3[beta],17[beta]-dihydroxy-androst-4-ene),  | 
 (vii) 5-androstenediol  | 
  (3[beta],17[beta]-dihydroxy-androst-5-ene),  | 
 (viii) 1-androstenedione  | 
  ([5alpha]-androst-1-en-3,17-dione),  | 
 (ix) 4-androstenedione  | 
  (androst-4-en-3,17-dione),  | 
 (x) 5-androstenedione  | 
  (androst-5-en-3,17-dione),  | 
 (xi) bolasterone (7[alpha],17a-dimethyl-17[beta]-  | 
  hydroxyandrost-4-en-3-one),  | 
 (xii) boldenone (17[beta]-hydroxyandrost-  | 
  1,4,-diene-3-one),  | 
 (xiii) boldione (androsta-1,4-  | 
  diene-3,17-dione),  | 
 (xiv) calusterone (7[beta],17[alpha]-dimethyl-17  | 
  [beta]-hydroxyandrost-4-en-3-one),  | 
 (xv) clostebol (4-chloro-17[beta]-  | 
 | 
  hydroxyandrost-4-en-3-one),  | 
 (xvi) dehydrochloromethyltestosterone (4-chloro-  | 
  17[beta]-hydroxy-17[alpha]-methyl-  | 
  androst-1,4-dien-3-one),  | 
 (xvii) desoxymethyltestosterone  | 
 (17[alpha]-methyl-5[alpha]  | 
  -androst-2-en-17[beta]-ol)(a.k.a., madol),  | 
 (xviii) [delta]1-dihydrotestosterone (a.k.a.  | 
  '1-testosterone') (17[beta]-hydroxy-  | 
  5[alpha]-androst-1-en-3-one),  | 
 (xix) 4-dihydrotestosterone (17[beta]-hydroxy-  | 
  androstan-3-one),  | 
 (xx) drostanolone (17[beta]-hydroxy-2[alpha]-methyl-  | 
  5[alpha]-androstan-3-one),  | 
 (xxi) ethylestrenol (17[alpha]-ethyl-17[beta]-  | 
  hydroxyestr-4-ene),  | 
 (xxii) fluoxymesterone (9-fluoro-17[alpha]-methyl-  | 
  1[beta],17[beta]-dihydroxyandrost-4-en-3-one),  | 
 (xxiii) formebolone (2-formyl-17[alpha]-methyl-11[alpha],  | 
  17[beta]-dihydroxyandrost-1,4-dien-3-one),  | 
 (xxiv) furazabol (17[alpha]-methyl-17[beta]-  | 
  hydroxyandrostano[2,3-c]-furazan),  | 
 (xxv) 13[beta]-ethyl-17[beta]-hydroxygon-4-en-3-one,  | 
 (xxvi) 4-hydroxytestosterone (4,17[beta]-dihydroxy-  | 
  androst-4-en-3-one),  | 
 (xxvii) 4-hydroxy-19-nortestosterone (4,17[beta]-  | 
 | 
  dihydroxy-estr-4-en-3-one),  | 
 (xxviii) mestanolone (17[alpha]-methyl-17[beta]-  | 
  hydroxy-5-androstan-3-one),  | 
 (xxix) mesterolone (1amethyl-17[beta]-hydroxy-  | 
  [5a]-androstan-3-one),  | 
 (xxx) methandienone (17[alpha]-methyl-17[beta]-  | 
  hydroxyandrost-1,4-dien-3-one),  | 
 (xxxi) methandriol (17[alpha]-methyl-3[beta],17[beta]-  | 
  dihydroxyandrost-5-ene),  | 
 (xxxii) methenolone (1-methyl-17[beta]-hydroxy-  | 
  5[alpha]-androst-1-en-3-one),  | 
 (xxxiii) 17[alpha]-methyl-3[beta], 17[beta]-  | 
  dihydroxy-5a-androstane,  | 
 (xxxiv) 17[alpha]-methyl-3[alpha],17[beta]-dihydroxy  | 
  -5a-androstane,  | 
 (xxxv) 17[alpha]-methyl-3[beta],17[beta]-  | 
  dihydroxyandrost-4-ene),  | 
 (xxxvi) 17[alpha]-methyl-4-hydroxynandrolone (17[alpha]-  | 
  methyl-4-hydroxy-17[beta]-hydroxyestr-4-en-3-one),  | 
 (xxxvii) methyldienolone (17[alpha]-methyl-17[beta]-  | 
  hydroxyestra-4,9(10)-dien-3-one),  | 
 (xxxviii) methyltrienolone (17[alpha]-methyl-17[beta]-  | 
  hydroxyestra-4,9-11-trien-3-one),  | 
 (xxxix) methyltestosterone (17[alpha]-methyl-17[beta]-  | 
  hydroxyandrost-4-en-3-one),  | 
 (xl) mibolerone (7[alpha],17a-dimethyl-17[beta]-  | 
 | 
  hydroxyestr-4-en-3-one),  | 
 (xli) 17[alpha]-methyl-[delta]1-dihydrotestosterone  | 
  (17b[beta]-hydroxy-17[alpha]-methyl-5[alpha]-  | 
  androst-1-en-3-one)(a.k.a. '17-[alpha]-methyl-  | 
  1-testosterone'),  | 
 (xlii) nandrolone (17[beta]-hydroxyestr-4-en-3-one),  | 
 (xliii) 19-nor-4-androstenediol (3[beta], 17[beta]-  | 
  dihydroxyestr-4-ene),  | 
 (xliv) 19-nor-4-androstenediol (3[alpha], 17[beta]-  | 
  dihydroxyestr-4-ene),  | 
 (xlv) 19-nor-5-androstenediol (3[beta], 17[beta]-  | 
  dihydroxyestr-5-ene),  | 
 (xlvi) 19-nor-5-androstenediol (3[alpha], 17[beta]-  | 
  dihydroxyestr-5-ene),  | 
 (xlvii) 19-nor-4,9(10)-androstadienedione  | 
  (estra-4,9(10)-diene-3,17-dione),  | 
 (xlviii) 19-nor-4-androstenedione (estr-4-  | 
  en-3,17-dione),  | 
 (xlix) 19-nor-5-androstenedione (estr-5-  | 
  en-3,17-dione),  | 
 (l) norbolethone (13[beta], 17a-diethyl-17[beta]-  | 
  hydroxygon-4-en-3-one),  | 
 (li) norclostebol (4-chloro-17[beta]-  | 
  hydroxyestr-4-en-3-one),  | 
 (lii) norethandrolone (17[alpha]-ethyl-17[beta]-  | 
  hydroxyestr-4-en-3-one),  | 
 | 
 (liii) normethandrolone (17[alpha]-methyl-17[beta]-  | 
  hydroxyestr-4-en-3-one),  | 
 (liv) oxandrolone (17[alpha]-methyl-17[beta]-hydroxy-  | 
  2-oxa-5[alpha]-androstan-3-one),  | 
 (lv) oxymesterone (17[alpha]-methyl-4,17[beta]-  | 
  dihydroxyandrost-4-en-3-one),  | 
 (lvi) oxymetholone (17[alpha]-methyl-2-hydroxymethylene-  | 
  17[beta]-hydroxy-(5[alpha]-androstan-3-one),  | 
 (lvii) stanozolol (17[alpha]-methyl-17[beta]-hydroxy-  | 
  (5[alpha]-androst-2-eno[3,2-c]-pyrazole),  | 
 (lviii) stenbolone (17[beta]-hydroxy-2-methyl-  | 
  (5[alpha]-androst-1-en-3-one),  | 
 (lix) testolactone (13-hydroxy-3-oxo-13,17-  | 
  secoandrosta-1,4-dien-17-oic  | 
  acid lactone),  | 
 (lx) testosterone (17[beta]-hydroxyandrost-  | 
  4-en-3-one),  | 
 (lxi) tetrahydrogestrinone (13[beta], 17[alpha]-  | 
  diethyl-17[beta]-hydroxygon-  | 
  4,9,11-trien-3-one),  | 
 (lxii) trenbolone (17[beta]-hydroxyestr-4,9,  | 
  11-trien-3-one). 
 | 
 Any person who is otherwise lawfully in possession of an  | 
anabolic
steroid, or who otherwise lawfully manufactures,  | 
distributes, dispenses,
delivers, or possesses with intent to  | 
deliver an anabolic steroid, which
anabolic steroid is  | 
 | 
expressly intended for and lawfully allowed to be
administered  | 
through implants to livestock or other nonhuman species, and
 | 
which is approved by the Secretary of Health and Human  | 
Services for such
administration, and which the person intends  | 
to administer or have
administered through such implants,  | 
shall not be considered to be in
unauthorized possession or to  | 
unlawfully manufacture, distribute, dispense,
deliver, or  | 
possess with intent to deliver such anabolic steroid for
 | 
purposes of this Act.
 | 
 (d) "Administration" means the Drug Enforcement  | 
Administration,
United States Department of Justice, or its  | 
successor agency.
 | 
 (d-5) "Clinical Director, Prescription Monitoring Program"  | 
means a Department of Human Services administrative employee  | 
licensed to either prescribe or dispense controlled substances  | 
who shall run the clinical aspects of the Department of Human  | 
Services Prescription Monitoring Program and its Prescription  | 
Information Library. | 
 (d-10) "Compounding" means the preparation and mixing of  | 
components, excluding flavorings, (1) as the result of a  | 
prescriber's prescription drug order or initiative based on  | 
the prescriber-patient-pharmacist relationship in the course  | 
of professional practice or (2) for the purpose of, or  | 
incident to, research, teaching, or chemical analysis and not  | 
for sale or dispensing. "Compounding" includes the preparation  | 
of drugs or devices in anticipation of receiving prescription  | 
 | 
drug orders based on routine, regularly observed dispensing  | 
patterns. Commercially available products may be compounded  | 
for dispensing to individual patients only if both of the  | 
following conditions are met: (i) the commercial product is  | 
not reasonably available from normal distribution channels in  | 
a timely manner to meet the patient's needs and (ii) the  | 
prescribing practitioner has requested that the drug be  | 
compounded.  | 
 (e) "Control" means to add a drug or other substance, or  | 
immediate
precursor, to a Schedule whether by
transfer from  | 
another Schedule or otherwise.
 | 
 (f) "Controlled Substance" means (i) a drug, substance,  | 
immediate
precursor, or synthetic drug in the Schedules of  | 
Article II of this Act or (ii) a drug or other substance, or  | 
immediate precursor, designated as a controlled substance by  | 
the Department through administrative rule. The term does not  | 
include distilled spirits, wine, malt beverages, or tobacco,  | 
as those terms are
defined or used in the Liquor Control Act of  | 
1934 and the Tobacco Products Tax
Act of 1995.
 | 
 (f-5) "Controlled substance analog" means a substance: | 
  (1) the chemical structure of which is substantially  | 
 similar to the chemical structure of a controlled  | 
 substance in Schedule I or II; | 
  (2) which has a stimulant, depressant, or  | 
 hallucinogenic effect on the central nervous system that  | 
 is substantially similar to or greater than the stimulant,  | 
 | 
 depressant, or hallucinogenic effect on the central  | 
 nervous system of a controlled substance in Schedule I or  | 
 II; or | 
  (3) with respect to a particular person, which such  | 
 person represents or intends to have a stimulant,  | 
 depressant, or hallucinogenic effect on the central  | 
 nervous system that is substantially similar to or greater  | 
 than the stimulant, depressant, or hallucinogenic effect  | 
 on the central nervous system of a controlled substance in  | 
 Schedule I or II.  | 
 (g) "Counterfeit substance" means a controlled substance,  | 
which, or
the container or labeling of which, without  | 
authorization bears the
trademark, trade name, or other  | 
identifying mark, imprint, number or
device, or any likeness  | 
thereof, of a manufacturer, distributor, or
dispenser other  | 
than the person who in fact manufactured, distributed,
or  | 
dispensed the substance.
 | 
 (h) "Deliver" or "delivery" means the actual, constructive  | 
or
attempted transfer of possession of a controlled substance,  | 
with or
without consideration, whether or not there is an  | 
agency relationship.
"Deliver" or "delivery" does not include
 | 
the donation of drugs to the extent permitted
under the  | 
Illinois Drug Reuse Opportunity Program Act. 
 | 
 (i) "Department" means the Illinois Department of Human  | 
Services (as
successor to the Department of Alcoholism and  | 
Substance Abuse) or its successor agency.
 | 
 | 
 (j) (Blank).
 | 
 (k) "Department of Corrections" means the Department of  | 
Corrections
of the State of Illinois or its successor agency.
 | 
 (l) "Department of Financial and Professional Regulation"  | 
means the Department
of Financial and Professional Regulation  | 
of the State of Illinois or its successor agency.
 | 
 (m) "Depressant" means any drug that (i) causes an overall  | 
depression of central nervous system functions, (ii) causes  | 
impaired consciousness and awareness, and (iii) can be  | 
habit-forming or lead to a substance abuse problem, including,  | 
but not limited to, alcohol, cannabis and its active  | 
principles and their analogs, benzodiazepines and their  | 
analogs, barbiturates and their analogs, opioids (natural and  | 
synthetic) and their analogs, and chloral hydrate and similar  | 
sedative hypnotics.
 | 
 (n) (Blank).
 | 
 (o) "Director" means the Director of the Illinois State  | 
Police or his or her designated agents.
 | 
 (p) "Dispense" means to deliver a controlled substance to  | 
an
ultimate user or research subject by or pursuant to the  | 
lawful order of
a prescriber, including the prescribing,  | 
administering, packaging,
labeling, or compounding necessary  | 
to prepare the substance for that
delivery.
 | 
 (q) "Dispenser" means a practitioner who dispenses.
 | 
 (r) "Distribute" means to deliver, other than by  | 
administering or
dispensing, a controlled substance.
 | 
 | 
 (s) "Distributor" means a person who distributes.
 | 
 (t) "Drug" means (1) substances recognized as drugs in the  | 
official
United States Pharmacopoeia, Official Homeopathic  | 
Pharmacopoeia of the
United States, or official National  | 
Formulary, or any supplement to any
of them; (2) substances  | 
intended for use in diagnosis, cure, mitigation,
treatment, or  | 
prevention of disease in man or animals; (3) substances
(other  | 
than food) intended to affect the structure of any function of
 | 
the body of man or animals and (4) substances intended for use  | 
as a
component of any article specified in clause (1), (2), or  | 
(3) of this
subsection. It does not include devices or their  | 
components, parts, or
accessories.
 | 
 (t-3) "Electronic health record" or "EHR" means an  | 
electronic record of health-related information on an  | 
individual that is created, gathered, managed, and consulted  | 
by authorized health care clinicians and staff.  | 
 (t-3.5) "Electronic health record system" or "EHR system"  | 
means any computer-based system or combination of federally  | 
certified Health IT Modules (defined at 42 CFR 170.102 or its  | 
successor) used as a repository for electronic health records  | 
and accessed or updated by a prescriber or authorized  | 
surrogate in the ordinary course of his or her medical  | 
practice. For purposes of connecting to the Prescription  | 
Information Library maintained by the Bureau of Pharmacy and  | 
Clinical Support Systems or its successor, an EHR system may  | 
connect to the Prescription Information Library directly or  | 
 | 
through all or part of a computer program or system that is a  | 
federally certified Health IT Module maintained by a third  | 
party and used by the EHR system to secure access to the  | 
database. | 
 (t-4) "Emergency medical services personnel" has the  | 
meaning ascribed to it in the Emergency Medical Services (EMS)  | 
Systems Act. | 
 (t-5) "Euthanasia agency" means
an entity certified by the  | 
Department of Financial and Professional Regulation for the
 | 
purpose of animal euthanasia that holds an animal control  | 
facility license or
animal
shelter license under the Animal  | 
Welfare Act. A euthanasia agency is
authorized to purchase,  | 
store, possess, and utilize Schedule II nonnarcotic and
 | 
Schedule III nonnarcotic drugs for the sole purpose of animal  | 
euthanasia.
 | 
 (t-10) "Euthanasia drugs" means Schedule II or Schedule  | 
III substances
(nonnarcotic controlled substances) that are  | 
used by a euthanasia agency for
the purpose of animal  | 
euthanasia.
 | 
 (u) "Good faith" means the prescribing or dispensing of a  | 
controlled
substance by a practitioner in the regular course  | 
of professional
treatment to or for any person who is under his  | 
or her treatment for a
pathology or condition other than that  | 
individual's physical or
psychological dependence upon or  | 
addiction to a controlled substance,
except as provided  | 
herein: and application of the term to a pharmacist
shall mean  | 
 | 
the dispensing of a controlled substance pursuant to the
 | 
prescriber's order which in the professional judgment of the  | 
pharmacist
is lawful. The pharmacist shall be guided by  | 
accepted professional
standards, including, but not limited  | 
to, the following, in making the
judgment:
 | 
  (1) lack of consistency of prescriber-patient  | 
 relationship,
 | 
  (2) frequency of prescriptions for same drug by one  | 
 prescriber for
large numbers of patients,
 | 
  (3) quantities beyond those normally prescribed,
 | 
  (4) unusual dosages (recognizing that there may be  | 
 clinical circumstances where more or less than the usual  | 
 dose may be used legitimately),
 | 
  (5) unusual geographic distances between patient,  | 
 pharmacist and
prescriber,
 | 
  (6) consistent prescribing of habit-forming drugs.
 | 
 (u-0.5) "Hallucinogen" means a drug that causes markedly  | 
altered sensory perception leading to hallucinations of any  | 
type.  | 
 (u-1) "Home infusion services" means services provided by  | 
a pharmacy in
compounding solutions for direct administration  | 
to a patient in a private
residence, long-term care facility,  | 
or hospice setting by means of parenteral,
intravenous,  | 
intramuscular, subcutaneous, or intraspinal infusion.
 | 
 (u-5) "Illinois State Police" means the Illinois State
 | 
Police or its successor agency.  | 
 | 
 (v) "Immediate precursor" means a substance:
 | 
  (1) which the Department has found to be and by rule  | 
 designated as
being a principal compound used, or produced  | 
 primarily for use, in the
manufacture of a controlled  | 
 substance;
 | 
  (2) which is an immediate chemical intermediary used  | 
 or likely to
be used in the manufacture of such controlled  | 
 substance; and
 | 
  (3) the control of which is necessary to prevent,  | 
 curtail or limit
the manufacture of such controlled  | 
 substance.
 | 
 (w) "Instructional activities" means the acts of teaching,  | 
educating
or instructing by practitioners using controlled  | 
substances within
educational facilities approved by the State  | 
Board of Education or
its successor agency.
 | 
 (x) "Local authorities" means a duly organized State,  | 
County or
Municipal peace unit or police force.
 | 
 (y) "Look-alike substance" means a substance, other than a  | 
controlled
substance which (1) by overall dosage unit  | 
appearance, including shape,
color, size, markings or lack  | 
thereof, taste, consistency, or any other
identifying physical  | 
characteristic of the substance, would lead a reasonable
 | 
person to believe that the substance is a controlled  | 
substance, or (2) is
expressly or impliedly represented to be  | 
a controlled substance or is
distributed under circumstances  | 
which would lead a reasonable person to
believe that the  | 
 | 
substance is a controlled substance. For the purpose of
 | 
determining whether the representations made or the  | 
circumstances of the
distribution would lead a reasonable  | 
person to believe the substance to be
a controlled substance  | 
under this clause (2) of subsection (y), the court or
other  | 
authority may consider the following factors in addition to  | 
any other
factor that may be relevant:
 | 
  (a) statements made by the owner or person in control  | 
 of the substance
concerning its nature, use or effect;
 | 
  (b) statements made to the buyer or recipient that the  | 
 substance may
be resold for profit;
 | 
  (c) whether the substance is packaged in a manner  | 
 normally used for the
illegal distribution of controlled  | 
 substances;
 | 
  (d) whether the distribution or attempted distribution  | 
 included an
exchange of or demand for money or other  | 
 property as consideration, and
whether the amount of the  | 
 consideration was substantially greater than the
 | 
 reasonable retail market value of the substance.
 | 
 Clause (1) of this subsection (y) shall not apply to a  | 
noncontrolled
substance in its finished dosage form that was  | 
initially introduced into
commerce prior to the initial  | 
introduction into commerce of a controlled
substance in its  | 
finished dosage form which it may substantially resemble.
 | 
 Nothing in this subsection (y) prohibits the dispensing or  | 
distributing
of noncontrolled substances by persons authorized  | 
 | 
to dispense and
distribute controlled substances under this  | 
Act, provided that such action
would be deemed to be carried  | 
out in good faith under subsection (u) if the
substances  | 
involved were controlled substances.
 | 
 Nothing in this subsection (y) or in this Act prohibits  | 
the manufacture,
preparation, propagation, compounding,  | 
processing, packaging, advertising
or distribution of a drug  | 
or drugs by any person registered pursuant to
Section 510 of  | 
the Federal Food, Drug, and Cosmetic Act (21 U.S.C. 360).
 | 
 (y-1) "Mail-order pharmacy" means a pharmacy that is  | 
located in a state
of the United States that delivers,  | 
dispenses or
distributes, through the United States Postal  | 
Service or other common
carrier, to Illinois residents, any  | 
substance which requires a prescription.
 | 
 (z) "Manufacture" means the production, preparation,  | 
propagation,
compounding, conversion or processing of a  | 
controlled substance other than methamphetamine, either
 | 
directly or indirectly, by extraction from substances of  | 
natural origin,
or independently by means of chemical  | 
synthesis, or by a combination of
extraction and chemical  | 
synthesis, and includes any packaging or
repackaging of the  | 
substance or labeling of its container, except that
this term  | 
does not include:
 | 
  (1) by an ultimate user, the preparation or  | 
 compounding of a
controlled substance for his or her own  | 
 use;
 | 
 | 
  (2) by a practitioner, or his or her authorized agent  | 
 under his or her
supervision, the preparation,  | 
 compounding, packaging, or labeling of a
controlled  | 
 substance:
 | 
   (a) as an incident to his or her administering or  | 
 dispensing of a
controlled substance in the course of  | 
 his or her professional practice; or
 | 
   (b) as an incident to lawful research, teaching or  | 
 chemical
analysis and not for sale; or
 | 
  (3) the packaging, repackaging, or labeling of
drugs  | 
 only to the extent permitted under the
Illinois Drug Reuse  | 
 Opportunity Program Act. 
 | 
 (z-1) (Blank).
 | 
 (z-5) "Medication shopping" means the conduct prohibited  | 
under subsection (a) of Section 314.5 of this Act. | 
 (z-10) "Mid-level practitioner" means (i) a physician  | 
assistant who has been delegated authority to prescribe  | 
through a written delegation of authority by a physician  | 
licensed to practice medicine in all of its branches, in  | 
accordance with Section 7.5 of the Physician Assistant  | 
Practice Act of 1987, (ii) an advanced practice registered  | 
nurse who has been delegated authority to prescribe through a  | 
written delegation of authority by a physician licensed to  | 
practice medicine in all of its branches or by a podiatric  | 
physician, in accordance with Section 65-40 of the Nurse  | 
Practice Act, (iii) an advanced practice registered nurse  | 
 | 
certified as a nurse practitioner, nurse midwife, or clinical  | 
nurse specialist who has been granted authority to prescribe  | 
by a hospital affiliate in accordance with Section 65-45 of  | 
the Nurse Practice Act, (iv) an animal euthanasia agency, or  | 
(v) a prescribing psychologist.  | 
 (aa) "Narcotic drug" means any of the following, whether  | 
produced
directly or indirectly by extraction from substances  | 
of vegetable origin,
or independently by means of chemical  | 
synthesis, or by a combination of
extraction and chemical  | 
synthesis:
 | 
  (1) opium, opiates, derivatives of opium and opiates,  | 
 including their isomers, esters, ethers, salts, and salts  | 
 of isomers, esters, and ethers, whenever the existence of  | 
 such isomers, esters, ethers, and salts is possible within  | 
 the specific chemical designation; however the term  | 
 "narcotic drug" does not include the isoquinoline  | 
 alkaloids of opium;
 | 
  (2) (blank);
 | 
  (3) opium poppy and poppy straw;
 | 
  (4) coca leaves, except coca leaves and extracts of  | 
 coca leaves from which substantially all of the cocaine  | 
 and ecgonine, and their isomers, derivatives and salts,  | 
 have been removed;
 | 
  (5) cocaine, its salts, optical and geometric isomers,  | 
 and salts of isomers; | 
  (6) ecgonine, its derivatives, their salts, isomers,  | 
 | 
 and salts of isomers; | 
  (7) any compound, mixture, or preparation which  | 
 contains any quantity of any of the substances referred to  | 
 in subparagraphs (1) through (6).  | 
 (bb) "Nurse" means a registered nurse licensed under the
 | 
Nurse Practice Act.
 | 
 (cc) (Blank).
 | 
 (dd) "Opiate" means any substance having an addiction  | 
forming or
addiction sustaining liability similar to morphine  | 
or being capable of
conversion into a drug having addiction  | 
forming or addiction sustaining
liability.
 | 
 (ee) "Opium poppy" means the plant of the species Papaver
 | 
somniferum L., except its seeds.
 | 
 (ee-5) "Oral dosage" means a tablet, capsule, elixir, or  | 
solution or other liquid form of medication intended for  | 
administration by mouth, but the term does not include a form  | 
of medication intended for buccal, sublingual, or transmucosal  | 
administration.  | 
 (ff) "Parole and Pardon Board" means the Parole and Pardon  | 
Board of
the State of Illinois or its successor agency.
 | 
 (gg) "Person" means any individual, corporation,  | 
mail-order pharmacy,
government or governmental subdivision or  | 
agency, business trust, estate,
trust, partnership or  | 
association, or any other entity.
 | 
 (hh) "Pharmacist" means any person who holds a license or  | 
certificate of
registration as a registered pharmacist, a  | 
 | 
local registered pharmacist
or a registered assistant  | 
pharmacist under the Pharmacy Practice Act.
 | 
 (ii) "Pharmacy" means any store, ship or other place in  | 
which
pharmacy is authorized to be practiced under the  | 
Pharmacy Practice Act.
 | 
 (ii-5) "Pharmacy shopping" means the conduct prohibited  | 
under subsection (b) of Section 314.5 of this Act. | 
 (ii-10) "Physician" (except when the context otherwise  | 
requires) means a person licensed to practice medicine in all  | 
of its branches.  | 
 (jj) "Poppy straw" means all parts, except the seeds, of  | 
the opium
poppy, after mowing.
 | 
 (kk) "Practitioner" means a physician licensed to practice  | 
medicine in all
its branches, dentist, optometrist, podiatric  | 
physician,
veterinarian, scientific investigator, pharmacist,  | 
physician assistant,
advanced practice registered nurse,
 | 
licensed practical
nurse, registered nurse, emergency medical  | 
services personnel, hospital, laboratory, or pharmacy, or  | 
other
person licensed, registered, or otherwise lawfully  | 
permitted by the
United States or this State to distribute,  | 
dispense, conduct research
with respect to, administer or use  | 
in teaching or chemical analysis, a
controlled substance in  | 
the course of professional practice or research.
 | 
 (ll) "Pre-printed prescription" means a written  | 
prescription upon which
the designated drug has been indicated  | 
prior to the time of issuance; the term does not mean a written  | 
 | 
prescription that is individually generated by machine or  | 
computer in the prescriber's office.
 | 
 (mm) "Prescriber" means a physician licensed to practice  | 
medicine in all
its branches, dentist, optometrist,  | 
prescribing psychologist licensed under Section 4.2 of the  | 
Clinical Psychologist Licensing Act with prescriptive  | 
authority delegated under Section 4.3 of the Clinical  | 
Psychologist Licensing Act, podiatric physician, or
 | 
veterinarian who issues a prescription, a physician assistant  | 
who
issues a
prescription for a controlled substance
in  | 
accordance
with Section 303.05, a written delegation, and a  | 
written collaborative agreement required under Section 7.5
of  | 
the
Physician Assistant Practice Act of 1987, an advanced  | 
practice registered
nurse with prescriptive authority  | 
delegated under Section 65-40 of the Nurse Practice Act and in  | 
accordance with Section 303.05, a written delegation,
and a  | 
written
collaborative agreement under Section 65-35 of the  | 
Nurse Practice Act, an advanced practice registered nurse  | 
certified as a nurse practitioner, nurse midwife, or clinical  | 
nurse specialist who has been granted authority to prescribe  | 
by a hospital affiliate in accordance with Section 65-45 of  | 
the Nurse Practice Act and in accordance with Section 303.05,  | 
or an advanced practice registered nurse certified as a nurse  | 
practitioner, nurse midwife, or clinical nurse specialist who  | 
has full practice authority pursuant to Section 65-43 of the  | 
Nurse Practice Act.
 | 
 | 
 (nn) "Prescription" means a written, facsimile, or oral  | 
order, or an electronic order that complies with applicable  | 
federal requirements,
of
a physician licensed to practice  | 
medicine in all its branches,
dentist, podiatric physician or  | 
veterinarian for any controlled
substance, of an optometrist  | 
in accordance with Section 15.1 of the Illinois Optometric  | 
Practice Act of 1987, of a prescribing psychologist licensed  | 
under Section 4.2 of the Clinical Psychologist Licensing Act  | 
with prescriptive authority delegated under Section 4.3 of the  | 
Clinical Psychologist Licensing Act, of a physician assistant  | 
for a
controlled substance
in accordance with Section 303.05,  | 
a written delegation, and a written collaborative agreement  | 
required under
Section 7.5 of the
Physician Assistant Practice  | 
Act of 1987, of an advanced practice registered
nurse with  | 
prescriptive authority delegated under Section 65-40 of the  | 
Nurse Practice Act who issues a prescription for a
controlled  | 
substance in accordance
with
Section 303.05, a written  | 
delegation, and a written collaborative agreement under  | 
Section 65-35 of the Nurse Practice Act, of an advanced  | 
practice registered nurse certified as a nurse practitioner,  | 
nurse midwife, or clinical nurse specialist who has been  | 
granted authority to prescribe by a hospital affiliate in  | 
accordance with Section 65-45 of the Nurse Practice Act and in  | 
accordance with Section 303.05 when required by law, or of an  | 
advanced practice registered nurse certified as a nurse  | 
practitioner, nurse midwife, or clinical nurse specialist who  | 
 | 
has full practice authority pursuant to Section 65-43 of the  | 
Nurse Practice Act.
 | 
 (nn-5) "Prescription Information Library" (PIL) means an  | 
electronic library that contains reported controlled substance  | 
data. | 
 (nn-10) "Prescription Monitoring Program" (PMP) means the  | 
entity that collects, tracks, and stores reported data on  | 
controlled substances and select drugs pursuant to Section  | 
316.  | 
 (oo) "Production" or "produce" means manufacture,  | 
planting,
cultivating, growing, or harvesting of a controlled  | 
substance other than methamphetamine.
 | 
 (pp) "Registrant" means every person who is required to  | 
register
under Section 302 of this Act.
 | 
 (qq) "Registry number" means the number assigned to each  | 
person
authorized to handle controlled substances under the  | 
laws of the United
States and of this State.
 | 
 (qq-5) "Secretary" means, as the context requires, either  | 
the Secretary of the Department or the Secretary of the  | 
Department of Financial and Professional Regulation, and the  | 
Secretary's designated agents.  | 
 (rr) "State" includes the State of Illinois and any state,  | 
district,
commonwealth, territory, insular possession thereof,  | 
and any area
subject to the legal authority of the United  | 
States of America.
 | 
 (rr-5) "Stimulant" means any drug that (i) causes an  | 
 | 
overall excitation of central nervous system functions, (ii)  | 
causes impaired consciousness and awareness, and (iii) can be  | 
habit-forming or lead to a substance abuse problem, including,  | 
but not limited to, amphetamines and their analogs,  | 
methylphenidate and its analogs, cocaine, and phencyclidine  | 
and its analogs.  | 
 (rr-10) "Synthetic drug" includes, but is not limited to,  | 
any synthetic cannabinoids or piperazines or any synthetic  | 
cathinones as provided for in Schedule I.  | 
 (ss) "Ultimate user" means a person who lawfully possesses  | 
a
controlled substance for his or her own use or for the use of  | 
a member of his or her
household or for administering to an  | 
animal owned by him or her or by a member
of his or her  | 
household.
 | 
(Source: P.A. 101-666, eff. 1-1-22; 102-389, eff. 1-1-22;  | 
102-538, eff. 8-20-21; revised 9-22-21.)
 | 
 (720 ILCS 570/316)
 | 
 Sec. 316. Prescription Monitoring Program.  | 
 (a) The Department must provide for a
Prescription  | 
Monitoring Program for Schedule II, III, IV, and V controlled  | 
substances that includes the following components and  | 
requirements:
 | 
  (1) The
dispenser must transmit to the
central  | 
 repository, in a form and manner specified by the  | 
 Department, the following information:
 | 
 | 
   (A) The recipient's name and address.
 | 
   (B) The recipient's date of birth and gender.
 | 
   (C) The national drug code number of the  | 
 controlled
substance
dispensed.
 | 
   (D) The date the controlled substance is  | 
 dispensed.
 | 
   (E) The quantity of the controlled substance  | 
 dispensed and days supply.
 | 
   (F) The dispenser's United States Drug Enforcement  | 
 Administration
registration number.
 | 
   (G) The prescriber's United States Drug  | 
 Enforcement Administration
registration number.
 | 
   (H) The dates the controlled substance  | 
 prescription is filled. | 
   (I) The payment type used to purchase the  | 
 controlled substance (i.e. Medicaid, cash, third party  | 
 insurance). | 
   (J) The patient location code (i.e. home, nursing  | 
 home, outpatient, etc.) for the controlled substances  | 
 other than those filled at a retail pharmacy. | 
   (K) Any additional information that may be  | 
 required by the department by administrative rule,  | 
 including but not limited to information required for  | 
 compliance with the criteria for electronic reporting  | 
 of the American Society for Automation and Pharmacy or  | 
 its successor.  | 
 | 
  (2) The information required to be transmitted under  | 
 this Section must be
transmitted not later than the end of  | 
 the business day on which a
controlled substance is  | 
 dispensed, or at such other time as may be required by the  | 
 Department by administrative rule.
 | 
  (3) A dispenser must transmit the information required  | 
 under this Section
by:
 | 
  (3.5) The requirements of paragraphs (1), (2), and (3)
 | 
 of this subsection also apply to opioid treatment programs  | 
 that are
licensed or certified by the Department of Human  | 
 Services'
Division of Substance Use Prevention and  | 
 Recovery and are
authorized by the federal Drug  | 
 Enforcement Administration to
prescribe Schedule II, III,  | 
 IV, or V controlled substances for
the treatment of opioid  | 
 use disorders. Opioid treatment
programs shall attempt to  | 
 obtain written patient consent, shall document attempts to  | 
 obtain the written consent, and shall not transmit  | 
 information without patient
consent. Documentation  | 
 obtained under this paragraph shall not be utilized for  | 
 law
enforcement purposes, as proscribed under 42 CFR 2,
as  | 
 amended by 42 U.S.C. 290dd-2. Treatment of a patient
shall  | 
 not be conditioned upon his or her written consent.  | 
   (A) an electronic device compatible with the  | 
 receiving device of the
central repository;
 | 
   (B) a computer diskette;
 | 
   (C) a magnetic tape; or
 | 
 | 
   (D) a pharmacy universal claim form or Pharmacy  | 
 Inventory Control form.
 | 
  (3.5) The requirements of paragraphs (1), (2), and (3)
 | 
 of this subsection also apply to opioid treatment programs  | 
 that are
licensed or certified by the Department of Human  | 
 Services'
Division of Substance Use Prevention and  | 
 Recovery and are
authorized by the federal Drug  | 
 Enforcement Administration to
prescribe Schedule II, III,  | 
 IV, or V controlled substances for
the treatment of opioid  | 
 use disorders. Opioid treatment
programs shall attempt to  | 
 obtain written patient consent, shall document attempts to  | 
 obtain the written consent, and shall not transmit  | 
 information without patient
consent. Documentation  | 
 obtained under this paragraph shall not be utilized for  | 
 law
enforcement purposes, as proscribed under 42 CFR 2,
as  | 
 amended by 42 U.S.C. 290dd-2. Treatment of a patient
shall  | 
 not be conditioned upon his or her written consent.  | 
  (4) The Department may impose a civil fine of up to  | 
 $100 per day for willful failure to report controlled  | 
 substance dispensing to the Prescription Monitoring  | 
 Program. The fine shall be calculated on no more than the  | 
 number of days from the time the report was required to be  | 
 made until the time the problem was resolved, and shall be  | 
 payable to the Prescription Monitoring Program. 
 | 
 (a-5) Notwithstanding subsection (a), a licensed  | 
veterinarian is exempt from the reporting requirements of this  | 
 | 
Section. If a person who is presenting an animal for treatment  | 
is suspected of fraudulently obtaining any controlled  | 
substance or prescription for a controlled substance, the  | 
licensed veterinarian shall report that information to the  | 
local law enforcement agency.  | 
 (b) The Department, by rule, may include in the  | 
Prescription Monitoring Program certain other select drugs  | 
that are not included in Schedule II, III, IV, or V. The  | 
Prescription Monitoring Program does not apply to
controlled  | 
substance prescriptions as exempted under Section
313.
 | 
 (c) The collection of data on select drugs and scheduled  | 
substances by the Prescription Monitoring Program may be used  | 
as a tool for addressing oversight requirements of long-term  | 
care institutions as set forth by Public Act 96-1372.  | 
Long-term care pharmacies shall transmit patient medication  | 
profiles to the Prescription Monitoring Program monthly or  | 
more frequently as established by administrative rule.  | 
 (d) The Department of Human Services shall appoint a  | 
full-time Clinical Director of the Prescription Monitoring  | 
Program. | 
 (e) (Blank).  | 
 (f) Within one year of January 1, 2018 (the effective date  | 
of Public Act 100-564), the Department shall adopt rules  | 
requiring all Electronic Health Records Systems to interface  | 
with the Prescription Monitoring Program application program  | 
on or before January 1, 2021 to ensure that all providers have  | 
 | 
access to specific patient records during the treatment of  | 
their patients. These rules shall also address the electronic  | 
integration of pharmacy records with the Prescription  | 
Monitoring Program to allow for faster transmission of the  | 
information required under this Section. The Department shall  | 
establish actions to be taken if a prescriber's Electronic  | 
Health Records System does not effectively interface with the  | 
Prescription Monitoring Program within the required timeline. | 
 (g) The Department, in consultation with the Prescription  | 
Monitoring Program Advisory Committee, shall adopt rules  | 
allowing licensed prescribers or pharmacists who have  | 
registered to access the Prescription Monitoring Program to  | 
authorize a licensed or non-licensed designee employed in that  | 
licensed prescriber's office or a licensed designee in a  | 
licensed pharmacist's pharmacy who has received training in  | 
the federal Health Insurance Portability and Accountability  | 
Act and 42 CFR 2 to consult the Prescription Monitoring  | 
Program on their behalf. The rules shall include reasonable  | 
parameters concerning a practitioner's authority to authorize  | 
a designee, and the eligibility of a person to be selected as a  | 
designee. In this subsection (g), "pharmacist" shall include a  | 
clinical pharmacist employed by and designated by a Medicaid  | 
Managed Care Organization providing services under Article V  | 
of the Illinois Public Aid Code under a contract with the  | 
Department of Healthcare and Family Services for the sole  | 
purpose of clinical review of services provided to persons  | 
 | 
covered by the entity under the contract to determine  | 
compliance with subsections (a) and (b) of Section 314.5 of  | 
this Act. A managed care entity pharmacist shall notify  | 
prescribers of review activities. | 
(Source: P.A. 101-81, eff. 7-12-19; 101-414, eff. 8-16-19;  | 
102-527, eff. 8-20-21; revised 11-24-21.)
 | 
 Section 620. The Prevention of Tobacco Use by
Persons  | 
under 21 Years of Age and Sale and Distribution of Tobacco  | 
Products Act is amended by changing Section 1 as follows:
 | 
 (720 ILCS 675/1) (from Ch. 23, par. 2357)
 | 
 Sec. 1. Prohibition on sale of tobacco products,  | 
electronic cigarettes, and alternative nicotine products to  | 
persons under 21 years of age; prohibition on the distribution  | 
of tobacco product samples, electronic cigarette samples, and  | 
alternative nicotine product samples to any person; use of  | 
identification cards; vending machines; lunch
wagons;  | 
out-of-package sales. 
 | 
 (a) No person shall sell, buy
for, distribute samples of  | 
or furnish any tobacco product, electronic cigarette, or  | 
alternative nicotine product to any person under 21 years of  | 
age.  | 
 (a-5) No person under 16 years of
age may sell any tobacco  | 
product, electronic cigarette, or alternative nicotine product  | 
at a retail
establishment selling tobacco products, electronic
 | 
 | 
cigarettes, or alternative nicotine products. This subsection  | 
does not apply
to a sales clerk in a family-owned business  | 
which can prove that the sales
clerk
is in fact a son or  | 
daughter of the owner.
 | 
 (a-5.1) Before selling, offering for sale, giving, or
 | 
furnishing a tobacco product, electronic cigarette, or  | 
alternative nicotine product to
another person, the person  | 
selling, offering for sale, giving,
or furnishing the tobacco  | 
product, electronic cigarette, or alternative nicotine product  | 
shall
verify that the person is at least 21 years of age by: | 
  (1) examining from any person that appears to be under
 | 
 30 years of age a government-issued photographic
 | 
 identification that establishes the person to be 21 years
 | 
 of age or older; or | 
  (2) for sales of tobacco products, electronic  | 
 cigarettes, or alternative nicotine products made through  | 
 the
Internet or other remote sales methods, performing an  | 
 age
verification through an independent, third party age
 | 
 verification service that compares information available
 | 
 from public records to the personal information entered by
 | 
 the person during the ordering process that establishes  | 
 the
person is 21 years of age or older.  | 
 (a-6) No person under 21 years of age in the furtherance or  | 
facilitation of obtaining any tobacco product,
electronic  | 
cigarette, or alternative nicotine product shall display or  | 
use a false or forged identification card or transfer, alter,  | 
 | 
or deface an identification card.
 | 
 (a-7) (Blank). | 
 (a-8) A person shall not distribute without charge samples  | 
of any tobacco product, alternative nicotine product, or  | 
electronic cigarette to any other person, regardless of age,  | 
except for smokeless tobacco in an adult-only facility. | 
 This subsection (a-8) does not apply to the distribution  | 
of a tobacco product, electronic cigarette, or alternative  | 
nicotine product sample in any adult-only facility.  | 
 (a-9) For the purpose of this Section:  | 
  "Adult-only facility" means a facility or restricted  | 
 area (whether open-air or enclosed) where the operator  | 
 ensures or has a reasonable basis to believe (such as by  | 
 checking identification as required under State law, or by  | 
 checking the identification of any person appearing to be  | 
 under the age of 30) that no person under legal age is  | 
 present. A facility or restricted area need not be  | 
 permanently restricted to persons under 21 years of age to  | 
 constitute an adult-only facility, provided that the  | 
 operator ensures or has a reasonable basis to believe that  | 
 no person under 21 years of age is present during the event  | 
 or time period in question.  | 
  "Alternative nicotine product" means a product or  | 
 device not consisting of or containing tobacco that  | 
 provides for the ingestion into the body of nicotine,  | 
 whether by chewing, smoking, absorbing, dissolving,  | 
 | 
 inhaling, snorting, sniffing, or by any other means.  | 
 "Alternative nicotine product" does not include:  | 
 cigarettes as defined in Section 1 of the Cigarette Tax  | 
 Act and tobacco products as defined in Section 10-5 of the  | 
 Tobacco Products Tax Act of 1995; tobacco product and  | 
 electronic cigarette as defined in this Section; or any  | 
 product approved by the United States Food and Drug  | 
 Administration for sale as a tobacco cessation product, as  | 
 a tobacco dependence product, or for other medical  | 
 purposes, and is being marketed and sold solely for that  | 
 approved purpose. | 
  "Electronic cigarette" means: | 
   (1) any device that employs a battery or other
 | 
 mechanism to heat a solution or substance to produce a
 | 
 vapor or aerosol intended for inhalation; | 
   (2) any cartridge or container of a solution or
 | 
 substance intended to be used with or in the device or  | 
 to
refill the device; or | 
   (3) any solution or substance, whether or not it
 | 
 contains nicotine intended for use in the device.
 | 
  "Electronic cigarette" includes, but is not limited  | 
 to, any
electronic nicotine delivery system, electronic  | 
 cigar,
electronic cigarillo, electronic pipe, electronic  | 
 hookah,
vape pen, or similar product or device, any  | 
 components
or parts that can be used to build the product  | 
 or device, and any component, part, or accessory of a  | 
 | 
 device used during the operation of the device, even if  | 
 the part or accessory was sold separately.
"Electronic  | 
 cigarette" does not include: cigarettes as defined in
 | 
 Section 1 of the Cigarette Tax Act; tobacco product and  | 
 alternative nicotine product as defined in this Section;  | 
 any product approved by the United States Food and Drug  | 
 Administration for sale as a tobacco cessation product, as  | 
 a tobacco dependence product, or for other medical  | 
 purposes, and is being marketed and sold solely for that  | 
 approved purpose; any asthma
inhaler prescribed by a  | 
 physician for that condition and is being marketed and  | 
 sold solely for that approved purpose; any device that  | 
 meets the definition of cannabis paraphernalia under  | 
 Section 1-10 of the Cannabis Regulation and Tax Act; or  | 
 any cannabis product sold by a dispensing organization  | 
 pursuant to the Cannabis Regulation and Tax Act or the  | 
 Compassionate Use of Medical Cannabis
Program Act.  | 
  "Lunch wagon" means a mobile vehicle
designed and  | 
 constructed to transport food and from which food is sold  | 
 to the
general public. | 
  "Nicotine" means any form of the chemical nicotine,  | 
 including any salt or complex, regardless of whether the  | 
 chemical is naturally or synthetically derived. 
 | 
  "Tobacco product" means any product containing or made
 | 
 from tobacco that is intended for human consumption,
 | 
 whether smoked, heated, chewed, absorbed, dissolved,
 | 
 | 
 inhaled, snorted, sniffed, or ingested by any other means,
 | 
 including, but not limited to, cigarettes, cigars, little
 | 
 cigars, chewing tobacco, pipe tobacco, snuff, snus, and  | 
 any other smokeless tobacco product which contains tobacco  | 
 that is finely cut, ground, powdered, or leaf and intended  | 
 to be placed in the oral cavity.
"Tobacco product"  | 
 includes any component, part, or
accessory of a tobacco  | 
 product, whether or not sold
separately. "Tobacco product"  | 
 does not include: an alternative nicotine product as  | 
 defined in this Section; or any product
that has been  | 
 approved by the United States Food and Drug
Administration  | 
 for sale as a tobacco cessation product, as a tobacco  | 
 dependence product, or
for other medical purposes, and is  | 
 being marketed and sold solely for that approved purpose.  | 
 (b) Tobacco products, electronic cigarettes, and  | 
alternative nicotine products may be sold through a vending  | 
machine
only if such tobacco products, electronic cigarettes,  | 
and alternative nicotine products are not placed together with  | 
any non-tobacco product, other than matches, in the vending  | 
machine and the vending machine is in
any of the following  | 
locations:
 | 
  (1) (Blank).
 | 
  (2) Places to which persons under 21 years of age are  | 
 not permitted access at any time.
 | 
  (3) Places where alcoholic beverages are sold and  | 
 consumed on the
premises and vending machine operation is  | 
 | 
 under the direct supervision of the owner or manager.
 | 
  (4) (Blank).
 | 
  (5) (Blank).
 | 
 (c) (Blank).
 | 
 (d) The sale or distribution by any person of a tobacco  | 
product as defined in this Section, including, but not limited  | 
to, a single or loose cigarette, that is not contained within a  | 
sealed container, pack, or package as provided by the  | 
manufacturer, which container, pack, or package bears the  | 
health warning required by federal law, is prohibited.
 | 
 (e) It is not a violation of this Act for a person under 21  | 
years of age to purchase a tobacco product, electronic  | 
cigarette, or alternative nicotine product if the person under  | 
the age of 21 purchases or is given the tobacco product,  | 
electronic cigarette, or alternative nicotine product in any  | 
of its forms from a retail seller of tobacco products,  | 
electronic cigarettes, or alternative nicotine products or an  | 
employee of the retail seller pursuant to a plan or action to  | 
investigate, patrol, or otherwise conduct a "sting operation"  | 
or enforcement action against a retail seller of tobacco  | 
products, electronic cigarettes, or alternative nicotine  | 
products or a person employed by the retail seller of tobacco  | 
products, electronic cigarettes, or alternative nicotine  | 
products or on any premises authorized to sell tobacco  | 
products, electronic cigarettes, or alternative nicotine  | 
products to determine if tobacco products, electronic  | 
 | 
cigarettes, or alternative nicotine products are being sold or  | 
given to persons under 21 years of age if the "sting operation"  | 
or enforcement action is approved by, conducted by, or  | 
conducted on behalf of the Illinois State Police, the county  | 
sheriff, a municipal police department, the Department of  | 
Revenue, the Department of Public Health, or a local health  | 
department. The results of any sting operation or enforcement  | 
action, including the name of the clerk, shall be provided to  | 
the retail seller within 7 business days.  | 
 (f) No person shall honor or accept any discount, coupon,  | 
or other benefit or reduction in price that is inconsistent  | 
with 21 CFR 1140, subsequent United States Food and Drug  | 
Administration industry guidance, or any rules adopted under  | 
21 CFR 1140. | 
 (g) Any peace officer or duly authorized member of the  | 
Illinois State Police, a county sheriff's department, a  | 
municipal police department, the Department of Revenue, the  | 
Department of Public Health, a local health department, or the  | 
Department of Human Services, upon discovering a violation of  | 
subsection (a), (a-5), (a-5.1), (a-8), (b), or (d) of this  | 
Section or a violation of the Preventing Youth Vaping Act, may  | 
seize any tobacco products, alternative nicotine products, or  | 
electronic cigarettes of the specific type involved in that  | 
violation that are located at that place of business. The  | 
tobacco products, alternative nicotine products, or electronic  | 
cigarettes so seized are subject to confiscation and  | 
 | 
forfeiture. | 
 (h) If, within 60 days after any seizure under subsection  | 
(g), a person having any property interest in the seized  | 
property is charged with an offense under this Section or a  | 
violation of the Preventing Youth Vaping Act, the court that  | 
renders judgment upon the charge shall, within 30 days after  | 
the judgment, conduct a forfeiture hearing to determine  | 
whether the seized tobacco products or electronic cigarettes  | 
were part of the inventory located at the place of business  | 
when a violation of subsection (a), (a-5), (a-5.1), (a-8),  | 
(b), or (d) of this Section or a violation of the Preventing  | 
Youth Vaping Act occurred and whether any seized tobacco  | 
products or electronic cigarettes were of a type involved in  | 
that violation. The hearing shall be commenced by a written  | 
petition by the State, which shall include material  | 
allegations of fact, the name and address of every person  | 
determined by the State to have any property interest in the  | 
seized property, a representation that written notice of the  | 
date, time, and place of the hearing has been mailed to every  | 
such person by certified mail at least 10 days before the date,  | 
and a request for forfeiture. Every such person may appear as a  | 
party and present evidence at the hearing. The quantum of  | 
proof required shall be a preponderance of the evidence, and  | 
the burden of proof shall be on the State. If the court  | 
determines that the seized property was subject to forfeiture,  | 
an order of forfeiture and disposition of the seized property  | 
 | 
shall be entered and the property shall be received by the  | 
prosecuting office, who shall effect its destruction. | 
 (i) If a seizure under subsection (g) is not followed by a  | 
charge under subsection (a), (a-5), (a-5.1), (a-8), (b), or  | 
(d) of this Section or under the Preventing Youth Vaping Act,  | 
or if the prosecution of the charge is permanently terminated  | 
or indefinitely discontinued without any judgment of  | 
conviction or acquittal: | 
  (1) the prosecuting office may commence in the circuit  | 
 court an in rem proceeding for the forfeiture and  | 
 destruction of any seized tobacco products or electronic  | 
 cigarettes; and | 
  (2) any person having any property interest in the  | 
 seized tobacco products or electronic cigarettes may  | 
 commence separate civil proceedings in the manner provided  | 
 by law.  | 
 (j) After the Department of Revenue has seized any tobacco  | 
product, nicotine product, or electronic cigarette as provided  | 
in subsection (g) and a person having any property interest in  | 
the seized property has not been charged with an offense under  | 
this Section or a violation of the Preventing Youth Vaping  | 
Act, the Department of Revenue must hold a hearing and  | 
determine whether the seized tobacco products, alternative  | 
nicotine products, or electronic cigarettes were part of the  | 
inventory located at the place of business when a violation of  | 
subsection (a), (a-5), (a-5.1), (a-8), (b), or (d) of this  | 
 | 
Section or a violation of the Preventing Youth Vaping Act  | 
occurred and whether any seized tobacco product, alternative  | 
nicotine product, or electronic cigarette was of a type  | 
involved in that violation. The Department of Revenue shall  | 
give not less than 20 days' notice of the time and place of the  | 
hearing to the owner of the property, if the owner is known,  | 
and also to the person in whose possession the property was  | 
found if that person is known and if the person in possession  | 
is not the owner of the property. If neither the owner nor the  | 
person in possession of the property is known, the Department  | 
of Revenue must cause publication of the time and place of the  | 
hearing to be made at least once each week for 3 weeks  | 
successively in a newspaper of general circulation in the  | 
county where the hearing is to be held.  | 
 If, as the result of the hearing, the Department of  | 
Revenue determines that the tobacco products, alternative  | 
nicotine products, or the electronic cigarettes were part of  | 
the inventory located at the place of business when a  | 
violation of subsection (a), (a-5), (a-5.1), (a-8), (b), or  | 
(d) of this Section or a violation of the Preventing Youth  | 
Vaping Act at the time of seizure, the Department of Revenue  | 
must enter an order declaring the tobacco product, alternative  | 
nicotine product, or electronic cigarette confiscated and  | 
forfeited to the State, to be held by the Department of Revenue  | 
for disposal by it as provided in Section 10-58 of the Tobacco  | 
Products Tax Act of 1995. The Department of Revenue must give  | 
 | 
notice of the order to the owner of the property, if the owner  | 
is known, and also to the person in whose possession the  | 
property was found if that person is known and if the person in  | 
possession is not the owner of the property. If neither the  | 
owner nor the person in possession of the property is known,  | 
the Department of Revenue must cause publication of the order  | 
to be made at least once each week for 3 weeks successively in  | 
a newspaper of general circulation in the county where the  | 
hearing was held.  | 
(Source: P.A. 101-2, eff. 7-1-19; 102-538, eff. 8-20-21;  | 
102-575, eff. 1-1-22; revised 10-20-21.)
 | 
 Section 625. The Code of Criminal Procedure of 1963 is  | 
amended by changing Sections 106D-1, 107-4, 109-1, 110-1,  | 
110-3, 110-5, 112A-14, 112A-20, and 112A-23 and by renumbering  | 
Section 123 as follows:
 | 
 (725 ILCS 5/106D-1)
 | 
 (Text of Section before amendment by P.A. 101-652) | 
 Sec. 106D-1. Defendant's appearance by closed circuit  | 
television and video conference. 
 | 
 (a) Whenever the appearance in person in court, in either  | 
a civil or criminal proceeding, is required of anyone held in a  | 
place of custody or confinement operated by the State or any of  | 
its political subdivisions, including counties and  | 
municipalities, the chief judge of the circuit by rule may  | 
 | 
permit the personal appearance to be made by means of two-way  | 
audio-visual communication, including closed circuit  | 
television and computerized video conference, in the following  | 
proceedings: | 
  (1) the initial appearance before a judge on a  | 
 criminal complaint, at which bail will be set; | 
  (2) the waiver of a preliminary hearing; | 
  (3) the arraignment on an information or indictment at  | 
 which a plea of not guilty will be entered; | 
  (4) the presentation of a jury waiver; | 
  (5) any status hearing; | 
  (6) any hearing conducted under the Sexually Violent  | 
 Persons Commitment Act at which no witness testimony will  | 
 be taken; and | 
  (7) at any hearing at which no witness testimony will  | 
 be taken conducted under the following: | 
   (A) Section 104-20 of this Code (90-day hearings); | 
   (B) Section 104-22 of this Code (trial with  | 
 special provisions and assistance); | 
   (C) Section 104-25 of this Code (discharge  | 
 hearing); or | 
   (D) Section 5-2-4 of the Unified Code of  | 
 Corrections (proceedings after acquittal by reason of  | 
 insanity).
 | 
 (b) The two-way audio-visual communication facilities must  | 
provide two-way audio-visual communication between the court  | 
 | 
and the place of custody or confinement, and must include a  | 
secure line over which the person in custody and his or her  | 
counsel, if any, may communicate. | 
 (c) Nothing in this Section shall be construed to prohibit  | 
other court appearances through the use of two-way  | 
audio-visual communication, upon waiver of any right the  | 
person in custody or confinement may have to be present  | 
physically. | 
 (d) Nothing in this Section shall be construed to  | 
establish a right of any person held in custody or confinement  | 
to appear in court through two-way audio-visual communication  | 
or to require that any governmental entity, or place of  | 
custody or confinement, provide two-way audio-visual  | 
communication.
 | 
(Source: P.A. 102-486, eff. 8-20-21.)
 | 
 (Text of Section after amendment by P.A. 101-652)
 | 
 Sec. 106D-1. Defendant's appearance by closed circuit  | 
television and video conference. 
 | 
 (a) Whenever the appearance in person in court, in either  | 
a civil or criminal proceeding, is required of anyone held in a  | 
place of custody or confinement operated by the State or any of  | 
its political subdivisions, including counties and  | 
municipalities, the chief judge of the circuit by rule may  | 
permit the personal appearance to be made by means of two-way  | 
audio-visual communication, including closed circuit  | 
 | 
television and computerized video conference, in the following  | 
proceedings: | 
  (1) the initial appearance before a judge on a  | 
 criminal complaint, at which the conditions of pretrial  | 
 release will be set; | 
  (2) the waiver of a preliminary hearing; | 
  (3) the arraignment on an information or indictment at  | 
 which a plea of not guilty will be entered; | 
  (4) the presentation of a jury waiver; | 
  (5) any status hearing; | 
  (6) any hearing conducted under the Sexually Violent  | 
 Persons Commitment Act at which no witness testimony will  | 
 be taken; and | 
  (7) at any hearing at which no witness testimony will  | 
 be taken conducted under the following: | 
   (A) Section 104-20 of this Code (90-day hearings); | 
   (B) Section 104-22 of this Code (trial with  | 
 special provisions and assistance); | 
   (C) Section 104-25 of this Code (discharge  | 
 hearing); or | 
   (D) Section 5-2-4 of the Unified Code of  | 
 Corrections (proceedings after acquittal by reason of  | 
 insanity).
 | 
 (b) The two-way audio-visual communication facilities must  | 
provide two-way audio-visual communication between the court  | 
and the place of custody or confinement, and must include a  | 
 | 
secure line over which the person in custody and his or her  | 
counsel, if any, may communicate. | 
 (c) Nothing in this Section shall be construed to prohibit  | 
other court appearances through the use of two-way  | 
audio-visual communication, upon waiver of any right the  | 
person in custody or confinement may have to be present  | 
physically. | 
 (d) Nothing in this Section shall be construed to  | 
establish a right of any person held in custody or confinement  | 
to appear in court through two-way audio-visual communication  | 
or to require that any governmental entity, or place of  | 
custody or confinement, provide two-way audio-visual  | 
communication.
 | 
(Source: P.A. 101-652, eff. 1-1-23; 102-486, eff. 8-20-21;  | 
revised 10-12-21.)
  | 
 (725 ILCS 5/107-4) (from Ch. 38, par. 107-4)
 | 
 (Text of Section before amendment by P.A. 101-652) | 
 Sec. 107-4. Arrest by peace officer from other  | 
jurisdiction. 
 | 
 (a) As used in this Section:
 | 
  (1) "State" means any State of the United States and  | 
 the District of
Columbia.
 | 
  (2) "Peace Officer" means any peace officer or member  | 
 of any duly
organized State, County, or Municipal peace  | 
 unit, any police force of another
State, the United States  | 
 | 
 Department of Defense, or any police force whose members,  | 
 by statute, are granted and authorized to exercise powers  | 
 similar to those conferred upon any peace officer employed  | 
 by a law enforcement agency of this State.
 | 
  (3) "Fresh pursuit" means the immediate pursuit of a  | 
 person who is
endeavoring to avoid arrest.
 | 
  (4) "Law enforcement agency" means a municipal police  | 
 department or
county
sheriff's office of this State.
 | 
 (a-3) Any peace officer employed by a law enforcement  | 
agency of this State
may conduct temporary questioning  | 
pursuant to Section 107-14 of this Code and
may make arrests in  | 
any jurisdiction within this State: (1) if the officer is
 | 
engaged in the investigation of criminal activity that  | 
occurred in the officer's
primary jurisdiction and the  | 
temporary questioning or arrest relates to, arises from, or is  | 
conducted pursuant to that investigation; or (2) if the  | 
officer, while on duty as a
peace officer, becomes personally  | 
aware of the immediate commission of a felony
or misdemeanor  | 
violation of the laws of this State; or (3) if
the officer,  | 
while on duty as a peace officer, is requested by an
 | 
appropriate State or local law enforcement official to render  | 
aid or
assistance to the requesting law enforcement agency  | 
that is outside the
officer's primary jurisdiction; or (4) in  | 
accordance with Section 2605-580 of the Illinois State Police  | 
Law of the
Civil Administrative Code of Illinois. While acting  | 
pursuant to this subsection, an
officer has the same authority  | 
 | 
as within his or her
own jurisdiction.
 | 
 (a-7) The law enforcement agency of the county or  | 
municipality in which any
arrest is made under this Section  | 
shall be immediately notified of the
arrest.
 | 
 (b) Any peace officer of another State who enters this  | 
State in
fresh
pursuit and continues within this State in  | 
fresh pursuit of a person in
order to arrest him on the ground  | 
that he has committed an offense in the
other State has the  | 
same authority to arrest and hold the person in custody
as  | 
peace officers of this State have to arrest and hold a person  | 
in custody
on the ground that he has committed an offense in  | 
this State.
 | 
 (c) If an arrest is made in this State by a peace officer  | 
of
another
State in accordance with the provisions of this  | 
Section he shall without
unnecessary delay take the person  | 
arrested before the circuit court of the
county in which the  | 
arrest was made. Such court shall conduct a hearing for
the  | 
purpose of determining the lawfulness of the arrest. If the  | 
court
determines that the arrest was lawful it shall commit  | 
the person arrested,
to await for a reasonable time the  | 
issuance of an extradition warrant by
the Governor of this  | 
State, or admit him to bail for such purpose. If the
court  | 
determines that the arrest was unlawful it shall discharge the  | 
person
arrested.
 | 
(Source: P.A. 102-538, eff. 8-20-21.)
 | 
 | 
 (Text of Section after amendment by P.A. 101-652) | 
 Sec. 107-4. Arrest by peace officer from other  | 
jurisdiction. 
 | 
 (a) As used in this Section:
 | 
  (1) "State" means any State of the United States and  | 
 the District of
Columbia.
 | 
  (2) "Peace Officer" means any peace officer or member  | 
 of any duly
organized State, County, or Municipal peace  | 
 unit, any police force of another
State, the United States  | 
 Department of Defense, or any police force whose members,  | 
 by statute, are granted and authorized to exercise powers  | 
 similar to those conferred upon any peace officer employed  | 
 by a law enforcement agency of this State.
 | 
  (3) "Fresh pursuit" means the immediate pursuit of a  | 
 person who is
endeavoring to avoid arrest.
 | 
  (4) "Law enforcement agency" means a municipal police  | 
 department or
county
sheriff's office of this State.
 | 
 (a-3) Any peace officer employed by a law enforcement  | 
agency of this State
may conduct temporary questioning  | 
pursuant to Section 107-14 of this Code and
may make arrests in  | 
any jurisdiction within this State: (1) if the officer is
 | 
engaged in the investigation of criminal activity that  | 
occurred in the officer's
primary jurisdiction and the  | 
temporary questioning or arrest relates to, arises from, or is  | 
conducted pursuant to that investigation; or (2) if the  | 
officer, while on duty as a
peace officer, becomes personally  | 
 | 
aware of the immediate commission of a felony
or misdemeanor  | 
violation of the laws of this State; or (3) if
the officer,  | 
while on duty as a peace officer, is requested by an
 | 
appropriate State or local law enforcement official to render  | 
aid or
assistance to the requesting law enforcement agency  | 
that is outside the
officer's primary jurisdiction; or (4) in  | 
accordance with Section 2605-580 of the Illinois State Police  | 
Law of the
Civil Administrative Code of Illinois. While acting  | 
pursuant to this subsection, an
officer has the same authority  | 
as within his or her
own jurisdiction.
 | 
 (a-7) The law enforcement agency of the county or  | 
municipality in which any
arrest is made under this Section  | 
shall be immediately notified of the
arrest.
 | 
 (b) Any peace officer of another State who enters this  | 
State in
fresh
pursuit and continues within this State in  | 
fresh pursuit of a person in
order to arrest him on the ground  | 
that he has committed an offense in the
other State has the  | 
same authority to arrest and hold the person in custody
as  | 
peace officers of this State have to arrest and hold a person  | 
in custody
on the ground that he has committed an offense in  | 
this State.
 | 
 (c) If an arrest is made in this State by a peace officer  | 
of
another
State in accordance with the provisions of this  | 
Section he shall without
unnecessary delay take the person  | 
arrested before the circuit court of the
county in which the  | 
arrest was made. Such court shall conduct a hearing for
the  | 
 | 
purpose of determining the lawfulness of the arrest. If the  | 
court
determines that the arrest was lawful it shall commit  | 
the person arrested,
to await for a reasonable time the  | 
issuance of an extradition warrant by
the Governor of this  | 
State, or admit him to pretrial release for such purpose. If  | 
the
court determines that the arrest was unlawful it shall  | 
discharge the person
arrested.
 | 
(Source: P.A. 101-652, eff. 1-1-23; 102-538, eff. 8-20-21;  | 
revised 10-20-21.)
 | 
 (725 ILCS 5/109-1) (from Ch. 38, par. 109-1)
 | 
 (Text of Section before amendment by P.A. 101-652)
 | 
 Sec. 109-1. Person arrested. 
 | 
 (a) A person arrested with or without a warrant shall be  | 
taken without
unnecessary delay before the nearest and most  | 
accessible judge
in that county, except when such county is a  | 
participant in a
regional jail authority, in which event such  | 
person may be taken to the
nearest and most accessible judge,  | 
irrespective of the county where such
judge presides,
and a  | 
charge shall be filed.
Whenever a person arrested either with  | 
or without a warrant is required
to be taken
before a judge, a  | 
charge
may be filed against such person by way of a two-way  | 
closed circuit
television system, except that a hearing to  | 
deny bail to the defendant may
not be conducted by way of  | 
closed circuit television.
 | 
 (a-5) A person charged with an offense shall be allowed  | 
 | 
counsel at the hearing at which bail is determined under  | 
Article 110 of this Code. If the defendant desires counsel for  | 
his or her initial appearance but is unable to obtain counsel,  | 
the court shall appoint a public defender or licensed attorney  | 
at law of this State to represent him or her for purposes of  | 
that hearing. | 
 (b) The judge shall:
 | 
  (1) Inform the defendant of the charge against him and  | 
 shall provide him
with a copy of the charge;
 | 
  (2) Advise the defendant of his right to counsel and  | 
 if indigent shall
appoint a public defender or licensed  | 
 attorney at law of this State to
represent him in  | 
 accordance with the provisions of Section 113-3 of this
 | 
 Code;
 | 
  (3) Schedule a preliminary hearing in appropriate  | 
 cases;
 | 
  (4) Admit the defendant to bail in accordance with the  | 
 provisions of
Article 110 of this Code; and
 | 
  (5) Order the confiscation of the person's passport or  | 
 impose travel restrictions on a defendant arrested for  | 
 first degree murder or other violent crime as defined in  | 
 Section 3 of the Rights of Crime Victims and Witnesses  | 
 Act, if the judge determines, based on the factors in  | 
 Section 110-5 of this Code, that this will reasonably  | 
 ensure the appearance of the defendant and compliance by  | 
 the defendant with all conditions of release.  | 
 | 
 (c) The court may issue an order of protection in  | 
accordance with
the provisions of Article 112A of this Code.
 | 
 (d) At the initial appearance of a defendant in any  | 
criminal proceeding, the court must advise the defendant in  | 
open court that any foreign national who is arrested or  | 
detained has the right to have notice of the arrest or  | 
detention given to his or her country's consular  | 
representatives and the right to communicate with those  | 
consular representatives if the notice has not already been  | 
provided. The court must make a written record of so advising  | 
the defendant. | 
 (e) If consular notification is not provided to a  | 
defendant before his or her first appearance in court, the  | 
court shall grant any reasonable request for a continuance of  | 
the proceedings to allow contact with the defendant's  | 
consulate. Any delay caused by the granting of the request by a  | 
defendant shall temporarily suspend for the time of the delay  | 
the period within which a person shall be tried as prescribed  | 
by subsections (a), (b), or (e) of Section 103-5 of this Code  | 
and on the day of the expiration of delay the period shall  | 
continue at the point at which it was suspended.  | 
(Source: P.A. 99-78, eff. 7-20-15; 99-190, eff. 1-1-16; 100-1,  | 
eff. 1-1-18.)
 | 
 (Text of Section after amendment by P.A. 101-652)
 | 
 Sec. 109-1. Person arrested; release from law enforcement  | 
 | 
custody and court appearance; geographical constraints prevent  | 
in-person appearances. 
 | 
 (a) A person arrested with or without a warrant for an  | 
offense for which pretrial release may be denied under  | 
paragraphs (1) through (6) of Section 110-6.1 shall be taken  | 
without
unnecessary delay before the nearest and most  | 
accessible judge
in that county, except when such county is a  | 
participant in a
regional jail authority, in which event such  | 
person may be taken to the
nearest and most accessible judge,  | 
irrespective of the county where such
judge presides,
and a  | 
charge shall be filed.
Whenever a person arrested either with  | 
or without a warrant is required
to be taken
before a judge, a  | 
charge
may be filed against such person by way of a two-way  | 
closed circuit
television system, except that a hearing to  | 
deny pretrial release to the defendant may
not be conducted by  | 
way of closed circuit television.
 | 
 (a-1) Law enforcement shall issue a citation in lieu of  | 
custodial arrest, upon proper identification, for those  | 
accused of traffic and Class B and C criminal misdemeanor  | 
offenses, or of petty and business offenses, who pose no  | 
obvious threat to the community or any person, or who have no  | 
obvious medical or mental health issues that pose a risk to  | 
their own safety. Those released on citation shall be  | 
scheduled into court within 21 days.  | 
 (a-3) A person arrested with or without a warrant for an  | 
offense for which pretrial release may not be denied may,  | 
 | 
except as otherwise provided in this Code, be released by the  | 
officer without appearing before a judge. The releasing  | 
officer shall issue the person a summons to appear within 21  | 
days. A presumption in favor of pretrial release shall be by  | 
applied by an arresting officer in the exercise of his or her  | 
discretion under this Section.  | 
 (a-5) A person charged with an offense shall be allowed  | 
counsel at the hearing at which pretrial release is determined  | 
under Article 110 of this Code. If the defendant desires  | 
counsel for his or her initial appearance but is unable to  | 
obtain counsel, the court shall appoint a public defender or  | 
licensed attorney at law of this State to represent him or her  | 
for purposes of that hearing. | 
 (b) Upon initial appearance of a person before the court,  | 
the judge shall:
 | 
  (1) inform the defendant of the charge against him and  | 
 shall provide him
with a copy of the charge;
 | 
  (2) advise the defendant of his right to counsel and  | 
 if indigent shall
appoint a public defender or licensed  | 
 attorney at law of this State to
represent him in  | 
 accordance with the provisions of Section 113-3 of this
 | 
 Code;
 | 
  (3) schedule a preliminary hearing in appropriate  | 
 cases;
 | 
  (4) admit the defendant to pretrial release in  | 
 accordance with the provisions of
Article 110 110/5 of  | 
 | 
 this Code, or upon verified petition of the State, proceed  | 
 with the setting of a detention hearing as provided in  | 
 Section 110-6.1; and
 | 
  (5) order Order the confiscation of the person's  | 
 passport or impose travel restrictions on a defendant  | 
 arrested for first degree murder or other violent crime as  | 
 defined in Section 3 of the Rights of Crime Victims and  | 
 Witnesses Act, if the judge determines, based on the  | 
 factors in Section 110-5 of this Code, that this will  | 
 reasonably ensure the appearance of the defendant and  | 
 compliance by the defendant with all conditions of  | 
 release.  | 
 (c) The court may issue an order of protection in  | 
accordance with
the provisions of Article 112A of this Code.  | 
Crime victims shall be given notice by the State's Attorney's  | 
office of this hearing as required in paragraph (2) of  | 
subsection (b) of Section 4.5 of the Rights of Crime Victims  | 
and Witnesses Act and shall be informed of their opportunity  | 
at this hearing to obtain an order of protection under Article  | 
112A of this Code. 
 | 
 (d) At the initial appearance of a defendant in any  | 
criminal proceeding, the court must advise the defendant in  | 
open court that any foreign national who is arrested or  | 
detained has the right to have notice of the arrest or  | 
detention given to his or her country's consular  | 
representatives and the right to communicate with those  | 
 | 
consular representatives if the notice has not already been  | 
provided. The court must make a written record of so advising  | 
the defendant. | 
 (e) If consular notification is not provided to a  | 
defendant before his or her first appearance in court, the  | 
court shall grant any reasonable request for a continuance of  | 
the proceedings to allow contact with the defendant's  | 
consulate. Any delay caused by the granting of the request by a  | 
defendant shall temporarily suspend for the time of the delay  | 
the period within which a person shall be tried as prescribed  | 
by subsection subsections (a), (b), or (e) of Section 103-5 of  | 
this Code and on the day of the expiration of delay the period  | 
shall continue at the point at which it was suspended.  | 
 (f) At the hearing at which conditions of pretrial release  | 
are determined, the person charged shall be present in person  | 
rather than by video phone or any other form of electronic  | 
communication, unless the physical health and safety of the  | 
person would be endangered by appearing in court or the  | 
accused waives the right to be present in person. | 
 (g) Defense counsel shall be given adequate opportunity to  | 
confer with the defendant Defendant prior to any hearing in  | 
which conditions of release or the detention of the defendant  | 
Defendant is to be considered, with a physical accommodation  | 
made to facilitate attorney/client consultation.  | 
(Source: P.A. 100-1, eff. 1-1-18; 101-652, eff. 1-1-23;  | 
revised 11-24-21.)
 | 
 | 
 (725 ILCS 5/110-1) (from Ch. 38, par. 110-1)
 | 
 (Text of Section before amendment by P.A. 101-652)
 | 
 Sec. 110-1. Definitions.  | 
 (a) "Security" is that which is required to be
pledged to  | 
insure the payment of bail.
 | 
 (b) "Sureties" encompasses the monetary and nonmonetary  | 
requirements
set by the court as conditions for release either  | 
before or after
conviction. "Surety" is one who executes a  | 
bail bond and binds himself to pay
the bail if the person in  | 
custody fails to comply with all conditions of
the bail bond.
 | 
 (c) The phrase "for which a sentence of imprisonment,  | 
without
conditional and revocable release, shall be imposed by  | 
law as a consequence
of conviction" means an offense for which  | 
a sentence of imprisonment,
without probation, periodic  | 
imprisonment or conditional discharge, is
required by law upon  | 
conviction.
 | 
 (d) "Real and present threat to the physical safety of any  | 
person or
persons", as used in this Article, includes a threat  | 
to the community,
person, persons or class of persons.
 | 
(Source: P.A. 85-892.)
 | 
 (Text of Section after amendment by P.A. 101-652)
 | 
 Sec. 110-1. Definitions. As used in this Article:  | 
 (a) (Blank).
 | 
 (b) "Sureties" encompasses the monetary and nonmonetary  | 
 | 
requirements
set by the court as conditions for release either  | 
before or after
conviction.
 | 
 (c) The phrase "for which a sentence of imprisonment,  | 
without
conditional and revocable release, shall be imposed by  | 
law as a consequence
of conviction" means an offense for which  | 
a sentence of imprisonment,
without probation, periodic  | 
imprisonment or conditional discharge, is
required by law upon  | 
conviction.
 | 
 (d) (Blank).) | 
 (e) "Willful flight" means planning or attempting to  | 
intentionally evade prosecution by concealing oneself. Simple  | 
past non-appearance in court alone is not evidence of future  | 
intent to evade prosecution. 
 | 
(Source: P.A. 101-652, eff. 1-1-23; revised 11-24-21.)
 | 
 (725 ILCS 5/110-3) (from Ch. 38, par. 110-3)
 | 
 (Text of Section before amendment by P.A. 101-652)
 | 
 Sec. 110-3. Issuance of warrant. Upon failure to comply  | 
with any condition of a bail bond or recognizance,
the court  | 
having jurisdiction at the time of such failure may, in  | 
addition
to any other action provided by law, issue a warrant  | 
for the arrest of the
person at liberty on bail or his own  | 
recognizance.
The contents of such a warrant shall be the same  | 
as required for an arrest
warrant issued upon complaint. When  | 
a defendant is at liberty on bail or
his own recognizance on a
 | 
felony charge and fails to appear in court as directed, the  | 
 | 
court shall
issue a warrant for the arrest of such person. Such  | 
warrant shall be noted
with a directive to peace officers to  | 
arrest the person and hold such
person without bail and to  | 
deliver such person before the court for further
proceedings.  | 
A defendant who is arrested or surrenders within 30 days of
the  | 
issuance of such warrant shall not be bailable in the case in  | 
question
unless he shows by the preponderance of the evidence  | 
that his failure to
appear was not intentional.
 | 
(Source: P.A. 86-298; 86-984; 86-1028; revised 12-13-21.)
 | 
 (Text of Section after amendment by P.A. 101-652)
 | 
 Sec. 110-3. Options for warrant alternatives.  | 
 (a) Upon failure to comply with any condition of pretrial  | 
release or recognizance,
the court having jurisdiction at the  | 
time of such failure may, on its own motion or upon motion from  | 
the State, issue an order to show cause as to why he or she  | 
shall not be subject to revocation of pretrial release, or for  | 
sanctions, as provided in Section 110-6. Nothing in this  | 
Section prohibits the court from issuing a warrant under  | 
subsection (c) upon failure to comply with any condition of  | 
pretrial release or recognizance. | 
 (b) The order issued by the court shall state the facts  | 
alleged to constitute the hearing to show cause or otherwise  | 
why the person is subject to revocation of pretrial release. A  | 
certified copy of the order shall be served upon the person at  | 
least 48 hours in advance of the scheduled hearing. | 
 | 
 (c) If the person does not appear at the hearing to show  | 
cause or absconds, the court may, in addition
to any other  | 
action provided by law, issue a warrant for the arrest of the
 | 
person at liberty on pretrial release.
The contents of such a  | 
warrant shall be the same as required for an arrest
warrant  | 
issued upon complaint and may modify any previously imposed  | 
conditions placed upon the person, rather than revoking  | 
pretrial release or issuing a warrant for the person in  | 
accordance with the requirements in subsections (d) and (e) of  | 
Section 110-5. When a defendant is at liberty on pretrial  | 
release or
his own recognizance on a
felony charge and fails to  | 
appear in court as directed, the court may
issue a warrant for  | 
the arrest of such person after his or her failure to appear at  | 
the show for cause hearing as provided in this Section. Such  | 
warrant shall be noted
with a directive to peace officers to  | 
arrest the person and hold such
person without pretrial  | 
release and to deliver such person before the court for  | 
further
proceedings. | 
 (d) If the order as described in subsection (b) Subsection  | 
B is issued, a failure to appear shall not be recorded until  | 
the defendant Defendant fails to appear at the hearing to show  | 
cause. For the purpose of any risk assessment or future  | 
evaluation of risk of willful flight or risk of failure to  | 
appear, a non-appearance in court cured by an appearance at  | 
the hearing to show cause shall not be considered as evidence  | 
of future likelihood of appearance in court.
 | 
 | 
(Source: P.A. 101-652, eff. 1-1-23; revised 12-13-21.)
 | 
 (725 ILCS 5/110-5) (from Ch. 38, par. 110-5)
 | 
 (Text of Section before amendment by P.A. 101-652)
 | 
 Sec. 110-5. Determining the amount of bail and conditions  | 
of release. 
 | 
 (a) In determining the amount of monetary bail or  | 
conditions of release, if
any,
which will reasonably assure  | 
the appearance of a defendant as required or
the safety of any  | 
other person or the community and the likelihood of
compliance  | 
by the
defendant with all the conditions of bail, the court  | 
shall, on the
basis of available information, take into  | 
account such matters as the
nature and circumstances of the  | 
offense charged, whether the evidence
shows that as part of  | 
the offense there was a use of violence or threatened
use of  | 
violence, whether the offense involved corruption of public
 | 
officials or employees, whether there was physical harm or  | 
threats of physical
harm to any
public official, public  | 
employee, judge, prosecutor, juror or witness,
senior citizen,  | 
child, or person with a disability, whether evidence shows  | 
that
during the offense or during the arrest the defendant  | 
possessed or used a
firearm, machine gun, explosive or metal  | 
piercing ammunition or explosive
bomb device or any military  | 
or paramilitary armament,
whether the evidence
shows that the  | 
offense committed was related to or in furtherance of the
 | 
criminal activities of an organized gang or was motivated by  | 
 | 
the defendant's
membership in or allegiance to an organized  | 
gang,
the condition of the
victim, any written statement  | 
submitted by the victim or proffer or
representation by the  | 
State regarding the
impact which the alleged criminal conduct  | 
has had on the victim and the
victim's concern, if any, with  | 
further contact with the defendant if
released on bail,  | 
whether the offense was based on racial, religious,
sexual  | 
orientation or ethnic hatred,
the likelihood of the filing of  | 
a greater charge, the likelihood of
conviction, the sentence  | 
applicable upon conviction, the weight of the evidence
against  | 
such defendant, whether there exists motivation or ability to
 | 
flee, whether there is any verification as to prior residence,  | 
education,
or family ties in the local jurisdiction, in  | 
another county,
state or foreign country, the defendant's  | 
employment, financial resources,
character and mental  | 
condition, past conduct, prior use of alias names or
dates of  | 
birth, and length of residence in the community,
the consent  | 
of the defendant to periodic drug testing in accordance with
 | 
Section 110-6.5,
whether a foreign national defendant is  | 
lawfully admitted in the United
States of America, whether the  | 
government of the foreign national
maintains an extradition  | 
treaty with the United States by which the foreign
government  | 
will extradite to the United States its national for a trial  | 
for
a crime allegedly committed in the United States, whether  | 
the defendant is
currently subject to deportation or exclusion  | 
under the immigration laws of
the United States, whether the  | 
 | 
defendant, although a United States citizen,
is considered  | 
under the law of any foreign state a national of that state
for  | 
the purposes of extradition or non-extradition to the United  | 
States,
the amount of unrecovered proceeds lost as a result of
 | 
the alleged offense, the
source of bail funds tendered or  | 
sought to be tendered for bail,
whether from the totality of  | 
the court's consideration,
the loss of funds posted or sought  | 
to be posted for bail will not deter the
defendant from flight,  | 
whether the evidence shows that the defendant is
engaged in  | 
significant
possession, manufacture, or delivery of a  | 
controlled substance or cannabis,
either individually or in  | 
consort with others,
whether at the time of the offense
 | 
charged he or she was on bond or pre-trial release pending  | 
trial, probation,
periodic imprisonment or conditional  | 
discharge pursuant to this Code or the
comparable Code of any  | 
other state or federal jurisdiction, whether the
defendant is  | 
on bond or
pre-trial release pending the imposition or  | 
execution of sentence or appeal of
sentence for any offense  | 
under the laws of Illinois or any other state or
federal  | 
jurisdiction, whether the defendant is under parole, aftercare  | 
release, mandatory
supervised release, or
work release from  | 
the Illinois Department of Corrections or Illinois Department  | 
of Juvenile Justice or any penal
institution or corrections  | 
department of any state or federal
jurisdiction, the  | 
defendant's record of convictions, whether the defendant has  | 
been
convicted of a misdemeanor or ordinance offense in  | 
 | 
Illinois or similar
offense in other state or federal  | 
jurisdiction within the 10 years
preceding the current charge  | 
or convicted of a felony in Illinois, whether
the defendant  | 
was convicted of an offense in another state or federal
 | 
jurisdiction that would
be a felony if committed in Illinois  | 
within the 20 years preceding the
current charge or has been  | 
convicted of such felony and released from the
penitentiary  | 
within 20 years preceding the current charge if a
penitentiary  | 
sentence was imposed in Illinois or other state or federal
 | 
jurisdiction, the defendant's records of juvenile adjudication  | 
of delinquency in any
jurisdiction, any record of appearance  | 
or failure to appear by
the defendant at
court proceedings,  | 
whether there was flight to avoid arrest or
prosecution,  | 
whether the defendant escaped or
attempted to escape to avoid  | 
arrest, whether the defendant refused to
identify himself or  | 
herself, or whether there was a refusal by the defendant to be
 | 
fingerprinted as required by law. Information used by the  | 
court in its
findings or stated in or
offered in connection  | 
with this Section may be by way of proffer based upon
reliable  | 
information offered by the State or defendant.
All evidence  | 
shall be admissible if it is relevant and
reliable regardless  | 
of whether it would be admissible under the rules of
evidence  | 
applicable at criminal trials.
If the State presents evidence  | 
that the offense committed by the defendant
was related to or  | 
in furtherance of the criminal activities of an organized
gang  | 
or was motivated by the defendant's membership in or  | 
 | 
allegiance to an
organized gang, and if the court determines  | 
that the evidence may be
substantiated, the court shall  | 
prohibit the defendant from associating with
other members of  | 
the organized gang as a condition of bail or release.
For the  | 
purposes of this Section,
"organized gang" has the meaning  | 
ascribed to it in Section 10 of the Illinois
Streetgang  | 
Terrorism Omnibus Prevention Act.
 | 
 (a-5) There shall be a presumption that any conditions of  | 
release imposed shall be non-monetary in nature and the court  | 
shall impose the least restrictive conditions or combination  | 
of conditions necessary to reasonably assure the appearance of  | 
the defendant for further court proceedings and protect the  | 
integrity of
the judicial proceedings from a specific threat  | 
to a witness or
participant. Conditions of release may  | 
include, but not be limited to, electronic home monitoring,  | 
curfews, drug counseling, stay-away orders, and in-person  | 
reporting. The court shall consider the defendant's  | 
socio-economic circumstance when setting conditions of release  | 
or imposing monetary bail.  | 
 (b) The amount of bail shall be:
 | 
  (1) Sufficient to assure compliance with the  | 
 conditions set forth in the
bail bond, which shall include  | 
 the defendant's current address with a written
 | 
 admonishment to the defendant that he or she must comply  | 
 with the provisions of
Section 110-12 regarding any change  | 
 in his or her address. The defendant's
address shall at  | 
 | 
 all times remain a matter of public record with the clerk
 | 
 of the court.
 | 
  (2) Not oppressive.
 | 
  (3) Considerate of the financial ability of the  | 
 accused.
 | 
  (4) When a person is charged with a drug related  | 
 offense involving
possession or delivery of cannabis or  | 
 possession or delivery of a
controlled substance as  | 
 defined in the Cannabis Control Act,
the Illinois  | 
 Controlled Substances Act, or the Methamphetamine Control  | 
 and Community Protection Act, the full street value
of the  | 
 drugs seized shall be considered. "Street value" shall be
 | 
 determined by the court on the basis of a proffer by the  | 
 State based upon
reliable information of a law enforcement  | 
 official contained in a written
report as to the amount  | 
 seized and such proffer may be used by the court as
to the  | 
 current street value of the smallest unit of the drug  | 
 seized.
 | 
 (b-5) Upon the filing of a written request demonstrating  | 
reasonable cause, the State's Attorney may request a source of  | 
bail hearing either before or after the posting of any funds.
 | 
If the hearing is granted, before the posting of any bail, the  | 
accused must file a written notice requesting that the court  | 
conduct a source of bail hearing. The notice must be  | 
accompanied by justifying affidavits stating the legitimate  | 
and lawful source of funds for bail. At the hearing, the court  | 
 | 
shall inquire into any matters stated in any justifying  | 
affidavits, and may also inquire into matters appropriate to  | 
the determination which shall include, but are not limited to,  | 
the following: | 
  (1) the background, character, reputation, and  | 
 relationship to the accused of any surety; and | 
  (2) the source of any money or property deposited by  | 
 any surety, and whether any such money or property  | 
 constitutes the fruits of criminal or unlawful conduct;  | 
 and | 
  (3) the source of any money posted as cash bail, and  | 
 whether any such money constitutes the fruits of criminal  | 
 or unlawful conduct; and | 
  (4) the background, character, reputation, and  | 
 relationship to the accused of the person posting cash  | 
 bail. | 
 Upon setting the hearing, the court shall examine, under  | 
oath, any persons who may possess material information. | 
 The State's Attorney has a right to attend the hearing, to  | 
call witnesses and to examine any witness in the proceeding.  | 
The court shall, upon request of the State's Attorney,  | 
continue the proceedings for a reasonable period to allow the  | 
State's Attorney to investigate the matter raised in any  | 
testimony or affidavit.
If the hearing is granted after the  | 
accused has posted bail, the court shall conduct a hearing  | 
consistent with this subsection (b-5). At the conclusion of  | 
 | 
the hearing, the court must issue an order either approving or  | 
disapproving the bail.
 | 
 (c) When a person is charged with an offense punishable by  | 
fine only the
amount of the bail shall not exceed double the  | 
amount of the maximum penalty.
 | 
 (d) When a person has been convicted of an offense and only  | 
a fine has
been imposed the amount of the bail shall not exceed  | 
double the amount of
the fine.
 | 
 (e) The State may appeal any order granting bail or  | 
setting
a given amount for bail. | 
 (f) When a person is charged with a violation of an order  | 
of protection under Section 12-3.4 or 12-30 of the Criminal  | 
Code of 1961 or the Criminal Code of 2012 or when a person is  | 
charged with domestic battery, aggravated domestic battery,  | 
kidnapping, aggravated kidnaping, unlawful restraint,  | 
aggravated unlawful restraint, stalking, aggravated stalking,  | 
cyberstalking, harassment by telephone, harassment through  | 
electronic communications, or an attempt to commit first  | 
degree murder committed against an intimate partner regardless  | 
whether an order of protection has been issued against the  | 
person,  | 
  (1) whether the alleged incident involved harassment  | 
 or abuse, as defined in the Illinois Domestic Violence Act  | 
 of 1986; | 
  (2) whether the person has a history of domestic  | 
 violence, as defined in the Illinois Domestic Violence  | 
 | 
 Act, or a history of other criminal acts; | 
  (3) based on the mental health of the person; | 
  (4) whether the person has a history of violating the  | 
 orders of any court or governmental entity; | 
  (5) whether the person has been, or is, potentially a  | 
 threat to any other person; | 
  (6) whether the person has access to deadly weapons or  | 
 a history of using deadly weapons; | 
  (7) whether the person has a history of abusing  | 
 alcohol or any controlled substance; | 
  (8) based on the severity of the alleged incident that  | 
 is the basis of the alleged offense, including, but not  | 
 limited to, the duration of the current incident, and  | 
 whether the alleged incident involved the use of a weapon,  | 
 physical injury, sexual assault, strangulation, abuse  | 
 during the alleged victim's pregnancy, abuse of pets, or  | 
 forcible entry to gain access to the alleged victim; | 
  (9) whether a separation of the person from the  | 
 alleged victim or a termination of the relationship  | 
 between the person and the alleged victim has recently  | 
 occurred or is pending; | 
  (10) whether the person has exhibited obsessive or  | 
 controlling behaviors toward the alleged victim,  | 
 including, but not limited to, stalking, surveillance, or  | 
 isolation of the alleged victim or victim's family member  | 
 or members;  | 
 | 
  (11) whether the person has expressed suicidal or  | 
 homicidal ideations; | 
  (12) based on any information contained in the  | 
 complaint and any police reports, affidavits, or other  | 
 documents accompanying the complaint,  | 
the court may, in its discretion, order the respondent to  | 
undergo a risk assessment evaluation using a recognized,  | 
evidence-based instrument conducted by an Illinois Department  | 
of Human Services approved partner abuse intervention program  | 
provider, pretrial service, probation, or parole agency. These  | 
agencies shall have access to summaries of the defendant's  | 
criminal history, which shall not include victim interviews or  | 
information, for the risk evaluation. Based on the information  | 
collected from the 12 points to be considered at a bail hearing  | 
under this subsection (f), the results of any risk evaluation  | 
conducted and the other circumstances of the violation, the  | 
court may order that the person, as a condition of bail, be  | 
placed under electronic surveillance as provided in Section  | 
5-8A-7 of the Unified Code of Corrections. Upon making a  | 
determination whether or not to order the respondent to  | 
undergo a risk assessment evaluation or to be placed under  | 
electronic surveillance and risk assessment, the court shall  | 
document in the record the court's reasons for making those  | 
determinations. The cost of the electronic surveillance and  | 
risk assessment shall be paid by, or on behalf, of the  | 
defendant. As used in this subsection (f), "intimate partner"  | 
 | 
means a spouse or a current or former partner in a cohabitation  | 
or dating relationship. 
 | 
(Source: P.A. 99-143, eff. 7-27-15; 100-1, eff. 1-1-18;  | 
102-28, eff. 6-25-21; 102-558, eff. 8-20-21.)
 | 
 (Text of Section after amendment by P.A. 101-652) | 
 Sec. 110-5. Determining the amount of bail and conditions  | 
of release. 
 | 
 (a) In determining which or conditions of pretrial  | 
release, if
any,
which will reasonably assure the appearance  | 
of a defendant as required or
the safety of any other person or  | 
the community and the likelihood of
compliance by the
 | 
defendant with all the conditions of pretrial release, the  | 
court shall, on the
basis of available information, take into  | 
account such matters as: | 
  (1) the
nature and circumstances of the offense  | 
 charged; | 
  (2) the weight of the evidence against the eligible  | 
 defendant, except that the court may consider the  | 
 admissibility of any evidence sought to be excluded; | 
  (3) the history and characteristics of the eligible  | 
 defendant, including: | 
   (A) the eligible defendant's character, physical  | 
 and mental condition, family ties, employment,  | 
 financial resources, length of residence in the  | 
 community, community ties, past relating to drug or  | 
 | 
 alcohol abuse, conduct, history criminal history, and  | 
 record concerning appearance at court proceedings; and | 
   (B) whether, at the time of the current offense or  | 
 arrest, the eligible defendant was on probation,  | 
 parole, or on other release pending trial, sentencing,  | 
 appeal, or completion of sentence for an offense under  | 
 federal law, or the law of this or any other state; | 
  (4) the nature and seriousness of the specific, real  | 
 and present threat to any person that would be posed by the  | 
 eligible defendant's release, if applicable, ; as required  | 
 under paragraph (7.5) of Section 4 of the Rights of Crime  | 
 Victims and Witnesses Act; and | 
  (5) the nature and seriousness of the risk of  | 
 obstructing or attempting to obstruct the criminal justice  | 
 process that would be posed by the eligible defendant's  | 
 release, if applicable. | 
 (b) The court shall impose any conditions that are  | 
mandatory under Section 110-10. The court may impose any  | 
conditions that are permissible under Section 110-10.
 | 
 (b-5) When a person is charged with a violation of an order  | 
of protection under Section 12-3.4 or 12-30 of the Criminal  | 
Code of 1961 or the Criminal Code of 2012 or when a person is  | 
charged with domestic battery, aggravated domestic battery,  | 
kidnapping, aggravated kidnaping, unlawful restraint,  | 
aggravated unlawful restraint, stalking, aggravated stalking,  | 
cyberstalking, harassment by telephone, harassment through  | 
 | 
electronic communications, or an attempt to commit first  | 
degree murder committed against an intimate partner regardless  | 
whether an order of protection has been issued against the  | 
person,  | 
  (1) whether the alleged incident involved harassment  | 
 or abuse, as defined in the Illinois Domestic Violence Act  | 
 of 1986; | 
  (2) whether the person has a history of domestic  | 
 violence, as defined in the Illinois Domestic Violence  | 
 Act, or a history of other criminal acts; | 
  (3) based on the mental health of the person; | 
  (4) whether the person has a history of violating the  | 
 orders of any court or governmental entity; | 
  (5) whether the person has been, or is, potentially a  | 
 threat to any other person; | 
  (6) whether the person has access to deadly weapons or  | 
 a history of using deadly weapons; | 
  (7) whether the person has a history of abusing  | 
 alcohol or any controlled substance; | 
  (8) based on the severity of the alleged incident that  | 
 is the basis of the alleged offense, including, but not  | 
 limited to, the duration of the current incident, and  | 
 whether the alleged incident involved the use of a weapon,  | 
 physical injury, sexual assault, strangulation, abuse  | 
 during the alleged victim's pregnancy, abuse of pets, or  | 
 forcible entry to gain access to the alleged victim; | 
 | 
  (9) whether a separation of the person from the victim  | 
 of abuse or a termination of the relationship between the  | 
 person and the victim of abuse has recently occurred or is  | 
 pending; | 
  (10) whether the person has exhibited obsessive or  | 
 controlling behaviors toward the victim of abuse,  | 
 including, but not limited to, stalking, surveillance, or  | 
 isolation of the victim of abuse or victim's family member  | 
 or members;  | 
  (11) whether the person has expressed suicidal or  | 
 homicidal ideations; | 
  (11.5) any other factors deemed by the court to have a  | 
 reasonable bearing upon the defendant's propensity or  | 
 reputation for violent, abusive or assaultive behavior, or  | 
 lack of that behavior.  | 
 (c) In cases of stalking or aggravated stalking under  | 
Section 12-7.3 or 12-7.4 of the Criminal Code of 2012, the  | 
court may consider the following additional factors: | 
  (1) Any evidence of the defendant's prior criminal  | 
 history indicative of violent, abusive or assaultive  | 
 behavior, or lack of that behavior. The evidence may  | 
 include testimony or documents received in juvenile  | 
 proceedings, criminal, quasi-criminal, civil commitment,  | 
 domestic relations or other proceedings; | 
  (2) Any evidence of the defendant's psychological,  | 
 psychiatric or other similar social history that tends to  | 
 | 
 indicate a violent, abusive, or assaultive nature, or lack  | 
 of any such history; . | 
  (3) The nature of the threat which is the basis of the  | 
 charge against the defendant; | 
  (4) Any statements made by, or attributed to the  | 
 defendant, together with the circumstances surrounding  | 
 them; | 
  (5) The age and physical condition of any person  | 
 allegedly assaulted by the defendant; | 
  (6) Whether the defendant is known to possess or have  | 
 access to any weapon or weapons; | 
  (7) Any other factors deemed by the court to have a  | 
 reasonable bearing upon the defendant's propensity or  | 
 reputation for violent, abusive or assaultive behavior, or  | 
 lack of that behavior. | 
 (d) The Court may use a regularly validated risk  | 
assessment tool to aid its determination of appropriate  | 
conditions of release as provided for in Section 110-6.4. Risk  | 
assessment tools may not be used as the sole basis to deny  | 
pretrial release. If a risk assessment tool is used, the  | 
defendant's counsel shall be provided with the information and  | 
scoring system of the risk assessment tool used to arrive at  | 
the determination. The defendant retains the right to  | 
challenge the validity of a risk assessment tool used by the  | 
court and to present evidence relevant to the defendant's  | 
challenge. | 
 | 
 (e) If a person remains in pretrial detention after his or  | 
her pretrial conditions hearing after having been ordered  | 
released with pretrial conditions, the court shall hold a  | 
hearing to determine the reason for continued detention. If  | 
the reason for continued detention is due to the  | 
unavailability or the defendant's ineligibility for one or  | 
more pretrial conditions previously ordered by the court or  | 
directed by a pretrial services agency, the court shall reopen  | 
the conditions of release hearing to determine what available  | 
pretrial conditions exist that will reasonably assure the  | 
appearance of a defendant as required or the safety of any  | 
other person and the likelihood of compliance by the defendant  | 
with all the conditions of pretrial release. The inability of  | 
the defendant Defendant to pay for a condition of release or  | 
any other ineligibility for a condition of pretrial release  | 
shall not be used as a justification for the pretrial  | 
detention of that defendant Defendant. | 
 (f) Prior to the defendant's first appearance, the Court  | 
shall appoint the public defender or a licensed attorney at  | 
law of this State to represent the defendant Defendant for  | 
purposes of that hearing, unless the defendant has obtained  | 
licensed counsel for themselves. | 
 (g) Electronic monitoring, GPS monitoring, or home  | 
confinement can only be imposed as a condition of pretrial  | 
release if a no less restrictive condition of release or  | 
combination of less restrictive condition of release would  | 
 | 
reasonably ensure the appearance of the defendant for later  | 
hearings or protect an identifiable person or persons from  | 
imminent threat of serious physical harm. | 
 (h) If the court imposes electronic monitoring, GPS  | 
monitoring, or home confinement, the court shall set forth in  | 
the record the basis for its finding. A defendant shall be  | 
given custodial credit for each day he or she was subjected to  | 
that program, at the same rate described in subsection (b) of  | 
Section 5-4.5-100 of the Unified Code of Corrections unified  | 
code of correction. | 
 (i) If electronic monitoring, GPS monitoring, or home  | 
confinement is imposed, the court shall determine every 60  | 
days if no less restrictive condition of release or  | 
combination of less restrictive conditions of release would  | 
reasonably ensure the appearance, or continued appearance, of  | 
the defendant for later hearings or protect an identifiable  | 
person or persons from imminent threat of serious physical  | 
harm. If the court finds that there are less restrictive  | 
conditions of release, the court shall order that the  | 
condition be removed. This subsection takes effect January 1,  | 
2022. | 
 (j) Crime Victims shall be given notice by the State's  | 
Attorney's office of this hearing as required in paragraph (1)  | 
of subsection (b) of Section 4.5 of the Rights of Crime Victims  | 
and Witnesses Act and shall be informed of their opportunity  | 
at this hearing to obtain an order of protection under Article  | 
 | 
112A of this Code. 
 | 
(Source: P.A. 101-652, eff. 1-1-23; 102-28, eff. 6-25-21;  | 
102-558, eff. 8-20-21; revised 12-15-21.)
 | 
 (725 ILCS 5/112A-14) (from Ch. 38, par. 112A-14)
 | 
 Sec. 112A-14. Domestic violence order of protection;  | 
remedies. 
 | 
 (a) (Blank).
 | 
 (b) The court may order any of the remedies listed in this  | 
subsection (b).
The remedies listed in this subsection (b)  | 
shall be in addition to other civil
or criminal remedies  | 
available to petitioner.
 | 
  (1) Prohibition of abuse. Prohibit respondent's  | 
 harassment,
interference with personal liberty,  | 
 intimidation of a dependent, physical
abuse, or willful  | 
 deprivation, as defined in this Article, if such abuse has
 | 
 occurred or otherwise appears likely to occur if not  | 
 prohibited.
 | 
  (2) Grant of exclusive possession of residence.  | 
 Prohibit respondent
from entering or remaining in any  | 
 residence, household, or premises of the petitioner,
 | 
 including one owned or leased by respondent, if petitioner  | 
 has a right
to occupancy thereof. The grant of exclusive  | 
 possession of the residence, household, or premises
shall  | 
 not affect title to real property, nor shall the court be  | 
 limited by
the standard set forth in subsection (c-2) of  | 
 | 
 Section 501 of the Illinois Marriage and
Dissolution of  | 
 Marriage Act.
 | 
   (A) Right to occupancy. A party has a right to  | 
 occupancy of a
residence or household if it is
solely  | 
 or jointly owned or leased by that party, that party's  | 
 spouse, a
person with a legal duty to support that  | 
 party or a minor child in that
party's care, or by any  | 
 person or entity other than the opposing party that
 | 
 authorizes that party's occupancy (e.g., a domestic  | 
 violence shelter).
Standards set forth in subparagraph  | 
 (B) shall not preclude equitable relief.
 | 
   (B) Presumption of hardships. If petitioner and  | 
 respondent
each has the right to occupancy of a  | 
 residence or household, the court
shall balance (i)  | 
 the hardships to respondent and any minor child or
 | 
 dependent adult in respondent's care resulting from  | 
 entry of this remedy with (ii)
the hardships to  | 
 petitioner and any minor child or dependent adult in
 | 
 petitioner's care resulting from continued exposure to  | 
 the risk of abuse (should
petitioner remain at the  | 
 residence or household) or from loss of possession
of  | 
 the residence or household (should petitioner leave to  | 
 avoid the risk
of abuse). When determining the balance  | 
 of hardships, the court shall also
take into account  | 
 the accessibility of the residence or household.
 | 
 Hardships need not be balanced if respondent does not  | 
 | 
 have a right to occupancy.
 | 
   The balance of hardships is presumed to favor  | 
 possession by
petitioner unless the presumption is  | 
 rebutted by a preponderance of the
evidence, showing  | 
 that the hardships to respondent substantially  | 
 outweigh
the hardships to petitioner and any minor  | 
 child or dependent adult in petitioner's
care. The  | 
 court, on the request of petitioner or on its own  | 
 motion,
may order respondent to provide suitable,  | 
 accessible, alternate housing
for petitioner instead  | 
 of
excluding respondent from a mutual residence or  | 
 household.
 | 
  (3) Stay away order and additional prohibitions.
Order  | 
 respondent to stay away from petitioner or any other  | 
 person
protected by the domestic violence order of  | 
 protection, or prohibit respondent from entering
or  | 
 remaining present at petitioner's school, place of  | 
 employment, or other
specified places at times when  | 
 petitioner is present, or both, if
reasonable, given
the  | 
 balance of hardships. Hardships need not be balanced for  | 
 the court
to enter a stay away order or prohibit entry
if  | 
 respondent has no right to enter the premises.
 | 
   (A) If a domestic violence order of protection  | 
 grants petitioner exclusive possession
of the  | 
 residence, prohibits respondent from entering the  | 
 residence,
or orders respondent to stay away from  | 
 | 
 petitioner or other
protected persons, then the court  | 
 may allow respondent access to the
residence to remove  | 
 items of clothing and personal adornment
used  | 
 exclusively by respondent, medications, and other  | 
 items as the court directs.
The right to access shall  | 
 be exercised on only one occasion as the court directs
 | 
 and in the presence of an agreed-upon adult third  | 
 party or law enforcement officer.
 | 
   (B) When the petitioner and the respondent attend  | 
 the same public, private, or non-public elementary,  | 
 middle, or high school, the court when issuing a  | 
 domestic violence order of protection and providing  | 
 relief shall consider the severity of the act, any  | 
 continuing physical danger or emotional distress to  | 
 the petitioner, the educational rights guaranteed to  | 
 the petitioner and respondent under federal and State  | 
 law, the availability of a transfer of the respondent  | 
 to another school, a change of placement or a change of  | 
 program of the respondent, the expense, difficulty,  | 
 and educational disruption that would be caused by a  | 
 transfer of the respondent to another school, and any  | 
 other relevant facts of the case. The court may order  | 
 that the respondent not attend the public, private, or  | 
 non-public elementary, middle, or high school attended  | 
 by the petitioner, order that the respondent accept a  | 
 change of placement or change of program, as  | 
 | 
 determined by the school district or private or  | 
 non-public school, or place restrictions on the  | 
 respondent's movements within the school attended by  | 
 the petitioner. The respondent bears the burden of  | 
 proving by a preponderance of the evidence that a  | 
 transfer, change of placement, or change of program of  | 
 the respondent is not available. The respondent also  | 
 bears the burden of production with respect to the  | 
 expense, difficulty, and educational disruption that  | 
 would be caused by a transfer of the respondent to  | 
 another school. A transfer, change of placement, or  | 
 change of program is not unavailable to the respondent  | 
 solely on the ground that the respondent does not  | 
 agree with the school district's or private or  | 
 non-public school's transfer, change of placement, or  | 
 change of program or solely on the ground that the  | 
 respondent fails or refuses to consent or otherwise  | 
 does not take an action required to effectuate a  | 
 transfer, change of placement, or change of program.  | 
 When a court orders a respondent to stay away from the  | 
 public, private, or non-public school attended by the  | 
 petitioner and the respondent requests a transfer to  | 
 another attendance center within the respondent's  | 
 school district or private or non-public school, the  | 
 school district or private or non-public school shall  | 
 have sole discretion to determine the attendance  | 
 | 
 center to which the respondent is transferred. If the  | 
 court order results in a transfer of the minor  | 
 respondent to another attendance center, a change in  | 
 the respondent's placement, or a change of the  | 
 respondent's program, the parents, guardian, or legal  | 
 custodian of the respondent is responsible for  | 
 transportation and other costs associated with the  | 
 transfer or change. | 
   (C) The court may order the parents, guardian, or  | 
 legal custodian of a minor respondent to take certain  | 
 actions or to refrain from taking certain actions to  | 
 ensure that the respondent complies with the order. If  | 
 the court orders a transfer of the respondent to  | 
 another school, the parents, guardian, or legal  | 
 custodian of the respondent is responsible for  | 
 transportation and other costs associated with the  | 
 change of school by the respondent.  | 
  (4) Counseling. Require or recommend the respondent to  | 
 undergo
counseling for a specified duration with a social  | 
 worker, psychologist,
clinical psychologist,  | 
 psychiatrist, family service agency, alcohol or
substance  | 
 abuse program, mental health center guidance counselor,  | 
 agency
providing services to elders, program designed for  | 
 domestic violence
abusers, or any other guidance service  | 
 the court deems appropriate. The court may order the  | 
 respondent in any intimate partner relationship to report  | 
 | 
 to an Illinois Department of Human Services protocol  | 
 approved partner abuse intervention program for an  | 
 assessment and to follow all recommended treatment. 
 | 
  (5) Physical care and possession of the minor child.  | 
 In order to protect
the minor child from abuse, neglect,  | 
 or unwarranted separation from the person
who has been the  | 
 minor child's primary caretaker, or to otherwise protect  | 
 the
well-being of the minor child, the court may do either  | 
 or both of the following:
(i) grant petitioner physical  | 
 care or possession of the minor child, or both, or
(ii)  | 
 order respondent to return a minor child to, or not remove  | 
 a minor child
from, the physical care of a parent or person  | 
 in loco parentis.
 | 
  If the respondent is charged with abuse
(as defined in  | 
 Section 112A-3 of this Code) of a minor child, there shall  | 
 be a
rebuttable presumption that awarding physical care to  | 
 respondent would not
be in the minor child's best  | 
 interest.
 | 
  (6) Temporary allocation of parental responsibilities  | 
 and significant decision-making responsibilities.
Award  | 
 temporary significant decision-making responsibility to  | 
 petitioner in accordance with this Section,
the Illinois  | 
 Marriage
and Dissolution of Marriage Act, the Illinois  | 
 Parentage Act of 2015,
and this State's Uniform  | 
 Child-Custody
Jurisdiction and Enforcement Act. 
 | 
  If the respondent
is charged with abuse (as defined in  | 
 | 
 Section 112A-3 of this Code) of a
minor child, there shall  | 
 be a rebuttable presumption that awarding
temporary  | 
 significant decision-making responsibility to respondent  | 
 would not be in the
child's best interest.
 | 
  (7) Parenting time. Determine the parenting time, if  | 
 any, of respondent in any case in which the court
awards  | 
 physical care or temporary significant decision-making  | 
 responsibility of a minor child to
petitioner. The court  | 
 shall restrict or deny respondent's parenting time with
a  | 
 minor child if
the court finds that respondent has done or  | 
 is likely to do any of the
following: | 
   (i) abuse or endanger the minor child during  | 
 parenting time; | 
   (ii) use the parenting time
as an opportunity to  | 
 abuse or harass petitioner or
petitioner's family or  | 
 household members; | 
   (iii) improperly conceal or
detain the minor  | 
 child; or | 
   (iv) otherwise act in a manner that is not in
the  | 
 best interests of the minor child.  | 
  The court shall not be limited by the
standards set  | 
 forth in Section 603.10 of the Illinois Marriage and
 | 
 Dissolution of Marriage Act. If the court grants parenting  | 
 time, the order
shall specify dates and times for the  | 
 parenting time to take place or other
specific parameters  | 
 or conditions that are appropriate. No order for parenting  | 
 | 
 time
shall refer merely to the term "reasonable parenting  | 
 time". Petitioner may deny respondent access to the minor  | 
 child if, when
respondent arrives for parenting time,  | 
 respondent is under the influence of drugs
or alcohol and  | 
 constitutes a threat to the safety and well-being of
 | 
 petitioner or petitioner's minor children or is behaving  | 
 in a violent or abusive manner. If necessary to protect  | 
 any member of petitioner's family or
household from future  | 
 abuse, respondent shall be prohibited from coming to
 | 
 petitioner's residence to meet the minor child for  | 
 parenting time, and the petitioner and respondent
shall  | 
 submit to the court their recommendations for reasonable
 | 
 alternative arrangements for parenting time. A person may  | 
 be approved to
supervise parenting time only after filing  | 
 an affidavit accepting
that responsibility and  | 
 acknowledging accountability to the court.
 | 
  (8) Removal or concealment of minor child.
Prohibit  | 
 respondent from
removing a minor child from the State or  | 
 concealing the child within the
State.
 | 
  (9) Order to appear. Order the respondent to
appear in  | 
 court, alone
or with a minor child, to prevent abuse,  | 
 neglect, removal or concealment of
the child, to return  | 
 the child to the custody or care of the petitioner, or
to  | 
 permit any court-ordered interview or examination of the  | 
 child or the
respondent.
 | 
  (10) Possession of personal property. Grant petitioner  | 
 | 
 exclusive
possession of personal property and, if  | 
 respondent has possession or
control, direct respondent to  | 
 promptly make it available to petitioner, if:
 | 
   (i) petitioner, but not respondent, owns the  | 
 property; or
 | 
   (ii) the petitioner and respondent own the  | 
 property jointly; sharing it would risk
abuse of  | 
 petitioner by respondent or is impracticable; and the  | 
 balance of
hardships favors temporary possession by  | 
 petitioner.
 | 
  If petitioner's sole claim to ownership of the  | 
 property is that it is
marital property, the court may  | 
 award petitioner temporary possession
thereof under the  | 
 standards of subparagraph (ii) of this paragraph only if
a  | 
 proper proceeding has been filed under the Illinois  | 
 Marriage and
Dissolution of Marriage Act, as now or  | 
 hereafter amended.
 | 
  No order under this provision shall affect title to  | 
 property.
 | 
  (11) Protection of property. Forbid the respondent  | 
 from taking,
transferring, encumbering, concealing,  | 
 damaging, or otherwise disposing of
any real or personal  | 
 property, except as explicitly authorized by the
court,  | 
 if:
 | 
   (i) petitioner, but not respondent, owns the  | 
 property; or
 | 
 | 
   (ii) the petitioner and respondent own the  | 
 property jointly,
and the balance of hardships favors  | 
 granting this remedy.
 | 
  If petitioner's sole claim to ownership of the  | 
 property is that it is
marital property, the court may  | 
 grant petitioner relief under subparagraph
(ii) of this  | 
 paragraph only if a proper proceeding has been filed under  | 
 the
Illinois Marriage and Dissolution of Marriage Act, as  | 
 now or hereafter amended.
 | 
  The court may further prohibit respondent from  | 
 improperly using the
financial or other resources of an  | 
 aged member of the family or household
for the profit or  | 
 advantage of respondent or of any other person.
 | 
  (11.5) Protection of animals. Grant the petitioner the  | 
 exclusive care, custody, or control of any animal owned,  | 
 possessed, leased, kept, or held by either the petitioner  | 
 or the respondent or a minor child residing in the  | 
 residence or household of either the petitioner or the  | 
 respondent and order the respondent to stay away from the  | 
 animal and forbid the respondent from taking,  | 
 transferring, encumbering, concealing, harming, or  | 
 otherwise disposing of the animal.
 | 
  (12) Order for payment of support. Order
respondent to  | 
 pay temporary
support for the petitioner or any child in  | 
 the petitioner's care or over whom the petitioner has been  | 
 allocated parental responsibility, when the respondent has  | 
 | 
 a legal obligation to support that person,
in accordance  | 
 with the Illinois Marriage and Dissolution
of Marriage  | 
 Act, which shall govern, among other matters, the amount  | 
 of
support, payment through the clerk and withholding of  | 
 income to secure
payment. An order for child support may  | 
 be granted to a petitioner with
lawful physical care of a  | 
 child, or an order or agreement for
physical care of a  | 
 child, prior to entry of an order allocating significant  | 
 decision-making responsibility.
Such a support order shall  | 
 expire upon entry of a valid order allocating parental  | 
 responsibility differently and vacating petitioner's  | 
 significant decision-making responsibility unless  | 
 otherwise provided in the order.
 | 
  (13) Order for payment of losses. Order
respondent to  | 
 pay petitioner
for losses suffered as a direct result of  | 
 the abuse. Such losses shall
include, but not be limited  | 
 to, medical expenses, lost earnings or other
support,  | 
 repair or replacement of property damaged or taken,  | 
 reasonable
attorney's fees, court costs, and moving or  | 
 other travel expenses, including
additional reasonable  | 
 expenses for temporary shelter and restaurant meals.
 | 
   (i) Losses affecting family needs. If a party is  | 
 entitled to seek
maintenance, child support, or  | 
 property distribution from the other party
under the  | 
 Illinois Marriage and Dissolution of Marriage Act, as  | 
 now or
hereafter amended, the court may order  | 
 | 
 respondent to reimburse petitioner's
actual losses, to  | 
 the extent that such reimbursement would be  | 
 "appropriate
temporary relief", as authorized by  | 
 subsection (a)(3) of
Section 501 of that Act.
 | 
   (ii) Recovery of expenses. In the case of an  | 
 improper concealment
or removal of a minor child, the  | 
 court may order respondent to pay the reasonable
 | 
 expenses incurred or to be incurred in the search for  | 
 and recovery of the
minor child, including, but not  | 
 limited to, legal fees, court costs, private
 | 
 investigator fees, and travel costs.
 | 
  (14) Prohibition of entry. Prohibit the respondent  | 
 from entering or
remaining in the residence or household  | 
 while the respondent is under the
influence of alcohol or  | 
 drugs and constitutes a threat to the safety and
 | 
 well-being of the petitioner or the petitioner's children.
 | 
  (14.5) Prohibition of firearm possession.  | 
   (A) A person who is subject to an existing  | 
 domestic violence order of protection issued under  | 
 this Code may not lawfully possess weapons or a  | 
 Firearm Owner's Identification Card under Section 8.2  | 
 of the Firearm Owners Identification Card Act. | 
   (B) Any firearms in the
possession of the  | 
 respondent, except as provided in subparagraph (C) of  | 
 this paragraph (14.5), shall be ordered by the court  | 
 to be turned
over to a person with a valid Firearm  | 
 | 
 Owner's Identification Card for safekeeping. The court  | 
 shall issue an order that the respondent comply with  | 
 Section 9.5 of the Firearm Owners Identification Card  | 
 Act.
Illinois | 
   (C) If the respondent is a peace officer as  | 
 defined in Section 2-13 of
the
Criminal Code of 2012,  | 
 the court shall order that any firearms used by the
 | 
 respondent in the performance of his or her duties as a
 | 
 peace officer be surrendered to
the chief law  | 
 enforcement executive of the agency in which the  | 
 respondent is
employed, who shall retain the firearms  | 
 for safekeeping for the duration of the domestic  | 
 violence order of protection.
 | 
   (D) Upon expiration of the period of safekeeping,  | 
 if the firearms or Firearm Owner's Identification Card  | 
 cannot be returned to respondent because respondent  | 
 cannot be located, fails to respond to requests to  | 
 retrieve the firearms, or is not lawfully eligible to  | 
 possess a firearm, upon petition from the local law  | 
 enforcement agency, the court may order the local law  | 
 enforcement agency to destroy the firearms, use the  | 
 firearms for training purposes, or for any other  | 
 application as deemed appropriate by the local law  | 
 enforcement agency; or that the firearms be turned  | 
 over to a third party who is lawfully eligible to  | 
 possess firearms, and who does not reside with  | 
 | 
 respondent.  | 
  (15) Prohibition of access to records. If a domestic  | 
 violence order of protection
prohibits respondent from  | 
 having contact with the minor child,
or if petitioner's  | 
 address is omitted under subsection (b) of
Section 112A-5  | 
 of this Code, or if necessary to prevent abuse or wrongful  | 
 removal or
concealment of a minor child, the order shall  | 
 deny respondent access to, and
prohibit respondent from  | 
 inspecting, obtaining, or attempting to
inspect or obtain,  | 
 school or any other records of the minor child
who is in  | 
 the care of petitioner.
 | 
  (16) Order for payment of shelter services. Order  | 
 respondent to
reimburse a shelter providing temporary  | 
 housing and counseling services to
the petitioner for the  | 
 cost of the services, as certified by the shelter
and  | 
 deemed reasonable by the court.
 | 
  (17) Order for injunctive relief. Enter injunctive  | 
 relief necessary
or appropriate to prevent further abuse  | 
 of a family or household member or
to effectuate one of the  | 
 granted remedies, if supported by the balance of
 | 
 hardships. If the harm to be prevented by the injunction  | 
 is abuse or any
other harm that one of the remedies listed  | 
 in paragraphs (1) through (16)
of this subsection is  | 
 designed to prevent, no further evidence is necessary
to  | 
 establish that the harm is an irreparable injury.
 | 
  (18) Telephone services. | 
 | 
   (A) Unless a condition described in subparagraph  | 
 (B) of this paragraph exists, the court may, upon  | 
 request by the petitioner, order a wireless telephone  | 
 service provider to transfer to the petitioner the  | 
 right to continue to use a telephone number or numbers  | 
 indicated by the petitioner and the financial  | 
 responsibility associated with the number or numbers,  | 
 as set forth in subparagraph (C) of this paragraph. In  | 
 this paragraph (18), the term "wireless telephone  | 
 service provider" means a provider of commercial  | 
 mobile service as defined in 47 U.S.C. 332. The  | 
 petitioner may request the transfer of each telephone  | 
 number that the petitioner, or a minor child in his or  | 
 her custody, uses. The clerk of the court shall serve  | 
 the order on the wireless telephone service provider's  | 
 agent for service of process provided to the Illinois  | 
 Commerce Commission. The order shall contain all of  | 
 the following:  | 
    (i) The name and billing telephone number of  | 
 the account holder including the name of the  | 
 wireless telephone service provider that serves  | 
 the account. | 
    (ii) Each telephone number that will be  | 
 transferred. | 
    (iii) A statement that the provider transfers  | 
 to the petitioner all financial responsibility for  | 
 | 
 and right to the use of any telephone number  | 
 transferred under this paragraph. | 
   (B) A wireless telephone service provider shall  | 
 terminate the respondent's use of, and shall transfer  | 
 to the petitioner use of, the telephone number or  | 
 numbers indicated in subparagraph (A) of this  | 
 paragraph unless it notifies the petitioner, within 72  | 
 hours after it receives the order, that one of the  | 
 following applies: | 
    (i) The account holder named in the order has  | 
 terminated the account. | 
    (ii) A difference in network technology would  | 
 prevent or impair the functionality of a device on  | 
 a network if the transfer occurs. | 
    (iii) The transfer would cause a geographic or  | 
 other limitation on network or service provision  | 
 to the petitioner. | 
    (iv) Another technological or operational  | 
 issue would prevent or impair the use of the  | 
 telephone number if the transfer occurs. | 
   (C) The petitioner assumes all financial  | 
 responsibility for and right to the use of any  | 
 telephone number transferred under this paragraph. In  | 
 this paragraph, "financial responsibility" includes  | 
 monthly service costs and costs associated with any  | 
 mobile device associated with the number. | 
 | 
   (D) A wireless telephone service provider may  | 
 apply to the petitioner its routine and customary  | 
 requirements for establishing an account or  | 
 transferring a number, including requiring the  | 
 petitioner to provide proof of identification,  | 
 financial information, and customer preferences.
 | 
   (E) Except for willful or wanton misconduct, a  | 
 wireless telephone service provider is immune from  | 
 civil liability for its actions taken in compliance  | 
 with a court order issued under this paragraph. | 
   (F) All wireless service providers that provide  | 
 services to residential customers shall provide to the  | 
 Illinois Commerce Commission the name and address of  | 
 an agent for service of orders entered under this  | 
 paragraph (18). Any change in status of the registered  | 
 agent must be reported to the Illinois Commerce  | 
 Commission within 30 days of such change.  | 
   (G) The Illinois Commerce Commission shall  | 
 maintain the list of registered agents for service for  | 
 each wireless telephone service provider on the  | 
 Commission's website. The Commission may consult with  | 
 wireless telephone service providers and the Circuit  | 
 Court Clerks on the manner in which this information  | 
 is provided and displayed.  | 
 (c) Relevant factors; findings.
 | 
  (1) In determining whether to grant a
specific remedy,  | 
 | 
 other than payment of support, the
court shall consider  | 
 relevant factors, including, but not limited to, the
 | 
 following:
 | 
   (i) the nature, frequency, severity, pattern, and  | 
 consequences of the
respondent's past abuse of the  | 
 petitioner or any family or household
member,  | 
 including the concealment of his or her location in  | 
 order to evade
service of process or notice, and the  | 
 likelihood of danger of future abuse to
petitioner or
 | 
 any member of petitioner's or respondent's family or  | 
 household; and
 | 
   (ii) the danger that any minor child will be  | 
 abused or neglected or
improperly relocated from the  | 
 jurisdiction, improperly concealed within the
State,  | 
 or improperly separated from the child's primary  | 
 caretaker.
 | 
  (2) In comparing relative hardships resulting to the  | 
 parties from loss
of possession of the family home, the  | 
 court shall consider relevant
factors, including, but not  | 
 limited to, the following:
 | 
   (i) availability, accessibility, cost, safety,  | 
 adequacy, location, and other
characteristics of  | 
 alternate housing for each party and any minor child  | 
 or
dependent adult in the party's care;
 | 
   (ii) the effect on the party's employment; and
 | 
   (iii) the effect on the relationship of the party,  | 
 | 
 and any minor
child or dependent adult in the party's  | 
 care, to family, school, church,
and community.
 | 
  (3) Subject to the exceptions set forth in paragraph  | 
 (4) of this
subsection (c), the court shall make its  | 
 findings in an official record or in
writing, and shall at  | 
 a minimum set forth the following:
 | 
   (i) That the court has considered the applicable  | 
 relevant factors
described in paragraphs (1) and (2)  | 
 of this subsection (c).
 | 
   (ii) Whether the conduct or actions of respondent,  | 
 unless
prohibited, will likely cause irreparable harm  | 
 or continued abuse.
 | 
   (iii) Whether it is necessary to grant the  | 
 requested relief in order
to protect petitioner or  | 
 other alleged abused persons.
 | 
  (4) (Blank).
 | 
  (5) Never married parties. No rights or  | 
 responsibilities for a minor
child born outside of  | 
 marriage attach to a putative father until a father and
 | 
 child relationship has been established under the Illinois  | 
 Parentage Act of
1984, the Illinois Parentage Act of 2015,  | 
 the Illinois Public Aid Code, Section 12 of the Vital  | 
 Records Act, the Juvenile Court Act of 1987, the Probate  | 
 Act of 1975, the Uniform Interstate Family Support Act,  | 
 the Expedited Child Support Act of 1990, any judicial,  | 
 administrative, or other act of another state or  | 
 | 
 territory, any other statute of this State, or by any  | 
 foreign nation establishing the father and child  | 
 relationship, any other proceeding substantially in  | 
 conformity with the federal Personal Responsibility and  | 
 Work Opportunity Reconciliation Act of 1996, or when both  | 
 parties appeared in open court or at an administrative  | 
 hearing acknowledging under oath or admitting by  | 
 affirmation the existence of a father and child  | 
 relationship. Absent such an adjudication, no putative  | 
 father shall be granted
temporary allocation of parental  | 
 responsibilities, including parenting time with the minor  | 
 child, or
physical care
and possession of the minor child,  | 
 nor shall
an order of payment for support of the minor  | 
 child be entered.
 | 
 (d) Balance of hardships; findings. If the court finds  | 
that the balance
of hardships does not support the granting of  | 
a remedy governed by
paragraph (2), (3), (10), (11), or (16) of
 | 
subsection (b) of this Section,
which may require such  | 
balancing, the court's findings shall so
indicate and shall  | 
include a finding as to whether granting the remedy will
 | 
result in hardship to respondent that would substantially  | 
outweigh the hardship
to petitioner
from denial of the remedy.  | 
The findings shall be an official record or in
writing.
 | 
 (e) Denial of remedies. Denial of any remedy shall not be  | 
based, in
whole or in part, on evidence that:
 | 
  (1) respondent has cause for any use of force, unless  | 
 | 
 that cause
satisfies the standards for justifiable use of  | 
 force provided by Article
7 of the Criminal Code of 2012;
 | 
  (2) respondent was voluntarily intoxicated;
 | 
  (3) petitioner acted in self-defense or defense of  | 
 another, provided
that, if petitioner utilized force, such  | 
 force was justifiable under
Article 7 of the Criminal Code  | 
 of 2012; 
 | 
  (4) petitioner did not act in self-defense or defense  | 
 of another;
 | 
  (5) petitioner left the residence or household to  | 
 avoid further abuse
by respondent;
 | 
  (6) petitioner did not leave the residence or  | 
 household to avoid further
abuse by respondent; or 
 | 
  (7) conduct by any family or household member excused  | 
 the abuse by
respondent, unless that same conduct would  | 
 have excused such abuse if the
parties had not been family  | 
 or household members.
 | 
(Source: P.A. 101-81, eff. 7-12-19; 102-237, eff. 1-1-22;  | 
102-538, eff. 8-20-21; revised 11-2-21.)
 | 
 (725 ILCS 5/112A-20) (from Ch. 38, par. 112A-20)
 | 
 Sec. 112A-20. Duration and extension of final protective  | 
orders. 
 | 
 (a) (Blank).
 | 
 (b) A final protective order shall remain in effect as  | 
follows:
 | 
 | 
  (1) if entered during pre-trial release, until  | 
 disposition, withdrawal,
or dismissal of the underlying  | 
 charge; if, however, the case is continued as an
 | 
 independent cause of action, the order's duration may be  | 
 for a fixed period
of time not to exceed 2 years;
 | 
  (2) if in effect in conjunction with a bond forfeiture  | 
 warrant, until
final disposition or an additional period
 | 
 of time not
exceeding 2 years; no domestic violence order  | 
 of
protection, however, shall be terminated by a dismissal  | 
 that is accompanied
by the issuance of a bond forfeiture  | 
 warrant;
 | 
  (3) until 2 years after the expiration of any  | 
 supervision, conditional discharge,
probation, periodic  | 
 imprisonment, parole, aftercare release, or mandatory  | 
 supervised release for domestic violence orders of  | 
 protection and civil no contact orders;
 | 
  (4) until 2 years after the date set by the court for  | 
 expiration of any sentence of
imprisonment and subsequent  | 
 parole, aftercare release, or mandatory supervised release
 | 
 for domestic violence orders of protection and civil no  | 
 contact orders;
 | 
  (5) permanent for a stalking no contact order if a  | 
 judgment of conviction for stalking is entered; or  | 
  (6) permanent for a civil no contact order at the  | 
 victim's request if a judgment of conviction for criminal  | 
 sexual assault, aggravated criminal sexual assault,  | 
 | 
 criminal sexual abuse, excluding a conviction under  | 
 subsection (c) of Section 11-1.50 of the Criminal Code of  | 
 2012, or aggravated criminal sexual abuse is entered.  | 
 (c) Computation of time. The duration of a domestic  | 
violence order of protection shall
not be reduced by the  | 
duration of any prior domestic violence order of protection.
 | 
 (d) Law enforcement records. When a protective order  | 
expires
upon the occurrence of a specified event, rather than  | 
upon a specified date
as provided in subsection (b), no  | 
expiration date shall be entered in
Illinois State Police  | 
records. To remove the protective order from
those records,  | 
either the petitioner or the respondent shall request the  | 
clerk of the court to file a
certified copy of an order stating  | 
that the specified event has occurred or
that the protective  | 
order has been vacated or modified with the sheriff, and the
 | 
sheriff shall direct that law enforcement records shall be  | 
promptly
corrected in accordance with the filed order.
 | 
 (e) Extension of Orders. Any domestic violence order of
 | 
protection or civil no contact order that expires 2 years  | 
after the expiration of the defendant's sentence under  | 
paragraph (2), (3), or (4) of subsection (b) of Section  | 
112A-20 of this Article may be extended one or more times, as  | 
required. The petitioner, petitioner's counsel, or the State's  | 
Attorney on the petitioner's behalf shall file the motion for  | 
an extension of the final protective order in the criminal  | 
case and serve the motion in accordance with Supreme Court  | 
 | 
Rules 11 and 12. The court shall transfer the motion to the  | 
appropriate court or division for consideration under  | 
subsection (e) of Section 220 of the Illinois Domestic  | 
Violence Act of 1986, subsection (c) of Section 216 of the  | 
Civil No Contact Order Act, or subsection (c) of Section 105 of  | 
the Stalking No Contact Order as appropriate.
 | 
 (f) Termination date. Any final protective order which  | 
would expire on a
court holiday shall instead expire at the  | 
close of the next court business day.
 | 
 (g) Statement of purpose. The practice of dismissing or  | 
suspending a
criminal prosecution in exchange for issuing a  | 
protective order
undermines the purposes of this Article. This  | 
Section shall not be
construed as encouraging that practice.
 | 
(Source: P.A. 102-184, eff. 1-1-22; 102-538, eff. 8-20-21;  | 
revised 10-20-21.)
 | 
 (725 ILCS 5/112A-23) (from Ch. 38, par. 112A-23)
 | 
 (Text of Section before amendment by P.A. 101-652) | 
 Sec. 112A-23. Enforcement of protective orders. 
 | 
 (a) When violation is crime. A violation of any protective  | 
order,
whether issued in a civil, quasi-criminal proceeding,  | 
shall be
enforced by a
criminal court when:
 | 
  (1) The respondent commits the crime of violation of a  | 
 domestic violence order of
protection pursuant to Section  | 
 12-3.4 or 12-30 of the Criminal Code of
1961 or the  | 
 Criminal Code of 2012, by
having knowingly violated:
 | 
 | 
   (i) remedies described in paragraph paragraphs  | 
 (1), (2), (3), (14),
or
(14.5)
of subsection (b) of  | 
 Section 112A-14 of this Code,
 | 
   (ii) a remedy, which is substantially similar to  | 
 the remedies
authorized
under paragraph paragraphs  | 
 (1), (2), (3), (14), or (14.5) of subsection (b) of  | 
 Section 214
of the Illinois Domestic Violence Act of  | 
 1986, in a valid order of protection,
which is  | 
 authorized under the laws of another state, tribe, or  | 
 United States
territory, or
 | 
   (iii) any other remedy when the act
constitutes a  | 
 crime against the protected parties as defined by the  | 
 Criminal
Code of 1961 or the Criminal Code of 2012.
 | 
  Prosecution for a violation of a domestic violence  | 
 order of protection shall
not bar concurrent prosecution  | 
 for any other crime, including any crime
that may have  | 
 been committed at the time of the violation of the  | 
 domestic violence order
of protection; or
 | 
  (2) The respondent commits the crime of child  | 
 abduction pursuant
to Section 10-5 of the Criminal Code of  | 
 1961 or the Criminal Code of 2012, by having knowingly  | 
 violated:
 | 
   (i) remedies described in paragraph paragraphs  | 
 (5), (6), or (8) of subsection
(b)
of
Section 112A-14  | 
 of this Code, or
 | 
   (ii) a remedy, which is substantially similar to  | 
 | 
 the remedies
authorized
under paragraph paragraphs  | 
 (1),
(5), (6), or (8) of subsection (b) of Section 214
 | 
 of the Illinois Domestic Violence Act of 1986, in a  | 
 valid domestic violence order of protection,
which is  | 
 authorized under the laws of another state, tribe, or  | 
 United States
territory.
 | 
  (3) The respondent commits the crime of violation of a  | 
 civil no contact order when the respondent violates  | 
 Section 12-3.8 of the Criminal Code of 2012.
Prosecution  | 
 for a violation of a civil no contact order shall not bar  | 
 concurrent prosecution for any other crime, including any  | 
 crime that may have been committed at the time of the  | 
 violation of the civil no contact order. | 
  (4) The respondent commits the crime of violation of a  | 
 stalking no contact order when the respondent violates  | 
 Section 12-3.9 of the Criminal Code of 2012.
Prosecution  | 
 for a violation of a stalking no contact order shall not  | 
 bar concurrent prosecution for any other crime, including  | 
 any crime that may have been committed at the time of the  | 
 violation of the stalking no contact order.  | 
 (b) When violation is contempt of court. A violation of  | 
any valid protective order, whether issued in a civil or  | 
criminal
proceeding, may be enforced through civil or criminal  | 
contempt procedures,
as appropriate, by any court with  | 
jurisdiction, regardless where the act or
acts which violated  | 
the protective order were committed, to the extent
consistent  | 
 | 
with the venue provisions of this Article. Nothing in this
 | 
Article shall preclude any Illinois court from enforcing any  | 
valid protective order issued in another state. Illinois  | 
courts may enforce protective orders through both criminal  | 
prosecution and contempt proceedings,
unless the action which  | 
is second in time is barred by collateral estoppel
or the  | 
constitutional prohibition against double jeopardy.
 | 
  (1) In a contempt proceeding where the petition for a  | 
 rule to show
cause sets forth facts evidencing an  | 
 immediate danger that the
respondent will flee the  | 
 jurisdiction, conceal a child, or inflict physical
abuse  | 
 on the petitioner or minor children or on dependent adults  | 
 in
petitioner's care, the court may order the
attachment  | 
 of the respondent without prior service of the rule to  | 
 show
cause or the petition for a rule to show cause. Bond  | 
 shall be set unless
specifically denied in writing.
 | 
  (2) A petition for a rule to show cause for violation  | 
 of a protective order shall be treated as an expedited  | 
 proceeding.
 | 
 (c) Violation of custody, allocation of parental  | 
responsibility, or support orders. A violation of remedies
 | 
described in paragraph paragraphs (5), (6), (8), or (9) of  | 
subsection (b) of Section
112A-14 of this Code may be enforced  | 
by any remedy provided by Section 607.5 of
the Illinois  | 
Marriage and Dissolution of Marriage Act. The court may
 | 
enforce any order for support issued under paragraph (12) of  | 
 | 
subsection (b)
of Section 112A-14 of this Code in the manner  | 
provided for under Parts
V and VII of the
Illinois Marriage and  | 
Dissolution of Marriage Act.
 | 
 (d) Actual knowledge. A protective order may be
enforced  | 
pursuant to this Section if the respondent violates the order
 | 
after the respondent has actual knowledge of its contents
as  | 
shown through one of the following means:
 | 
  (1) (Blank).
 | 
  (2) (Blank).
 | 
  (3) By service of a protective order under subsection  | 
 (f) of Section 112A-17.5 or Section 112A-22 of this Code.
 | 
  (4) By other means demonstrating actual knowledge of  | 
 the contents of the order.
 | 
 (e) The enforcement of a protective order in civil or  | 
criminal court
shall not be affected by either of the  | 
following:
 | 
  (1) The existence of a separate, correlative order  | 
 entered under Section
112A-15 of this Code.
 | 
  (2) Any finding or order entered in a conjoined  | 
 criminal proceeding.
 | 
 (e-5) If a civil no contact order entered under subsection  | 
(6) of Section 112A-20 of the Code of Criminal Procedure of  | 
1963 conflicts with an order issued pursuant to the Juvenile  | 
Court Act of 1987 or the Illinois Marriage and Dissolution of  | 
Marriage Act, the conflicting order issued under subsection  | 
(6) of Section 112A-20 of the Code of Criminal Procedure of  | 
 | 
1963 shall be void. | 
 (f) Circumstances. The court, when determining whether or  | 
not a
violation of a protective order has occurred, shall not  | 
require
physical manifestations of abuse on the person of the  | 
victim.
 | 
 (g) Penalties.
 | 
  (1) Except as provided in paragraph (3) of this
 | 
 subsection (g), where the court finds the commission of a  | 
 crime or contempt of
court under subsection subsections  | 
 (a) or (b) of this Section, the penalty shall be
the  | 
 penalty that generally applies in such criminal or  | 
 contempt
proceedings, and may include one or more of the  | 
 following: incarceration,
payment of restitution, a fine,  | 
 payment of attorneys' fees and costs, or
community  | 
 service.
 | 
  (2) The court shall hear and take into account  | 
 evidence of any factors
in aggravation or mitigation  | 
 before deciding an appropriate penalty under
paragraph (1)  | 
 of this subsection (g).
 | 
  (3) To the extent permitted by law, the court is  | 
 encouraged to:
 | 
   (i) increase the penalty for the knowing violation  | 
 of
any protective order over any penalty previously  | 
 imposed by any court
for respondent's violation of any  | 
 protective order or penal statute
involving petitioner  | 
 as victim and respondent as defendant;
 | 
 | 
   (ii) impose a minimum penalty of 24 hours  | 
 imprisonment for respondent's
first violation of any  | 
 protective order; and
 | 
   (iii) impose a minimum penalty of 48 hours  | 
 imprisonment for
respondent's second or subsequent  | 
 violation of a protective order  | 
 unless the court explicitly finds that an increased  | 
 penalty or that
period of imprisonment would be manifestly  | 
 unjust.
 | 
  (4) In addition to any other penalties imposed for a  | 
 violation of a protective order, a criminal court may  | 
 consider evidence of any
violations of a protective order:
 | 
   (i) to increase, revoke, or modify the bail bond  | 
 on an underlying
criminal charge pursuant to Section  | 
 110-6 of this Code;
 | 
   (ii) to revoke or modify an order of probation,  | 
 conditional discharge, or
supervision, pursuant to  | 
 Section 5-6-4 of the Unified Code of Corrections;
 | 
   (iii) to revoke or modify a sentence of periodic  | 
 imprisonment, pursuant
to Section 5-7-2 of the Unified  | 
 Code of Corrections.
 | 
(Source: P.A. 102-184, eff. 1-1-22; 102-558, eff. 8-20-21.)
 | 
 (Text of Section after amendment by P.A. 101-652) | 
 Sec. 112A-23. Enforcement of protective orders. 
 | 
 (a) When violation is crime. A violation of any protective  | 
 | 
order,
whether issued in a civil, quasi-criminal proceeding,  | 
shall be
enforced by a
criminal court when:
 | 
  (1) The respondent commits the crime of violation of a  | 
 domestic violence order of
protection pursuant to Section  | 
 12-3.4 or 12-30 of the Criminal Code of
1961 or the  | 
 Criminal Code of 2012, by
having knowingly violated:
 | 
   (i) remedies described in paragraph paragraphs  | 
 (1), (2), (3), (14),
or
(14.5)
of subsection (b) of  | 
 Section 112A-14 of this Code,
 | 
   (ii) a remedy, which is substantially similar to  | 
 the remedies
authorized
under paragraph paragraphs  | 
 (1), (2), (3), (14), or (14.5) of subsection (b) of  | 
 Section 214
of the Illinois Domestic Violence Act of  | 
 1986, in a valid order of protection,
which is  | 
 authorized under the laws of another state, tribe, or  | 
 United States
territory, or
 | 
   (iii) any other remedy when the act
constitutes a  | 
 crime against the protected parties as defined by the  | 
 Criminal
Code of 1961 or the Criminal Code of 2012.
 | 
  Prosecution for a violation of a domestic violence  | 
 order of protection shall
not bar concurrent prosecution  | 
 for any other crime, including any crime
that may have  | 
 been committed at the time of the violation of the  | 
 domestic violence order
of protection; or
 | 
  (2) The respondent commits the crime of child  | 
 abduction pursuant
to Section 10-5 of the Criminal Code of  | 
 | 
 1961 or the Criminal Code of 2012, by having knowingly  | 
 violated:
 | 
   (i) remedies described in paragraph paragraphs  | 
 (5), (6), or (8) of subsection
(b)
of
Section 112A-14  | 
 of this Code, or
 | 
   (ii) a remedy, which is substantially similar to  | 
 the remedies
authorized
under paragraph paragraphs  | 
 (1),
(5), (6), or (8) of subsection (b) of Section 214
 | 
 of the Illinois Domestic Violence Act of 1986, in a  | 
 valid domestic violence order of protection,
which is  | 
 authorized under the laws of another state, tribe, or  | 
 United States
territory.
 | 
  (3) The respondent commits the crime of violation of a  | 
 civil no contact order when the respondent violates  | 
 Section 12-3.8 of the Criminal Code of 2012.
Prosecution  | 
 for a violation of a civil no contact order shall not bar  | 
 concurrent prosecution for any other crime, including any  | 
 crime that may have been committed at the time of the  | 
 violation of the civil no contact order. | 
  (4) The respondent commits the crime of violation of a  | 
 stalking no contact order when the respondent violates  | 
 Section 12-3.9 of the Criminal Code of 2012.
Prosecution  | 
 for a violation of a stalking no contact order shall not  | 
 bar concurrent prosecution for any other crime, including  | 
 any crime that may have been committed at the time of the  | 
 violation of the stalking no contact order.  | 
 | 
 (b) When violation is contempt of court. A violation of  | 
any valid protective order, whether issued in a civil or  | 
criminal
proceeding, may be enforced through civil or criminal  | 
contempt procedures,
as appropriate, by any court with  | 
jurisdiction, regardless where the act or
acts which violated  | 
the protective order were committed, to the extent
consistent  | 
with the venue provisions of this Article. Nothing in this
 | 
Article shall preclude any Illinois court from enforcing any  | 
valid protective order issued in another state. Illinois  | 
courts may enforce protective orders through both criminal  | 
prosecution and contempt proceedings,
unless the action which  | 
is second in time is barred by collateral estoppel
or the  | 
constitutional prohibition against double jeopardy.
 | 
  (1) In a contempt proceeding where the petition for a  | 
 rule to show
cause sets forth facts evidencing an  | 
 immediate danger that the
respondent will flee the  | 
 jurisdiction, conceal a child, or inflict physical
abuse  | 
 on the petitioner or minor children or on dependent adults  | 
 in
petitioner's care, the court may order the
attachment  | 
 of the respondent without prior service of the rule to  | 
 show
cause or the petition for a rule to show cause. Bond  | 
 shall be set unless
specifically denied in writing.
 | 
  (2) A petition for a rule to show cause for violation  | 
 of a protective order shall be treated as an expedited  | 
 proceeding.
 | 
 (c) Violation of custody, allocation of parental  | 
 | 
responsibility, or support orders. A violation of remedies
 | 
described in paragraph paragraphs (5), (6), (8), or (9) of  | 
subsection (b) of Section
112A-14 of this Code may be enforced  | 
by any remedy provided by Section 607.5 of
the Illinois  | 
Marriage and Dissolution of Marriage Act. The court may
 | 
enforce any order for support issued under paragraph (12) of  | 
subsection (b)
of Section 112A-14 of this Code in the manner  | 
provided for under Parts
V and VII of the
Illinois Marriage and  | 
Dissolution of Marriage Act.
 | 
 (d) Actual knowledge. A protective order may be
enforced  | 
pursuant to this Section if the respondent violates the order
 | 
after the respondent has actual knowledge of its contents
as  | 
shown through one of the following means:
 | 
  (1) (Blank).
 | 
  (2) (Blank).
 | 
  (3) By service of a protective order under subsection  | 
 (f) of Section 112A-17.5 or Section 112A-22 of this Code.
 | 
  (4) By other means demonstrating actual knowledge of  | 
 the contents of the order.
 | 
 (e) The enforcement of a protective order in civil or  | 
criminal court
shall not be affected by either of the  | 
following:
 | 
  (1) The existence of a separate, correlative order  | 
 entered under Section
112A-15 of this Code.
 | 
  (2) Any finding or order entered in a conjoined  | 
 criminal proceeding.
 | 
 | 
 (e-5) If a civil no contact order entered under subsection  | 
(6) of Section 112A-20 of the Code of Criminal Procedure of  | 
1963 conflicts with an order issued pursuant to the Juvenile  | 
Court Act of 1987 or the Illinois Marriage and Dissolution of  | 
Marriage Act, the conflicting order issued under subsection  | 
(6) of Section 112A-20 of the Code of Criminal Procedure of  | 
1963 shall be void. | 
 (f) Circumstances. The court, when determining whether or  | 
not a
violation of a protective order has occurred, shall not  | 
require
physical manifestations of abuse on the person of the  | 
victim.
 | 
 (g) Penalties.
 | 
  (1) Except as provided in paragraph (3) of this
 | 
 subsection (g), where the court finds the commission of a  | 
 crime or contempt of
court under subsection subsections  | 
 (a) or (b) of this Section, the penalty shall be
the  | 
 penalty that generally applies in such criminal or  | 
 contempt
proceedings, and may include one or more of the  | 
 following: incarceration,
payment of restitution, a fine,  | 
 payment of attorneys' fees and costs, or
community  | 
 service.
 | 
  (2) The court shall hear and take into account  | 
 evidence of any factors
in aggravation or mitigation  | 
 before deciding an appropriate penalty under
paragraph (1)  | 
 of this subsection (g).
 | 
  (3) To the extent permitted by law, the court is  | 
 | 
 encouraged to:
 | 
   (i) increase the penalty for the knowing violation  | 
 of
any protective order over any penalty previously  | 
 imposed by any court
for respondent's violation of any  | 
 protective order or penal statute
involving petitioner  | 
 as victim and respondent as defendant;
 | 
   (ii) impose a minimum penalty of 24 hours  | 
 imprisonment for respondent's
first violation of any  | 
 protective order; and
 | 
   (iii) impose a minimum penalty of 48 hours  | 
 imprisonment for
respondent's second or subsequent  | 
 violation of a protective order  | 
 unless the court explicitly finds that an increased  | 
 penalty or that
period of imprisonment would be manifestly  | 
 unjust.
 | 
  (4) In addition to any other penalties imposed for a  | 
 violation of a protective order, a criminal court may  | 
 consider evidence of any
violations of a protective order:
 | 
   (i) to modify the conditions of pretrial release  | 
 on an underlying
criminal charge pursuant to Section  | 
 110-6 of this Code;
 | 
   (ii) to revoke or modify an order of probation,  | 
 conditional discharge, or
supervision, pursuant to  | 
 Section 5-6-4 of the Unified Code of Corrections;
 | 
   (iii) to revoke or modify a sentence of periodic  | 
 imprisonment, pursuant
to Section 5-7-2 of the Unified  | 
 | 
 Code of Corrections.
 | 
(Source: P.A. 101-652, eff. 1-1-23; 102-184, eff. 1-1-22;  | 
102-558, eff. 8-20-21; revised 10-12-21.)
 | 
 (725 ILCS 5/122-9) | 
 (This Section may contain text from a Public Act with a  | 
delayed effective date) | 
 Sec. 122-9 123. Motion to resentence by the People. | 
 (a) The purpose of sentencing is to advance public safety  | 
through punishment, rehabilitation, and restorative justice.  | 
By providing a means to reevaluate a sentence after some time  | 
has passed, the General Assembly intends to provide the  | 
State's Attorney and the court with another tool to ensure  | 
that these purposes are achieved. | 
 (b) At any time upon the recommendation of the State's  | 
Attorney of the county in which the defendant was sentenced,  | 
the State's Attorney may petition the sentencing court or the  | 
sentencing court's successor to resentence the offender if the  | 
original sentence no longer advances the interests of justice.  | 
The sentencing court or the sentencing court's successor may  | 
resentence the offender if it finds that the original sentence  | 
no longer advances the interests of justice. | 
 (c) Upon the receipt of a petition for resentencing, the  | 
court may resentence the defendant in the same manner as if the  | 
offender had not previously been sentenced; however, the new  | 
sentence, if any, may not be greater than the initial  | 
 | 
sentence. | 
 (d) The court may consider postconviction factors,  | 
including, but not limited to, the inmate's disciplinary  | 
record and record of rehabilitation while incarcerated;  | 
evidence that reflects whether age, time served, and  | 
diminished physical condition, if any, have reduced the  | 
inmate's risk for future violence; and evidence that reflects  | 
changed circumstances since the inmate's original sentencing  | 
such that the inmate's continued incarceration no longer  | 
serves the interests of justice. Credit shall be given for  | 
time served. | 
 (e) Victims shall be afforded all rights as outlined in  | 
the Rights of Crime Victims and Witnesses Act. | 
 (f) A resentencing under this Section shall not reopen the  | 
defendant's conviction to challenges that would otherwise be  | 
barred. | 
 (g) Nothing in this Section shall be construed to limit  | 
the power of the Governor under the Constitution to grant a  | 
reprieve, commutation of sentence, or pardon. 
 | 
(Source: P.A. 102-102, eff. 1-1-22; revised 9-29-21.)
 | 
 Section 630. The Rights of Crime Victims and Witnesses Act  | 
is amended by changing Section 4.5 as follows:
 | 
 (725 ILCS 120/4.5)
 | 
 (Text of Section before amendment by P.A. 101-652) | 
 | 
 Sec. 4.5. Procedures to implement the rights of crime  | 
victims. To afford
crime victims their rights, law  | 
enforcement, prosecutors, judges, and
corrections will provide  | 
information, as appropriate, of the following
procedures:
 | 
 (a) At the request of the crime victim, law enforcement  | 
authorities
investigating the case shall provide notice of the  | 
status of the investigation,
except where the State's Attorney  | 
determines that disclosure of such
information would  | 
unreasonably interfere with the investigation, until such
time  | 
as the alleged assailant is apprehended or the investigation  | 
is closed.
 | 
 (a-5) When law enforcement authorities reopen a closed  | 
case to resume investigating, they shall provide notice of the  | 
reopening of the case, except where the State's Attorney  | 
determines that disclosure of such information would  | 
unreasonably interfere with the investigation.  | 
 (b) The office of the State's Attorney:
 | 
  (1) shall provide notice of the filing of an  | 
 information, the return of an
indictment, or the
filing of  | 
 a petition to adjudicate a minor as a delinquent for a  | 
 violent
crime;
 | 
  (2) shall provide timely notice of the date, time, and  | 
 place of court proceedings; of any change in the date,  | 
 time, and place of court proceedings; and of any  | 
 cancellation of court proceedings. Notice shall be  | 
 provided in sufficient time, wherever possible, for the  | 
 | 
 victim to
make arrangements to attend or to prevent an  | 
 unnecessary appearance at court proceedings;
 | 
  (3) or victim advocate personnel shall provide  | 
 information of social
services and financial assistance  | 
 available for victims of crime, including
information of  | 
 how to apply for these services and assistance;
 | 
  (3.5) or victim advocate personnel shall provide  | 
 information about available victim services, including  | 
 referrals to programs, counselors, and agencies that  | 
 assist a victim to deal with trauma, loss, and grief;  | 
  (4) shall assist in having any stolen or other  | 
 personal property held by
law enforcement authorities for  | 
 evidentiary or other purposes returned as
expeditiously as  | 
 possible, pursuant to the procedures set out in Section  | 
 115-9
of the Code of Criminal Procedure of 1963;
 | 
  (5) or victim advocate personnel shall provide  | 
 appropriate employer
intercession services to ensure that  | 
 employers of victims will cooperate with
the criminal  | 
 justice system in order to minimize an employee's loss of  | 
 pay and
other benefits resulting from court appearances;
 | 
  (6) shall provide, whenever possible, a secure waiting
 | 
 area during court proceedings that does not require  | 
 victims to be in close
proximity to defendants or  | 
 juveniles accused of a violent crime, and their
families  | 
 and friends;
 | 
  (7) shall provide notice to the crime victim of the  | 
 | 
 right to have a
translator present at all court  | 
 proceedings and, in compliance with the federal Americans
 | 
 with Disabilities Act of 1990, the right to communications  | 
 access through a
sign language interpreter or by other  | 
 means;
 | 
  (8) (blank);
 | 
  (8.5) shall inform the victim of the right to be  | 
 present at all court proceedings, unless the victim is to  | 
 testify and the court determines that the victim's  | 
 testimony would be materially affected if the victim hears  | 
 other testimony at trial;  | 
  (9) shall inform the victim of the right to have  | 
 present at all court
proceedings, subject to the rules of  | 
 evidence and confidentiality, an advocate and other  | 
 support
person of the victim's choice;  | 
  (9.3) shall inform the victim of the right to retain  | 
 an attorney, at the
victim's own expense, who, upon  | 
 written notice filed with the clerk of the
court and  | 
 State's Attorney, is to receive copies of all notices,  | 
 motions, and
court orders filed thereafter in the case, in  | 
 the same manner as if the victim
were a named party in the  | 
 case;
 | 
  (9.5) shall inform the victim of (A) the victim's  | 
 right under Section 6 of this Act to make a statement at  | 
 the sentencing hearing; (B) the right of the victim's  | 
 spouse, guardian, parent, grandparent, and other immediate  | 
 | 
 family and household members under Section 6 of this Act  | 
 to present a statement at sentencing; and (C) if a  | 
 presentence report is to be prepared, the right of the  | 
 victim's spouse, guardian, parent, grandparent, and other  | 
 immediate family and household members to submit  | 
 information to the preparer of the presentence report  | 
 about the effect the offense has had on the victim and the  | 
 person; | 
  (10) at the sentencing shall make a good faith attempt  | 
 to explain
the minimum amount of time during which the  | 
 defendant may actually be
physically imprisoned. The  | 
 Office of the State's Attorney shall further notify
the  | 
 crime victim of the right to request from the Prisoner  | 
 Review Board
or Department of Juvenile Justice information  | 
 concerning the release of the defendant;
 | 
  (11) shall request restitution at sentencing and as  | 
 part of a plea agreement if the victim requests  | 
 restitution;
 | 
  (12) shall, upon the court entering a verdict of not  | 
 guilty by reason of insanity, inform the victim of the  | 
 notification services available from the Department of  | 
 Human Services, including the statewide telephone number,  | 
 under subparagraph (d)(2) of this Section; 
 | 
  (13) shall provide notice within a reasonable time  | 
 after receipt of notice from
the custodian, of the release  | 
 of the defendant on bail or personal recognizance
or the  | 
 | 
 release from detention of a minor who has been detained;
 | 
  (14) shall explain in nontechnical language the  | 
 details of any plea or verdict of
a defendant, or any  | 
 adjudication of a juvenile as a delinquent;
 | 
  (15) shall make all reasonable efforts to consult with  | 
 the crime victim before the Office of
the State's Attorney  | 
 makes an offer of a plea bargain to the defendant or
enters  | 
 into negotiations with the defendant concerning a possible  | 
 plea
agreement, and shall consider the written statement,  | 
 if prepared
prior to entering into a plea agreement. The  | 
 right to consult with the prosecutor does not include the  | 
 right to veto a plea agreement or to insist the case go to  | 
 trial. If the State's Attorney has not consulted with the  | 
 victim prior to making an offer or entering into plea  | 
 negotiations with the defendant, the Office of the State's  | 
 Attorney shall notify the victim of the offer or the  | 
 negotiations within 2 business days and confer with the  | 
 victim;
 | 
  (16) shall provide notice of the ultimate disposition  | 
 of the cases arising from
an indictment or an information,  | 
 or a petition to have a juvenile adjudicated
as a  | 
 delinquent for a violent crime;
 | 
  (17) shall provide notice of any appeal taken by the  | 
 defendant and information
on how to contact the  | 
 appropriate agency handling the appeal, and how to request  | 
 notice of any hearing, oral argument, or decision of an  | 
 | 
 appellate court;
 | 
  (18) shall provide timely notice of any request for  | 
 post-conviction review filed by the
defendant under  | 
 Article 122 of the Code of Criminal Procedure of 1963, and  | 
 of
the date, time and place of any hearing concerning the  | 
 petition. Whenever
possible, notice of the hearing shall  | 
 be given within 48 hours of the court's scheduling of the  | 
 hearing; and
 | 
  (19) shall forward a copy of any statement presented  | 
 under Section 6 to the
Prisoner Review Board or Department  | 
 of Juvenile Justice to be considered in making a  | 
 determination
under Section 3-2.5-85 or subsection (b) of  | 
 Section 3-3-8 of the Unified Code of Corrections.
 | 
 (c) The court shall ensure that the rights of the victim  | 
are afforded.  | 
 (c-5) The following procedures shall be followed to afford  | 
victims the rights guaranteed by Article I, Section 8.1 of the  | 
Illinois Constitution: | 
  (1) Written notice. A victim may complete a written  | 
 notice of intent to assert rights on a form prepared by the  | 
 Office of the Attorney General and provided to the victim  | 
 by the State's Attorney. The victim may at any time  | 
 provide a revised written notice to the State's Attorney.  | 
 The State's Attorney shall file the written notice with  | 
 the court. At the beginning of any court proceeding in  | 
 which the right of a victim may be at issue, the court and  | 
 | 
 prosecutor shall review the written notice to determine  | 
 whether the victim has asserted the right that may be at  | 
 issue. | 
  (2) Victim's retained attorney. A victim's attorney  | 
 shall file an entry of appearance limited to assertion of  | 
 the victim's rights. Upon the filing of the entry of  | 
 appearance and service on the State's Attorney and the  | 
 defendant, the attorney is to receive copies of all  | 
 notices, motions and court orders filed thereafter in the  | 
 case. | 
  (3) Standing. The victim has standing to assert the  | 
 rights enumerated in subsection (a) of Article I, Section  | 
 8.1 of the Illinois Constitution and the statutory rights  | 
 under Section 4 of this Act in any court exercising  | 
 jurisdiction over the criminal case. The prosecuting  | 
 attorney, a victim, or the victim's retained attorney may  | 
 assert the victim's rights. The defendant in the criminal  | 
 case has no standing to assert a right of the victim in any  | 
 court proceeding, including on appeal. | 
  (4) Assertion of and enforcement of rights. | 
   (A) The prosecuting attorney shall assert a  | 
 victim's right or request enforcement of a right by  | 
 filing a motion or by orally asserting the right or  | 
 requesting enforcement in open court in the criminal  | 
 case outside the presence of the jury. The prosecuting  | 
 attorney shall consult with the victim and the  | 
 | 
 victim's attorney regarding the assertion or  | 
 enforcement of a right. If the prosecuting attorney  | 
 decides not to assert or enforce a victim's right, the  | 
 prosecuting attorney shall notify the victim or the  | 
 victim's attorney in sufficient time to allow the  | 
 victim or the victim's attorney to assert the right or  | 
 to seek enforcement of a right. | 
   (B) If the prosecuting attorney elects not to  | 
 assert a victim's right or to seek enforcement of a  | 
 right, the victim or the victim's attorney may assert  | 
 the victim's right or request enforcement of a right  | 
 by filing a motion or by orally asserting the right or  | 
 requesting enforcement in open court in the criminal  | 
 case outside the presence of the jury. | 
   (C) If the prosecuting attorney asserts a victim's  | 
 right or seeks enforcement of a right, and the court  | 
 denies the assertion of the right or denies the  | 
 request for enforcement of a right, the victim or  | 
 victim's attorney may file a motion to assert the  | 
 victim's right or to request enforcement of the right  | 
 within 10 days of the court's ruling. The motion need  | 
 not demonstrate the grounds for a motion for  | 
 reconsideration. The court shall rule on the merits of  | 
 the motion. | 
   (D) The court shall take up and decide any motion  | 
 or request asserting or seeking enforcement of a  | 
 | 
 victim's right without delay, unless a specific time  | 
 period is specified by law or court rule. The reasons  | 
 for any decision denying the motion or request shall  | 
 be clearly stated on the record. | 
  (5) Violation of rights and remedies.  | 
   (A) If the court determines that a victim's right  | 
 has been violated, the court shall determine the  | 
 appropriate remedy for the violation of the victim's  | 
 right by hearing from the victim and the parties,  | 
 considering all factors relevant to the issue, and  | 
 then awarding appropriate relief to the victim. | 
   (A-5) Consideration of an issue of a substantive  | 
 nature or an issue that implicates the constitutional  | 
 or statutory right of a victim at a court proceeding  | 
 labeled as a status hearing shall constitute a per se  | 
 violation of a victim's right.  | 
   (B) The appropriate remedy shall include only  | 
 actions necessary to provide the victim the right to  | 
 which the victim was entitled and may include  | 
 reopening previously held proceedings; however, in no  | 
 event shall the court vacate a conviction. Any remedy  | 
 shall be tailored to provide the victim an appropriate  | 
 remedy without violating any constitutional right of  | 
 the defendant. In no event shall the appropriate  | 
 remedy be a new trial, damages, or costs. | 
  (6) Right to be heard. Whenever a victim has the right  | 
 | 
 to be heard, the court shall allow the victim to exercise  | 
 the right in any reasonable manner the victim chooses. | 
  (7) Right to attend trial. A party must file a written  | 
 motion to exclude a victim from trial at least 60 days  | 
 prior to the date set for trial. The motion must state with  | 
 specificity the reason exclusion is necessary to protect a  | 
 constitutional right of the party, and must contain an  | 
 offer of proof. The court shall rule on the motion within  | 
 30 days. If the motion is granted, the court shall set  | 
 forth on the record the facts that support its finding  | 
 that the victim's testimony will be materially affected if  | 
 the victim hears other testimony at trial. | 
  (8) Right to have advocate and support person present  | 
 at court proceedings. | 
   (A) A party who intends to call an advocate as a  | 
 witness at trial must seek permission of the court  | 
 before the subpoena is issued. The party must file a  | 
 written motion at least 90 days before trial that sets  | 
 forth specifically the issues on which the advocate's  | 
 testimony is sought and an offer of proof regarding  | 
 (i) the content of the anticipated testimony of the  | 
 advocate; and (ii) the relevance, admissibility, and  | 
 materiality of the anticipated testimony. The court  | 
 shall consider the motion and make findings within 30  | 
 days of the filing of the motion. If the court finds by  | 
 a preponderance of the evidence that: (i) the  | 
 | 
 anticipated testimony is not protected by an absolute  | 
 privilege; and (ii) the anticipated testimony contains  | 
 relevant, admissible, and material evidence that is  | 
 not available through other witnesses or evidence, the  | 
 court shall issue a subpoena requiring the advocate to  | 
 appear to testify at an in camera hearing. The  | 
 prosecuting attorney and the victim shall have 15 days  | 
 to seek appellate review before the advocate is  | 
 required to testify at an ex parte in camera  | 
 proceeding.  | 
   The prosecuting attorney, the victim, and the  | 
 advocate's attorney shall be allowed to be present at  | 
 the ex parte in camera proceeding. If, after  | 
 conducting the ex parte in camera hearing, the court  | 
 determines that due process requires any testimony  | 
 regarding confidential or privileged information or  | 
 communications, the court shall provide to the  | 
 prosecuting attorney, the victim, and the advocate's  | 
 attorney a written memorandum on the substance of the  | 
 advocate's testimony. The prosecuting attorney, the  | 
 victim, and the advocate's attorney shall have 15 days  | 
 to seek appellate review before a subpoena may be  | 
 issued for the advocate to testify at trial. The  | 
 presence of the prosecuting attorney at the ex parte  | 
 in camera proceeding does not make the substance of  | 
 the advocate's testimony that the court has ruled  | 
 | 
 inadmissible subject to discovery. | 
   (B) If a victim has asserted the right to have a  | 
 support person present at the court proceedings, the  | 
 victim shall provide the name of the person the victim  | 
 has chosen to be the victim's support person to the  | 
 prosecuting attorney, within 60 days of trial. The  | 
 prosecuting attorney shall provide the name to the  | 
 defendant. If the defendant intends to call the  | 
 support person as a witness at trial, the defendant  | 
 must seek permission of the court before a subpoena is  | 
 issued. The defendant must file a written motion at  | 
 least 45 days prior to trial that sets forth  | 
 specifically the issues on which the support person  | 
 will testify and an offer of proof regarding: (i) the  | 
 content of the anticipated testimony of the support  | 
 person; and (ii) the relevance, admissibility, and  | 
 materiality of the anticipated testimony. | 
   If the prosecuting attorney intends to call the  | 
 support person as a witness during the State's  | 
 case-in-chief, the prosecuting attorney shall inform  | 
 the court of this intent in the response to the  | 
 defendant's written motion. The victim may choose a  | 
 different person to be the victim's support person.  | 
 The court may allow the defendant to inquire about  | 
 matters outside the scope of the direct examination  | 
 during cross-examination. If the court allows the  | 
 | 
 defendant to do so, the support person shall be  | 
 allowed to remain in the courtroom after the support  | 
 person has testified. A defendant who fails to  | 
 question the support person about matters outside the  | 
 scope of direct examination during the State's  | 
 case-in-chief waives the right to challenge the  | 
 presence of the support person on appeal. The court  | 
 shall allow the support person to testify if called as  | 
 a witness in the defendant's case-in-chief or the  | 
 State's rebuttal. | 
   If the court does not allow the defendant to  | 
 inquire about matters outside the scope of the direct  | 
 examination, the support person shall be allowed to  | 
 remain in the courtroom after the support person has  | 
 been called by the defendant or the defendant has  | 
 rested. The court shall allow the support person to  | 
 testify in the State's rebuttal. | 
   If the prosecuting attorney does not intend to  | 
 call the support person in the State's case-in-chief,  | 
 the court shall verify with the support person whether  | 
 the support person, if called as a witness, would  | 
 testify as set forth in the offer of proof. If the  | 
 court finds that the support person would testify as  | 
 set forth in the offer of proof, the court shall rule  | 
 on the relevance, materiality, and admissibility of  | 
 the anticipated testimony. If the court rules the  | 
 | 
 anticipated testimony is admissible, the court shall  | 
 issue the subpoena. The support person may remain in  | 
 the courtroom after the support person testifies and  | 
 shall be allowed to testify in rebuttal. | 
   If the court excludes the victim's support person  | 
 during the State's case-in-chief, the victim shall be  | 
 allowed to choose another support person to be present  | 
 in court.  | 
   If the victim fails to designate a support person  | 
 within 60 days of trial and the defendant has  | 
 subpoenaed the support person to testify at trial, the  | 
 court may exclude the support person from the trial  | 
 until the support person testifies. If the court  | 
 excludes the support person the victim may choose  | 
 another person as a support person.  | 
  (9) Right to notice and hearing before disclosure of  | 
 confidential or privileged information or records. A  | 
 defendant who seeks to subpoena records of or concerning  | 
 the victim that are confidential or privileged by law must  | 
 seek permission of the court before the subpoena is  | 
 issued. The defendant must file a written motion and an  | 
 offer of proof regarding the relevance, admissibility and  | 
 materiality of the records. If the court finds by a  | 
 preponderance of the evidence that: (A) the records are  | 
 not protected by an absolute privilege and (B) the records  | 
 contain relevant, admissible, and material evidence that  | 
 | 
 is not available through other witnesses or evidence, the  | 
 court shall issue a subpoena requiring a sealed copy of  | 
 the records be delivered to the court to be reviewed in  | 
 camera. If, after conducting an in camera review of the  | 
 records, the court determines that due process requires  | 
 disclosure of any portion of the records, the court shall  | 
 provide copies of what it intends to disclose to the  | 
 prosecuting attorney and the victim. The prosecuting  | 
 attorney and the victim shall have 30 days to seek  | 
 appellate review before the records are disclosed to the  | 
 defendant. The disclosure of copies of any portion of the  | 
 records to the prosecuting attorney does not make the  | 
 records subject to discovery. | 
  (10) Right to notice of court proceedings. If the  | 
 victim is not present at a court proceeding in which a  | 
 right of the victim is at issue, the court shall ask the  | 
 prosecuting attorney whether the victim was notified of  | 
 the time, place, and purpose of the court proceeding and  | 
 that the victim had a right to be heard at the court  | 
 proceeding. If the court determines that timely notice was  | 
 not given or that the victim was not adequately informed  | 
 of the nature of the court proceeding, the court shall not  | 
 rule on any substantive issues, accept a plea, or impose a  | 
 sentence and shall continue the hearing for the time  | 
 necessary to notify the victim of the time, place and  | 
 nature of the court proceeding. The time between court  | 
 | 
 proceedings shall not be attributable to the State under  | 
 Section 103-5 of the Code of Criminal Procedure of 1963. | 
  (11) Right to timely disposition of the case. A victim  | 
 has the right to timely disposition of the case so as to  | 
 minimize the stress, cost, and inconvenience resulting  | 
 from the victim's involvement in the case. Before ruling  | 
 on a motion to continue trial or other court proceeding,  | 
 the court shall inquire into the circumstances for the  | 
 request for the delay and, if the victim has provided  | 
 written notice of the assertion of the right to a timely  | 
 disposition, and whether the victim objects to the delay.  | 
 If the victim objects, the prosecutor shall inform the  | 
 court of the victim's objections. If the prosecutor has  | 
 not conferred with the victim about the continuance, the  | 
 prosecutor shall inform the court of the attempts to  | 
 confer. If the court finds the attempts of the prosecutor  | 
 to confer with the victim were inadequate to protect the  | 
 victim's right to be heard, the court shall give the  | 
 prosecutor at least 3 but not more than 5 business days to  | 
 confer with the victim. In ruling on a motion to continue,  | 
 the court shall consider the reasons for the requested  | 
 continuance, the number and length of continuances that  | 
 have been granted, the victim's objections and procedures  | 
 to avoid further delays. If a continuance is granted over  | 
 the victim's objection, the court shall specify on the  | 
 record the reasons for the continuance and the procedures  | 
 | 
 that have been or will be taken to avoid further delays. | 
  (12) Right to Restitution. | 
   (A) If the victim has asserted the right to  | 
 restitution and the amount of restitution is known at  | 
 the time of sentencing, the court shall enter the  | 
 judgment of restitution at the time of sentencing.  | 
   (B) If the victim has asserted the right to  | 
 restitution and the amount of restitution is not known  | 
 at the time of sentencing, the prosecutor shall,  | 
 within 5 days after sentencing, notify the victim what  | 
 information and documentation related to restitution  | 
 is needed and that the information and documentation  | 
 must be provided to the prosecutor within 45 days  | 
 after sentencing. Failure to timely provide  | 
 information and documentation related to restitution  | 
 shall be deemed a waiver of the right to restitution.  | 
 The prosecutor shall file and serve within 60 days  | 
 after sentencing a proposed judgment for restitution  | 
 and a notice that includes information concerning the  | 
 identity of any victims or other persons seeking  | 
 restitution, whether any victim or other person  | 
 expressly declines restitution, the nature and amount  | 
 of any damages together with any supporting  | 
 documentation, a restitution amount recommendation,  | 
 and the names of any co-defendants and their case  | 
 numbers. Within 30 days after receipt of the proposed  | 
 | 
 judgment for restitution, the defendant shall file any  | 
 objection to the proposed judgment, a statement of  | 
 grounds for the objection, and a financial statement.  | 
 If the defendant does not file an objection, the court  | 
 may enter the judgment for restitution without further  | 
 proceedings. If the defendant files an objection and  | 
 either party requests a hearing, the court shall  | 
 schedule a hearing.  | 
  (13) Access to presentence reports. | 
   (A) The victim may request a copy of the  | 
 presentence report prepared under the Unified Code of  | 
 Corrections from the State's Attorney. The State's  | 
 Attorney shall redact the following information before  | 
 providing a copy of the report: | 
    (i) the defendant's mental history and  | 
 condition; | 
    (ii) any evaluation prepared under subsection  | 
 (b) or (b-5) of Section 5-3-2; and | 
    (iii) the name, address, phone number, and  | 
 other personal information about any other victim. | 
   (B) The State's Attorney or the defendant may  | 
 request the court redact other information in the  | 
 report that may endanger the safety of any person. | 
   (C) The State's Attorney may orally disclose to  | 
 the victim any of the information that has been  | 
 redacted if there is a reasonable likelihood that the  | 
 | 
 information will be stated in court at the sentencing. | 
   (D) The State's Attorney must advise the victim  | 
 that the victim must maintain the confidentiality of  | 
 the report and other information. Any dissemination of  | 
 the report or information that was not stated at a  | 
 court proceeding constitutes indirect criminal  | 
 contempt of court.  | 
  (14) Appellate relief. If the trial court denies the  | 
 relief requested, the victim, the victim's attorney, or  | 
 the prosecuting attorney may file an appeal within 30 days  | 
 of the trial court's ruling. The trial or appellate court  | 
 may stay the court proceedings if the court finds that a  | 
 stay would not violate a constitutional right of the  | 
 defendant. If the appellate court denies the relief  | 
 sought, the reasons for the denial shall be clearly stated  | 
 in a written opinion. In any appeal in a criminal case, the  | 
 State may assert as error the court's denial of any crime  | 
 victim's right in the proceeding to which the appeal  | 
 relates. | 
  (15) Limitation on appellate relief. In no case shall  | 
 an appellate court provide a new trial to remedy the  | 
 violation of a victim's right.  | 
  (16) The right to be reasonably protected from the  | 
 accused throughout the criminal justice process and the  | 
 right to have the safety of the victim and the victim's  | 
 family considered in denying or fixing the amount of bail,  | 
 | 
 determining whether to release the defendant, and setting  | 
 conditions of release after arrest and conviction. A  | 
 victim of domestic violence, a sexual offense, or stalking  | 
 may request the entry of a protective order under Article  | 
 112A of the Code of Criminal Procedure of 1963.  | 
 (d) Procedures after the imposition of sentence. | 
  (1) The Prisoner Review Board shall inform a victim or  | 
 any other
concerned citizen, upon written request, of the  | 
 prisoner's release on parole,
mandatory supervised  | 
 release, electronic detention, work release, international  | 
 transfer or exchange, or by the
custodian, other than the  | 
 Department of Juvenile Justice, of the discharge of any  | 
 individual who was adjudicated a delinquent
for a crime  | 
 from State custody and by the sheriff of the appropriate
 | 
 county of any such person's final discharge from county  | 
 custody.
The Prisoner Review Board, upon written request,  | 
 shall provide to a victim or
any other concerned citizen a  | 
 recent photograph of any person convicted of a
felony,  | 
 upon his or her release from custody.
The Prisoner
Review  | 
 Board, upon written request, shall inform a victim or any  | 
 other
concerned citizen when feasible at least 7 days  | 
 prior to the prisoner's release
on furlough of the times  | 
 and dates of such furlough. Upon written request by
the  | 
 victim or any other concerned citizen, the State's  | 
 Attorney shall notify
the person once of the times and  | 
 dates of release of a prisoner sentenced to
periodic  | 
 | 
 imprisonment. Notification shall be based on the most  | 
 recent
information as to the victim's or other concerned  | 
 citizen's residence or other
location available to the  | 
 notifying authority.
 | 
  (2) When the defendant has been committed to the  | 
 Department of
Human Services pursuant to Section 5-2-4 or  | 
 any other
provision of the Unified Code of Corrections,  | 
 the victim may request to be
notified by the releasing  | 
 authority of the approval by the court of an on-grounds  | 
 pass, a supervised off-grounds pass, an unsupervised  | 
 off-grounds pass, or conditional release; the release on  | 
 an off-grounds pass; the return from an off-grounds pass;  | 
 transfer to another facility; conditional release; escape;  | 
 death; or final discharge from State
custody. The  | 
 Department of Human Services shall establish and maintain  | 
 a statewide telephone number to be used by victims to make  | 
 notification requests under these provisions and shall  | 
 publicize this telephone number on its website and to the  | 
 State's Attorney of each county.
 | 
  (3) In the event of an escape from State custody, the  | 
 Department of
Corrections or the Department of Juvenile  | 
 Justice immediately shall notify the Prisoner Review Board  | 
 of the escape
and the Prisoner Review Board shall notify  | 
 the victim. The notification shall
be based upon the most  | 
 recent information as to the victim's residence or other
 | 
 location available to the Board. When no such information  | 
 | 
 is available, the
Board shall make all reasonable efforts  | 
 to obtain the information and make
the notification. When  | 
 the escapee is apprehended, the Department of
Corrections  | 
 or the Department of Juvenile Justice immediately shall  | 
 notify the Prisoner Review Board and the Board
shall  | 
 notify the victim.
 | 
  (4) The victim of the crime for which the prisoner has  | 
 been sentenced
has the right to register with the Prisoner  | 
 Review Board's victim registry. Victims registered with  | 
 the Board shall receive reasonable written notice not less  | 
 than 30 days prior to the
parole hearing or target  | 
 aftercare release date. The victim has the right to submit  | 
 a victim statement for consideration by the Prisoner  | 
 Review Board or the Department of Juvenile Justice in  | 
 writing, on film, videotape, or other electronic means, or  | 
 in the form of a recording prior to the parole hearing or  | 
 target aftercare release date, or in person at the parole  | 
 hearing or aftercare release protest hearing, or by  | 
 calling the toll-free number established in subsection (f)  | 
 of this Section. The
victim shall be notified within 7  | 
 days after the prisoner has been granted
parole or  | 
 aftercare release and shall be informed of the right to  | 
 inspect the registry of parole
decisions, established  | 
 under subsection (g) of Section 3-3-5 of the Unified
Code  | 
 of Corrections. The provisions of this paragraph (4) are  | 
 subject to the
Open Parole Hearings Act. Victim statements  | 
 | 
 provided to the Board shall be confidential and  | 
 privileged, including any statements received prior to  | 
 January 1, 2020 (the effective date of Public Act  | 
 101-288), except if the statement was an oral statement  | 
 made by the victim at a hearing open to the public.
 | 
  (4-1) The crime victim has the right to submit a  | 
 victim statement for consideration by the Prisoner Review  | 
 Board or the Department of Juvenile Justice prior to or at  | 
 a hearing to determine the conditions of mandatory  | 
 supervised release of a person sentenced to a determinate  | 
 sentence or at a hearing on revocation of mandatory  | 
 supervised release of a person sentenced to a determinate  | 
 sentence. A victim statement may be submitted in writing,  | 
 on film, videotape, or other electronic means, or in the  | 
 form of a recording, or orally at a hearing, or by calling  | 
 the toll-free number established in subsection (f) of this  | 
 Section. Victim statements provided to the Board shall be  | 
 confidential and privileged, including any statements  | 
 received prior to January 1, 2020 (the effective date of  | 
 Public Act 101-288), except if the statement was an oral  | 
 statement made by the victim at a hearing open to the  | 
 public.  | 
  (4-2) The crime victim has the right to submit a  | 
 victim statement to the Prisoner Review Board for  | 
 consideration at an executive clemency hearing as provided  | 
 in Section 3-3-13 of the Unified Code of Corrections. A  | 
 | 
 victim statement may be submitted in writing, on film,  | 
 videotape, or other electronic means, or in the form of a  | 
 recording prior to a hearing, or orally at a hearing, or by  | 
 calling the toll-free number established in subsection (f)  | 
 of this Section. Victim statements provided to the Board  | 
 shall be confidential and privileged, including any  | 
 statements received prior to January 1, 2020 (the  | 
 effective date of Public Act 101-288), except if the  | 
 statement was an oral statement made by the victim at a  | 
 hearing open to the public.  | 
  (5) If a statement is presented under Section 6, the  | 
 Prisoner Review Board or Department of Juvenile Justice
 | 
 shall inform the victim of any order of discharge pursuant
 | 
 to Section 3-2.5-85 or 3-3-8 of the Unified Code of  | 
 Corrections.
 | 
  (6) At the written or oral request of the victim of the  | 
 crime for which the
prisoner was sentenced or the State's  | 
 Attorney of the county where the person seeking parole or  | 
 aftercare release was prosecuted, the Prisoner Review  | 
 Board or Department of Juvenile Justice shall notify the  | 
 victim and the State's Attorney of the county where the  | 
 person seeking parole or aftercare release was prosecuted  | 
 of
the death of the prisoner if the prisoner died while on  | 
 parole or aftercare release or mandatory
supervised  | 
 release.
 | 
  (7) When a defendant who has been committed to the  | 
 | 
 Department of
Corrections, the Department of Juvenile  | 
 Justice, or the Department of Human Services is released  | 
 or discharged and
subsequently committed to the Department  | 
 of Human Services as a sexually
violent person and the  | 
 victim had requested to be notified by the releasing
 | 
 authority of the defendant's discharge, conditional  | 
 release, death, or escape from State custody, the  | 
 releasing
authority shall provide to the Department of  | 
 Human Services such information
that would allow the  | 
 Department of Human Services to contact the victim.
 | 
  (8) When a defendant has been convicted of a sex  | 
 offense as defined in Section 2 of the Sex Offender  | 
 Registration Act and has been sentenced to the Department  | 
 of Corrections or the Department of Juvenile Justice, the  | 
 Prisoner Review Board or the Department of Juvenile  | 
 Justice shall notify the victim of the sex offense of the  | 
 prisoner's eligibility for release on parole, aftercare  | 
 release,
mandatory supervised release, electronic  | 
 detention, work release, international transfer or  | 
 exchange, or by the
custodian of the discharge of any  | 
 individual who was adjudicated a delinquent
for a sex  | 
 offense from State custody and by the sheriff of the  | 
 appropriate
county of any such person's final discharge  | 
 from county custody. The notification shall be made to the  | 
 victim at least 30 days, whenever possible, before release  | 
 of the sex offender.  | 
 | 
 (e) The officials named in this Section may satisfy some  | 
or all of their
obligations to provide notices and other  | 
information through participation in a
statewide victim and  | 
witness notification system established by the Attorney
 | 
General under Section 8.5 of this Act.
 | 
 (f) The Prisoner Review Board
shall establish a toll-free  | 
number that may be accessed by the crime victim to present a  | 
victim statement to the Board in accordance with paragraphs  | 
(4), (4-1), and (4-2) of subsection (d).
 | 
(Source: P.A. 101-81, eff. 7-12-19; 101-288, eff. 1-1-20;  | 
102-22, eff. 6-25-21; 102-558, eff. 8-20-21; revised  | 
12-13-21.)
 | 
 (Text of Section after amendment by P.A. 101-652) | 
 Sec. 4.5. Procedures to implement the rights of crime  | 
victims. To afford
crime victims their rights, law  | 
enforcement, prosecutors, judges, and
corrections will provide  | 
information, as appropriate, of the following
procedures:
 | 
 (a) At the request of the crime victim, law enforcement  | 
authorities
investigating the case shall provide notice of the  | 
status of the investigation,
except where the State's Attorney  | 
determines that disclosure of such
information would  | 
unreasonably interfere with the investigation, until such
time  | 
as the alleged assailant is apprehended or the investigation  | 
is closed.
 | 
 (a-5) When law enforcement authorities reopen a closed  | 
 | 
case to resume investigating, they shall provide notice of the  | 
reopening of the case, except where the State's Attorney  | 
determines that disclosure of such information would  | 
unreasonably interfere with the investigation.  | 
 (b) The office of the State's Attorney:
 | 
  (1) shall provide notice of the filing of an  | 
 information, the return of an
indictment, or the
filing of  | 
 a petition to adjudicate a minor as a delinquent for a  | 
 violent
crime;
 | 
  (2) shall provide timely notice of the date, time, and  | 
 place of court proceedings; of any change in the date,  | 
 time, and place of court proceedings; and of any  | 
 cancellation of court proceedings. Notice shall be  | 
 provided in sufficient time, wherever possible, for the  | 
 victim to
make arrangements to attend or to prevent an  | 
 unnecessary appearance at court proceedings;
 | 
  (3) or victim advocate personnel shall provide  | 
 information of social
services and financial assistance  | 
 available for victims of crime, including
information of  | 
 how to apply for these services and assistance;
 | 
  (3.5) or victim advocate personnel shall provide  | 
 information about available victim services, including  | 
 referrals to programs, counselors, and agencies that  | 
 assist a victim to deal with trauma, loss, and grief;  | 
  (4) shall assist in having any stolen or other  | 
 personal property held by
law enforcement authorities for  | 
 | 
 evidentiary or other purposes returned as
expeditiously as  | 
 possible, pursuant to the procedures set out in Section  | 
 115-9
of the Code of Criminal Procedure of 1963;
 | 
  (5) or victim advocate personnel shall provide  | 
 appropriate employer
intercession services to ensure that  | 
 employers of victims will cooperate with
the criminal  | 
 justice system in order to minimize an employee's loss of  | 
 pay and
other benefits resulting from court appearances;
 | 
  (6) shall provide, whenever possible, a secure waiting
 | 
 area during court proceedings that does not require  | 
 victims to be in close
proximity to defendants or  | 
 juveniles accused of a violent crime, and their
families  | 
 and friends;
 | 
  (7) shall provide notice to the crime victim of the  | 
 right to have a
translator present at all court  | 
 proceedings and, in compliance with the federal Americans
 | 
 with Disabilities Act of 1990, the right to communications  | 
 access through a
sign language interpreter or by other  | 
 means;
 | 
  (8) (blank);
 | 
  (8.5) shall inform the victim of the right to be  | 
 present at all court proceedings, unless the victim is to  | 
 testify and the court determines that the victim's  | 
 testimony would be materially affected if the victim hears  | 
 other testimony at trial;  | 
  (9) shall inform the victim of the right to have  | 
 | 
 present at all court
proceedings, subject to the rules of  | 
 evidence and confidentiality, an advocate and other  | 
 support
person of the victim's choice;  | 
  (9.3) shall inform the victim of the right to retain  | 
 an attorney, at the
victim's own expense, who, upon  | 
 written notice filed with the clerk of the
court and  | 
 State's Attorney, is to receive copies of all notices,  | 
 motions, and
court orders filed thereafter in the case, in  | 
 the same manner as if the victim
were a named party in the  | 
 case;
 | 
  (9.5) shall inform the victim of (A) the victim's  | 
 right under Section 6 of this Act to make a statement at  | 
 the sentencing hearing; (B) the right of the victim's  | 
 spouse, guardian, parent, grandparent, and other immediate  | 
 family and household members under Section 6 of this Act  | 
 to present a statement at sentencing; and (C) if a  | 
 presentence report is to be prepared, the right of the  | 
 victim's spouse, guardian, parent, grandparent, and other  | 
 immediate family and household members to submit  | 
 information to the preparer of the presentence report  | 
 about the effect the offense has had on the victim and the  | 
 person; | 
  (10) at the sentencing shall make a good faith attempt  | 
 to explain
the minimum amount of time during which the  | 
 defendant may actually be
physically imprisoned. The  | 
 Office of the State's Attorney shall further notify
the  | 
 | 
 crime victim of the right to request from the Prisoner  | 
 Review Board
or Department of Juvenile Justice information  | 
 concerning the release of the defendant;
 | 
  (11) shall request restitution at sentencing and as  | 
 part of a plea agreement if the victim requests  | 
 restitution;
 | 
  (12) shall, upon the court entering a verdict of not  | 
 guilty by reason of insanity, inform the victim of the  | 
 notification services available from the Department of  | 
 Human Services, including the statewide telephone number,  | 
 under subparagraph (d)(2) of this Section; 
 | 
  (13) shall provide notice within a reasonable time  | 
 after receipt of notice from
the custodian, of the release  | 
 of the defendant on pretrial release or personal  | 
 recognizance
or the release from detention of a minor who  | 
 has been detained;
 | 
  (14) shall explain in nontechnical language the  | 
 details of any plea or verdict of
a defendant, or any  | 
 adjudication of a juvenile as a delinquent;
 | 
  (15) shall make all reasonable efforts to consult with  | 
 the crime victim before the Office of
the State's Attorney  | 
 makes an offer of a plea bargain to the defendant or
enters  | 
 into negotiations with the defendant concerning a possible  | 
 plea
agreement, and shall consider the written statement,  | 
 if prepared
prior to entering into a plea agreement. The  | 
 right to consult with the prosecutor does not include the  | 
 | 
 right to veto a plea agreement or to insist the case go to  | 
 trial. If the State's Attorney has not consulted with the  | 
 victim prior to making an offer or entering into plea  | 
 negotiations with the defendant, the Office of the State's  | 
 Attorney shall notify the victim of the offer or the  | 
 negotiations within 2 business days and confer with the  | 
 victim;
 | 
  (16) shall provide notice of the ultimate disposition  | 
 of the cases arising from
an indictment or an information,  | 
 or a petition to have a juvenile adjudicated
as a  | 
 delinquent for a violent crime;
 | 
  (17) shall provide notice of any appeal taken by the  | 
 defendant and information
on how to contact the  | 
 appropriate agency handling the appeal, and how to request  | 
 notice of any hearing, oral argument, or decision of an  | 
 appellate court;
 | 
  (18) shall provide timely notice of any request for  | 
 post-conviction review filed by the
defendant under  | 
 Article 122 of the Code of Criminal Procedure of 1963, and  | 
 of
the date, time and place of any hearing concerning the  | 
 petition. Whenever
possible, notice of the hearing shall  | 
 be given within 48 hours of the court's scheduling of the  | 
 hearing;
 | 
  (19) shall forward a copy of any statement presented  | 
 under Section 6 to the
Prisoner Review Board or Department  | 
 of Juvenile Justice to be considered in making a  | 
 | 
 determination
under Section 3-2.5-85 or subsection (b) of  | 
 Section 3-3-8 of the Unified Code of Corrections;
 | 
  (20) shall, within a reasonable time, offer to
meet  | 
 with the crime victim regarding the decision of the
 | 
 State's Attorney not to charge an offense, and shall meet
 | 
 with the victim, if the victim agrees. The victim has a
 | 
 right to have an attorney, advocate, and other support
 | 
 person of the victim's choice attend this meeting with the
 | 
 victim; and | 
  (21) shall give the crime victim timely notice of any  | 
 decision not to pursue charges and consider the safety of  | 
 the victim when deciding how to give such notice.  | 
 (c) The court shall ensure that the rights of the victim  | 
are afforded.  | 
 (c-5) The following procedures shall be followed to afford  | 
victims the rights guaranteed by Article I, Section 8.1 of the  | 
Illinois Constitution: | 
  (1) Written notice. A victim may complete a written  | 
 notice of intent to assert rights on a form prepared by the  | 
 Office of the Attorney General and provided to the victim  | 
 by the State's Attorney. The victim may at any time  | 
 provide a revised written notice to the State's Attorney.  | 
 The State's Attorney shall file the written notice with  | 
 the court. At the beginning of any court proceeding in  | 
 which the right of a victim may be at issue, the court and  | 
 prosecutor shall review the written notice to determine  | 
 | 
 whether the victim has asserted the right that may be at  | 
 issue. | 
  (2) Victim's retained attorney. A victim's attorney  | 
 shall file an entry of appearance limited to assertion of  | 
 the victim's rights. Upon the filing of the entry of  | 
 appearance and service on the State's Attorney and the  | 
 defendant, the attorney is to receive copies of all  | 
 notices, motions and court orders filed thereafter in the  | 
 case. | 
  (3) Standing. The victim has standing to assert the  | 
 rights enumerated in subsection (a) of Article I, Section  | 
 8.1 of the Illinois Constitution and the statutory rights  | 
 under Section 4 of this Act in any court exercising  | 
 jurisdiction over the criminal case. The prosecuting  | 
 attorney, a victim, or the victim's retained attorney may  | 
 assert the victim's rights. The defendant in the criminal  | 
 case has no standing to assert a right of the victim in any  | 
 court proceeding, including on appeal. | 
  (4) Assertion of and enforcement of rights. | 
   (A) The prosecuting attorney shall assert a  | 
 victim's right or request enforcement of a right by  | 
 filing a motion or by orally asserting the right or  | 
 requesting enforcement in open court in the criminal  | 
 case outside the presence of the jury. The prosecuting  | 
 attorney shall consult with the victim and the  | 
 victim's attorney regarding the assertion or  | 
 | 
 enforcement of a right. If the prosecuting attorney  | 
 decides not to assert or enforce a victim's right, the  | 
 prosecuting attorney shall notify the victim or the  | 
 victim's attorney in sufficient time to allow the  | 
 victim or the victim's attorney to assert the right or  | 
 to seek enforcement of a right. | 
   (B) If the prosecuting attorney elects not to  | 
 assert a victim's right or to seek enforcement of a  | 
 right, the victim or the victim's attorney may assert  | 
 the victim's right or request enforcement of a right  | 
 by filing a motion or by orally asserting the right or  | 
 requesting enforcement in open court in the criminal  | 
 case outside the presence of the jury. | 
   (C) If the prosecuting attorney asserts a victim's  | 
 right or seeks enforcement of a right, unless the  | 
 prosecuting attorney objects or the trial court does  | 
 not allow it, the victim or the victim's attorney may  | 
 be heard regarding the prosecuting attorney's motion  | 
 or may file a simultaneous motion to assert or request  | 
 enforcement of the victim's right. If the victim or  | 
 the victim's attorney was not allowed to be heard at  | 
 the hearing regarding the prosecuting attorney's  | 
 motion, and the court denies the prosecuting  | 
 attorney's assertion of the right or denies the  | 
 request for enforcement of a right, the victim or  | 
 victim's attorney may file a motion to assert the  | 
 | 
 victim's right or to request enforcement of the right  | 
 within 10 days of the court's ruling. The motion need  | 
 not demonstrate the grounds for a motion for  | 
 reconsideration. The court shall rule on the merits of  | 
 the motion. | 
   (D) The court shall take up and decide any motion  | 
 or request asserting or seeking enforcement of a  | 
 victim's right without delay, unless a specific time  | 
 period is specified by law or court rule. The reasons  | 
 for any decision denying the motion or request shall  | 
 be clearly stated on the record. | 
   (E) No later than January 1, 2023, the Office of  | 
 the Attorney General shall:  | 
    (i) designate an administrative authority  | 
 within the Office of the Attorney General to  | 
 receive and investigate complaints relating to the  | 
 provision or violation of the rights of a crime  | 
 victim as described in Article I, Section 8.1 of  | 
 the Illinois Constitution and in this Act; | 
    (ii) create and administer a course of  | 
 training for employees and offices of the State of  | 
 Illinois that fail to comply with provisions of  | 
 Illinois law pertaining to the treatment of crime  | 
 victims as described in Article I, Section 8.1 of  | 
 the Illinois Constitution and in this Act as  | 
 required by the court under Section 5 of this Act;  | 
 | 
 and | 
    (iii) have the authority to make  | 
 recommendations to employees and offices of the  | 
 State of Illinois to respond more effectively to  | 
 the needs of crime victims, including regarding  | 
 the violation of the rights of a crime victim. | 
   (F) Crime victims' rights may also be asserted by
 | 
 filing a complaint for mandamus, injunctive, or
 | 
 declaratory relief in the jurisdiction in which the
 | 
 victim's right is being violated or where the crime is
 | 
 being prosecuted. For complaints or motions filed by  | 
 or on behalf of the victim, the clerk of court shall  | 
 waive
filing fees that would otherwise be owed by the  | 
 victim
for any court filing with the purpose of  | 
 enforcing crime victims' rights. If the court denies  | 
 the relief
sought by the victim, the reasons for the  | 
 denial shall
be clearly stated on the record in the  | 
 transcript of
the proceedings, in a written opinion,  | 
 or in the
docket entry, and the victim may appeal the  | 
 circuit
court's decision to the appellate court. The  | 
 court
shall issue prompt rulings regarding victims'  | 
 rights.
Proceedings seeking to enforce victims' rights  | 
 shall
not be stayed or subject to unreasonable delay  | 
 via
continuances.  | 
  (5) Violation of rights and remedies.  | 
   (A) If the court determines that a victim's right  | 
 | 
 has been violated, the court shall determine the  | 
 appropriate remedy for the violation of the victim's  | 
 right by hearing from the victim and the parties,  | 
 considering all factors relevant to the issue, and  | 
 then awarding appropriate relief to the victim. | 
   (A-5) Consideration of an issue of a substantive  | 
 nature or an issue that implicates the constitutional  | 
 or statutory right of a victim at a court proceeding  | 
 labeled as a status hearing shall constitute a per se  | 
 violation of a victim's right.  | 
   (B) The appropriate remedy shall include only  | 
 actions necessary to provide the victim the right to  | 
 which the victim was entitled. Remedies may include,  | 
 but are not limited to: injunctive relief requiring  | 
 the victim's right to be afforded; declaratory  | 
 judgment recognizing or clarifying the victim's  | 
 rights; a writ of mandamus; and may include reopening  | 
 previously held proceedings; however, in no event  | 
 shall the court vacate a conviction. Any remedy shall  | 
 be tailored to provide the victim an appropriate  | 
 remedy without violating any constitutional right of  | 
 the defendant. In no event shall the appropriate  | 
 remedy to the victim be a new trial or damages. | 
  The court shall impose a mandatory training course  | 
 provided by the Attorney General for the employee under  | 
 item (ii) of subparagraph (E) of paragraph (4), which must  | 
 | 
 be successfully completed within 6 months of the entry of  | 
 the court order. | 
  This paragraph (5) takes effect January 2, 2023. | 
  (6) Right to be heard. Whenever a victim has the right  | 
 to be heard, the court shall allow the victim to exercise  | 
 the right in any reasonable manner the victim chooses. | 
  (7) Right to attend trial. A party must file a written  | 
 motion to exclude a victim from trial at least 60 days  | 
 prior to the date set for trial. The motion must state with  | 
 specificity the reason exclusion is necessary to protect a  | 
 constitutional right of the party, and must contain an  | 
 offer of proof. The court shall rule on the motion within  | 
 30 days. If the motion is granted, the court shall set  | 
 forth on the record the facts that support its finding  | 
 that the victim's testimony will be materially affected if  | 
 the victim hears other testimony at trial. | 
  (8) Right to have advocate and support person present  | 
 at court proceedings. | 
   (A) A party who intends to call an advocate as a  | 
 witness at trial must seek permission of the court  | 
 before the subpoena is issued. The party must file a  | 
 written motion at least 90 days before trial that sets  | 
 forth specifically the issues on which the advocate's  | 
 testimony is sought and an offer of proof regarding  | 
 (i) the content of the anticipated testimony of the  | 
 advocate; and (ii) the relevance, admissibility, and  | 
 | 
 materiality of the anticipated testimony. The court  | 
 shall consider the motion and make findings within 30  | 
 days of the filing of the motion. If the court finds by  | 
 a preponderance of the evidence that: (i) the  | 
 anticipated testimony is not protected by an absolute  | 
 privilege; and (ii) the anticipated testimony contains  | 
 relevant, admissible, and material evidence that is  | 
 not available through other witnesses or evidence, the  | 
 court shall issue a subpoena requiring the advocate to  | 
 appear to testify at an in camera hearing. The  | 
 prosecuting attorney and the victim shall have 15 days  | 
 to seek appellate review before the advocate is  | 
 required to testify at an ex parte in camera  | 
 proceeding.  | 
   The prosecuting attorney, the victim, and the  | 
 advocate's attorney shall be allowed to be present at  | 
 the ex parte in camera proceeding. If, after  | 
 conducting the ex parte in camera hearing, the court  | 
 determines that due process requires any testimony  | 
 regarding confidential or privileged information or  | 
 communications, the court shall provide to the  | 
 prosecuting attorney, the victim, and the advocate's  | 
 attorney a written memorandum on the substance of the  | 
 advocate's testimony. The prosecuting attorney, the  | 
 victim, and the advocate's attorney shall have 15 days  | 
 to seek appellate review before a subpoena may be  | 
 | 
 issued for the advocate to testify at trial. The  | 
 presence of the prosecuting attorney at the ex parte  | 
 in camera proceeding does not make the substance of  | 
 the advocate's testimony that the court has ruled  | 
 inadmissible subject to discovery. | 
   (B) If a victim has asserted the right to have a  | 
 support person present at the court proceedings, the  | 
 victim shall provide the name of the person the victim  | 
 has chosen to be the victim's support person to the  | 
 prosecuting attorney, within 60 days of trial. The  | 
 prosecuting attorney shall provide the name to the  | 
 defendant. If the defendant intends to call the  | 
 support person as a witness at trial, the defendant  | 
 must seek permission of the court before a subpoena is  | 
 issued. The defendant must file a written motion at  | 
 least 45 days prior to trial that sets forth  | 
 specifically the issues on which the support person  | 
 will testify and an offer of proof regarding: (i) the  | 
 content of the anticipated testimony of the support  | 
 person; and (ii) the relevance, admissibility, and  | 
 materiality of the anticipated testimony. | 
   If the prosecuting attorney intends to call the  | 
 support person as a witness during the State's  | 
 case-in-chief, the prosecuting attorney shall inform  | 
 the court of this intent in the response to the  | 
 defendant's written motion. The victim may choose a  | 
 | 
 different person to be the victim's support person.  | 
 The court may allow the defendant to inquire about  | 
 matters outside the scope of the direct examination  | 
 during cross-examination. If the court allows the  | 
 defendant to do so, the support person shall be  | 
 allowed to remain in the courtroom after the support  | 
 person has testified. A defendant who fails to  | 
 question the support person about matters outside the  | 
 scope of direct examination during the State's  | 
 case-in-chief waives the right to challenge the  | 
 presence of the support person on appeal. The court  | 
 shall allow the support person to testify if called as  | 
 a witness in the defendant's case-in-chief or the  | 
 State's rebuttal. | 
   If the court does not allow the defendant to  | 
 inquire about matters outside the scope of the direct  | 
 examination, the support person shall be allowed to  | 
 remain in the courtroom after the support person has  | 
 been called by the defendant or the defendant has  | 
 rested. The court shall allow the support person to  | 
 testify in the State's rebuttal. | 
   If the prosecuting attorney does not intend to  | 
 call the support person in the State's case-in-chief,  | 
 the court shall verify with the support person whether  | 
 the support person, if called as a witness, would  | 
 testify as set forth in the offer of proof. If the  | 
 | 
 court finds that the support person would testify as  | 
 set forth in the offer of proof, the court shall rule  | 
 on the relevance, materiality, and admissibility of  | 
 the anticipated testimony. If the court rules the  | 
 anticipated testimony is admissible, the court shall  | 
 issue the subpoena. The support person may remain in  | 
 the courtroom after the support person testifies and  | 
 shall be allowed to testify in rebuttal. | 
   If the court excludes the victim's support person  | 
 during the State's case-in-chief, the victim shall be  | 
 allowed to choose another support person to be present  | 
 in court.  | 
   If the victim fails to designate a support person  | 
 within 60 days of trial and the defendant has  | 
 subpoenaed the support person to testify at trial, the  | 
 court may exclude the support person from the trial  | 
 until the support person testifies. If the court  | 
 excludes the support person the victim may choose  | 
 another person as a support person.  | 
  (9) Right to notice and hearing before disclosure of  | 
 confidential or privileged information or records. | 
   (A) A defendant who seeks to subpoena testimony or  | 
 records of or concerning the victim that are  | 
 confidential or privileged by law must seek permission  | 
 of the court before the subpoena is issued. The  | 
 defendant must file a written motion and an offer of  | 
 | 
 proof regarding the relevance, admissibility and  | 
 materiality of the testimony or records. If the court  | 
 finds by a preponderance of the evidence that: | 
    (i) the testimony or records are not protected  | 
 by an absolute privilege and | 
    (ii) the testimony or records contain  | 
 relevant, admissible, and material evidence that  | 
 is not available through other witnesses or  | 
 evidence, the court shall issue a subpoena  | 
 requiring the witness to appear in camera or a  | 
 sealed copy of the records be delivered to the  | 
 court to be reviewed in camera. If, after  | 
 conducting an in camera review of the witness  | 
 statement or records, the court determines that  | 
 due process requires disclosure of any potential  | 
 testimony or any portion of the records, the court  | 
 shall provide copies of the records that it  | 
 intends to disclose to the prosecuting attorney  | 
 and the victim. The prosecuting attorney and the  | 
 victim shall have 30 days to seek appellate review  | 
 before the records are disclosed to the defendant,  | 
 used in any court proceeding, or disclosed to  | 
 anyone or in any way that would subject the  | 
 testimony or records to public review. The  | 
 disclosure of copies of any portion of the  | 
 testimony or records to the prosecuting attorney  | 
 | 
 under this Section does not make the records  | 
 subject to discovery or required to be provided to  | 
 the defendant. | 
   (B) A prosecuting attorney who seeks to subpoena  | 
 information or records concerning the victim that are  | 
 confidential or privileged by law must first request  | 
 the written consent of the crime victim. If the victim  | 
 does not provide such written consent, including where  | 
 necessary the appropriate signed document required for  | 
 waiving privilege, the prosecuting attorney must serve  | 
 the subpoena at least 21 days prior to the date a  | 
 response or appearance is required to allow the  | 
 subject of the subpoena time to file a motion to quash  | 
 or request a hearing. The prosecuting attorney must  | 
 also send a written notice to the victim at least 21  | 
 days prior to the response date to allow the victim to  | 
 file a motion or request a hearing. The notice to the  | 
 victim shall inform the victim (i) that a subpoena has  | 
 been issued for confidential information or records  | 
 concerning the victim, (ii) that the victim has the  | 
 right to request a hearing prior to the response date  | 
 of the subpoena, and (iii) how to request the hearing.  | 
 The notice to the victim shall also include a copy of  | 
 the subpoena. If requested, a hearing regarding the  | 
 subpoena shall occur before information or records are  | 
 provided to the prosecuting attorney.  | 
 | 
  (10) Right to notice of court proceedings. If the  | 
 victim is not present at a court proceeding in which a  | 
 right of the victim is at issue, the court shall ask the  | 
 prosecuting attorney whether the victim was notified of  | 
 the time, place, and purpose of the court proceeding and  | 
 that the victim had a right to be heard at the court  | 
 proceeding. If the court determines that timely notice was  | 
 not given or that the victim was not adequately informed  | 
 of the nature of the court proceeding, the court shall not  | 
 rule on any substantive issues, accept a plea, or impose a  | 
 sentence and shall continue the hearing for the time  | 
 necessary to notify the victim of the time, place and  | 
 nature of the court proceeding. The time between court  | 
 proceedings shall not be attributable to the State under  | 
 Section 103-5 of the Code of Criminal Procedure of 1963. | 
  (11) Right to timely disposition of the case. A victim  | 
 has the right to timely disposition of the case so as to  | 
 minimize the stress, cost, and inconvenience resulting  | 
 from the victim's involvement in the case. Before ruling  | 
 on a motion to continue trial or other court proceeding,  | 
 the court shall inquire into the circumstances for the  | 
 request for the delay and, if the victim has provided  | 
 written notice of the assertion of the right to a timely  | 
 disposition, and whether the victim objects to the delay.  | 
 If the victim objects, the prosecutor shall inform the  | 
 court of the victim's objections. If the prosecutor has  | 
 | 
 not conferred with the victim about the continuance, the  | 
 prosecutor shall inform the court of the attempts to  | 
 confer. If the court finds the attempts of the prosecutor  | 
 to confer with the victim were inadequate to protect the  | 
 victim's right to be heard, the court shall give the  | 
 prosecutor at least 3 but not more than 5 business days to  | 
 confer with the victim. In ruling on a motion to continue,  | 
 the court shall consider the reasons for the requested  | 
 continuance, the number and length of continuances that  | 
 have been granted, the victim's objections and procedures  | 
 to avoid further delays. If a continuance is granted over  | 
 the victim's objection, the court shall specify on the  | 
 record the reasons for the continuance and the procedures  | 
 that have been or will be taken to avoid further delays. | 
  (12) Right to Restitution. | 
   (A) If the victim has asserted the right to  | 
 restitution and the amount of restitution is known at  | 
 the time of sentencing, the court shall enter the  | 
 judgment of restitution at the time of sentencing.  | 
   (B) If the victim has asserted the right to  | 
 restitution and the amount of restitution is not known  | 
 at the time of sentencing, the prosecutor shall,  | 
 within 5 days after sentencing, notify the victim what  | 
 information and documentation related to restitution  | 
 is needed and that the information and documentation  | 
 must be provided to the prosecutor within 45 days  | 
 | 
 after sentencing. Failure to timely provide  | 
 information and documentation related to restitution  | 
 shall be deemed a waiver of the right to restitution.  | 
 The prosecutor shall file and serve within 60 days  | 
 after sentencing a proposed judgment for restitution  | 
 and a notice that includes information concerning the  | 
 identity of any victims or other persons seeking  | 
 restitution, whether any victim or other person  | 
 expressly declines restitution, the nature and amount  | 
 of any damages together with any supporting  | 
 documentation, a restitution amount recommendation,  | 
 and the names of any co-defendants and their case  | 
 numbers. Within 30 days after receipt of the proposed  | 
 judgment for restitution, the defendant shall file any  | 
 objection to the proposed judgment, a statement of  | 
 grounds for the objection, and a financial statement.  | 
 If the defendant does not file an objection, the court  | 
 may enter the judgment for restitution without further  | 
 proceedings. If the defendant files an objection and  | 
 either party requests a hearing, the court shall  | 
 schedule a hearing.  | 
  (13) Access to presentence reports. | 
   (A) The victim may request a copy of the  | 
 presentence report prepared under the Unified Code of  | 
 Corrections from the State's Attorney. The State's  | 
 Attorney shall redact the following information before  | 
 | 
 providing a copy of the report: | 
    (i) the defendant's mental history and  | 
 condition; | 
    (ii) any evaluation prepared under subsection  | 
 (b) or (b-5) of Section 5-3-2; and | 
    (iii) the name, address, phone number, and  | 
 other personal information about any other victim. | 
   (B) The State's Attorney or the defendant may  | 
 request the court redact other information in the  | 
 report that may endanger the safety of any person. | 
   (C) The State's Attorney may orally disclose to  | 
 the victim any of the information that has been  | 
 redacted if there is a reasonable likelihood that the  | 
 information will be stated in court at the sentencing. | 
   (D) The State's Attorney must advise the victim  | 
 that the victim must maintain the confidentiality of  | 
 the report and other information. Any dissemination of  | 
 the report or information that was not stated at a  | 
 court proceeding constitutes indirect criminal  | 
 contempt of court.  | 
  (14) Appellate relief. If the trial court denies the  | 
 relief requested, the victim, the victim's attorney, or  | 
 the prosecuting attorney may file an appeal within 30 days  | 
 of the trial court's ruling. The trial or appellate court  | 
 may stay the court proceedings if the court finds that a  | 
 stay would not violate a constitutional right of the  | 
 | 
 defendant. If the appellate court denies the relief  | 
 sought, the reasons for the denial shall be clearly stated  | 
 in a written opinion. In any appeal in a criminal case, the  | 
 State may assert as error the court's denial of any crime  | 
 victim's right in the proceeding to which the appeal  | 
 relates. | 
  (15) Limitation on appellate relief. In no case shall  | 
 an appellate court provide a new trial to remedy the  | 
 violation of a victim's right.  | 
  (16) The right to be reasonably protected from the  | 
 accused throughout the criminal justice process and the  | 
 right to have the safety of the victim and the victim's  | 
 family considered in determining whether to release the  | 
 defendant, and setting conditions of release after arrest  | 
 and conviction. A victim of domestic violence, a sexual  | 
 offense, or stalking may request the entry of a protective  | 
 order under Article 112A of the Code of Criminal Procedure  | 
 of 1963.  | 
 (d) Procedures after the imposition of sentence. | 
  (1) The Prisoner Review Board shall inform a victim or  | 
 any other
concerned citizen, upon written request, of the  | 
 prisoner's release on parole,
mandatory supervised  | 
 release, electronic detention, work release, international  | 
 transfer or exchange, or by the
custodian, other than the  | 
 Department of Juvenile Justice, of the discharge of any  | 
 individual who was adjudicated a delinquent
for a crime  | 
 | 
 from State custody and by the sheriff of the appropriate
 | 
 county of any such person's final discharge from county  | 
 custody.
The Prisoner Review Board, upon written request,  | 
 shall provide to a victim or
any other concerned citizen a  | 
 recent photograph of any person convicted of a
felony,  | 
 upon his or her release from custody.
The Prisoner
Review  | 
 Board, upon written request, shall inform a victim or any  | 
 other
concerned citizen when feasible at least 7 days  | 
 prior to the prisoner's release
on furlough of the times  | 
 and dates of such furlough. Upon written request by
the  | 
 victim or any other concerned citizen, the State's  | 
 Attorney shall notify
the person once of the times and  | 
 dates of release of a prisoner sentenced to
periodic  | 
 imprisonment. Notification shall be based on the most  | 
 recent
information as to the victim's or other concerned  | 
 citizen's residence or other
location available to the  | 
 notifying authority.
 | 
  (2) When the defendant has been committed to the  | 
 Department of
Human Services pursuant to Section 5-2-4 or  | 
 any other
provision of the Unified Code of Corrections,  | 
 the victim may request to be
notified by the releasing  | 
 authority of the approval by the court of an on-grounds  | 
 pass, a supervised off-grounds pass, an unsupervised  | 
 off-grounds pass, or conditional release; the release on  | 
 an off-grounds pass; the return from an off-grounds pass;  | 
 transfer to another facility; conditional release; escape;  | 
 | 
 death; or final discharge from State
custody. The  | 
 Department of Human Services shall establish and maintain  | 
 a statewide telephone number to be used by victims to make  | 
 notification requests under these provisions and shall  | 
 publicize this telephone number on its website and to the  | 
 State's Attorney of each county.
 | 
  (3) In the event of an escape from State custody, the  | 
 Department of
Corrections or the Department of Juvenile  | 
 Justice immediately shall notify the Prisoner Review Board  | 
 of the escape
and the Prisoner Review Board shall notify  | 
 the victim. The notification shall
be based upon the most  | 
 recent information as to the victim's residence or other
 | 
 location available to the Board. When no such information  | 
 is available, the
Board shall make all reasonable efforts  | 
 to obtain the information and make
the notification. When  | 
 the escapee is apprehended, the Department of
Corrections  | 
 or the Department of Juvenile Justice immediately shall  | 
 notify the Prisoner Review Board and the Board
shall  | 
 notify the victim.
 | 
  (4) The victim of the crime for which the prisoner has  | 
 been sentenced
has the right to register with the Prisoner  | 
 Review Board's victim registry. Victims registered with  | 
 the Board shall receive reasonable written notice not less  | 
 than 30 days prior to the
parole hearing or target  | 
 aftercare release date. The victim has the right to submit  | 
 a victim statement for consideration by the Prisoner  | 
 | 
 Review Board or the Department of Juvenile Justice in  | 
 writing, on film, videotape, or other electronic means, or  | 
 in the form of a recording prior to the parole hearing or  | 
 target aftercare release date, or in person at the parole  | 
 hearing or aftercare release protest hearing, or by  | 
 calling the toll-free number established in subsection (f)  | 
 of this Section. The
victim shall be notified within 7  | 
 days after the prisoner has been granted
parole or  | 
 aftercare release and shall be informed of the right to  | 
 inspect the registry of parole
decisions, established  | 
 under subsection (g) of Section 3-3-5 of the Unified
Code  | 
 of Corrections. The provisions of this paragraph (4) are  | 
 subject to the
Open Parole Hearings Act. Victim statements  | 
 provided to the Board shall be confidential and  | 
 privileged, including any statements received prior to  | 
 January 1, 2020 (the effective date of Public Act  | 
 101-288), except if the statement was an oral statement  | 
 made by the victim at a hearing open to the public.
 | 
  (4-1) The crime victim has the right to submit a  | 
 victim statement for consideration by the Prisoner Review  | 
 Board or the Department of Juvenile Justice prior to or at  | 
 a hearing to determine the conditions of mandatory  | 
 supervised release of a person sentenced to a determinate  | 
 sentence or at a hearing on revocation of mandatory  | 
 supervised release of a person sentenced to a determinate  | 
 sentence. A victim statement may be submitted in writing,  | 
 | 
 on film, videotape, or other electronic means, or in the  | 
 form of a recording, or orally at a hearing, or by calling  | 
 the toll-free number established in subsection (f) of this  | 
 Section. Victim statements provided to the Board shall be  | 
 confidential and privileged, including any statements  | 
 received prior to January 1, 2020 (the effective date of  | 
 Public Act 101-288), except if the statement was an oral  | 
 statement made by the victim at a hearing open to the  | 
 public.  | 
  (4-2) The crime victim has the right to submit a  | 
 victim statement to the Prisoner Review Board for  | 
 consideration at an executive clemency hearing as provided  | 
 in Section 3-3-13 of the Unified Code of Corrections. A  | 
 victim statement may be submitted in writing, on film,  | 
 videotape, or other electronic means, or in the form of a  | 
 recording prior to a hearing, or orally at a hearing, or by  | 
 calling the toll-free number established in subsection (f)  | 
 of this Section. Victim statements provided to the Board  | 
 shall be confidential and privileged, including any  | 
 statements received prior to January 1, 2020 (the  | 
 effective date of Public Act 101-288), except if the  | 
 statement was an oral statement made by the victim at a  | 
 hearing open to the public.  | 
  (5) If a statement is presented under Section 6, the  | 
 Prisoner Review Board or Department of Juvenile Justice
 | 
 shall inform the victim of any order of discharge pursuant
 | 
 | 
 to Section 3-2.5-85 or 3-3-8 of the Unified Code of  | 
 Corrections.
 | 
  (6) At the written or oral request of the victim of the  | 
 crime for which the
prisoner was sentenced or the State's  | 
 Attorney of the county where the person seeking parole or  | 
 aftercare release was prosecuted, the Prisoner Review  | 
 Board or Department of Juvenile Justice shall notify the  | 
 victim and the State's Attorney of the county where the  | 
 person seeking parole or aftercare release was prosecuted  | 
 of
the death of the prisoner if the prisoner died while on  | 
 parole or aftercare release or mandatory
supervised  | 
 release.
 | 
  (7) When a defendant who has been committed to the  | 
 Department of
Corrections, the Department of Juvenile  | 
 Justice, or the Department of Human Services is released  | 
 or discharged and
subsequently committed to the Department  | 
 of Human Services as a sexually
violent person and the  | 
 victim had requested to be notified by the releasing
 | 
 authority of the defendant's discharge, conditional  | 
 release, death, or escape from State custody, the  | 
 releasing
authority shall provide to the Department of  | 
 Human Services such information
that would allow the  | 
 Department of Human Services to contact the victim.
 | 
  (8) When a defendant has been convicted of a sex  | 
 offense as defined in Section 2 of the Sex Offender  | 
 Registration Act and has been sentenced to the Department  | 
 | 
 of Corrections or the Department of Juvenile Justice, the  | 
 Prisoner Review Board or the Department of Juvenile  | 
 Justice shall notify the victim of the sex offense of the  | 
 prisoner's eligibility for release on parole, aftercare  | 
 release,
mandatory supervised release, electronic  | 
 detention, work release, international transfer or  | 
 exchange, or by the
custodian of the discharge of any  | 
 individual who was adjudicated a delinquent
for a sex  | 
 offense from State custody and by the sheriff of the  | 
 appropriate
county of any such person's final discharge  | 
 from county custody. The notification shall be made to the  | 
 victim at least 30 days, whenever possible, before release  | 
 of the sex offender.  | 
 (e) The officials named in this Section may satisfy some  | 
or all of their
obligations to provide notices and other  | 
information through participation in a
statewide victim and  | 
witness notification system established by the Attorney
 | 
General under Section 8.5 of this Act.
 | 
 (f) The Prisoner Review Board
shall establish a toll-free  | 
number that may be accessed by the crime victim to present a  | 
victim statement to the Board in accordance with paragraphs  | 
(4), (4-1), and (4-2) of subsection (d).
 | 
(Source: P.A. 101-81, eff. 7-12-19; 101-288, eff. 1-1-20;  | 
101-652, eff. 1-1-23; 102-22, eff. 6-25-21; 102-558, eff.  | 
8-20-21; revised 12-13-21.)
 | 
 | 
 Section 635. The Privacy of Child Victims of Criminal  | 
Sexual Offenses Act is amended by changing Section 3 as  | 
follows:
 | 
 (725 ILCS 190/3) (from Ch. 38, par. 1453)
 | 
 Sec. 3. Confidentiality of Law Enforcement and Court  | 
Records. Notwithstanding any other law to the contrary,  | 
inspection and copying of
law enforcement records maintained  | 
by any law enforcement agency or all circuit
court records  | 
maintained by any circuit clerk relating to any investigation
 | 
or proceeding pertaining to a criminal sexual offense, by any  | 
person, except a
judge, state's attorney, assistant state's  | 
attorney, Attorney General, Assistant Attorney General,  | 
psychologist,
psychiatrist, social worker, doctor, parent,  | 
parole agent, aftercare specialist, probation officer,
 | 
defendant, defendant's
attorney, advocate, or victim's  | 
attorney (as defined in Section 3 of the Illinois Rights of  | 
Crime Victims and Witnesses Act) in any criminal proceeding or  | 
investigation related thereto, shall
be restricted to exclude  | 
the identity of any child who is a victim of such
criminal  | 
sexual offense or alleged criminal sexual offense unless a  | 
court order is issued authorizing the removal of such  | 
restriction as provided under this Section of a particular  | 
case record or particular records of cases maintained by any  | 
circuit court clerk. A court may, for
the child's protection  | 
and for good cause shown, prohibit any person or
agency  | 
 | 
present in court from further disclosing the child's identity.
 | 
 A court may prohibit such disclosure only after giving  | 
notice and a hearing to all affected parties. In determining  | 
whether to prohibit disclosure of the minor's identity, the  | 
court shall consider:  | 
  (1) the best interest of the child; and  | 
  (2) whether such nondisclosure would further a  | 
 compelling State interest.  | 
 When a criminal sexual offense is committed or alleged to  | 
have been
committed by a school district employee or any  | 
individual contractually employed by a school district, a copy  | 
of the criminal history record information relating to the  | 
investigation of the offense or alleged offense shall be
 | 
transmitted to the superintendent of schools
of the district  | 
immediately upon request or if the law enforcement agency  | 
knows that a school district employee or any individual  | 
contractually employed by a school district has committed or  | 
is alleged to have committed a criminal sexual offense, the  | 
superintendent of schools
of the district shall be immediately  | 
provided a copy of the criminal history record information.  | 
The copy of the criminal history record information to be  | 
provided under this Section shall exclude the identity of the  | 
child victim. The superintendent shall be restricted from
 | 
revealing the identity of the victim. Nothing in this Article  | 
precludes or may be used to preclude a mandated reporter from  | 
reporting child abuse or child neglect as required under the  | 
 | 
Abused and Neglected Child Reporting Act.
 | 
 For the purposes of this Act, "criminal history record  | 
information" means: | 
  (i) chronologically maintained arrest information,  | 
 such as traditional
arrest logs or blotters; | 
  (ii) the name of a person in the custody of a law  | 
 enforcement agency and
the charges for which that person  | 
 is being held; | 
  (iii) court records that are public; | 
  (iv) records that are otherwise available under State  | 
 or local law; or | 
  (v) records in which the requesting party is the  | 
 individual
identified, except as provided under part (vii)  | 
 of
paragraph (c) of subsection (1) of Section 7 of the  | 
 Freedom of Information Act.
 | 
(Source: P.A. 102-651, eff. 1-1-22; revised 12-13-21.)
 | 
 Section 640. The Privacy of Adult Victims of Criminal  | 
Sexual Offenses Act is amended by changing Section 10 as  | 
follows:
 | 
 (725 ILCS 191/10)
 | 
 Sec. 10. Victim privacy. Notwithstanding any other law to  | 
the contrary, inspection and copying of law enforcement  | 
records maintained by any law enforcement agency or all  | 
circuit court records maintained by any circuit clerk relating  | 
 | 
to any investigation or proceeding pertaining to a criminal  | 
sexual offense, by any person, except a judge, State's  | 
Attorney, Assistant State's Attorney, Attorney General,  | 
Assistant Attorney General, psychologist, psychiatrist, social  | 
worker, doctor, parole agent, aftercare specialist, probation  | 
officer, defendant, defendant's attorney, advocate, or  | 
victim's attorney (as
defined in Section 3 of the Illinois  | 
Rights of Crime Victims and Witnesses Act) in any criminal  | 
proceeding or investigation related thereto shall be  | 
restricted to exclude the identity of any adult victim of such  | 
criminal sexual offense or alleged criminal sexual offense  | 
unless a court order is issued authorizing the removal of such  | 
restriction as provided under this Section of a particular  | 
case record or particular records of cases maintained by any  | 
circuit court clerk. | 
 A court may, for the adult victim's protection and for  | 
good cause shown, prohibit any person or agency present in  | 
court from further disclosing the adult victim's identity. A  | 
court may prohibit such disclosure only after giving notice  | 
and a hearing to all affected parties. In determining whether  | 
to prohibit disclosure of the adult victim's identity, the  | 
court shall consider: | 
  (1) the best interest of the adult victim; and | 
  (2) whether such nondisclosure would further a  | 
 compelling State interest.
 | 
(Source: P.A. 102-652, eff. 1-1-22; revised 11-24-21.)
 | 
 | 
 Section 645. The Sexual Assault Evidence Submission Act is  | 
amended by changing Section 50 as follows:
 | 
 (725 ILCS 202/50) | 
 Sec. 50. Sexual assault evidence tracking system. | 
 (a) On June 26, 2018, the Sexual Assault Evidence Tracking  | 
and Reporting Commission issued its report as required under  | 
Section 43. It is the intention of the General Assembly in  | 
enacting the provisions of this amendatory Act of the 101st  | 
General Assembly to implement the recommendations of the  | 
Sexual Assault Evidence Tracking and Reporting Commission set  | 
forth in that report in a manner that utilizes the current  | 
resources of law enforcement agencies whenever possible and  | 
that is adaptable to changing technologies and circumstances. | 
 (a-1) Due to the complex nature of a statewide tracking  | 
system for sexual assault evidence and
to ensure all  | 
stakeholders, including, but not limited to, victims and their  | 
designees, health care facilities, law enforcement agencies,  | 
forensic labs, and State's Attorneys offices are integrated,  | 
the Commission recommended the purchase of an
electronic  | 
off-the-shelf tracking system. The system must be able to  | 
communicate with all
stakeholders and provide real-time  | 
information to a victim or his or her designee on the status
of  | 
the evidence that was collected. The sexual assault evidence  | 
tracking system must: | 
 | 
  (1) be electronic and web-based;  | 
  (2) be administered by the Illinois State Police;  | 
  (3) have help desk availability at all times;  | 
  (4) ensure the law enforcement agency contact  | 
 information is accessible to the
victim or his or her  | 
 designee through the tracking system, so there is contact
 | 
 information for questions;  | 
  (5) have the option for external connectivity to  | 
 evidence management systems,
laboratory information  | 
 management systems, or other electronic data
systems  | 
 already in existence by any of the stakeholders to  | 
 minimize additional
burdens or tasks on stakeholders;  | 
  (6) allow for the victim to opt in for automatic  | 
 notifications when status updates are
entered in the  | 
 system, if the system allows;  | 
  (7) include at each step in the process, a brief  | 
 explanation of the general purpose of that
step and a  | 
 general indication of how long the step may take to  | 
 complete;  | 
  (8) contain minimum fields for tracking and reporting,  | 
 as follows:  | 
   (A) for sexual assault evidence kit vendor fields:  | 
    (i) each sexual evidence kit identification  | 
 number provided to each health care
facility; and  | 
    (ii) the date the sexual evidence kit was sent  | 
 to the health care
facility.  | 
 | 
   (B) for health care
facility fields:  | 
    (i) the date sexual assault evidence was  | 
 collected; and  | 
    (ii) the date notification was made to the law  | 
 enforcement agency that the sexual assault  | 
 evidence was collected.  | 
   (C) for law enforcement agency fields:  | 
    (i) the date the law enforcement agency took  | 
 possession of the sexual assault evidence from the  | 
 health care facility,
another law enforcement  | 
 agency, or victim if he or she did not go through a  | 
 health care facility;  | 
    (ii) the law enforcement agency complaint  | 
 number;  | 
    (iii) if the law enforcement agency that takes  | 
 possession of the sexual assault evidence from a  | 
 health care facility is not the law enforcement  | 
 agency
with jurisdiction in which the offense  | 
 occurred, the date when the law enforcement agency
 | 
 notified the law enforcement agency having  | 
 jurisdiction that the agency has sexual assault  | 
 evidence required under subsection (c) of Section  | 
 20 of the Sexual Assault Incident Procedure Act;  | 
    (iv) an indication if the victim consented for  | 
 analysis of the sexual assault evidence;  | 
    (v) if the victim did not consent for analysis  | 
 | 
 of the sexual assault evidence, the date
on which  | 
 the law enforcement agency is no longer required  | 
 to store the sexual assault evidence;  | 
    (vi) a mechanism for the law enforcement  | 
 agency to document why the sexual assault evidence  | 
 was not
submitted to the laboratory for analysis,  | 
 if applicable;  | 
    (vii) the date the law enforcement agency  | 
 received the sexual assault evidence results back  | 
 from the laboratory;  | 
    (viii) the date statutory notifications were  | 
 made to the victim or documentation of why  | 
 notification
was not made; and  | 
    (ix) the date the law enforcement agency  | 
 turned over the case information to the State's
 | 
 Attorney office, if applicable.  | 
   (D) for forensic lab fields:  | 
    (i) the date the sexual assault evidence is  | 
 received from the law enforcement agency by the  | 
 forensic lab
for analysis;  | 
    (ii) the laboratory case number, visible to  | 
 the law enforcement agency and State's Attorney  | 
 office; and  | 
    (iii) the date the laboratory completes the  | 
 analysis of the sexual assault evidence.  | 
   (E) for State's Attorney office fields:  | 
 | 
    (i) the date the State's Attorney office  | 
 received the sexual assault evidence results from  | 
 the laboratory, if
applicable; and  | 
    (ii) the disposition or status of the case.  | 
 (a-2) The Commission also developed guidelines for secure  | 
electronic access to a tracking
system for a victim, or his or  | 
her designee to access information on the status of the  | 
evidence
collected. The Commission recommended minimum  | 
guidelines in order to
safeguard confidentiality of the  | 
information contained within this statewide tracking
system.  | 
These recommendations are that the sexual assault evidence  | 
tracking system must:  | 
  (1) allow for secure access, controlled by an  | 
 administering body who can restrict user
access and allow  | 
 different permissions based on the need of that particular  | 
 user
and health care facility users may include  | 
 out-of-state border hospitals, if
authorized by the  | 
 Illinois State Police to obtain this State's kits from  | 
 vendor;  | 
  (2) provide for users, other than victims, the ability  | 
 to provide for any individual who
is granted access to the  | 
 program their own unique user ID and password;  | 
  (3) provide for a mechanism for a victim to enter the  | 
 system and only access
his or her own information;  | 
  (4) enable a sexual assault evidence to be tracked and  | 
 identified through the unique sexual assault evidence kit  | 
 | 
 identification
number or barcode that the vendor applies  | 
 to each sexual assault evidence kit per the Illinois State  | 
 Police's contract;  | 
  (5) have a mechanism to inventory unused kits provided  | 
 to a health care facility from the vendor;  | 
  (6) provide users the option to either scan the bar  | 
 code or manually enter the sexual assault evidence kit  | 
 number
into the tracking program;  | 
  (7) provide a mechanism to create a separate unique  | 
 identification number for cases in
which a sexual evidence  | 
 kit was not collected, but other evidence was collected;  | 
  (8) provide the ability to record date, time, and user  | 
 ID whenever any user accesses the
system;  | 
  (9) provide for real-time entry and update of data;  | 
  (10) contain report functions including:  | 
   (A) health care facility compliance with  | 
 applicable laws;  | 
   (B) law enforcement agency compliance with  | 
 applicable laws;  | 
   (C) law enforcement agency annual inventory of  | 
 cases to each State's Attorney office; and  | 
   (D) forensic lab compliance with applicable laws;  | 
 and  | 
  (11) provide automatic notifications to the law  | 
 enforcement agency when:  | 
   (A) a health care facility has collected sexual  | 
 | 
 assault evidence;  | 
   (B) unreleased sexual assault evidence that is  | 
 being stored by the law enforcement agency has met the  | 
 minimum
storage requirement by law; and  | 
   (C) timelines as required by law are not met for a  | 
 particular case, if not
otherwise documented.  | 
 (b) The Illinois State Police may develop rules to  | 
implement a sexual assault evidence tracking system that  | 
conforms with subsections (a-1) and (a-2) of this Section. The  | 
Illinois State Police shall design the criteria for the sexual  | 
assault evidence tracking system so that, to the extent  | 
reasonably possible, the system can use existing technologies  | 
and products, including, but not limited to, currently  | 
available tracking systems. The sexual assault evidence  | 
tracking system shall be operational and shall begin tracking  | 
and reporting sexual assault evidence no later than one year  | 
after the effective date of this amendatory Act of the 101st  | 
General Assembly. The Illinois State Police may adopt  | 
additional rules as it deems necessary to ensure that the  | 
sexual assault evidence tracking system continues to be a  | 
useful tool for law enforcement. | 
 (c) A treatment hospital, a treatment hospital with  | 
approved pediatric transfer, an out-of-state hospital approved  | 
by the Department of Public Health to receive transfers of  | 
Illinois sexual assault survivors, or an approved pediatric  | 
health care facility defined in Section 1a of the Sexual  | 
 | 
Assault Survivors Emergency Treatment Act shall participate in  | 
the sexual assault evidence tracking system created under this  | 
Section and in accordance with rules adopted under subsection  | 
(b), including, but not limited to, the collection of sexual  | 
assault evidence and providing information regarding that  | 
evidence, including, but not limited to, providing notice to  | 
law enforcement that the evidence has been collected. | 
 (d) The operations of the sexual assault evidence tracking  | 
system shall be funded by moneys appropriated for that purpose  | 
from the State Crime Laboratory Fund and funds provided to the  | 
Illinois State Police through asset forfeiture, together with  | 
such other funds as the General Assembly may appropriate. | 
 (e) To ensure that the sexual assault evidence tracking  | 
system is operational, the Illinois State Police may adopt  | 
emergency rules to implement the provisions of this Section  | 
under subsection (ff) of Section 5-45 of the Illinois  | 
Administrative Procedure Act. | 
 (f) Information, including, but not limited to, evidence  | 
and records in the sexual assault evidence tracking system is  | 
exempt from disclosure under the Freedom of Information Act.
 | 
(Source: P.A. 101-377, eff. 8-16-19; 102-22, eff. 6-25-21;  | 
102-523, eff. 8-20-21; 102-538, eff. 8-20-21; revised  | 
10-20-21.)
 | 
 Section 650. The Sexual Assault Incident Procedure Act is  | 
amended by changing Section 35 as follows:
 | 
 | 
 (725 ILCS 203/35)
 | 
 Sec. 35. Release of information.  | 
 (a) Upon the request of the victim who has consented to the  | 
release of sexual assault evidence for testing, the law  | 
enforcement agency having jurisdiction shall notify the victim  | 
about the Illinois State Police sexual assault evidence  | 
tracking system and provide the following information in  | 
writing: | 
  (1) the date the sexual assault evidence was sent to  | 
 an Illinois State Police forensic laboratory or designated  | 
 laboratory; | 
  (2) test results provided to the law enforcement  | 
 agency by an Illinois State Police forensic laboratory or  | 
 designated laboratory, including, but not limited to: | 
   (A) whether a DNA profile was obtained from the  | 
 testing of the sexual assault evidence from the  | 
 victim's case; | 
   (B) whether the DNA profile developed from the  | 
 sexual assault evidence has been searched against the  | 
 DNA Index System or any state or federal DNA database; | 
   (C) whether an association was made to an  | 
 individual whose DNA profile is consistent with the  | 
 sexual assault evidence DNA profile,
provided that  | 
 disclosure would not impede or compromise an ongoing  | 
 investigation; and | 
 | 
   (D) whether any drugs were detected in a urine or  | 
 blood sample analyzed for drug facilitated sexual  | 
 assault and information about any drugs detected. | 
 (b) The information listed in paragraph (1) of subsection  | 
(a) of this Section shall be provided to the victim within 7  | 
days of the transfer of the evidence to the laboratory. The  | 
information listed in paragraph (2) of subsection (a) of this  | 
Section shall be provided to the victim within 7 days of the  | 
receipt of the information by the law enforcement agency  | 
having jurisdiction. | 
 (c) At the time the sexual assault evidence is released  | 
for testing, the victim shall be provided written information  | 
by the law enforcement agency having jurisdiction or the  | 
hospital providing emergency services and forensic services to  | 
the victim informing him or her of the right to request  | 
information under subsection (a) of this Section. A victim may  | 
designate another person or agency to receive this  | 
information. | 
 (d) The victim or the victim's designee shall keep the law  | 
enforcement agency having jurisdiction informed of the name,  | 
address, telephone number, and email address of the person to  | 
whom the information should be provided, and any changes of  | 
the name, address, telephone number, and email address, if an  | 
email address is available.
 | 
(Source: P.A. 102-22, eff. 6-25-21; 102-538, eff. 8-20-21;  | 
revised 10-20-21.)
 | 
 | 
 Section 655. The Unified Code of Corrections is amended by  | 
changing Sections 3-2-2, 3-3-14, 3-6-7.2, 3-14-1, 5-4-1,  | 
5-4-3a, 5-5-3, 5-9-1.4, and 5-9-1.9 and the heading of Article  | 
3 of Chapter III as follows:
 | 
 (730 ILCS 5/3-2-2) (from Ch. 38, par. 1003-2-2)
 | 
 Sec. 3-2-2. Powers and duties of the Department. 
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 (1) In addition to the powers, duties, and  | 
responsibilities which are
otherwise provided by law, the  | 
Department shall have the following powers:
 | 
  (a) To accept persons committed to it by the courts of  | 
 this State for
care, custody, treatment, and  | 
 rehabilitation, and to accept federal prisoners and aliens  | 
 over whom the Office of the Federal Detention Trustee is  | 
 authorized to exercise the federal detention function for  | 
 limited purposes and periods of time.
 | 
  (b) To develop and maintain reception and evaluation  | 
 units for purposes
of analyzing the custody and  | 
 rehabilitation needs of persons committed to
it and to  | 
 assign such persons to institutions and programs under its  | 
 control
or transfer them to other appropriate agencies. In  | 
 consultation with the
Department of Alcoholism and  | 
 Substance Abuse (now the Department of Human
Services),  | 
 the Department of Corrections
shall develop a master plan  | 
 for the screening and evaluation of persons
committed to  | 
 | 
 its custody who have alcohol or drug abuse problems, and  | 
 for
making appropriate treatment available to such  | 
 persons; the Department
shall report to the General  | 
 Assembly on such plan not later than April 1,
1987. The  | 
 maintenance and implementation of such plan shall be  | 
 contingent
upon the availability of funds.
 | 
  (b-1) To create and implement, on January 1, 2002, a  | 
 pilot
program to
establish the effectiveness of  | 
 pupillometer technology (the measurement of the
pupil's
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 reaction to light) as an alternative to a urine test for  | 
 purposes of screening
and evaluating
persons committed to  | 
 its custody who have alcohol or drug problems. The
pilot  | 
 program shall require the pupillometer technology to be  | 
 used in at
least one Department of
Corrections facility.  | 
 The Director may expand the pilot program to include an
 | 
 additional facility or
facilities as he or she deems  | 
 appropriate.
A minimum of 4,000 tests shall be included in  | 
 the pilot program.
The
Department must report to the
 | 
 General Assembly on the
effectiveness of the program by  | 
 January 1, 2003.
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  (b-5) To develop, in consultation with the Illinois  | 
 State Police, a
program for tracking and evaluating each  | 
 inmate from commitment through release
for recording his  | 
 or her gang affiliations, activities, or ranks.
 | 
  (c) To maintain and administer all State correctional  | 
 institutions and
facilities under its control and to  | 
 | 
 establish new ones as needed. Pursuant
to its power to  | 
 establish new institutions and facilities, the Department
 | 
 may, with the written approval of the Governor, authorize  | 
 the Department of
Central Management Services to enter  | 
 into an agreement of the type
described in subsection (d)  | 
 of Section 405-300 of the
Department
of Central Management  | 
 Services Law. The Department shall
designate those  | 
 institutions which
shall constitute the State Penitentiary  | 
 System. The Department of Juvenile Justice shall maintain  | 
 and administer all State youth centers pursuant to  | 
 subsection (d) of Section 3-2.5-20. 
 | 
  Pursuant to its power to establish new institutions  | 
 and facilities, the
Department may authorize the  | 
 Department of Central Management Services to
accept bids  | 
 from counties and municipalities for the construction,
 | 
 remodeling, or conversion of a structure to be leased to  | 
 the Department of
Corrections for the purposes of its  | 
 serving as a correctional institution
or facility. Such  | 
 construction, remodeling, or conversion may be financed
 | 
 with revenue bonds issued pursuant to the Industrial  | 
 Building Revenue Bond
Act by the municipality or county.  | 
 The lease specified in a bid shall be
for a term of not  | 
 less than the time needed to retire any revenue bonds
used  | 
 to finance the project, but not to exceed 40 years. The  | 
 lease may
grant to the State the option to purchase the  | 
 structure outright.
 | 
 | 
  Upon receipt of the bids, the Department may certify  | 
 one or more of the
bids and shall submit any such bids to  | 
 the General Assembly for approval.
Upon approval of a bid  | 
 by a constitutional majority of both houses of the
General  | 
 Assembly, pursuant to joint resolution, the Department of  | 
 Central
Management Services may enter into an agreement  | 
 with the county or
municipality pursuant to such bid.
 | 
  (c-5) To build and maintain regional juvenile  | 
 detention centers and to
charge a per diem to the counties  | 
 as established by the Department to defray
the costs of  | 
 housing each minor in a center. In this subsection (c-5),
 | 
 "juvenile
detention center" means a facility to house  | 
 minors during pendency of trial who
have been transferred  | 
 from proceedings under the Juvenile Court Act of 1987 to
 | 
 prosecutions under the criminal laws of this State in  | 
 accordance with Section
5-805 of the Juvenile Court Act of  | 
 1987, whether the transfer was by operation
of
law or  | 
 permissive under that Section. The Department shall  | 
 designate the
counties to be served by each regional  | 
 juvenile detention center.
 | 
  (d) To develop and maintain programs of control,  | 
 rehabilitation, and
employment of committed persons within  | 
 its institutions.
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  (d-5) To provide a pre-release job preparation program  | 
 for inmates at Illinois adult correctional centers.
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  (d-10) To provide educational and visitation  | 
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 opportunities to committed persons within its institutions  | 
 through temporary access to content-controlled tablets  | 
 that may be provided as a privilege to committed persons  | 
 to induce or reward compliance.  | 
  (e) To establish a system of supervision and guidance  | 
 of committed persons
in the community.
 | 
  (f) To establish in cooperation with the Department of  | 
 Transportation
to supply a sufficient number of prisoners  | 
 for use by the Department of
Transportation to clean up  | 
 the trash and garbage along State, county,
township, or  | 
 municipal highways as designated by the Department of
 | 
 Transportation. The Department of Corrections, at the  | 
 request of the
Department of Transportation, shall furnish  | 
 such prisoners at least
annually for a period to be agreed  | 
 upon between the Director of
Corrections and the Secretary  | 
 of Transportation. The prisoners used on this
program  | 
 shall be selected by the Director of Corrections on  | 
 whatever basis
he deems proper in consideration of their  | 
 term, behavior and earned eligibility
to participate in  | 
 such program - where they will be outside of the prison
 | 
 facility but still in the custody of the Department of  | 
 Corrections. Prisoners
convicted of first degree murder,  | 
 or a Class X felony, or armed violence, or
aggravated  | 
 kidnapping, or criminal sexual assault, aggravated  | 
 criminal sexual
abuse or a subsequent conviction for  | 
 criminal sexual abuse, or forcible
detention, or arson, or  | 
 | 
 a prisoner adjudged a Habitual Criminal shall not be
 | 
 eligible for selection to participate in such program. The  | 
 prisoners shall
remain as prisoners in the custody of the  | 
 Department of Corrections and such
Department shall  | 
 furnish whatever security is necessary. The Department of
 | 
 Transportation shall furnish trucks and equipment for the  | 
 highway cleanup
program and personnel to supervise and  | 
 direct the program. Neither the
Department of Corrections  | 
 nor the Department of Transportation shall replace
any  | 
 regular employee with a prisoner.
 | 
  (g) To maintain records of persons committed to it and  | 
 to establish
programs of research, statistics, and  | 
 planning.
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  (h) To investigate the grievances of any person  | 
 committed to the
Department and to inquire into any  | 
 alleged misconduct by employees
or committed persons; and  | 
 for
these purposes it may issue subpoenas and compel the  | 
 attendance of witnesses
and the production of writings and  | 
 papers, and may examine under oath any
witnesses who may  | 
 appear before it; to also investigate alleged violations
 | 
 of a parolee's or releasee's conditions of parole or  | 
 release; and for this
purpose it may issue subpoenas and  | 
 compel the attendance of witnesses and
the production of  | 
 documents only if there is reason to believe that such
 | 
 procedures would provide evidence that such violations  | 
 have occurred.
 | 
 | 
  If any person fails to obey a subpoena issued under  | 
 this subsection,
the Director may apply to any circuit  | 
 court to secure compliance with the
subpoena. The failure  | 
 to comply with the order of the court issued in
response  | 
 thereto shall be punishable as contempt of court.
 | 
  (i) To appoint and remove the chief administrative  | 
 officers, and
administer
programs of training and  | 
 development of personnel of the Department. Personnel
 | 
 assigned by the Department to be responsible for the
 | 
 custody and control of committed persons or to investigate  | 
 the alleged
misconduct of committed persons or employees  | 
 or alleged violations of a
parolee's or releasee's  | 
 conditions of parole shall be conservators of the peace
 | 
 for those purposes, and shall have the full power of peace  | 
 officers outside
of the facilities of the Department in  | 
 the protection, arrest, retaking,
and reconfining of  | 
 committed persons or where the exercise of such power
is  | 
 necessary to the investigation of such misconduct or  | 
 violations. This subsection shall not apply to persons  | 
 committed to the Department of Juvenile Justice under the  | 
 Juvenile Court Act of 1987 on aftercare release.
 | 
  (j) To cooperate with other departments and agencies  | 
 and with local
communities for the development of  | 
 standards and programs for better
correctional services in  | 
 this State.
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  (k) To administer all moneys and properties of the  | 
 | 
 Department.
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  (l) To report annually to the Governor on the  | 
 committed
persons, institutions, and programs of the  | 
 Department.
 | 
  (l-5) (Blank).
 | 
  (m) To make all rules and regulations and exercise all  | 
 powers and duties
vested by law in the Department.
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  (n) To establish rules and regulations for  | 
 administering a system of
sentence credits, established in  | 
 accordance with Section 3-6-3, subject
to review by the  | 
 Prisoner Review Board.
 | 
  (o) To administer the distribution of funds
from the  | 
 State Treasury to reimburse counties where State penal
 | 
 institutions are located for the payment of assistant  | 
 state's attorneys'
salaries under Section 4-2001 of the  | 
 Counties Code.
 | 
  (p) To exchange information with the Department of  | 
 Human Services and the
Department of Healthcare and Family  | 
 Services
for the purpose of verifying living arrangements  | 
 and for other purposes
directly connected with the  | 
 administration of this Code and the Illinois
Public Aid  | 
 Code.
 | 
  (q) To establish a diversion program.
 | 
  The program shall provide a structured environment for  | 
 selected
technical parole or mandatory supervised release  | 
 violators and committed
persons who have violated the  | 
 | 
 rules governing their conduct while in work
release. This  | 
 program shall not apply to those persons who have  | 
 committed
a new offense while serving on parole or  | 
 mandatory supervised release or
while committed to work  | 
 release.
 | 
  Elements of the program shall include, but shall not  | 
 be limited to, the
following:
 | 
   (1) The staff of a diversion facility shall  | 
 provide supervision in
accordance with required  | 
 objectives set by the facility.
 | 
   (2) Participants shall be required to maintain  | 
 employment.
 | 
   (3) Each participant shall pay for room and board  | 
 at the facility on a
sliding-scale basis according to  | 
 the participant's income.
 | 
   (4) Each participant shall:
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    (A) provide restitution to victims in  | 
 accordance with any court order;
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    (B) provide financial support to his  | 
 dependents; and
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    (C) make appropriate payments toward any other  | 
 court-ordered
obligations.
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   (5) Each participant shall complete community  | 
 service in addition to
employment.
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   (6) Participants shall take part in such  | 
 counseling, educational, and
other programs as the  | 
 | 
 Department may deem appropriate.
 | 
   (7) Participants shall submit to drug and alcohol  | 
 screening.
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   (8) The Department shall promulgate rules  | 
 governing the administration
of the program.
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  (r) To enter into intergovernmental cooperation  | 
 agreements under which
persons in the custody of the  | 
 Department may participate in a county impact
 | 
 incarceration program established under Section 3-6038 or  | 
 3-15003.5 of the
Counties Code.
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  (r-5) (Blank).
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  (r-10) To systematically and routinely identify with  | 
 respect to each
streetgang active within the correctional  | 
 system: (1) each active gang; (2)
every existing  | 
 inter-gang affiliation or alliance; and (3) the current  | 
 leaders
in each gang. The Department shall promptly  | 
 segregate leaders from inmates who
belong to their gangs  | 
 and allied gangs. "Segregate" means no physical contact
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 and, to the extent possible under the conditions and space  | 
 available at the
correctional facility, prohibition of  | 
 visual and sound communication. For the
purposes of this  | 
 paragraph (r-10), "leaders" means persons who:
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   (i) are members of a criminal streetgang;
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   (ii) with respect to other individuals within the  | 
 streetgang, occupy a
position of organizer,  | 
 supervisor, or other position of management or
 | 
 | 
 leadership; and
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   (iii) are actively and personally engaged in  | 
 directing, ordering,
authorizing, or requesting  | 
 commission of criminal acts by others, which are
 | 
 punishable as a felony, in furtherance of streetgang  | 
 related activity both
within and outside of the  | 
 Department of Corrections.
 | 
 "Streetgang", "gang", and "streetgang related" have the  | 
 meanings ascribed to
them in Section 10 of the Illinois  | 
 Streetgang Terrorism Omnibus Prevention
Act.
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  (s) To operate a super-maximum security institution,  | 
 in order to
manage and
supervise inmates who are  | 
 disruptive or dangerous and provide for the safety
and  | 
 security of the staff and the other inmates.
 | 
  (t) To monitor any unprivileged conversation or any  | 
 unprivileged
communication, whether in person or by mail,  | 
 telephone, or other means,
between an inmate who, before  | 
 commitment to the Department, was a member of an
organized  | 
 gang and any other person without the need to show cause or  | 
 satisfy
any other requirement of law before beginning the  | 
 monitoring, except as
constitutionally required. The  | 
 monitoring may be by video, voice, or other
method of  | 
 recording or by any other means. As used in this  | 
 subdivision (1)(t),
"organized gang" has the meaning  | 
 ascribed to it in Section 10 of the Illinois
Streetgang  | 
 Terrorism Omnibus Prevention Act.
 | 
 | 
  As used in this subdivision (1)(t), "unprivileged  | 
 conversation" or
"unprivileged communication" means a  | 
 conversation or communication that is not
protected by any  | 
 privilege recognized by law or by decision, rule, or order  | 
 of
the Illinois Supreme Court.
 | 
  (u) To establish a Women's and Children's Pre-release  | 
 Community
Supervision
Program for the purpose of providing  | 
 housing and services to eligible female
inmates, as  | 
 determined by the Department, and their newborn and young
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 children.
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  (u-5) To issue an order, whenever a person committed  | 
 to the Department absconds or absents himself or herself,  | 
 without authority to do so, from any facility or program  | 
 to which he or she is assigned. The order shall be  | 
 certified by the Director, the Supervisor of the  | 
 Apprehension Unit, or any person duly designated by the  | 
 Director, with the seal of the Department affixed. The  | 
 order shall be directed to all sheriffs, coroners, and  | 
 police officers, or to any particular person named in the  | 
 order. Any order issued pursuant to this subdivision  | 
 (1)(u-5) shall be sufficient warrant for the officer or  | 
 person named in the order to arrest and deliver the  | 
 committed person to the proper correctional officials and  | 
 shall be executed the same as criminal process.  | 
  (u-6) To appoint a point of contact person who shall
 | 
 receive suggestions, complaints, or other requests to the
 | 
 | 
 Department from visitors to Department institutions or
 | 
 facilities and from other members of the public. | 
  (v) To do all other acts necessary to carry out the  | 
 provisions
of this Chapter.
 | 
 (2) The Department of Corrections shall by January 1,  | 
1998, consider
building and operating a correctional facility  | 
within 100 miles of a county of
over 2,000,000 inhabitants,  | 
especially a facility designed to house juvenile
participants  | 
in the impact incarceration program.
 | 
 (3) When the Department lets bids for contracts for  | 
medical
services to be provided to persons committed to  | 
Department facilities by
a health maintenance organization,  | 
medical service corporation, or other
health care provider,  | 
the bid may only be let to a health care provider
that has  | 
obtained an irrevocable letter of credit or performance bond
 | 
issued by a company whose bonds have an investment grade or  | 
higher rating by a bond rating
organization.
 | 
 (4) When the Department lets bids for
contracts for food  | 
or commissary services to be provided to
Department  | 
facilities, the bid may only be let to a food or commissary
 | 
services provider that has obtained an irrevocable letter of
 | 
credit or performance bond issued by a company whose bonds  | 
have an investment grade or higher rating by a bond rating  | 
organization.
 | 
 (5) On and after the date 6 months after August 16, 2013  | 
(the effective date of Public Act 98-488), as provided in the  | 
 | 
Executive Order 1 (2012) Implementation Act, all of the  | 
powers, duties, rights, and responsibilities related to State  | 
healthcare purchasing under this Code that were transferred  | 
from the Department of Corrections to the Department of  | 
Healthcare and Family Services by Executive Order 3 (2005) are  | 
transferred back to the Department of Corrections; however,  | 
powers, duties, rights, and responsibilities related to State  | 
healthcare purchasing under this Code that were exercised by  | 
the Department of Corrections before the effective date of  | 
Executive Order 3 (2005) but that pertain to individuals  | 
resident in facilities operated by the Department of Juvenile  | 
Justice are transferred to the Department of Juvenile Justice.  | 
(Source: P.A. 101-235, eff. 1-1-20; 102-350, eff. 8-13-21;  | 
102-535, eff. 1-1-22; 102-538, eff. 8-20-21; revised  | 
10-15-21.)
 | 
 (730 ILCS 5/Ch. III Art. 3 heading) | 
ARTICLE 3.  PRISONER REVIEW   PAROLE AND PARDON  BOARD
 | 
 (730 ILCS 5/3-3-14) | 
 Sec. 3-3-14. Procedure for medical release. | 
 (a) Definitions. : | 
  (1) As used in this Section, "medically incapacitated"  | 
 means that an inmate has any diagnosable medical  | 
 condition, including dementia and severe, permanent  | 
 medical or cognitive disability, that prevents the inmate  | 
 | 
 from completing more than one activity of daily living  | 
 without assistance or that incapacitates the inmate to the  | 
 extent that institutional confinement does not offer  | 
 additional restrictions, and that the condition is  | 
 unlikely to improve noticeably in the future. | 
  (2) As used in this Section, "terminal illness" means  | 
 a condition that satisfies all of the following criteria:  | 
   (i) the condition is irreversible and incurable;  | 
 and | 
   (ii) in accordance with medical standards and a  | 
 reasonable degree of medical certainty,
based on an  | 
 individual assessment of the inmate, the condition is  | 
 likely to cause death to
the inmate within 18 months.  | 
 (b) The Prisoner Review Board shall consider an  | 
application for compassionate release on behalf of any inmate  | 
who meets any of the following: | 
  (1) is suffering from a terminal illness; or | 
  (2) has been diagnosed with a condition that will  | 
 result in medical incapacity within the next 6 months; or | 
  (3) has become medically incapacitated subsequent to  | 
 sentencing due to illness or injury.  | 
 (c) Initial application. Application:  | 
  (1) An initial application for medical release may be  | 
 filed with the Prisoner Review Board by an inmate, a  | 
 prison official, a medical professional who has treated or  | 
 diagnosed the inmate, or an inmate's spouse, parent,  | 
 | 
 guardian, grandparent, aunt or uncle, sibling, child over  | 
 the age of eighteen years, or attorney. If the initial  | 
 application is made by someone other than the inmate, the  | 
 inmate, or if the inmate is they are medically unable to  | 
 consent, the guardian or family member designated to  | 
 represent the inmate's their interests must consent to the  | 
 application at the time of the institutional hearing. | 
  (2) Application materials shall be maintained on the  | 
 Prisoner Review Board's website and , the Department of  | 
 Corrections' website, and maintained in a clearly visible  | 
 place within the law library and the infirmary of every  | 
 penal institution and facility operated by the Department  | 
 of Corrections.  | 
  (3) The initial application need not be notarized, can  | 
 be sent via email or facsimile, and must contain the  | 
 following information:  | 
   (i) the inmate's name and Illinois Department of  | 
 Corrections number; | 
   (ii) the inmate's diagnosis; | 
   (iii) a statement that the inmate meets one of the  | 
 following diagnostic criteria:  | 
    (A) (a) the inmate is suffering from a  | 
 terminal illness; | 
    (B) (b) the inmate has been diagnosed with a  | 
 condition that will result in
medical incapacity  | 
 within the next 6 months; or | 
 | 
    (C) (c) the inmate has become medically  | 
 incapacitated subsequent to
sentencing due to  | 
 illness or injury.  | 
  (4) Upon receiving the inmate's initial application,  | 
 the Board shall order the Department of Corrections to  | 
 have a physician or nurse practitioner evaluate the inmate  | 
 and create a written evaluation within ten days of the  | 
 Board's order. The evaluation shall include but need not  | 
 be limited to:  | 
   (i) a concise statement of the inmate's medical  | 
 diagnosis, including prognosis,
likelihood of  | 
 recovery, and primary symptoms, to include  | 
 incapacitation; and | 
   (ii) a statement confirming or denying that the  | 
 inmate meets one of the criteria
stated in subsection  | 
 (b) of this Section.  | 
 (d) Institutional hearing. No public institutional hearing  | 
is required for consideration of a petition, but shall be  | 
granted at the request of the petitioner. The inmate may be  | 
represented by counsel and may present witnesses to the Board  | 
members. Hearings shall be governed by the Open Parole  | 
Hearings Act. | 
 (e) Voting procedure. Petitions shall be considered by  | 
three-member panels, and decisions shall be made by simple  | 
majority. | 
 (f) Consideration. In considering a petition for release  | 
 | 
under the statute, the Prisoner Review Board may consider the  | 
following factors:  | 
   (i) the inmate's diagnosis and likelihood of  | 
 recovery; | 
   (ii) the approximate cost of health care to the  | 
 State should the inmate remain in custody; | 
   (iii) the impact that the inmate's continued  | 
 incarceration may have on the provision of
medical  | 
 care within the Department; | 
   (iv) the present likelihood of and ability to pose  | 
 a substantial danger to the physical safety
of a  | 
 specifically identifiable person or persons; | 
   (v) any statements by the victim regarding  | 
 release; and | 
   (vi) whether the inmate's condition was explicitly  | 
 disclosed to the original sentencing judge
and taken  | 
 into account at the time of sentencing.  | 
 (g) Inmates granted medical release shall be released on  | 
mandatory supervised release for a period of 5 years subject  | 
to Section 3-3-8, which shall operate to discharge any  | 
remaining term of years imposed upon him or her. However, in no  | 
event shall the eligible person serve a period of mandatory  | 
supervised release greater than the aggregate of the  | 
discharged underlying sentence and the mandatory supervised  | 
release period as set forth in Section 5-4.5-20. | 
 (h) Within 90 days of the receipt of the initial  | 
 | 
application, the Prisoner Review Board shall conduct a hearing  | 
if a hearing is requested and render a decision granting or  | 
denying the petitioner's request for release. | 
 (i) Nothing in this statute shall preclude a petitioner  | 
from seeking alternative forms of release, including clemency,  | 
relief from the sentencing court, post-conviction relief, or  | 
any other legal remedy. | 
 (j) This act applies retroactively, and shall be  | 
applicable to all currently incarcerated people in Illinois. | 
 (k) Data report. The Department of Corrections and the  | 
Prisoner Review Board shall release a report annually  | 
published on their websites that reports the following  | 
information about the Medical Release Program: | 
  (1) The number of applications for medical release  | 
 received by the Board in the preceding year, and  | 
 information about those applications, including:  | 
   (i) demographic data about the individual,  | 
 including race or ethnicity, gender, age, and  | 
 institution; | 
   (ii) the highest class of offense for which the  | 
 individual is incarcerated; | 
   (iii) the relationship of the applicant to the  | 
 person completing the application; | 
   (iv) whether the applicant had applied for medical  | 
 release before and been denied, and, if so, when; | 
   (v) whether the person applied as a person who is  | 
 | 
 medically incapacitated or a person who is terminally  | 
 ill; and | 
   (vi) a basic description of the underlying medical  | 
 condition that led to the application.  | 
  (2) The number of medical statements from the  | 
 Department of Corrections received by the Board. ; | 
  (3) The number of institutional hearings on medical  | 
 release applications conducted by the Board. ; | 
  (4) The number of people approved for medical release,  | 
 and information about them, including:  | 
   (i) demographic data about the individual  | 
 including race or ethnicity, gender, age, and zip code  | 
 to which they were released; | 
   (ii) whether the person applied as a person who is  | 
 medically incapacitated or a person who is terminally  | 
 ill; | 
   (iii) a basic description of the underlying  | 
 medical condition that led to the application; and | 
   (iv) a basic description of the medical setting  | 
 the person was released to.  | 
  (5) The number of people released on the medical  | 
 release program. ; | 
  (6) The number of people approved for medical release  | 
 who experienced more than a one-month one month
delay  | 
 between release decision and ultimate release, including: ;  | 
   (i) demographic data about the individuals  | 
 | 
 including race or ethnicity, gender and age; | 
   (ii) the reason for the delay; | 
   (iii) whether the person remains incarcerated; and | 
   (iv) a basic description of the underlying medical  | 
 condition of the applying person.  | 
  (7) For those individuals released on mandatory  | 
 supervised release due to a granted application for  | 
 medical release: ;  | 
   (i) the number of individuals who were serving  | 
 terms of mandatory supervised release because of  | 
 medical release applications during the previous year;  | 
   (ii) the number of individuals who had their  | 
 mandatory supervised release revoked; and | 
   (iii) the number of individuals who died during  | 
 the previous year.  | 
  (8) Information on seriously ill individuals  | 
 incarcerated at the Department of Corrections, including:  | 
   (i) the number of people currently receiving  | 
 full-time one-on-one medical care or assistance with  | 
 activities of daily living within Department of  | 
 Corrections facilities and whether that care is  | 
 provided by a medical practitioner or an inmate, along  | 
 with the institutions at which they are incarcerated;  | 
 and | 
   (ii) the number of people who spent more than one  | 
 month in outside hospital care during the previous  | 
 | 
 year and their home institutions.  | 
 All the information provided in this report shall be  | 
provided in aggregate, and nothing shall be
construed to  | 
require the public dissemination of any personal medical  | 
information. 
 | 
(Source: P.A. 102-494, eff. 1-1-22; revised 11-24-21.)
 | 
 (730 ILCS 5/3-6-7.2) | 
 Sec. 3-6-7.2. Educational programming programing for  | 
pregnant committed persons. The Department shall develop and  | 
provide to each pregnant committed person educational  | 
programming relating to pregnancy and parenting. The  | 
programming must include instruction regarding: | 
  (1) appropriate prenatal care and hygiene; | 
  (2) the effects of prenatal exposure to alcohol and  | 
 drugs on a developing fetus; | 
  (3) parenting skills; and | 
  (4) medical and mental health issues applicable to  | 
 children. 
 | 
(Source: P.A. 101-652, eff. 7-1-21; revised 11-24-21.)
 | 
 (730 ILCS 5/3-14-1) (from Ch. 38, par. 1003-14-1)
 | 
 Sec. 3-14-1. Release from the institution. 
 | 
 (a) Upon release of a person on parole, mandatory release,  | 
final
discharge, or pardon, the Department shall return all  | 
property held for
him, provide him with suitable clothing and  | 
 | 
procure necessary
transportation for him to his designated  | 
place of residence and
employment. It may provide such person  | 
with a grant of money for travel and
expenses which may be paid  | 
in installments. The amount of the money grant
shall be  | 
determined by the Department.
 | 
 (a-1) The Department shall, before a wrongfully imprisoned  | 
person, as defined in Section 3-1-2 of this Code, is  | 
discharged from the Department, provide him or her with any  | 
documents necessary after discharge.  | 
 (a-2) The Department of Corrections may establish and  | 
maintain, in any institution
it administers, revolving funds  | 
to be known as "Travel and Allowances Revolving
Funds". These  | 
revolving funds shall be used for advancing travel and expense
 | 
allowances to committed, paroled, and discharged prisoners.  | 
The moneys
paid into such revolving funds shall be from  | 
appropriations to the Department
for Committed, Paroled, and  | 
Discharged Prisoners.
 | 
 (a-3) Upon release of a person who is eligible to vote on  | 
parole, mandatory release, final discharge, or pardon, the  | 
Department shall provide the person with a form that informs  | 
him or her that his or her voting rights have been restored and  | 
a voter registration application. The Department shall have  | 
available voter registration applications in the languages  | 
provided by the Illinois State Board of Elections. The form  | 
that informs the person that his or her rights have been  | 
restored shall include the following information: | 
 | 
  (1) All voting rights are restored upon release from  | 
 the Department's custody. | 
  (2) A person who is eligible to vote must register in  | 
 order to be able to vote.  | 
 The Department of Corrections shall confirm that the  | 
person received the voter registration application and has  | 
been informed that his or her voting rights have been  | 
restored.  | 
 (a-4) Prior to release of a person on parole, mandatory  | 
supervised release, final discharge, or pardon, the Department  | 
shall screen every person for Medicaid eligibility. Officials  | 
of the correctional institution or facility where the  | 
committed person is assigned shall assist an eligible person  | 
to complete a Medicaid application to ensure that the person  | 
begins receiving benefits as soon as possible after his or her  | 
release. The application must include the eligible person's  | 
address associated with his or her residence upon release from  | 
the facility. If the residence is temporary, the eligible  | 
person must notify the Department of Human Services of his or  | 
her change in address upon transition to permanent housing.  | 
 (b) (Blank).
 | 
 (c) Except as otherwise provided in this Code, the  | 
Department shall
establish procedures to provide written  | 
notification of any release of any
person who has been  | 
convicted of a felony to the State's Attorney
and sheriff of  | 
the county from which the offender was committed, and the
 | 
 | 
State's Attorney and sheriff of the county into which the  | 
offender is to be
paroled or released. Except as otherwise  | 
provided in this Code, the
Department shall establish  | 
procedures to provide written notification to
the proper law  | 
enforcement agency for any municipality of any release of any
 | 
person who has been convicted of a felony if the arrest of the  | 
offender or the
commission of the offense took place in the  | 
municipality, if the offender is to
be paroled or released  | 
into the municipality, or if the offender resided in the
 | 
municipality at the time of the commission of the offense. If a  | 
person
convicted of a felony who is in the custody of the  | 
Department of Corrections or
on parole or mandatory supervised  | 
release informs the Department that he or she
has resided,  | 
resides, or will
reside at an address that is a housing  | 
facility owned, managed,
operated, or leased by a public  | 
housing agency, the Department must send
written notification  | 
of that information to the public housing agency that
owns,  | 
manages, operates, or leases the housing facility. The written
 | 
notification shall, when possible, be given at least 14 days  | 
before release of
the person from custody, or as soon  | 
thereafter as possible. The written notification shall be  | 
provided electronically if the State's Attorney, sheriff,  | 
proper law enforcement agency, or public housing agency has  | 
provided the Department with an accurate and up to date email  | 
address. 
 | 
 (c-1) (Blank). | 
 | 
 (c-2) The Department shall establish procedures to provide  | 
notice to the Illinois State Police of the release or  | 
discharge of persons convicted of violations of the  | 
Methamphetamine Control and Community
Protection Act or a  | 
violation of the Methamphetamine Precursor Control Act. The  | 
Illinois State Police shall make this information available to  | 
local, State, or federal law enforcement agencies upon  | 
request. | 
 (c-5) If a person on parole or mandatory supervised  | 
release becomes a resident of a facility licensed or regulated  | 
by the Department of Public Health, the Illinois Department of  | 
Public Aid, or the Illinois Department of Human Services, the  | 
Department of Corrections shall provide copies of the  | 
following information to the appropriate licensing or  | 
regulating Department and the licensed or regulated facility  | 
where the person becomes a resident: | 
  (1) The mittimus and any pre-sentence investigation  | 
 reports. | 
  (2) The social evaluation prepared pursuant to Section  | 
 3-8-2. | 
  (3) Any pre-release evaluation conducted pursuant to  | 
 subsection (j) of Section 3-6-2. | 
  (4) Reports of disciplinary infractions and  | 
 dispositions. | 
  (5) Any parole plan, including orders issued by the  | 
 Prisoner Review Board, and any violation reports and  | 
 | 
 dispositions. | 
  (6) The name and contact information for the assigned  | 
 parole agent and parole supervisor.
 | 
 This information shall be provided within 3 days of the  | 
person becoming a resident of the facility.
 | 
 (c-10) If a person on parole or mandatory supervised  | 
release becomes a resident of a facility licensed or regulated  | 
by the Department of Public Health, the Illinois Department of  | 
Public Aid, or the Illinois Department of Human Services, the  | 
Department of Corrections shall provide written notification  | 
of such residence to the following: | 
  (1) The Prisoner Review Board. | 
  (2) The
chief of police and sheriff in the  | 
 municipality and county in which the licensed facility is  | 
 located. | 
 The notification shall be provided within 3 days of the  | 
person becoming a resident of the facility.
 | 
 (d) Upon the release of a committed person on parole,  | 
mandatory
supervised release, final discharge, or pardon, the  | 
Department shall provide
such person with information  | 
concerning programs and services of the
Illinois Department of  | 
Public Health to ascertain whether such person has
been  | 
exposed to the human immunodeficiency virus (HIV) or any  | 
identified
causative agent of Acquired Immunodeficiency  | 
Syndrome (AIDS).
 | 
 (e) Upon the release of a committed person on parole,  | 
 | 
mandatory supervised
release, final discharge, pardon, or who  | 
has been wrongfully imprisoned, the Department shall verify  | 
the released person's full name, date of birth, and social  | 
security number. If verification is made by the Department by  | 
obtaining a certified copy of the released person's birth  | 
certificate and the released person's social security card or  | 
other documents authorized by the Secretary, the Department  | 
shall provide the birth certificate and social security card  | 
or other documents authorized by the Secretary to the released  | 
person. If verification by the Department is done by means  | 
other than obtaining a certified copy of the released person's  | 
birth certificate and the released person's social security  | 
card or other documents authorized by the Secretary, the  | 
Department shall complete a verification form, prescribed by  | 
the Secretary of State, and shall provide that verification  | 
form to the released person.
 | 
 (f) Forty-five days prior to the scheduled discharge of a  | 
person committed to the custody of the Department of  | 
Corrections, the Department shall give the person: | 
  (1) who is otherwise uninsured an opportunity to apply  | 
 for health care coverage including medical assistance  | 
 under Article V of the Illinois Public Aid Code in  | 
 accordance with subsection (b) of Section 1-8.5 of the  | 
 Illinois Public Aid Code, and the Department of  | 
 Corrections shall provide assistance with completion of  | 
 the application for health care coverage including medical  | 
 | 
 assistance; | 
  (2) information about obtaining a standard Illinois  | 
 Identification Card or a limited-term Illinois  | 
 Identification Card under Section 4 of the Illinois  | 
 Identification Card Act; | 
  (3) information about voter registration and may  | 
 distribute information prepared by the State Board of  | 
 Elections. The Department of Corrections may enter into an  | 
 interagency contract with the State Board of Elections to  | 
 participate in the automatic voter registration program  | 
 and be a designated automatic voter registration agency  | 
 under Section 1A-16.2 of the Election Code; | 
  (4) information about job listings upon discharge from  | 
 the correctional institution or facility; | 
  (5) information about available housing upon discharge  | 
 from the correctional institution or facility; | 
  (6) a directory of elected State officials and of  | 
 officials elected in the county and municipality, if any,  | 
 in which the committed person intends to reside upon  | 
 discharge from the correctional institution or facility;  | 
 and | 
  (7) any other information that the Department of  | 
 Corrections deems necessary to provide the committed  | 
 person in order for the committed person to reenter the  | 
 community and avoid recidivism.  | 
 The Department may adopt rules to implement this Section.  | 
 | 
(Source: P.A. 101-351, eff. 1-1-20; 101-442, eff. 1-1-20;  | 
102-538, eff. 8-20-21; 102-558, eff. 8-20-21; 102-606, eff.  | 
1-1-22; revised 10-15-21.)
 | 
 (730 ILCS 5/5-4-1) (from Ch. 38, par. 1005-4-1)
 | 
 Sec. 5-4-1. Sentencing hearing. 
 | 
 (a) Except when the death penalty is
sought under hearing  | 
procedures otherwise specified, after a
determination of  | 
guilt, a hearing shall be held to impose the sentence.
 | 
However, prior to the imposition of sentence on an individual  | 
being
sentenced for an offense based upon a charge for a  | 
violation of Section
11-501 of the Illinois Vehicle Code or a  | 
similar provision of a local
ordinance, the individual must  | 
undergo a professional evaluation to
determine if an alcohol  | 
or other drug abuse problem exists and the extent
of such a  | 
problem. Programs conducting these evaluations shall be
 | 
licensed by the Department of Human Services. However, if the  | 
individual is
not a resident of Illinois, the court
may, in its  | 
discretion, accept an evaluation from a program in the state  | 
of
such individual's residence. The court shall make a  | 
specific finding about whether the defendant is eligible for  | 
participation in a Department impact incarceration program as  | 
provided in Section 5-8-1.1 or 5-8-1.3, and if not, provide an  | 
explanation as to why a sentence to impact incarceration is  | 
not an appropriate sentence. The court may in its sentencing  | 
order recommend a defendant for placement in a Department of  | 
 | 
Corrections substance abuse treatment program as provided in  | 
paragraph (a) of subsection (1) of Section 3-2-2 conditioned  | 
upon the defendant being accepted in a program by the  | 
Department of Corrections. At the
hearing the court
shall:
 | 
  (1) consider the evidence, if any, received upon the  | 
 trial;
 | 
  (2) consider any presentence reports;
 | 
  (3) consider the financial impact of incarceration  | 
 based on the
financial impact statement filed with the  | 
 clerk of the court by the
Department of Corrections;
 | 
  (4) consider evidence and information offered by the  | 
 parties in
aggravation and mitigation; | 
  (4.5) consider substance abuse treatment, eligibility  | 
 screening, and an assessment, if any, of the defendant by  | 
 an agent designated by the State of Illinois to provide  | 
 assessment services for the Illinois courts;
 | 
  (5) hear arguments as to sentencing alternatives;
 | 
  (6) afford the defendant the opportunity to make a  | 
 statement in his
own behalf;
 | 
  (7) afford the victim of a violent crime or a  | 
 violation of Section
11-501 of the Illinois Vehicle Code,  | 
 or a similar provision of a local
ordinance, the  | 
 opportunity to present an oral or written statement, as  | 
 guaranteed by Article I, Section 8.1 of the Illinois  | 
 Constitution and provided in Section 6 of the Rights of  | 
 Crime Victims and Witnesses Act. The court shall allow a  | 
 | 
 victim to make an oral statement if the victim is present  | 
 in the courtroom and requests to make an oral or written  | 
 statement. An oral or written statement includes the  | 
 victim or a representative of the victim reading the  | 
 written statement. The court may allow persons impacted by  | 
 the crime who are not victims under subsection (a) of  | 
 Section 3 of the Rights of Crime Victims and Witnesses Act  | 
 to present an oral or written statement. A victim and any  | 
 person making an oral statement shall not be put under  | 
 oath or subject to cross-examination. All statements  | 
 offered under this paragraph
(7) shall become part of the  | 
 record of the court. In this
paragraph (7), "victim of a  | 
 violent crime" means a person who is a victim of a violent  | 
 crime for which the defendant has been convicted after a  | 
 bench or jury trial or a person who is the victim of a  | 
 violent crime with which the defendant was charged and the  | 
 defendant has been convicted under a plea agreement of a  | 
 crime that is not a violent crime as defined in subsection  | 
 (c) of 3 of the Rights of Crime Victims and Witnesses Act; | 
  (7.5) afford a qualified person affected by: (i) a  | 
 violation of Section 405, 405.1, 405.2, or 407 of the  | 
 Illinois Controlled Substances Act or a violation of  | 
 Section 55 or Section 65 of the Methamphetamine Control  | 
 and Community Protection Act; or (ii) a Class 4 felony  | 
 violation of Section 11-14, 11-14.3 except as described in  | 
 subdivisions (a)(2)(A) and (a)(2)(B), 11-15, 11-17, 11-18,  | 
 | 
 11-18.1, or 11-19 of the Criminal Code of 1961 or the  | 
 Criminal Code of 2012, committed by the defendant the  | 
 opportunity to make a statement concerning the impact on  | 
 the qualified person and to offer evidence in aggravation  | 
 or mitigation; provided that the statement and evidence  | 
 offered in aggravation or mitigation shall first be  | 
 prepared in writing in conjunction with the State's  | 
 Attorney before it may be presented orally at the hearing.  | 
 Sworn testimony offered by the qualified person is subject  | 
 to the defendant's right to cross-examine. All statements  | 
 and evidence offered under this paragraph (7.5) shall  | 
 become part of the record of the court. In this paragraph  | 
 (7.5), "qualified person" means any person who: (i) lived  | 
 or worked within the territorial jurisdiction where the  | 
 offense took place when the offense took place; or (ii) is  | 
 familiar with various public places within the territorial  | 
 jurisdiction where the offense took place when the offense  | 
 took place. "Qualified person" includes any peace officer  | 
 or any member of any duly organized State, county, or  | 
 municipal peace officer unit assigned to the territorial  | 
 jurisdiction where the offense took place when the offense  | 
 took place;
 | 
  (8) in cases of reckless homicide afford the victim's  | 
 spouse,
guardians, parents or other immediate family  | 
 members an opportunity to make
oral statements;
 | 
  (9) in cases involving a felony sex offense as defined  | 
 | 
 under the Sex
Offender
Management Board Act, consider the  | 
 results of the sex offender evaluation
conducted pursuant  | 
 to Section 5-3-2 of this Act; and
 | 
  (10) make a finding of whether a motor vehicle was  | 
 used in the commission of the offense for which the  | 
 defendant is being sentenced.  | 
 (b) All sentences shall be imposed by the judge based upon  | 
his
independent assessment of the elements specified above and  | 
any agreement
as to sentence reached by the parties. The judge  | 
who presided at the
trial or the judge who accepted the plea of  | 
guilty shall impose the
sentence unless he is no longer  | 
sitting as a judge in that court. Where
the judge does not  | 
impose sentence at the same time on all defendants
who are  | 
convicted as a result of being involved in the same offense,  | 
the
defendant or the State's Attorney may advise the  | 
sentencing court of the
disposition of any other defendants  | 
who have been sentenced.
 | 
 (b-1) In imposing a sentence of imprisonment or periodic  | 
imprisonment for a Class 3 or Class 4 felony for which a  | 
sentence of probation or conditional discharge is an available  | 
sentence, if the defendant has no prior sentence of probation  | 
or conditional discharge and no prior conviction for a violent  | 
crime, the defendant shall not be sentenced to imprisonment  | 
before review and consideration of a presentence report and  | 
determination and explanation of why the particular evidence,  | 
information, factor in aggravation, factual finding, or other  | 
 | 
reasons support a sentencing determination that one or more of  | 
the factors under subsection (a) of Section 5-6-1 of this Code  | 
apply and that probation or conditional discharge is not an  | 
appropriate sentence.  | 
 (c) In imposing a sentence for a violent crime or for an  | 
offense of
operating or being in physical control of a vehicle  | 
while under the
influence of alcohol, any other drug or any  | 
combination thereof, or a
similar provision of a local  | 
ordinance, when such offense resulted in the
personal injury  | 
to someone other than the defendant, the trial judge shall
 | 
specify on the record the particular evidence, information,  | 
factors in
mitigation and aggravation or other reasons that  | 
led to his sentencing
determination. The full verbatim record  | 
of the sentencing hearing shall be
filed with the clerk of the  | 
court and shall be a public record.
 | 
 (c-1) In imposing a sentence for the offense of aggravated  | 
kidnapping for
ransom, home invasion, armed robbery,  | 
aggravated vehicular hijacking,
aggravated discharge of a  | 
firearm, or armed violence with a category I weapon
or  | 
category II weapon,
the trial judge shall make a finding as to  | 
whether the conduct leading to
conviction for the offense  | 
resulted in great bodily harm to a victim, and
shall enter that  | 
finding and the basis for that finding in the record.
 | 
 (c-1.5) Notwithstanding any other provision of law to the  | 
contrary, in imposing a sentence for an offense that requires  | 
a mandatory minimum sentence of imprisonment, the court may  | 
 | 
instead sentence the offender to probation, conditional  | 
discharge, or a lesser term of imprisonment it deems  | 
appropriate if: (1) the offense involves the use or possession  | 
of drugs, retail theft, or driving on a revoked license due to  | 
unpaid financial obligations; (2) the court finds that the  | 
defendant does not pose a risk to public safety; and (3) the  | 
interest of justice requires imposing a term of probation,  | 
conditional discharge, or a lesser term of imprisonment. The  | 
court must state on the record its reasons for imposing  | 
probation, conditional discharge, or a lesser term of  | 
imprisonment. | 
 (c-2) If the defendant is sentenced to prison, other than  | 
when a sentence of
natural life imprisonment or a sentence of  | 
death is imposed, at the time
the sentence is imposed the judge  | 
shall
state on the record in open court the approximate period  | 
of time the defendant
will serve in custody according to the  | 
then current statutory rules and
regulations for sentence  | 
credit found in Section 3-6-3 and other related
provisions of  | 
this Code. This statement is intended solely to inform the
 | 
public, has no legal effect on the defendant's actual release,  | 
and may not be
relied on by the defendant on appeal.
 | 
 The judge's statement, to be given after pronouncing the  | 
sentence, other than
when the sentence is imposed for one of  | 
the offenses enumerated in paragraph
(a)(4) of Section 3-6-3,  | 
shall include the following:
 | 
 "The purpose of this statement is to inform the public of  | 
 | 
the actual period
of time this defendant is likely to spend in  | 
prison as a result of this
sentence. The actual period of  | 
prison time served is determined by the
statutes of Illinois  | 
as applied to this sentence by the Illinois Department of
 | 
Corrections and
the Illinois Prisoner Review Board. In this  | 
case, assuming the defendant
receives all of his or her  | 
sentence credit, the period of estimated actual
custody is ...  | 
years and ... months, less up to 180 days additional earned  | 
sentence credit. If the defendant, because of his or
her own  | 
misconduct or failure to comply with the institutional  | 
regulations,
does not receive those credits, the actual time  | 
served in prison will be
longer. The defendant may also  | 
receive an additional one-half day sentence
credit for each  | 
day of participation in vocational, industry, substance abuse,
 | 
and educational programs as provided for by Illinois statute."
 | 
 When the sentence is imposed for one of the offenses  | 
enumerated in paragraph
(a)(2) of Section 3-6-3, other than  | 
first degree murder, and the offense was
committed on or after  | 
June 19, 1998, and when the sentence is imposed for
reckless  | 
homicide as defined in subsection (e) of Section 9-3 of the  | 
Criminal
Code of 1961 or the Criminal Code of 2012 if the  | 
offense was committed on or after January 1, 1999,
and when the  | 
sentence is imposed for aggravated driving under the influence
 | 
of alcohol, other drug or drugs, or intoxicating compound or  | 
compounds, or
any combination thereof as defined in  | 
subparagraph (F) of paragraph (1) of
subsection (d) of Section  | 
 | 
11-501 of the Illinois Vehicle Code, and when
the sentence is  | 
imposed for aggravated arson if the offense was committed
on  | 
or after July 27, 2001 (the effective date of Public Act  | 
92-176), and when
the sentence is imposed for aggravated  | 
driving under the influence of alcohol,
other drug or drugs,  | 
or intoxicating compound or compounds, or any combination
 | 
thereof as defined in subparagraph (C) of paragraph (1) of  | 
subsection (d) of
Section 11-501 of the Illinois Vehicle Code  | 
committed on or after January 1, 2011 (the effective date of  | 
Public Act 96-1230), the judge's
statement, to be given after  | 
pronouncing the sentence, shall include the
following:
 | 
 "The purpose of this statement is to inform the public of  | 
the actual period
of time this defendant is likely to spend in  | 
prison as a result of this
sentence. The actual period of  | 
prison time served is determined by the
statutes of Illinois  | 
as applied to this sentence by the Illinois Department of
 | 
Corrections and
the Illinois Prisoner Review Board. In this  | 
case,
the defendant is entitled to no more than 4 1/2 days of  | 
sentence credit for
each month of his or her sentence of  | 
imprisonment. Therefore, this defendant
will serve at least  | 
85% of his or her sentence. Assuming the defendant
receives 4  | 
1/2 days credit for each month of his or her sentence, the  | 
period
of estimated actual custody is ... years and ...  | 
months. If the defendant,
because of his or her own misconduct  | 
or failure to comply with the
institutional regulations  | 
receives lesser credit, the actual time served in
prison will  | 
 | 
be longer."
 | 
 When a sentence of imprisonment is imposed for first  | 
degree murder and
the offense was committed on or after June  | 
19, 1998, the judge's statement,
to be given after pronouncing  | 
the sentence, shall include the following:
 | 
 "The purpose of this statement is to inform the public of  | 
the actual period
of time this defendant is likely to spend in  | 
prison as a result of this
sentence. The actual period of  | 
prison time served is determined by the
statutes of Illinois  | 
as applied to this sentence by the Illinois Department
of  | 
Corrections and the Illinois Prisoner Review Board. In this  | 
case, the
defendant is not entitled to sentence credit.  | 
Therefore, this defendant
will serve 100% of his or her  | 
sentence."
 | 
 When the sentencing order recommends placement in a  | 
substance abuse program for any offense that results in  | 
incarceration
in a Department of Corrections facility and the  | 
crime was
committed on or after September 1, 2003 (the  | 
effective date of Public Act
93-354), the judge's
statement,  | 
in addition to any other judge's statement required under this
 | 
Section, to be given after pronouncing the sentence, shall  | 
include the
following:
 | 
 "The purpose of this statement is to inform the public of
 | 
the actual period of time this defendant is likely to spend in
 | 
prison as a result of this sentence. The actual period of
 | 
prison time served is determined by the statutes of Illinois  | 
 | 
as
applied to this sentence by the Illinois Department of
 | 
Corrections and the Illinois Prisoner Review Board. In this
 | 
case, the defendant shall receive no earned sentence credit  | 
under clause (3) of subsection (a) of Section 3-6-3 until he or
 | 
she participates in and completes a substance abuse treatment  | 
program or receives a waiver from the Director of Corrections  | 
pursuant to clause (4.5) of subsection (a) of Section 3-6-3."
 | 
 (c-4) Before the sentencing hearing and as part of the  | 
presentence investigation under Section 5-3-1, the court shall  | 
inquire of the defendant whether the defendant is currently  | 
serving in or is a veteran of the Armed Forces of the United  | 
States.
If the defendant is currently serving in the Armed  | 
Forces of the United States or is a veteran of the Armed Forces  | 
of the United States and has been diagnosed as having a mental  | 
illness by a qualified psychiatrist or clinical psychologist  | 
or physician, the court may: | 
  (1) order that the officer preparing the presentence  | 
 report consult with the United States Department of  | 
 Veterans Affairs, Illinois Department of Veterans'  | 
 Affairs, or another agency or person with suitable  | 
 knowledge or experience for the purpose of providing the  | 
 court with information regarding treatment options  | 
 available to the defendant, including federal, State, and  | 
 local programming; and | 
  (2) consider the treatment recommendations of any  | 
 diagnosing or treating mental health professionals  | 
 | 
 together with the treatment options available to the  | 
 defendant in imposing sentence. | 
 For the purposes of this subsection (c-4), "qualified  | 
psychiatrist" means a reputable physician licensed in Illinois  | 
to practice medicine in all its branches, who has specialized  | 
in the diagnosis and treatment of mental and nervous disorders  | 
for a period of not less than 5 years.  | 
 (c-6) In imposing a sentence, the trial judge shall  | 
specify, on the record, the particular evidence and other  | 
reasons which led to his or her determination that a motor  | 
vehicle was used in the commission of the offense.  | 
 (c-7) In imposing a sentence for a Class 3 or 4 felony,  | 
other than a violent crime as defined in Section 3 of the  | 
Rights of Crime Victims and Witnesses Act, the court shall  | 
determine and indicate in the sentencing order whether the  | 
defendant has 4 or more or fewer than 4 months remaining on his  | 
or her sentence accounting for time served.  | 
 (d) When the defendant is committed to the Department of
 | 
Corrections, the State's Attorney shall and counsel for the  | 
defendant
may file a statement with the clerk of the court to  | 
be transmitted to
the department, agency or institution to  | 
which the defendant is
committed to furnish such department,  | 
agency or institution with the
facts and circumstances of the  | 
offense for which the person was
committed together with all  | 
other factual information accessible to them
in regard to the  | 
person prior to his commitment relative to his habits,
 | 
 | 
associates, disposition and reputation and any other facts and
 | 
circumstances which may aid such department, agency or  | 
institution
during its custody of such person. The clerk shall  | 
within 10 days after
receiving any such statements transmit a  | 
copy to such department, agency
or institution and a copy to  | 
the other party, provided, however, that
this shall not be  | 
cause for delay in conveying the person to the
department,  | 
agency or institution to which he has been committed.
 | 
 (e) The clerk of the court shall transmit to the  | 
department,
agency or institution, if any, to which the  | 
defendant is committed, the
following:
 | 
  (1) the sentence imposed;
 | 
  (2) any statement by the court of the basis for  | 
 imposing the sentence;
 | 
  (3) any presentence reports;
 | 
  (3.5) any sex offender evaluations;
 | 
  (3.6) any substance abuse treatment eligibility  | 
 screening and assessment of the defendant by an agent  | 
 designated by the State of Illinois to provide assessment  | 
 services for the Illinois courts;
 | 
  (4) the number of days, if any, which the defendant  | 
 has been in
custody and for which he is entitled to credit  | 
 against the sentence,
which information shall be provided  | 
 to the clerk by the sheriff;
 | 
  (4.1) any finding of great bodily harm made by the  | 
 court with respect
to an offense enumerated in subsection  | 
 | 
 (c-1);
 | 
  (5) all statements filed under subsection (d) of this  | 
 Section;
 | 
  (6) any medical or mental health records or summaries  | 
 of the defendant;
 | 
  (7) the municipality where the arrest of the offender  | 
 or the commission
of the offense has occurred, where such  | 
 municipality has a population of
more than 25,000 persons;
 | 
  (8) all statements made and evidence offered under  | 
 paragraph (7) of
subsection (a) of this Section; and
 | 
  (9) all additional matters which the court directs the  | 
 clerk to
transmit.
 | 
 (f) In cases in which the court finds that a motor vehicle  | 
was used in the commission of the offense for which the  | 
defendant is being sentenced, the clerk of the court shall,  | 
within 5 days thereafter, forward a report of such conviction  | 
to the Secretary of State.  | 
(Source: P.A. 100-961, eff. 1-1-19; 101-81, eff. 7-12-19;  | 
101-105, eff. 1-1-20; 101-652, Article 10, Section 10-281,  | 
eff. 7-1-21; 101-652, Article 20, Section 20-5, eff. 7-1-21;  | 
revised 11-22-21.)
 | 
 (730 ILCS 5/5-4-3a) | 
 Sec. 5-4-3a. DNA testing backlog accountability. | 
 (a) On or before August 1 of each year, the Illinois State  | 
Police shall report to the Governor and both houses of the  | 
 | 
General Assembly the following information: | 
  (1) the extent of the backlog of cases awaiting  | 
 testing or awaiting DNA analysis by the Illinois State  | 
 Police that Department, including, but not limited to,  | 
 those tests conducted under Section 5-4-3, as of June 30  | 
 of the previous fiscal year, with the backlog being  | 
 defined as all cases awaiting forensic testing whether in  | 
 the physical custody of the Illinois State Police or in  | 
 the physical custody of local law enforcement, provided  | 
 that the Illinois State Police have written notice of any  | 
 evidence in the physical custody of local law enforcement  | 
 prior to June 1 of that year; and | 
  (2) what measures have been and are being taken to  | 
 reduce that backlog and the estimated costs or  | 
 expenditures in doing so.  | 
 (b) The information reported under this Section shall be  | 
made available to the public, at the time it is reported, on  | 
the official website web site of the Illinois State Police.
 | 
 (c) Beginning January 1, 2016, the Illinois State Police  | 
shall quarterly report on the status of the processing of  | 
biology submitted to the Illinois State Police Laboratory for  | 
analysis. The report shall be submitted to the Governor and  | 
the General Assembly, and shall be posted on the Illinois  | 
State Police website. The report shall include the following  | 
for each Illinois State Police Laboratory location and any  | 
laboratory to which the Illinois State Police has outsourced  | 
 | 
evidence for testing: | 
  (1) For biology submissions, report both total  | 
 assignment and sexual assault or abuse assignment (as  | 
 defined by the Sexual Assault Evidence Submission Act)  | 
 figures for: | 
   (A) The number of assignments received in the  | 
 preceding quarter. | 
   (B) The number of assignments completed in the  | 
 preceding quarter. | 
   (C) The number of assignments awaiting waiting  | 
 analysis. | 
   (D) The number of assignments sent for  | 
 outsourcing. | 
   (E) The number of assignments awaiting waiting  | 
 analysis that were received within the past 30 days. | 
   (F) The number of assignments awaiting waiting  | 
 analysis that were received 31 to 90 days prior. | 
   (G) The number of assignments awaiting waiting  | 
 analysis that were received 91 to 180 days prior. | 
   (H) The number of assignments awaiting waiting  | 
 analysis that were received 181 to 365 days prior. | 
   (I) The number of assignments awaiting waiting  | 
 analysis that were received more than 365 days prior. | 
   (J) (Blank). | 
  (2) (Blank). | 
  (3) For all other categories of testing (e.g., drug  | 
 | 
 chemistry, firearms/toolmark, footwear/tire track, latent  | 
 prints, toxicology, and trace chemistry analysis): | 
   (A) The number of assignments received in the  | 
 preceding quarter. | 
   (B) The number of assignments completed in the  | 
 preceding quarter. | 
   (C) The number of assignments awaiting waiting  | 
 analysis. | 
   (D) The number of cases entered in the National  | 
 Integrated Ballistic Information Network (NIBIN). | 
   (E) The number of investigative leads developed  | 
 from National Integrated Ballistic Information Network  | 
 (NIBIN) analysis.  | 
  (4) For the Combined DNA Index System (CODIS), report  | 
 both total assignment and sexual assault or abuse  | 
 assignment (as defined by the Sexual Assault Evidence  | 
 Submission Act) figures for subparagraphs (D), (E), and  | 
 (F) of this paragraph (4): | 
   (A) The number of new offender samples received in  | 
 the preceding quarter. | 
   (B) The number of offender samples uploaded to  | 
 CODIS in the preceding quarter. | 
   (C) The number of offender samples awaiting  | 
 analysis. | 
   (D) The number of unknown DNA case profiles  | 
 uploaded to CODIS in the preceding quarter. | 
 | 
   (E) The number of CODIS hits in the preceding  | 
 quarter. | 
   (F) The number of forensic evidence submissions  | 
 submitted to confirm a previously reported CODIS hit. | 
  (5) For each category of testing, report the number of  | 
 trained forensic scientists and the number of forensic  | 
 scientists in training. | 
 As used in this subsection (c), "completed" means  | 
completion of both the analysis of the evidence and the  | 
provision of the results to the submitting law enforcement  | 
agency.  | 
 (d) The provisions of this subsection (d), other than this  | 
sentence, are inoperative on and after January 1, 2019 or 2  | 
years after the effective date of this amendatory Act of the  | 
99th General Assembly, whichever is later. In consultation  | 
with and subject to the approval of the Chief Procurement  | 
Officer, the Illinois State Police may obtain contracts for  | 
services, commodities, and equipment to assist in the timely  | 
completion of biology, drug chemistry, firearms/toolmark,  | 
footwear/tire track, latent prints, toxicology, microscopy,  | 
trace chemistry, and Combined DNA Index System (CODIS)  | 
analysis. Contracts to support the delivery of timely forensic  | 
science services are not subject to the provisions of the  | 
Illinois Procurement Code, except for Sections 20-60, 20-65,  | 
20-70, and 20-160 and Article 50 of that Code, provided that  | 
the Chief Procurement Officer may, in writing with  | 
 | 
justification, waive any certification required under Article  | 
50 of the Illinois Procurement Code. For any contracts for  | 
services which are currently provided by members of a  | 
collective bargaining agreement, the applicable terms of the  | 
collective bargaining agreement concerning subcontracting  | 
shall be followed. | 
(Source: P.A. 102-237, eff. 1-1-22; 102-278, eff. 8-6-21;  | 
102-538, eff. 8-20-21; revised 10-15-21.)
 | 
 (730 ILCS 5/5-5-3)
 | 
 Sec. 5-5-3. Disposition. 
 | 
 (a) (Blank).
 | 
 (b) (Blank). 
 | 
 (c) (1) (Blank).
 | 
 (2) A period of probation, a term of periodic imprisonment  | 
or
conditional discharge shall not be imposed for the  | 
following offenses.
The court shall sentence the offender to  | 
not less than the minimum term
of imprisonment set forth in  | 
this Code for the following offenses, and
may order a fine or  | 
restitution or both in conjunction with such term of
 | 
imprisonment:
 | 
  (A) First degree murder where the death penalty is not  | 
 imposed.
 | 
  (B) Attempted first degree murder.
 | 
  (C) A Class X felony.
 | 
  (D) A violation of Section 401.1 or 407 of the
 | 
 | 
 Illinois Controlled Substances Act, or a violation of  | 
 subdivision (c)(1.5) of
Section 401 of that Act which  | 
 relates to more than 5 grams of a substance
containing  | 
 fentanyl or an analog thereof.
 | 
  (D-5) A violation of subdivision (c)(1) of
Section 401  | 
 of the Illinois Controlled Substances Act which relates to  | 
 3 or more grams of a substance
containing heroin or an  | 
 analog thereof.  | 
  (E) (Blank).
 | 
  (F) A Class 1 or greater felony if the offender had  | 
 been convicted
of a Class 1 or greater felony, including  | 
 any state or federal conviction for an offense that  | 
 contained, at the time it was committed, the same elements  | 
 as an offense now (the date of the offense committed after  | 
 the prior Class 1 or greater felony) classified as a Class  | 
 1 or greater felony, within 10 years of the date on which  | 
 the
offender
committed the offense for which he or she is  | 
 being sentenced, except as
otherwise provided in Section  | 
 40-10 of the Substance Use Disorder Act.
 | 
  (F-3) A Class 2 or greater felony sex offense or  | 
 felony firearm offense if the offender had been convicted  | 
 of a Class 2 or greater felony, including any state or  | 
 federal conviction for an offense that contained, at the  | 
 time it was committed, the same elements as an offense now  | 
 (the date of the offense committed after the prior Class 2  | 
 or greater felony) classified as a Class 2 or greater  | 
 | 
 felony, within 10 years of the date on which the offender  | 
 committed the offense for which he or she is being  | 
 sentenced, except as otherwise provided in Section 40-10  | 
 of the Substance Use Disorder Act.  | 
  (F-5) A violation of Section 24-1, 24-1.1, or 24-1.6  | 
 of the Criminal Code of 1961 or the Criminal Code of 2012  | 
 for which imprisonment is prescribed in those Sections. | 
  (G) Residential burglary, except as otherwise provided  | 
 in Section 40-10
of the Substance Use Disorder Act.
 | 
  (H) Criminal sexual assault.
 | 
  (I) Aggravated battery of a senior citizen as  | 
 described in Section 12-4.6 or subdivision (a)(4) of  | 
 Section 12-3.05 of the Criminal Code of 1961 or the  | 
 Criminal Code of 2012.
 | 
  (J) A forcible felony if the offense was related to  | 
 the activities of an
organized gang.
 | 
  Before July 1, 1994, for the purposes of this  | 
 paragraph, "organized
gang" means an association of 5 or  | 
 more persons, with an established hierarchy,
that  | 
 encourages members of the association to perpetrate crimes  | 
 or provides
support to the members of the association who  | 
 do commit crimes.
 | 
  Beginning July 1, 1994, for the purposes of this  | 
 paragraph,
"organized gang" has the meaning ascribed to it  | 
 in Section 10 of the Illinois
Streetgang Terrorism Omnibus  | 
 Prevention Act.
 | 
 | 
  (K) Vehicular hijacking.
 | 
  (L) A second or subsequent conviction for the offense  | 
 of hate crime
when the underlying offense upon which the  | 
 hate crime is based is felony
aggravated
assault or felony  | 
 mob action.
 | 
  (M) A second or subsequent conviction for the offense  | 
 of institutional
vandalism if the damage to the property  | 
 exceeds $300.
 | 
  (N) A Class 3 felony violation of paragraph (1) of  | 
 subsection (a) of
Section 2 of the Firearm Owners  | 
 Identification Card Act.
 | 
  (O) A violation of Section 12-6.1 or 12-6.5 of the  | 
 Criminal Code of 1961 or the Criminal Code of 2012.
 | 
  (P) A violation of paragraph (1), (2), (3), (4), (5),  | 
 or (7) of
subsection (a)
of Section 11-20.1 of the  | 
 Criminal Code of 1961 or the Criminal Code of 2012.
 | 
  (P-5) A violation of paragraph (6) of subsection (a)  | 
 of
Section 11-20.1 of the Criminal Code of 1961 or the
 | 
 Criminal Code of 2012 if the victim is a household or
 | 
 family member of the defendant. | 
  (Q) A violation of subsection (b) or (b-5) of Section  | 
 20-1, Section 20-1.2, or Section 20-1.3 of the Criminal  | 
 Code of
1961 or the Criminal Code of 2012.
 | 
  (R) A violation of Section 24-3A of the Criminal Code  | 
 of
1961 or the Criminal Code of 2012.
 | 
  (S) (Blank).
 | 
 | 
  (T) (Blank).
 | 
  (U) A second or subsequent violation of Section 6-303  | 
 of the Illinois Vehicle Code committed while his or her  | 
 driver's license, permit, or privilege was revoked because  | 
 of a violation of Section 9-3 of the Criminal Code of 1961  | 
 or the Criminal Code of 2012, relating to the offense of  | 
 reckless homicide, or a similar provision of a law of  | 
 another state.
 | 
  (V)
A violation of paragraph (4) of subsection (c) of  | 
 Section 11-20.1B or paragraph (4) of subsection (c) of  | 
 Section 11-20.3 of the Criminal Code of 1961, or paragraph  | 
 (6) of subsection (a) of Section 11-20.1 of the Criminal  | 
 Code of 2012 when the victim is under 13 years of age and  | 
 the defendant has previously been convicted under the laws  | 
 of this State or any other state of the offense of child  | 
 pornography, aggravated child pornography, aggravated  | 
 criminal sexual abuse, aggravated criminal sexual assault,  | 
 predatory criminal sexual assault of a child, or any of  | 
 the offenses formerly known as rape, deviate sexual  | 
 assault, indecent liberties with a child, or aggravated  | 
 indecent liberties with a child where the victim was under  | 
 the age of 18 years or an offense that is substantially  | 
 equivalent to those offenses. | 
  (W) A violation of Section 24-3.5 of the Criminal Code  | 
 of 1961 or the Criminal Code of 2012.
 | 
  (X) A violation of subsection (a) of Section 31-1a of  | 
 | 
 the Criminal Code of 1961 or the Criminal Code of 2012. | 
  (Y) A conviction for unlawful possession of a firearm  | 
 by a street gang member when the firearm was loaded or  | 
 contained firearm ammunition.  | 
  (Z) A Class 1 felony committed while he or she was  | 
 serving a term of probation or conditional discharge for a  | 
 felony. | 
  (AA) Theft of property exceeding $500,000 and not  | 
 exceeding $1,000,000 in value. | 
  (BB) Laundering of criminally derived property of a  | 
 value exceeding
$500,000. | 
  (CC) Knowingly selling, offering for sale, holding for  | 
 sale, or using 2,000 or more counterfeit items or  | 
 counterfeit items having a retail value in the aggregate  | 
 of $500,000 or more.  | 
  (DD) A conviction for aggravated assault under  | 
 paragraph (6) of subsection (c) of Section 12-2 of the  | 
 Criminal Code of 1961 or the Criminal Code of 2012 if the  | 
 firearm is aimed toward the person against whom the  | 
 firearm is being used.  | 
  (EE) A conviction for a violation of paragraph (2) of  | 
 subsection (a) of Section 24-3B of the Criminal Code of  | 
 2012.  | 
 (3) (Blank).
 | 
 (4) A minimum term of imprisonment of not less than 10
 | 
consecutive days or 30 days of community service shall be  | 
 | 
imposed for a
violation of paragraph (c) of Section 6-303 of  | 
the Illinois Vehicle Code.
 | 
 (4.1) (Blank).
 | 
 (4.2) Except as provided in paragraphs (4.3) and (4.8) of  | 
this subsection (c), a
minimum of
100 hours of community  | 
service shall be imposed for a second violation of
Section  | 
6-303
of the Illinois Vehicle Code.
 | 
 (4.3) A minimum term of imprisonment of 30 days or 300  | 
hours of community
service, as determined by the court, shall
 | 
be imposed for a second violation of subsection (c) of Section  | 
6-303 of the
Illinois Vehicle Code.
 | 
 (4.4) Except as provided in paragraphs
(4.5), (4.6), and  | 
(4.9) of this
subsection (c), a
minimum term of imprisonment  | 
of 30 days or 300 hours of community service, as
determined by  | 
the court, shall
be imposed
for a third or subsequent  | 
violation of Section 6-303 of the Illinois Vehicle
Code. The  | 
court may give credit toward the fulfillment of community  | 
service hours for participation in activities and treatment as  | 
determined by court services. 
 | 
 (4.5) A minimum term of imprisonment of 30 days
shall be  | 
imposed for a third violation of subsection (c) of
Section  | 
6-303 of the Illinois Vehicle Code.
 | 
 (4.6) Except as provided in paragraph (4.10) of this  | 
subsection (c), a minimum term of imprisonment of 180 days  | 
shall be imposed for a
fourth or subsequent violation of  | 
subsection (c) of Section 6-303 of the
Illinois Vehicle Code.
 | 
 | 
 (4.7) A minimum term of imprisonment of not less than 30  | 
consecutive days, or 300 hours of community service, shall be  | 
imposed for a violation of subsection (a-5) of Section 6-303  | 
of the Illinois Vehicle Code, as provided in subsection (b-5)  | 
of that Section.
 | 
 (4.8) A mandatory prison sentence shall be imposed for a  | 
second violation of subsection (a-5) of Section 6-303 of the  | 
Illinois Vehicle Code, as provided in subsection (c-5) of that  | 
Section. The person's driving privileges shall be revoked for  | 
a period of not less than 5 years from the date of his or her  | 
release from prison.
 | 
 (4.9) A mandatory prison sentence of not less than 4 and  | 
not more than 15 years shall be imposed for a third violation  | 
of subsection (a-5) of Section 6-303 of the Illinois Vehicle  | 
Code, as provided in subsection (d-2.5) of that Section. The  | 
person's driving privileges shall be revoked for the remainder  | 
of his or her life.
 | 
 (4.10) A mandatory prison sentence for a Class 1 felony  | 
shall be imposed, and the person shall be eligible for an  | 
extended term sentence, for a fourth or subsequent violation  | 
of subsection (a-5) of Section 6-303 of the Illinois Vehicle  | 
Code, as provided in subsection (d-3.5) of that Section. The  | 
person's driving privileges shall be revoked for the remainder  | 
of his or her life.
 | 
 (5) The court may sentence a corporation or unincorporated
 | 
association convicted of any offense to:
 | 
 | 
  (A) a period of conditional discharge;
 | 
  (B) a fine;
 | 
  (C) make restitution to the victim under Section 5-5-6  | 
 of this Code.
 | 
 (5.1) In addition to any other penalties imposed, and  | 
except as provided in paragraph (5.2) or (5.3), a person
 | 
convicted of violating subsection (c) of Section 11-907 of the  | 
Illinois
Vehicle Code shall have his or her driver's license,  | 
permit, or privileges
suspended for at least 90 days but not  | 
more than one year, if the violation
resulted in damage to the  | 
property of another person.
 | 
 (5.2) In addition to any other penalties imposed, and  | 
except as provided in paragraph (5.3), a person convicted
of  | 
violating subsection (c) of Section 11-907 of the Illinois  | 
Vehicle Code
shall have his or her driver's license, permit,  | 
or privileges suspended for at
least 180 days but not more than  | 
2 years, if the violation resulted in injury
to
another  | 
person.
 | 
 (5.3) In addition to any other penalties imposed, a person  | 
convicted of violating subsection (c) of Section
11-907 of the  | 
Illinois Vehicle Code shall have his or her driver's license,
 | 
permit, or privileges suspended for 2 years, if the violation  | 
resulted in the
death of another person.
 | 
 (5.4) In addition to any other penalties imposed, a person  | 
convicted of violating Section 3-707 of the Illinois Vehicle  | 
Code shall have his or her driver's license, permit, or  | 
 | 
privileges suspended for 3 months and until he or she has paid  | 
a reinstatement fee of $100. | 
 (5.5) In addition to any other penalties imposed, a person  | 
convicted of violating Section 3-707 of the Illinois Vehicle  | 
Code during a period in which his or her driver's license,  | 
permit, or privileges were suspended for a previous violation  | 
of that Section shall have his or her driver's license,  | 
permit, or privileges suspended for an additional 6 months  | 
after the expiration of the original 3-month suspension and  | 
until he or she has paid a reinstatement fee of $100.
 | 
 (6) (Blank).
 | 
 (7) (Blank).
 | 
 (8) (Blank).
 | 
 (9) A defendant convicted of a second or subsequent  | 
offense of ritualized
abuse of a child may be sentenced to a  | 
term of natural life imprisonment.
 | 
 (10) (Blank).
 | 
 (11) The court shall impose a minimum fine of $1,000 for a  | 
first offense
and $2,000 for a second or subsequent offense  | 
upon a person convicted of or
placed on supervision for  | 
battery when the individual harmed was a sports
official or  | 
coach at any level of competition and the act causing harm to  | 
the
sports
official or coach occurred within an athletic  | 
facility or within the immediate vicinity
of the athletic  | 
facility at which the sports official or coach was an active
 | 
participant
of the athletic contest held at the athletic  | 
 | 
facility. For the purposes of
this paragraph (11), "sports  | 
official" means a person at an athletic contest
who enforces  | 
the rules of the contest, such as an umpire or referee;  | 
"athletic facility" means an indoor or outdoor playing field  | 
or recreational area where sports activities are conducted;
 | 
and "coach" means a person recognized as a coach by the  | 
sanctioning
authority that conducted the sporting event. | 
 (12) A person may not receive a disposition of court  | 
supervision for a
violation of Section 5-16 of the Boat  | 
Registration and Safety Act if that
person has previously  | 
received a disposition of court supervision for a
violation of  | 
that Section.
 | 
 (13) A person convicted of or placed on court supervision  | 
for an assault or aggravated assault when the victim and the  | 
offender are family or household members as defined in Section  | 
103 of the Illinois Domestic Violence Act of 1986 or convicted  | 
of domestic battery or aggravated domestic battery may be  | 
required to attend a Partner Abuse Intervention Program under  | 
protocols set forth by the Illinois Department of Human  | 
Services under such terms and conditions imposed by the court.  | 
The costs of such classes shall be paid by the offender.
 | 
 (d) In any case in which a sentence originally imposed is  | 
vacated,
the case shall be remanded to the trial court. The  | 
trial court shall
hold a hearing under Section 5-4-1 of this  | 
Code
which may include evidence of the defendant's life, moral  | 
character and
occupation during the time since the original  | 
 | 
sentence was passed. The
trial court shall then impose  | 
sentence upon the defendant. The trial
court may impose any  | 
sentence which could have been imposed at the
original trial  | 
subject to Section 5-5-4 of this Code.
If a sentence is vacated  | 
on appeal or on collateral attack due to the
failure of the  | 
trier of fact at trial to determine beyond a reasonable doubt
 | 
the
existence of a fact (other than a prior conviction)  | 
necessary to increase the
punishment for the offense beyond  | 
the statutory maximum otherwise applicable,
either the  | 
defendant may be re-sentenced to a term within the range  | 
otherwise
provided or, if the State files notice of its  | 
intention to again seek the
extended sentence, the defendant  | 
shall be afforded a new trial.
 | 
 (e) In cases where prosecution for
aggravated criminal  | 
sexual abuse under Section 11-1.60 or 12-16 of the
Criminal  | 
Code of 1961 or the Criminal Code of 2012 results in conviction  | 
of a defendant
who was a family member of the victim at the  | 
time of the commission of the
offense, the court shall  | 
consider the safety and welfare of the victim and
may impose a  | 
sentence of probation only where:
 | 
  (1) the court finds (A) or (B) or both are  | 
 appropriate:
 | 
   (A) the defendant is willing to undergo a court  | 
 approved counseling
program for a minimum duration of  | 
 2 years; or
 | 
   (B) the defendant is willing to participate in a  | 
 | 
 court approved plan,
including, but not limited to,  | 
 the defendant's:
 | 
    (i) removal from the household;
 | 
    (ii) restricted contact with the victim;
 | 
    (iii) continued financial support of the  | 
 family;
 | 
    (iv) restitution for harm done to the victim;  | 
 and
 | 
    (v) compliance with any other measures that  | 
 the court may
deem appropriate; and
 | 
  (2) the court orders the defendant to pay for the  | 
 victim's counseling
services, to the extent that the court  | 
 finds, after considering the
defendant's income and  | 
 assets, that the defendant is financially capable of
 | 
 paying for such services, if the victim was under 18 years  | 
 of age at the
time the offense was committed and requires  | 
 counseling as a result of the
offense.
 | 
 Probation may be revoked or modified pursuant to Section  | 
5-6-4; except
where the court determines at the hearing that  | 
the defendant violated a
condition of his or her probation  | 
restricting contact with the victim or
other family members or  | 
commits another offense with the victim or other
family  | 
members, the court shall revoke the defendant's probation and
 | 
impose a term of imprisonment.
 | 
 For the purposes of this Section, "family member" and  | 
"victim" shall have
the meanings ascribed to them in Section  | 
 | 
11-0.1 of the Criminal Code of
2012.
 | 
 (f) (Blank).
 | 
 (g) Whenever a defendant is convicted of an offense under  | 
Sections 11-1.20, 11-1.30, 11-1.40, 11-1.50, 11-1.60,
11-14,  | 
11-14.3, 11-14.4 except for an offense that involves keeping a  | 
place of juvenile prostitution, 11-15, 11-15.1, 11-16, 11-17,  | 
11-18, 11-18.1, 11-19, 11-19.1, 11-19.2,
12-13, 12-14,  | 
12-14.1, 12-15, or 12-16 of the Criminal Code of 1961 or the  | 
Criminal Code of 2012,
the defendant shall undergo medical  | 
testing to
determine whether the defendant has any sexually  | 
transmissible disease,
including a test for infection with  | 
human immunodeficiency virus (HIV) or
any other identified  | 
causative agent of acquired immunodeficiency syndrome
(AIDS).  | 
Any such medical test shall be performed only by appropriately
 | 
licensed medical practitioners and may include an analysis of  | 
any bodily
fluids as well as an examination of the defendant's  | 
person.
Except as otherwise provided by law, the results of  | 
such test shall be kept
strictly confidential by all medical  | 
personnel involved in the testing and must
be personally  | 
delivered in a sealed envelope to the judge of the court in  | 
which
the conviction was entered for the judge's inspection in  | 
camera. Acting in
accordance with the best interests of the  | 
victim and the public, the judge
shall have the discretion to  | 
determine to whom, if anyone, the results of the
testing may be  | 
revealed. The court shall notify the defendant
of the test  | 
results. The court shall
also notify the victim if requested  | 
 | 
by the victim, and if the victim is under
the age of 15 and if  | 
requested by the victim's parents or legal guardian, the
court  | 
shall notify the victim's parents or legal guardian of the  | 
test
results.
The court shall provide information on the  | 
availability of HIV testing
and counseling at Department of  | 
Public Health facilities to all parties to
whom the results of  | 
the testing are revealed and shall direct the State's
Attorney  | 
to provide the information to the victim when possible.
The  | 
court shall order that the cost of any such test
shall be paid  | 
by the county and may be taxed as costs against the convicted
 | 
defendant.
 | 
 (g-5) When an inmate is tested for an airborne  | 
communicable disease, as
determined by the Illinois Department  | 
of Public Health, including, but not
limited to, tuberculosis,  | 
the results of the test shall be
personally delivered by the  | 
warden or his or her designee in a sealed envelope
to the judge  | 
of the court in which the inmate must appear for the judge's
 | 
inspection in camera if requested by the judge. Acting in  | 
accordance with the
best interests of those in the courtroom,  | 
the judge shall have the discretion
to determine what if any  | 
precautions need to be taken to prevent transmission
of the  | 
disease in the courtroom.
 | 
 (h) Whenever a defendant is convicted of an offense under  | 
Section 1 or 2
of the Hypodermic Syringes and Needles Act, the  | 
defendant shall undergo
medical testing to determine whether  | 
the defendant has been exposed to human
immunodeficiency virus  | 
 | 
(HIV) or any other identified causative agent of
acquired  | 
immunodeficiency syndrome (AIDS). Except as otherwise provided  | 
by
law, the results of such test shall be kept strictly  | 
confidential by all
medical personnel involved in the testing  | 
and must be personally delivered in a
sealed envelope to the  | 
judge of the court in which the conviction was entered
for the  | 
judge's inspection in camera. Acting in accordance with the  | 
best
interests of the public, the judge shall have the  | 
discretion to determine to
whom, if anyone, the results of the  | 
testing may be revealed. The court shall
notify the defendant  | 
of a positive test showing an infection with the human
 | 
immunodeficiency virus (HIV). The court shall provide  | 
information on the
availability of HIV testing and counseling  | 
at Department of Public Health
facilities to all parties to  | 
whom the results of the testing are revealed and
shall direct  | 
the State's Attorney to provide the information to the victim  | 
when
possible. The court shall order that the cost of any
such  | 
test shall be paid by the county and may be taxed as costs  | 
against the
convicted defendant.
 | 
 (i) All fines and penalties imposed under this Section for  | 
any violation
of Chapters 3, 4, 6, and 11 of the Illinois  | 
Vehicle Code, or a similar
provision of a local ordinance, and  | 
any violation
of the Child Passenger Protection Act, or a  | 
similar provision of a local
ordinance, shall be collected and  | 
disbursed by the circuit
clerk as provided under the Criminal  | 
and Traffic Assessment Act.
 | 
 | 
 (j) In cases when prosecution for any violation of Section  | 
11-1.20, 11-1.30, 11-1.40, 11-1.50, 11-1.60, 11-6, 11-8,
11-9,  | 
11-11, 11-14, 11-14.3, 11-14.4, 11-15, 11-15.1, 11-16, 11-17,  | 
11-17.1, 11-18, 11-18.1,
11-19, 11-19.1, 11-19.2, 11-20.1,  | 
11-20.1B, 11-20.3, 11-21, 11-30, 11-40, 12-13, 12-14, 12-14.1,  | 
12-15, or
12-16 of the
Criminal Code of 1961 or the Criminal  | 
Code of 2012, any violation of the Illinois Controlled  | 
Substances Act,
any violation of the Cannabis Control Act, or  | 
any violation of the Methamphetamine Control and Community  | 
Protection Act results in conviction, a
disposition of court  | 
supervision, or an order of probation granted under
Section 10  | 
of the Cannabis Control Act, Section 410 of the Illinois
 | 
Controlled Substances Act, or Section 70 of the  | 
Methamphetamine Control and Community Protection Act of a  | 
defendant, the court shall determine whether the
defendant is  | 
employed by a facility or center as defined under the Child  | 
Care
Act of 1969, a public or private elementary or secondary  | 
school, or otherwise
works with children under 18 years of age  | 
on a daily basis. When a defendant
is so employed, the court  | 
shall order the Clerk of the Court to send a copy of
the  | 
judgment of conviction or order of supervision or probation to  | 
the
defendant's employer by certified mail.
If the employer of  | 
the defendant is a school, the Clerk of the Court shall
direct  | 
the mailing of a copy of the judgment of conviction or order of
 | 
supervision or probation to the appropriate regional  | 
superintendent of schools.
The regional superintendent of  | 
 | 
schools shall notify the State Board of
Education of any  | 
notification under this subsection.
 | 
 (j-5) A defendant at least 17 years of age who is convicted  | 
of a felony and
who has not been previously convicted of a  | 
misdemeanor or felony and who is
sentenced to a term of  | 
imprisonment in the Illinois Department of Corrections
shall  | 
as a condition of his or her sentence be required by the court  | 
to attend
educational courses designed to prepare the  | 
defendant for a high school diploma
and to work toward a high  | 
school diploma or to work toward passing high school  | 
equivalency testing or to work toward
completing a vocational  | 
training program offered by the Department of
Corrections. If  | 
a defendant fails to complete the educational training
 | 
required by his or her sentence during the term of  | 
incarceration, the Prisoner
Review Board shall, as a condition  | 
of mandatory supervised release, require the
defendant, at his  | 
or her own expense, to pursue a course of study toward a high
 | 
school diploma or passage of high school equivalency testing.  | 
The Prisoner Review Board shall
revoke the mandatory  | 
supervised release of a defendant who wilfully fails to
comply  | 
with this subsection (j-5) upon his or her release from  | 
confinement in a
penal institution while serving a mandatory  | 
supervised release term; however,
the inability of the  | 
defendant after making a good faith effort to obtain
financial  | 
aid or pay for the educational training shall not be deemed a  | 
wilful
failure to comply. The Prisoner Review Board shall  | 
 | 
recommit the defendant
whose mandatory supervised release term  | 
has been revoked under this subsection
(j-5) as provided in  | 
Section 3-3-9. This subsection (j-5) does not apply to a
 | 
defendant who has a high school diploma or has successfully  | 
passed high school equivalency testing. This subsection (j-5)  | 
does not apply to a defendant who is determined by
the court to  | 
be a person with a developmental disability or otherwise  | 
mentally incapable of
completing the educational or vocational  | 
program.
 | 
 (k) (Blank).
 | 
 (l) (A) Except as provided
in paragraph (C) of subsection  | 
(l), whenever a defendant,
who is an alien as defined by the  | 
Immigration and Nationality Act, is convicted
of any felony or  | 
misdemeanor offense, the court after sentencing the defendant
 | 
may, upon motion of the State's Attorney, hold sentence in  | 
abeyance and remand
the defendant to the custody of the  | 
Attorney General of
the United States or his or her designated  | 
agent to be deported when:
 | 
  (1) a final order of deportation has been issued  | 
 against the defendant
pursuant to proceedings under the  | 
 Immigration and Nationality Act, and
 | 
  (2) the deportation of the defendant would not  | 
 deprecate the seriousness
of the defendant's conduct and  | 
 would not be inconsistent with the ends of
justice.
 | 
 Otherwise, the defendant shall be sentenced as provided in  | 
this Chapter V.
 | 
 | 
 (B) If the defendant has already been sentenced for a  | 
felony or
misdemeanor
offense, or has been placed on probation  | 
under Section 10 of the Cannabis
Control Act,
Section 410 of  | 
the Illinois Controlled Substances Act, or Section 70 of the  | 
Methamphetamine Control and Community Protection Act, the  | 
court
may, upon motion of the State's Attorney to suspend the
 | 
sentence imposed, commit the defendant to the custody of the  | 
Attorney General
of the United States or his or her designated  | 
agent when:
 | 
  (1) a final order of deportation has been issued  | 
 against the defendant
pursuant to proceedings under the  | 
 Immigration and Nationality Act, and
 | 
  (2) the deportation of the defendant would not  | 
 deprecate the seriousness
of the defendant's conduct and  | 
 would not be inconsistent with the ends of
justice.
 | 
 (C) This subsection (l) does not apply to offenders who  | 
are subject to the
provisions of paragraph (2) of subsection  | 
(a) of Section 3-6-3.
 | 
 (D) Upon motion of the State's Attorney, if a defendant  | 
sentenced under
this Section returns to the jurisdiction of  | 
the United States, the defendant
shall be recommitted to the  | 
custody of the county from which he or she was
sentenced.
 | 
Thereafter, the defendant shall be brought before the  | 
sentencing court, which
may impose any sentence that was  | 
available under Section 5-5-3 at the time of
initial  | 
sentencing. In addition, the defendant shall not be eligible  | 
 | 
for
additional earned sentence credit as provided under
 | 
Section 3-6-3.
 | 
 (m) A person convicted of criminal defacement of property  | 
under Section
21-1.3 of the Criminal Code of 1961 or the  | 
Criminal Code of 2012, in which the property damage exceeds  | 
$300
and the property damaged is a school building, shall be  | 
ordered to perform
community service that may include cleanup,  | 
removal, or painting over the
defacement.
 | 
 (n) The court may sentence a person convicted of a  | 
violation of Section
12-19, 12-21, 16-1.3, or 17-56, or  | 
subsection (a) or (b) of Section 12-4.4a, of the Criminal Code  | 
of 1961 or the Criminal Code of 2012 (i) to an impact
 | 
incarceration program if the person is otherwise eligible for  | 
that program
under Section 5-8-1.1, (ii) to community service,  | 
or (iii) if the person has a substance use disorder, as defined
 | 
in the Substance Use Disorder Act, to a treatment program
 | 
licensed under that Act. | 
 (o) Whenever a person is convicted of a sex offense as  | 
defined in Section 2 of the Sex Offender Registration Act, the  | 
defendant's driver's license or permit shall be subject to  | 
renewal on an annual basis in accordance with the provisions  | 
of license renewal established by the Secretary of State.
 | 
(Source: P.A. 101-81, eff. 7-12-19; 102-168, eff. 7-27-21;  | 
102-531, eff. 1-1-22; revised 10-12-21.)
 | 
 (730 ILCS 5/5-9-1.4) (from Ch. 38, par. 1005-9-1.4)
 | 
 | 
 Sec. 5-9-1.4. (a) "Crime laboratory" means any  | 
not-for-profit
laboratory registered with the Drug Enforcement  | 
Administration of the
United States Department of Justice,  | 
substantially funded by a unit or
combination of units of  | 
local government or the State of Illinois, which
regularly  | 
employs at least one person engaged in the analysis
of  | 
controlled substances, cannabis, methamphetamine, or steroids  | 
for criminal justice
agencies in criminal matters and provides  | 
testimony with respect to such
examinations.
 | 
 (b) (Blank).
 | 
 (c) In addition to any other disposition made pursuant to  | 
the provisions
of the Juvenile Court Act of 1987, any minor  | 
adjudicated delinquent for an
offense
which if committed by an  | 
adult would constitute a violation of the Cannabis
Control  | 
Act, the Illinois Controlled Substances Act, the  | 
Methamphetamine Control and Community Protection Act, or the  | 
Steroid Control
Act shall be required to pay a criminal  | 
laboratory analysis assessment of $100
for each
adjudication.
 | 
Upon verified petition of the minor, the court may suspend  | 
payment of
all or part of the assessment if it finds that the  | 
minor does not have the ability
to pay the assessment.
The  | 
parent, guardian, or legal custodian of the minor may pay
some  | 
or all of such assessment on the minor's behalf.
 | 
 (d) All criminal laboratory analysis fees provided for by  | 
this Section shall
be collected by the clerk of the court and  | 
forwarded to the appropriate
crime laboratory fund as provided  | 
 | 
in subsection (f).
 | 
 (e) Crime laboratory funds shall be established as  | 
follows:
 | 
  (1) Any unit of local government which maintains a  | 
 crime laboratory may
establish a crime laboratory fund  | 
 within the office of the county or municipal treasurer.
 | 
  (2) Any combination of units of local government which  | 
 maintains a crime
laboratory may establish a crime  | 
 laboratory fund within the office of the
treasurer of the  | 
 county where the crime laboratory is situated.
 | 
  (3) The State Crime Laboratory Fund is hereby
created  | 
 as a special fund in the State Treasury. Notwithstanding  | 
 any other provision of law to the contrary, and in  | 
 addition to any other transfers that may be provided by  | 
 law, on August 20, 2021 (the effective date of Public Act  | 
 102-505) this amendatory Act of the 102nd General  | 
 Assembly, or as soon thereafter as practical, the State  | 
 Comptroller shall direct and the State Treasurer shall  | 
 transfer the remaining balance from the State Offender DNA  | 
 Identification System
Fund into the State Crime Laboratory  | 
 Fund. Upon completion of the transfer, the State Offender  | 
 DNA Identification System
Fund is dissolved, and any  | 
 future deposits due to that Fund and any outstanding  | 
 obligations or liabilities of that Fund shall pass to the  | 
 State Crime Laboratory Fund. 
 | 
 (f) The analysis assessment provided for in subsection (c)  | 
 | 
of this
Section shall be forwarded to the office of the  | 
treasurer of the unit of
local government that performed the  | 
analysis if that unit of local
government has established a  | 
crime laboratory fund, or to the State Crime
Laboratory Fund  | 
if the analysis was performed by a laboratory operated by
the  | 
Illinois State Police. If the analysis was performed by a  | 
crime
laboratory funded by a combination of units of local  | 
government, the
analysis assessment shall be forwarded to the  | 
treasurer of the
county where the crime laboratory is situated  | 
if a crime laboratory fund
has been established in that  | 
county. If the unit of local government or
combination of  | 
units of local government has not established a crime
 | 
laboratory fund, then the analysis assessment shall be  | 
forwarded to the State
Crime Laboratory Fund.
 | 
 (g) Moneys deposited into a crime laboratory fund created  | 
pursuant to paragraph
paragraphs (1) or (2) of subsection (e)  | 
of this Section shall be in
addition to any allocations made  | 
pursuant to existing law and shall be
designated for the  | 
exclusive use of the crime laboratory. These uses may
include,  | 
but are not limited to, the following:
 | 
  (1) costs incurred in providing analysis for  | 
 controlled substances in
connection with criminal  | 
 investigations conducted within this State;
 | 
  (2) purchase and maintenance of equipment for use in  | 
 performing analyses; and
 | 
  (3) continuing education, training, and professional  | 
 | 
 development of
forensic
scientists regularly employed by  | 
 these laboratories.
 | 
 (h) Moneys deposited in the State Crime Laboratory Fund  | 
created pursuant
to paragraph (3) of subsection (d) of this  | 
Section shall be used by State
crime laboratories as  | 
designated by the Director of the Illinois State Police. These
 | 
funds shall be in addition to any allocations made pursuant to  | 
existing law
and shall be designated for the exclusive use of  | 
State crime laboratories or for the sexual assault evidence  | 
tracking system created under Section 50 of the Sexual Assault  | 
Evidence Submission Act.
These uses may include those  | 
enumerated in subsection (g) of this Section.
 | 
(Source: P.A. 101-377, eff. 8-16-19; 102-505, eff. 8-20-21;  | 
102-538, eff. 8-20-21; revised 10-12-21.)
 | 
 (730 ILCS 5/5-9-1.9)
 | 
 Sec. 5-9-1.9. DUI analysis fee. 
 | 
 (a) "Crime laboratory" means a not-for-profit laboratory  | 
substantially
funded by a single unit or combination of units  | 
of local government or the
State of
Illinois that regularly  | 
employs at least one person engaged in the DUI
analysis of  | 
blood, other bodily substance, and urine for criminal justice  | 
agencies in criminal matters
and provides testimony with  | 
respect to such examinations.
 | 
 "DUI analysis" means an analysis of blood, other bodily  | 
substance, or urine for purposes of
determining whether a  | 
 | 
violation of Section 11-501 of the Illinois Vehicle Code
has  | 
occurred.
 | 
 (b) (Blank).
 | 
 (c) In addition to any other disposition made under the  | 
provisions of
the Juvenile Court Act of 1987, any minor  | 
adjudicated delinquent for an offense
which if committed by an  | 
adult would constitute a violation of Section 11-501
of the  | 
Illinois Vehicle Code shall pay a crime laboratory DUI  | 
analysis assessment
of $150 for each adjudication. Upon  | 
verified petition of the minor, the
court may suspend payment  | 
of all or part of the assessment if it finds
that the minor  | 
does not have the ability to pay the assessment. The parent,  | 
guardian,
or legal custodian of the minor may pay some or all  | 
of the assessment on the minor's
behalf.
 | 
 (d) All crime laboratory DUI analysis assessments provided  | 
for by this Section
shall
be collected by the clerk of the  | 
court and forwarded to the appropriate crime
laboratory DUI  | 
fund as provided in subsection (f).
 | 
 (e) Crime laboratory funds shall be established as  | 
follows:
 | 
  (1) A unit of local government that maintains a crime  | 
 laboratory may
establish a crime laboratory DUI fund  | 
 within the office of the county or
municipal treasurer.
 | 
  (2) Any combination of units of local government that  | 
 maintains a crime
laboratory may establish a crime  | 
 laboratory DUI fund within the office of the
treasurer of  | 
 | 
 the county where the crime laboratory is situated.
 | 
  (3) (Blank).
 | 
 (f) The analysis assessment provided for in subsection (c)  | 
of this Section
shall be forwarded to the office of the  | 
treasurer of the unit of local
government that performed the  | 
analysis if that unit of local government has
established a  | 
crime laboratory DUI fund, or remitted to the State Treasurer  | 
for deposit
into the State Crime Laboratory Fund if the  | 
analysis was
performed by a
laboratory operated by the  | 
Illinois State Police. If the analysis was
performed by a  | 
crime laboratory funded by a combination of units of local
 | 
government, the analysis assessment shall be forwarded to the  | 
treasurer of the county
where the crime laboratory is situated  | 
if a crime laboratory DUI fund has been
established in that  | 
county. If the unit of local government or combination of
 | 
units of local government has not established a crime  | 
laboratory DUI fund, then
the analysis assessment shall be  | 
remitted to the State Treasurer for deposit into
the State  | 
Crime Laboratory Fund.
 | 
 (g) Moneys deposited into a crime laboratory DUI fund  | 
created under
paragraphs (1) and (2) of subsection (e) of this  | 
Section shall be in addition
to any allocations made pursuant  | 
to existing law and shall be designated for
the exclusive use  | 
of the crime laboratory. These uses may include, but are not
 | 
limited to, the following:
 | 
  (1) Costs incurred in providing analysis for DUI  | 
 | 
 investigations conducted
within this State.
 | 
  (2) Purchase and maintenance of equipment for use in  | 
 performing analyses.
 | 
  (3) Continuing education, training, and professional  | 
 development of
forensic scientists regularly employed by  | 
 these laboratories.
 | 
 (h) Moneys deposited in the State Crime Laboratory Fund
 | 
shall be used by
State crime laboratories as designated by the  | 
Director of the Illinois State Police. These
funds shall be in  | 
addition to any allocations made according to existing law
and  | 
shall be designated for the exclusive use of State crime  | 
laboratories.
These uses may include those enumerated in  | 
subsection (g) of this Section. | 
 (i) Notwithstanding any other provision of law to the  | 
contrary and in addition to any other transfers that may be  | 
provided by law, on June 17, 2021 (the effective date of Public  | 
Act 102-16) this amendatory Act of the 102nd General Assembly,  | 
or as soon thereafter as practical, the State Comptroller  | 
shall direct and the State Treasurer shall transfer the  | 
remaining balance from the State Police DUI Fund into the  | 
State Police Operations Assistance Fund. Upon completion of  | 
the transfer, the State Police DUI Fund is dissolved, and any  | 
future deposits due to that Fund and any outstanding  | 
obligations or liabilities of that Fund shall pass to the  | 
State Police Operations Assistance Fund. 
 | 
(Source: P.A. 102-16, eff. 6-17-21; 102-145, eff. 7-23-21;  | 
 | 
102-538, eff. 8-20-21; revised 10-20-21.)
 | 
 Section 660. The Sex Offender Community Notification Law  | 
is amended by changing Section 121 as follows:
 | 
 (730 ILCS 152/121) | 
 Sec. 121. Notification regarding juvenile offenders. | 
 (a) The Illinois State Police and any law enforcement  | 
agency having
jurisdiction may, in the Illinois State Police's  | 
Department's or agency's discretion, only provide
the
 | 
information specified in subsection (b) of Section 120 of this  | 
Act, with respect to an adjudicated
juvenile delinquent, to  | 
any person when that person's safety may be compromised
for  | 
some
reason related to the juvenile sex offender. | 
 (b) The local law enforcement agency having jurisdiction  | 
to register the juvenile sex offender shall ascertain from the  | 
juvenile sex offender whether the juvenile sex offender is  | 
enrolled in school; and if so, shall provide a copy of the sex  | 
offender registration form only to the principal or chief  | 
administrative officer of the school and any school counselor  | 
designated by him or her. The registration form shall be kept  | 
separately from any and all school records maintained on  | 
behalf of the juvenile sex offender.
 | 
(Source: P.A. 102-197, eff. 7-30-21; 102-538, eff. 8-20-21;  | 
revised 10-18-21.)
 | 
 | 
 Section 665. The Murderer and Violent Offender Against  | 
Youth Registration Act is amended by changing Sections 85, 95,  | 
100, and 105 as follows:
 | 
 (730 ILCS 154/85) | 
 Sec. 85. Murderer and Violent Offender Against Youth  | 
Database.  | 
 (a) The Illinois State Police
shall establish and maintain  | 
a Statewide Murderer and Violent Offender Against Youth  | 
Database for
the
purpose of identifying violent offenders  | 
against youth and making that information
available to the  | 
persons specified in Section 95. The
Database shall be created  | 
from the Law Enforcement Agencies Data System (LEADS)
 | 
established under Section 6 of the Intergovernmental Missing  | 
Child Recovery Act
of 1984. The Illinois State Police shall  | 
examine its LEADS database for
persons registered as violent  | 
offenders against youth under this Act and
shall identify  | 
those who are violent offenders against youth and shall add  | 
all the
information, including photographs if available, on  | 
those violent offenders against youth to
the Statewide  | 
Murderer and Violent Offender Against Youth
Database. | 
 (b) The Illinois State Police must make the information  | 
contained in
the
Statewide Murderer and Violent Offender  | 
Against Youth Database accessible on the Internet by means of  | 
a
hyperlink
labeled "Murderer and Violent Offender Against  | 
Youth Information" on the Illinois State Police's Department's  | 
 | 
World Wide Web home
page. The Illinois State Police must  | 
update that information as it deems
necessary. | 
 The Illinois State Police may require that a person who  | 
seeks access to
the violent offender against youth
information  | 
submit biographical information about himself or
herself  | 
before
permitting access to the violent offender against youth  | 
information. The Illinois State Police must promulgate rules
 | 
in accordance with the Illinois Administrative Procedure
Act  | 
to implement this
subsection
(b)
and those rules must include  | 
procedures to ensure that the information in the
database is  | 
accurate. | 
 (c) The Illinois State Police must develop and conduct  | 
training to educate all those entities involved in the  | 
Murderer and Violent Offender Against Youth Registration  | 
Program.
 | 
 (d) The Illinois State Police shall commence the duties  | 
prescribed in the Murderer and Violent Offender Against Youth  | 
Registration Act within 12 months after the effective date of  | 
this Act.
 | 
 (e) The Illinois State Police shall collect and annually  | 
report, on or before December 31 of each year, the following  | 
information, making it publicly accessible on the Illinois  | 
State Police website: | 
  (1) the number of registrants; | 
  (2) the number of registrants currently registered for  | 
 each offense requiring registration; and | 
 | 
  (3) biographical data, such as age of the registrant,  | 
 race of the registrant, and age of the victim.  | 
(Source: P.A. 102-538, eff. 8-20-21; revised 11-24-21.)
 | 
 (730 ILCS 154/95)
 | 
 Sec. 95. Community notification of violent offenders  | 
against youth.  | 
 (a) The sheriff of the county, except Cook County, shall  | 
disclose to the
following the name, address, date of birth,  | 
place of employment, school
attended, and offense
or  | 
adjudication of all violent offenders against youth required  | 
to register under Section 10 of
this Act:
 | 
  (1) The boards of institutions of higher education or  | 
 other appropriate
administrative offices of each nonpublic  | 
 non-public institution of higher education
located in the  | 
 county where the violent offender against youth is  | 
 required to register, resides,
is employed, or is  | 
 attending an institution of higher education; and
 | 
  (2) School boards of public school districts and the  | 
 principal or other
appropriate administrative officer of  | 
 each nonpublic school located in the
county where the  | 
 violent offender against youth is required to register or  | 
 is employed; and
 | 
  (3) Child care facilities located in the county
where  | 
 the violent offender against youth is required to register  | 
 or is employed; and | 
 | 
  (4) Libraries located in the
county where the violent  | 
 offender against youth is required to register or is  | 
 employed. | 
 (a-2) The sheriff of Cook County shall disclose to the  | 
following the name,
address, date of birth, place of  | 
employment, school attended, and offense
or
adjudication of
 | 
all violent offenders against youth required to register under  | 
Section 10 of this Act:
 | 
  (1) School boards of public school districts and the  | 
 principal or other
appropriate administrative officer of  | 
 each nonpublic school located within the
region of Cook  | 
 County, as those public school districts and nonpublic  | 
 schools
are identified in LEADS, other than the City of  | 
 Chicago, where the violent offender against youth
is  | 
 required to register or is employed; and
 | 
  (2) Child care facilities located within the region of  | 
 Cook
County, as those child care facilities are identified  | 
 in LEADS, other than
the City of Chicago, where the  | 
 violent offender against youth is required to register or  | 
 is
employed; and
 | 
  (3) The boards of institutions of higher education or  | 
 other appropriate
administrative offices of each nonpublic  | 
 non-public institution of higher education
located in the  | 
 county, other than the City of Chicago, where the violent  | 
 offender against youth
is required to register, resides,  | 
 is employed, or attending an institution
of
higher
 | 
 | 
 education; and | 
  (4) Libraries
located in the county, other than the  | 
 City of Chicago, where the violent offender against youth
 | 
 is required to register, resides, is employed, or is  | 
 attending an institution
of
higher
education. | 
 (a-3) The Chicago Police Department shall disclose to the  | 
following the
name, address, date of birth, place of  | 
employment, school attended, and
offense
or adjudication
of  | 
all violent offenders against youth required to register under  | 
Section 10 of this Act:
 | 
  (1) School boards of public school districts and the  | 
 principal or other
appropriate administrative officer of  | 
 each nonpublic school located in the
police district where  | 
 the violent offender against youth is required to register  | 
 or is
employed if the offender is required to register or  | 
 is employed in the
City of Chicago; and
 | 
  (2) Child care facilities located in the police  | 
 district where the
violent offender against youth is  | 
 required to register or is employed if the offender is
 | 
 required to register or is employed in the City of  | 
 Chicago; and
 | 
  (3) The boards of institutions of higher education or  | 
 other appropriate
administrative offices of each nonpublic  | 
 non-public institution of higher education
located in the  | 
 police district where the violent offender against youth  | 
 is required to register,
resides, is employed, or  | 
 | 
 attending an institution of higher education in the
City  | 
 of
Chicago; and | 
  (4) Libraries located in the police district where the
 | 
 violent offender against youth is required to register or  | 
 is employed if the offender is
required to register or is  | 
 employed in the City of Chicago. | 
 (a-4) The Illinois State Police shall provide a list of  | 
violent offenders against youth
required to register to the  | 
Illinois Department of Children and Family
Services. | 
 (b) The Illinois State Police and any law enforcement  | 
agency may
disclose, in the Illinois State Police's  | 
Department's or agency's discretion, the following information
 | 
to any person likely to encounter a violent offender against  | 
youth:
 | 
  (1) The offender's name, address, and date of birth.
 | 
  (2) The offense for which the offender was convicted.
 | 
  (3) The offender's photograph or other such  | 
 information that will help
identify the violent offender  | 
 against youth.
 | 
  (4) Offender employment information, to protect public  | 
 safety. | 
 (c) The name, address, date of birth, and offense or  | 
adjudication for violent offenders against youth required to  | 
register under Section 10 of this
Act shall be open to  | 
inspection by the public as provided in this Section.
Every  | 
municipal police department shall make available at its  | 
 | 
headquarters
the information on all violent offenders against  | 
youth who are required to register in the
municipality under  | 
this Act. The sheriff shall
also make available at his or her  | 
headquarters the information on all violent offenders against  | 
youth who are required to register under this Act and who live  | 
in
unincorporated areas of the county. Violent offender  | 
against youth information must be made
available for public  | 
inspection to any person, no later than 72 hours or 3
business  | 
days from the date of the request.
The request must be made in  | 
person, in writing, or by telephone.
Availability must include  | 
giving the inquirer access to a
facility where the information  | 
may be copied. A department or sheriff
may charge a fee, but  | 
the fee may not exceed the actual costs of
copying the  | 
information. An inquirer must be allowed to copy this  | 
information
in his or her own handwriting. A department or  | 
sheriff must allow access to
the information during normal  | 
public working hours.
The sheriff or a municipal police  | 
department may publish the
photographs of violent offenders  | 
against youth where any victim was 13 years of age or younger
 | 
and who are required to register in the municipality or county  | 
under this Act in a newspaper or magazine of general  | 
circulation in
the municipality or county or may disseminate  | 
the photographs of those violent offenders against youth on  | 
the Internet or on television. The law enforcement agency may
 | 
make available the information on all violent offenders  | 
against youth residing within any county. | 
 | 
 (d) The Illinois State Police and any law enforcement  | 
agency having
jurisdiction may, in the Illinois State Police's  | 
Department's or agency's discretion, place the
information  | 
specified in subsection (b) on the Internet or in
other media.
 | 
(Source: P.A. 102-538, eff. 8-20-21; revised 11-24-21.)
 | 
 (730 ILCS 154/100)
 | 
 Sec. 100. Notification regarding juvenile offenders.  | 
 (a) The Illinois State Police and any law enforcement  | 
agency having
jurisdiction may, in the Illinois State Police's  | 
Department's or agency's discretion, only provide
the
 | 
information specified in subsection (b) of Section 95, with  | 
respect to an adjudicated
juvenile delinquent, to any person  | 
when that person's safety may be compromised
for some
reason  | 
related to the juvenile violent offender against youth. | 
 (b) The local law enforcement agency having jurisdiction  | 
to register the juvenile violent offender against youth shall  | 
ascertain from the juvenile violent offender against youth  | 
whether the juvenile violent offender against youth is  | 
enrolled in school; and if so, shall provide a copy of the  | 
violent offender against youth registration form only to the  | 
principal or chief administrative officer of the school and  | 
any school counselor designated by him or her. The  | 
registration form shall be kept separately from any and all  | 
school records maintained on behalf of the juvenile violent  | 
offender against youth.
 | 
 | 
(Source: P.A. 102-197, eff. 7-30-21; 102-538, eff. 8-20-21;  | 
revised 10-20-21.)
 | 
 (730 ILCS 154/105)
 | 
 Sec. 105. Special alerts.  A law enforcement agency having  | 
jurisdiction
may provide to the public a special alert list  | 
warning parents to be aware that
violent offenders against  | 
youth may attempt to contact children during holidays  | 
involving
children, such as Halloween, Christmas, and Easter  | 
and informing parents that
information containing the names  | 
and addresses of registered violent offenders against youth
 | 
are accessible on the Internet by means of a hyperlink labeled  | 
"Violent Offender Against Youth
Information" on the Illinois  | 
Department of State Police's World Wide Web home
page and are  | 
available for public inspection at the agency's headquarters.
 | 
(Source: P.A. 94-945, eff. 6-27-06; revised 11-24-21.)
 | 
 Section 670. The No
Representation Without Population Act  | 
is amended by changing Sections 2-1 and 2-10 as follows:
 | 
 (730 ILCS 205/2-1)
 | 
 (This Section may contain text from a Public Act with a  | 
delayed effective date) | 
 Sec. 2-1. Short title. This Article Act may be cited as the  | 
No Representation Without Population Act. References in this  | 
Article to "this Act" mean this Article.
 | 
 | 
(Source: P.A. 101-652, eff. 1-1-25; revised 12-2-21.)
 | 
 (730 ILCS 205/2-10)
 | 
 Sec. 2-10. Reports to the State Board of Elections.  | 
 (a) Within 30 days after the effective date of this Act,  | 
and thereafter, on or before May 1 of each year in which where  | 
the federal decennial census is taken but in which the United  | 
States Bureau of the Census allocates incarcerated persons as  | 
residents of correctional facilities, the Department shall  | 
deliver to the State Board of Elections the following  | 
information: | 
  (1) A unique identifier, not including the name or  | 
 Department-assigned inmate number, for each incarcerated  | 
 person subject to the jurisdiction of the Department on  | 
 the date for which the decennial census reports  | 
 population. The unique identifier shall enable the State  | 
 Board of Elections to address inquiries about specific  | 
 address records to the Department, without making it  | 
 possible for anyone outside of the Department to identify  | 
 the inmate to whom the address record pertains. | 
  (2) The street address of the correctional facility  | 
 where the person was incarcerated at the time of the  | 
 report. | 
  (3) The last known address of the person prior to  | 
 incarceration or other legal residence, if known. | 
  (4) The person's race, whether the person is of  | 
 | 
 Hispanic or Latino origin, and whether the person is age  | 
 18 or older, if known. | 
  (5) Any additional information as the State Board of  | 
 Elections may request pursuant to law. | 
 (b) The Department shall provide the information specified  | 
in subsection (a) in the form that the State Board of Elections  | 
shall specify. | 
 (c) Notwithstanding any other provision of law, the  | 
information required to be provided to the State Board of  | 
Elections pursuant to this Section shall not include the name  | 
of any incarcerated person and shall not allow for the  | 
identification of any person therefrom, except to the  | 
Department. The information shall be treated as confidential  | 
and shall not be disclosed by the State Board of Elections  | 
except as redistricting data aggregated by census block for  | 
purposes specified in Section 2-20.
 | 
(Source: P.A. 101-652, eff. 1-1-25; revised 12-2-21.)
 | 
 Section 675. The Code of Civil Procedure is amended by  | 
changing Sections 2-1401 and 21-103 as follows:
 | 
 (735 ILCS 5/2-1401) (from Ch. 110, par. 2-1401)
 | 
 Sec. 2-1401. Relief from judgments. 
 | 
 (a) Relief from final orders and judgments, after 30 days  | 
from the
entry thereof, may be had upon petition as provided in  | 
this Section.
Writs of error coram nobis and coram vobis,  | 
 | 
bills of review, and bills
in the nature of bills of review are  | 
abolished. All relief heretofore
obtainable and the grounds  | 
for such relief heretofore available,
whether by any of the  | 
foregoing remedies or otherwise, shall be
available in every  | 
case, by proceedings hereunder, regardless of the
nature of  | 
the order or judgment from which relief is sought or of the
 | 
proceedings in which it was entered. Except as provided in the  | 
Illinois Parentage Act of 2015, there shall be no distinction
 | 
between actions and other proceedings, statutory or otherwise,  | 
as to
availability of relief, grounds for relief, or the  | 
relief obtainable.
 | 
 (b) The petition must be filed in the same proceeding in  | 
which the
order or judgment was entered but is not a  | 
continuation thereof. The
petition must be supported by an  | 
affidavit or other appropriate showing as
to matters not of  | 
record. A petition to reopen a foreclosure proceeding must  | 
include as parties to the petition, but is not limited to, all  | 
parties in the original action in addition to the current  | 
record title holders of the property, current occupants, and  | 
any individual or entity that had a recorded interest in the  | 
property before the filing of the petition. All parties to the  | 
petition shall be notified
as provided by rule.
 | 
 (b-5) A movant may present a meritorious claim under this  | 
Section if the allegations in the petition establish each of  | 
the following by a preponderance of the evidence: | 
  (1) the movant was convicted of a forcible felony; | 
 | 
  (2) the movant's participation in the offense was  | 
 related to him or her previously having been a victim of  | 
 domestic violence as perpetrated by an intimate partner; | 
  (3) no evidence of domestic violence against the  | 
 movant was presented at the movant's sentencing hearing; | 
  (4) the movant was unaware of the mitigating nature of  | 
 the evidence of the domestic violence at the time of  | 
 sentencing and could not have learned of its significance  | 
 sooner through diligence; and | 
  (5) the new evidence of domestic violence against the  | 
 movant is material and noncumulative to other evidence  | 
 offered at the sentencing hearing, and is of such a  | 
 conclusive character that it would likely change the  | 
 sentence imposed by the original trial court. | 
 Nothing in this subsection (b-5) shall prevent a movant  | 
from applying for any other relief under this Section or any  | 
other law otherwise available to him or her. | 
 As used in this subsection (b-5): | 
  "Domestic violence" means abuse as defined in Section  | 
 103
of the Illinois Domestic Violence Act of 1986. | 
  "Forcible felony" has the meaning ascribed to the term  | 
 in
Section 2-8 of the Criminal Code of 2012. | 
  "Intimate partner" means a spouse or former spouse,  | 
 persons
who have or allegedly have had a child in common,  | 
 or persons who
have or have had a dating or engagement  | 
 relationship.  | 
 | 
 (b-10) A movant may present a meritorious claim under this  | 
Section if the allegations in the petition establish each of  | 
the following by a preponderance of the evidence: | 
  (A) she was convicted of a forcible felony; | 
  (B) her participation in the offense was a direct  | 
 result of her suffering from post-partum depression or  | 
 post-partum psychosis; | 
  (C) no evidence of post-partum depression or  | 
 post-partum psychosis was presented by a qualified medical  | 
 person at trial or sentencing, or both; | 
  (D) she was unaware of the mitigating nature of the  | 
 evidence or, if aware, was at the time unable to present  | 
 this defense due to suffering from post-partum depression  | 
 or post-partum psychosis, or, at the time of trial or  | 
 sentencing, neither was a recognized mental illness and as  | 
 such, she was unable to receive proper treatment;
and | 
  (E) evidence of post-partum depression or post-partum  | 
 psychosis as suffered by the person is material and  | 
 noncumulative to other evidence offered at the time of  | 
 trial or sentencing, and it is of such a conclusive  | 
 character that it would likely change the sentence imposed  | 
 by the original court. | 
 Nothing in this subsection (b-10) prevents a person from  | 
applying for any other relief under this Article or any other  | 
law otherwise available to her. | 
 As used in this subsection (b-10): | 
 | 
  "Post-partum depression" means a mood disorder which  | 
 strikes many women during and after pregnancy and usually  | 
 occurs during pregnancy and up to 12 months after  | 
 delivery. This depression can include anxiety disorders. | 
  "Post-partum psychosis" means an extreme form of  | 
 post-partum depression which can occur during pregnancy  | 
 and up to 12 months after delivery. This can include  | 
 losing touch with reality, distorted thinking, delusions,  | 
 auditory and visual hallucinations, paranoia,  | 
 hyperactivity and rapid speech, or mania. | 
 (c) Except as provided in Section 20b of the Adoption Act  | 
and Section
2-32 of the Juvenile Court Act of 1987, or in a  | 
petition based
upon Section 116-3 of the Code of Criminal  | 
Procedure of 1963 or subsection (b-10) of this Section, or in a  | 
motion to vacate and expunge convictions under the Cannabis  | 
Control Act as provided by subsection (i) of Section 5.2 of the  | 
Criminal Identification Act, the petition
must be filed not  | 
later than 2 years after the entry of the order or judgment.
 | 
Time during which the person seeking relief is under legal  | 
disability or
duress or the ground for relief is fraudulently  | 
concealed shall be excluded
in computing the period of 2  | 
years.
 | 
 (c-5) Any individual may at any time file a petition and  | 
institute proceedings under this Section, if his or her final  | 
order or judgment, which was entered based on a plea of guilty  | 
or nolo contendere, has potential consequences under federal  | 
 | 
immigration law.  | 
 (d) The filing of a petition under this Section does not  | 
affect the
order or judgment, or suspend its operation.
 | 
 (e) Unless lack of jurisdiction affirmatively appears from  | 
the
record proper, the vacation or modification of an order or  | 
judgment
pursuant to the provisions of this Section does not  | 
affect the right,
title, or interest in or to any real or  | 
personal property of any person,
not a party to the original  | 
action, acquired for value after the entry
of the order or  | 
judgment but before the filing of the petition, nor
affect any  | 
right of any person not a party to the original action under
 | 
any certificate of sale issued before the filing of the  | 
petition,
pursuant to a sale based on the order or judgment.  | 
When a petition is filed pursuant to this Section to reopen a  | 
foreclosure proceeding, notwithstanding the provisions of  | 
Section 15-1701 of this Code, the purchaser or successor  | 
purchaser of real property subject to a foreclosure sale who  | 
was not a party to the mortgage foreclosure proceedings is  | 
entitled to remain in possession of the property until the  | 
foreclosure action is defeated or the previously foreclosed  | 
defendant redeems from the foreclosure sale if the purchaser  | 
has been in possession of the property for more than 6 months. 
 | 
 (f) Nothing contained in this Section affects any existing  | 
right to
relief from a void order or judgment, or to employ any  | 
existing method
to procure that relief.
 | 
(Source: P.A. 101-27, eff. 6-25-19; 101-411, eff. 8-16-19;  | 
 | 
102-639, eff. 8-27-21; revised 11-24-21.)
 | 
 (735 ILCS 5/21-103)
 | 
 (Text of Section before amendment by P.A. 101-652) | 
 Sec. 21-103. Notice by publication. 
 | 
 (a) Previous notice shall be given of the intended  | 
application by
publishing a notice thereof in some newspaper  | 
published in the municipality
in which the person resides if  | 
the municipality is in a county with a
population under  | 
2,000,000, or if the person does not reside
in a municipality  | 
in a county with a population under 2,000,000,
or if no  | 
newspaper is published in the municipality or if the person  | 
resides
in a county with a population of 2,000,000 or more,  | 
then in some newspaper
published in the county where the  | 
person resides, or if no newspaper
is published in that  | 
county, then in some convenient newspaper published
in this  | 
State. The notice shall be inserted for 3 consecutive weeks  | 
after filing, the
first insertion to be at least 6 weeks before  | 
the return day upon which
the petition is to be heard, and  | 
shall be signed by the petitioner or, in
case of a minor, the  | 
minor's parent or guardian, and shall set
forth the return day  | 
of court on which the petition is to be heard and the
name  | 
sought to be assumed.
 | 
 (b) The publication requirement of subsection (a) shall  | 
not be
required in any application for a change of name  | 
involving a minor if,
before making judgment under this  | 
 | 
Article, reasonable notice and opportunity
to be heard is  | 
given to any parent whose parental rights have not been
 | 
previously terminated and to any person who has physical  | 
custody of the
child. If any of these persons are outside this  | 
State, notice and
opportunity to be heard shall be given under  | 
Section 21-104.
 | 
 (b-3) The publication requirement of subsection (a) shall  | 
not be required in any application for a change of name  | 
involving a person who has received a judgment for dissolution  | 
of marriage or declaration of invalidity of marriage and  | 
wishes to change his or her name to resume the use of his or  | 
her former or maiden name. | 
 (b-5) Upon motion, the court may issue an order directing  | 
that the notice and publication requirement be waived for a  | 
change of name involving a person who files with the court a  | 
written declaration that the person believes that publishing  | 
notice of the name change would put the person at risk of  | 
physical harm or discrimination. The person must provide  | 
evidence to support the claim that publishing notice of the  | 
name change would put the person at risk of physical harm or  | 
discrimination.  | 
 (c) The Director of the Illinois State Police or his or her  | 
designee may apply to the
circuit court
for an order directing  | 
that the notice and publication requirements of
this Section  | 
be waived if the Director or his or her designee certifies that
 | 
the name change being sought is intended to protect a witness  | 
 | 
during and
following a criminal investigation or proceeding.
 | 
 (c-1) The court may enter a written order waiving the  | 
publication requirement of subsection (a) if: | 
  (i) the petitioner is 18 years of age or older; and | 
  (ii) concurrent with the petition, the petitioner  | 
 files with the court a statement, verified under oath as  | 
 provided under Section 1-109 of this Code, attesting that  | 
 the petitioner is or has been a person protected under the  | 
 Illinois Domestic Violence Act of 1986, the Stalking No  | 
 Contact Order Act, the Civil No Contact Order Act, Article  | 
 112A of the Code of Criminal Procedure of 1963, a  | 
 condition of bail under subsections (b) through (d) of  | 
 Section 110-10 of the Code of Criminal Procedure of 1963,  | 
 or a similar provision of a law in another state or  | 
 jurisdiction. | 
 The petitioner may attach to the statement any supporting  | 
documents, including relevant court orders. | 
 (c-2) If the petitioner files a statement attesting that  | 
disclosure of the petitioner's address would put the  | 
petitioner or any member of the petitioner's family or  | 
household at risk or reveal the confidential address of a  | 
shelter for domestic violence victims, that address may be  | 
omitted from all documents filed with the court, and the  | 
petitioner may designate an alternative address for service. | 
 (c-3) Court administrators may allow domestic abuse  | 
advocates, rape crisis advocates, and victim advocates to  | 
 | 
assist petitioners in the preparation of name changes under  | 
subsection (c-1). | 
 (c-4) If the publication requirements of subsection (a)  | 
have been waived, the circuit court shall enter an order  | 
impounding the case.  | 
 (d) The maximum rate charged for publication of a notice  | 
under this Section may not exceed the lowest classified rate  | 
paid by commercial users for comparable space in the newspaper  | 
in which the notice appears and shall include all cash  | 
discounts, multiple insertion discounts, and similar benefits  | 
extended to the newspaper's regular customers.  | 
(Source: P.A. 101-81, eff. 7-12-19; 101-203, eff. 1-1-20;  | 
102-538, eff. 8-20-21.)
 | 
 (Text of Section after amendment by P.A. 101-652)
 | 
 Sec. 21-103. Notice by publication. 
 | 
 (a) Previous notice shall be given of the intended  | 
application by
publishing a notice thereof in some newspaper  | 
published in the municipality
in which the person resides if  | 
the municipality is in a county with a
population under  | 
2,000,000, or if the person does not reside
in a municipality  | 
in a county with a population under 2,000,000,
or if no  | 
newspaper is published in the municipality or if the person  | 
resides
in a county with a population of 2,000,000 or more,  | 
then in some newspaper
published in the county where the  | 
person resides, or if no newspaper
is published in that  | 
 | 
county, then in some convenient newspaper published
in this  | 
State. The notice shall be inserted for 3 consecutive weeks  | 
after filing, the
first insertion to be at least 6 weeks before  | 
the return day upon which
the petition is to be heard, and  | 
shall be signed by the petitioner or, in
case of a minor, the  | 
minor's parent or guardian, and shall set
forth the return day  | 
of court on which the petition is to be heard and the
name  | 
sought to be assumed.
 | 
 (b) The publication requirement of subsection (a) shall  | 
not be
required in any application for a change of name  | 
involving a minor if,
before making judgment under this  | 
Article, reasonable notice and opportunity
to be heard is  | 
given to any parent whose parental rights have not been
 | 
previously terminated and to any person who has physical  | 
custody of the
child. If any of these persons are outside this  | 
State, notice and
opportunity to be heard shall be given under  | 
Section 21-104.
 | 
 (b-3) The publication requirement of subsection (a) shall  | 
not be required in any application for a change of name  | 
involving a person who has received a judgment for dissolution  | 
of marriage or declaration of invalidity of marriage and  | 
wishes to change his or her name to resume the use of his or  | 
her former or maiden name. | 
 (b-5) Upon motion, the court may issue an order directing  | 
that the notice and publication requirement be waived for a  | 
change of name involving a person who files with the court a  | 
 | 
written declaration that the person believes that publishing  | 
notice of the name change would put the person at risk of  | 
physical harm or discrimination. The person must provide  | 
evidence to support the claim that publishing notice of the  | 
name change would put the person at risk of physical harm or  | 
discrimination.  | 
 (c) The Director of the Illinois State Police or his or her  | 
designee may apply to the
circuit court
for an order directing  | 
that the notice and publication requirements of
this Section  | 
be waived if the Director or his or her designee certifies that
 | 
the name change being sought is intended to protect a witness  | 
during and
following a criminal investigation or proceeding.
 | 
 (c-1) The court may enter a written order waiving the  | 
publication requirement of subsection (a) if: | 
  (i) the petitioner is 18 years of age or older; and | 
  (ii) concurrent with the petition, the petitioner  | 
 files with the court a statement, verified under oath as  | 
 provided under Section 1-109 of this Code, attesting that  | 
 the petitioner is or has been a person protected under the  | 
 Illinois Domestic Violence Act of 1986, the Stalking No  | 
 Contact Order Act, the Civil No Contact Order Act, Article  | 
 112A of the Code of Criminal Procedure of 1963, a  | 
 condition of pretrial release under subsections (b)  | 
 through (d) of Section 110-10 of the Code of Criminal  | 
 Procedure of 1963, or a similar provision of a law in  | 
 another state or jurisdiction. | 
 | 
 The petitioner may attach to the statement any supporting  | 
documents, including relevant court orders. | 
 (c-2) If the petitioner files a statement attesting that  | 
disclosure of the petitioner's address would put the  | 
petitioner or any member of the petitioner's family or  | 
household at risk or reveal the confidential address of a  | 
shelter for domestic violence victims, that address may be  | 
omitted from all documents filed with the court, and the  | 
petitioner may designate an alternative address for service. | 
 (c-3) Court administrators may allow domestic abuse  | 
advocates, rape crisis advocates, and victim advocates to  | 
assist petitioners in the preparation of name changes under  | 
subsection (c-1). | 
 (c-4) If the publication requirements of subsection (a)  | 
have been waived, the circuit court shall enter an order  | 
impounding the case.  | 
 (d) The maximum rate charged for publication of a notice  | 
under this Section may not exceed the lowest classified rate  | 
paid by commercial users for comparable space in the newspaper  | 
in which the notice appears and shall include all cash  | 
discounts, multiple insertion discounts, and similar benefits  | 
extended to the newspaper's regular customers.  | 
(Source: P.A. 101-81, eff. 7-12-19; 101-203, eff. 1-1-20;  | 
101-652, eff. 1-1-23; 102-538, eff. 8-20-21; revised  | 
10-12-21.)
 | 
 | 
 Section 680. The Eminent Domain Act is amended by setting  | 
forth, renumbering, and changing multiple versions of Section  | 
25-5-80 as follows:
 | 
 (735 ILCS 30/25-5-80) | 
 (Section scheduled to be repealed on April 2, 2024) | 
 Sec. 25-5-80. Quick-take; City of Woodstock; Madison  | 
Street, South Street, and Lake Avenue. | 
 (a) Quick-take proceedings under Article 20 may be used  | 
for a period of no more than 2 years after April 2, 2021 (the  | 
effective date of Public Act 101-665) this amendatory Act of  | 
the 101st General Assembly by Will County for the acquisition  | 
of the following described property for the purpose of the  | 
80th Avenue Improvements project:
 | 
 Route: 80th Avenue (CH 83) | 
 Section: 06-00122-16-FB | 
 County: Will | 
 Job No.: R-55-001-97 | 
 Parcel No.: 0001A
Station 76+09.95 To Station 80+90.00 | 
 Index No.: 19-09-02-400-012
 | 
 Parcel 0001A
 | 
 That part of the Southeast Quarter of the Southeast  | 
 Quarter of Section 2, all in Township
35 North, Range 12  | 
 | 
 East of the Third Principal Meridian, in Will County,  | 
 Illinois, bearings
and distances based on the Illinois  | 
 Sate Plane Coordinate System, East Zone, NAD 83
(2011  | 
 Adjustment) with a combined scale factor of 0.9999641157  | 
 described as follows:
 | 
 Commencing at the southeast corner of said Section 2;  | 
 thence North 01 degree 44 minutes
58 seconds West on the  | 
 east line of said Southeast Quarter, 69.28 feet to the  | 
 north right of
way line of 191st Street as described in  | 
 Document No. R94-114863; thence South 88
degrees 15  | 
 minutes 02 seconds West, on said north right of way line,  | 
 50.29 feet to the
west right of way line of 80th Avenue per  | 
 Document No. R66-13830, and to the Point of
Beginning;  | 
 thence continuing South 88 degrees 15 minutes 02 seconds  | 
 West, on said
north right of way line, 10.14 feet to an  | 
 angle point in said north right of way line; thence
South  | 
 43 degrees 24 minutes 14 seconds West, on said north right  | 
 of way line, 27.67 feet
to an angle point in said north  | 
 right of way line; thence South 88 degrees 24 minutes 14
 | 
 seconds West, on said north right of way line, 1038.30  | 
 feet; thence North 01 degree 36
minutes 18 seconds West,  | 
 6.27 feet; thence North 87 degrees 57 minutes 50 seconds
 | 
 East, 930.35 feet to a point 63.00 feet North of, as  | 
 measured perpendicular to, the south
line of said  | 
 Southeast Quarter; thence North 50 degrees 35 minutes 39  | 
 | 
 seconds East,
117.47 feet to the west line of the East  | 
 95.00 feet of said Southeast Quarter; thence North
01  | 
 degree 44 minutes 58 seconds West, on said west line,  | 
 304.58 feet; thence North 88
degrees 15 minutes 28 seconds  | 
 East, 10.00 feet to the west line of the East 85.00 feet of
 | 
 said Southeast Quarter; thence North 01 degree 44 minutes  | 
 58 seconds West, on said
west line, 90.00 feet; thence  | 
 North 88 degrees 15 minutes 26 seconds East, 20.89 feet to
 | 
 the west right of way line of 80th Avenue per Document No.  | 
 R66-13830; thence South 03
degrees 28 minutes 04 seconds  | 
 East, on said west right of way line, 460.75 feet to the
 | 
 Point of Beginning.
 | 
 Said parcel containing 0.706 acre, more or less. 
 | 
 Route: 80th Avenue (CH 83) | 
 Section: 06-00122-16-FP | 
 County: Will | 
 Job No.: R-55-001-97 | 
 Parcel No.: 0001B
Station 88+00.00 To Station 88+89.62 | 
 Index No.: 19-09-02-400-012
 | 
 Parcel 0001B
 | 
 That part of the Southeast Quarter of the Southeast  | 
 Quarter of Section 2, all in Township
35 North, Range 12  | 
 | 
 East of the Third Principal Meridian, in Will County,  | 
 Illinois, bearings
and distances based on the Illinois  | 
 Sate Plane Coordinate System, East Zone, NAD 83
(2011  | 
 Adjustment) with a combined scale factor of 0.9999641157  | 
 described as follows:
 | 
 Beginning at the intersection of the north line of the  | 
 Southeast Quarter of said Southeast
Quarter with the west  | 
 right of way line of 80th Avenue per Document No.  | 
 R66-13830;
thence South 01 degree 44 minutes 58 seconds  | 
 East, on said west right of way line, 89.60
feet; thence  | 
 South 88 degrees 15 minutes 29 seconds West, 6.78 feet;  | 
 thence North 02
degrees 31 minutes 36 seconds West, 89.63  | 
 feet to the north line of the Southeast Quarter
of said  | 
 Southeast Quarter; thence North 88 degrees 26 minutes 40  | 
 seconds East, on said
north line, 8.00 feet to the Point of  | 
 Beginning.
 | 
 Said parcel containing 0.015 acre, more or less. 
 | 
 Route: 80th Avenue (CH 83) | 
 Section: 06-00122-16-FP | 
 County: Will | 
 Job No.: R-55-001-97 | 
 Parcel No.: 0001TE-A
Station 88+00.00 To Station 88+89.64 | 
 Index No.: 19-09-02-400-012
 | 
 | 
 Parcel 0001TE-A
 | 
 That part of the Southeast Quarter of the Southeast  | 
 Quarter of Section 2, all in Township
35 North, Range 12  | 
 East of the Third Principal Meridian, in Will County,  | 
 Illinois, bearings
and distances based on the Illinois  | 
 Sate Plane Coordinate System, East Zone, NAD 83
(2011  | 
 Adjustment) with a combined scale factor of 0.9999641157  | 
 described as follows:
 | 
 Beginning at a point on the north line of the Southeast  | 
 Quarter of said Southeast Quarter
that is 88.00 feet West  | 
 of, the east line of said Southeast Quarter, as measured  | 
 on said
north line; thence South 02 degrees 31 minutes 36  | 
 seconds East, 89.63 feet; thence South
88 degrees 15  | 
 minutes 29 seconds West, 5.00 feet; thence North 02  | 
 degrees 31 minutes
36 seconds West, 89.65 feet to the  | 
 north line of the Southeast Quarter of said Southeast
 | 
 Quarter; thence North 88 degrees 26 minutes 40 seconds  | 
 East, on said north line, 5.00
feet to the Point of  | 
 Beginning.
 | 
 Said parcel containing 0.010 acre, more or less. 
 | 
 Route: 80th Avenue (CH 83) | 
 | 
 Section: 06-00122-16-FP | 
 County: Will | 
 Job No.: R-55-001-97 | 
 Parcel No.: 0001TE-B
Station 82+99.90 To Station 88+00.00 | 
 Index No.: 19-09-02-400-012
 | 
 Parcel 0001TE-B
 | 
 That part of the Southeast Quarter of the Southeast  | 
 Quarter of Section 2, all in Township
35 North, Range 12  | 
 East of the Third Principal Meridian, in Will County,  | 
 Illinois, bearings
and distances based on the Illinois  | 
 Sate Plane Coordinate System, East Zone, NAD 83
(2011  | 
 Adjustment) with a combined scale factor of 0.9999641157  | 
 described as follows:
 | 
 Commencing at the Southeast corner of said Section 2;  | 
 thence North 01 degree 44
minutes 58 seconds West, on the  | 
 east line of said Southeast Quarter, 69.28 feet to the
 | 
 north right of way line of 191st Street as described in  | 
 Document No. R94-114863; thence
South 88 degrees 15  | 
 minutes 02 seconds West, on said north right of way line,  | 
 50.29 feet
to the west right of way line of 80th Avenue per  | 
 Document No. R66-13830; thence North 03
degrees 28 minutes  | 
 04 seconds West, on said west right of way line, 670.74  | 
 feet to the
Point of Beginning; thence South 88 degrees 15  | 
 | 
 minutes 02 seconds West, 9.59 feet;
thence North 02  | 
 degrees 31 minutes 36 seconds West, 500.15 feet; thence  | 
 North 88
degrees 15 minutes 29 seconds East, 6.78 feet to  | 
 said west right of way line; thence South
01 degree 44  | 
 minutes 58 seconds East, on said west right of way line,  | 
 180.42 feet to an
angle point in said west right of way  | 
 line; thence South 03 degrees 28 minutes 04 seconds
East,  | 
 on said west right of way line, 319.82 feet to the Point of  | 
 Beginning.
 | 
 Said parcel containing 0.074 acre, more or less. 
 | 
 Route: 80th Avenue (CH 83) | 
 Section: 06-00122-16-FP | 
 County: Will | 
 Job No.: R-55-001-97 | 
 Parcel No.: 0001TE-C
Station 76+91.56 To Station 81+34.98 | 
 Index No.: 19-09-02-400-012
 | 
 Parcel 0001TE-C
 | 
 That part of the Southeast Quarter of the Southeast  | 
 Quarter of Section 2, all in Township
35 North, Range 12  | 
 East of the Third Principal Meridian, in Will County,  | 
 Illinois, bearings
and distances based on the Illinois  | 
 Sate Plane Coordinate System, East Zone, NAD 83
(2011  | 
 | 
 Adjustment) with a combined scale factor of 0.9999641157  | 
 described as follows:
 | 
 Commencing at the Southeast corner of said Section 2;  | 
 thence North 01 degree 44
minutes 58 seconds West, on the  | 
 east line of said Southeast Quarter, 69.28 feet to the
 | 
 north right of way line of 191st Street as described in  | 
 Document No. R94-114863; thence
South 88 degrees 15  | 
 minutes 02 seconds West, on said north right of way line,  | 
 50.29 feet
to the west right of way line of 80th Avenue per  | 
 Document No. R66-13830; thence North 03
degrees 28 minutes  | 
 04 seconds West, on said west right of way line, 460.75  | 
 feet to the
Point of Beginning; thence South 88 degrees 15  | 
 minutes 26 seconds West, 20.89 feet to
the west line of the  | 
 East 85.00 feet of said Southeast Quarter; thence South 01  | 
 degree 44
minutes 58 seconds East, on said west line,  | 
 90.00 feet; thence South 88 degrees 15
minutes 28 seconds  | 
 West, 10.00 feet to the west line of the East 95.00 feet of  | 
 said
Southeast Quarter; thence South 01 degree 44 minutes  | 
 58 seconds East, on said west
line, 304.58 feet; thence  | 
 South 50 degrees 35 minutes 39 seconds West, 6.32 feet to  | 
 the
west line of the East 100.00 feet of said Southeast  | 
 Quarter; thence North 01 degree 44
minutes 58 seconds  | 
 West, on said west line, 313.44 feet; thence North 88  | 
 degrees 15
minutes 28 seconds East, 10.00 feet to the west  | 
 line of the east 90.00 feet of said
Southeast Quarter;  | 
 | 
 thence North 01 degree 44 minutes 58 seconds West, on said  | 
 west
line, 96.19 feet; thence South 88 degrees 15 minutes  | 
 35 seconds West, 9.50 feet to the
west line of the East  | 
 99.50 feet of said Southeast Quarter; thence North 01  | 
 degree 44
minutes 58 seconds West, on said west line,  | 
 33.80 feet; thence North 88 degrees 15
minutes 25 seconds  | 
 East, 34.04 feet to the west right of way line of 80th  | 
 Avenue per
Document No. R66-13830; thence South 03 degrees  | 
 28 minutes 04 seconds East, on said
west right of way line,  | 
 45.00 feet to the Point of Beginning.
 | 
 Said parcel containing 0.080 acre, more or less. 
 | 
 Route: 80th Avenue (CH 83) | 
 Section: 06-00122-16-FP | 
 County: Will | 
 Job No.: R-55-001-97 | 
 Parcel No.: 0002
Station 76+09.53 To Station 89+10.71 | 
 Index No.: 19-09-01-300-024
 | 
 Parcel 0002
 | 
 That part of the Southwest Quarter of the Southwest  | 
 Quarter of Section 1, also 2/3rds of
an acre off the south  | 
 end of the Northwest Quarter of the Southwest Quarter of  | 
 Section 1,
Township 35 North, Range 12 East of the Third  | 
 | 
 Principal Meridian, in Will County, Illinois,
bearings and  | 
 distances based on the Illinois State Plane Coordinate  | 
 System, East Zone,
NAD 83 (2011 Adjustment) with a  | 
 combined scale factor of 0.9999641157 described as
 | 
 follows:
 | 
 Commencing at the southwest corner of said Section 1;  | 
 thence North 01 degree 44
minutes 58 seconds West, on the  | 
 west line of said Southwest Quarter, 68.94 feet to the
 | 
 north right of way line of 191st Street as described in  | 
 Document No. R94-114861; thence
North 88 degrees 15  | 
 minutes 02 seconds East, on said north right of way line,  | 
 50.33 feet to
the east right of way line of 80th Avenue per  | 
 Document No. R66-13830, and to the Point of
Beginning;  | 
 thence North 00 degrees 15 minutes 19 seconds East, on  | 
 said east right of way
line, 991.07 feet to an angle point  | 
 in said east right of way line; thence North 01 degree 44
 | 
 minutes 58 seconds West, on said east right of way line,  | 
 291.11 feet to the north line of the
South 2/3rd of an  | 
 acre, of the northwest quarter of said Southwest Quarter;  | 
 thence North 88
degrees 30 minutes 01 second East, on said  | 
 north line, 27.00 feet to the east line of the
West 112.00  | 
 feet of said Southwest Quarter; thence South 01 degree 44  | 
 minutes 58
seconds East, on said east line, 195.59 feet;  | 
 thence South 88 degrees 15 minutes 27
seconds West, 16.00  | 
 feet to the east line of the West 96.00 feet of said  | 
 | 
 Southwest
Quarter; thence South 01 degree 44 minutes 58  | 
 seconds East, on said east line, 240.00
feet; thence South  | 
 88 degrees 15 minutes 27 seconds West, 5.00 feet to the  | 
 east line of
the West 91.00 feet of said Southwest  | 
 Quarter; thence South 01 degree 44 minutes 58
seconds  | 
 East, on said east line, 151.34 feet; thence South 88  | 
 degrees 15 minutes 36
seconds West, 11.00 feet to the east  | 
 line of the West 80.00 feet of said Southwest
Quarter;  | 
 thence South 01 degree 44 minutes 58 seconds East, on said  | 
 east line, 323.66
feet; thence North 88 degrees 15 minutes  | 
 29 seconds East, 5.00 feet to the east line of the
West  | 
 85.00 feet of said Southwest Quarter; thence South 01  | 
 degree 44 minutes 58
seconds East, on said east line,  | 
 251.00 feet; thence North 88 degrees 15 minutes 08
seconds  | 
 East, 6.00 feet; thence South 24 degrees 56 minute 10  | 
 seconds East, 124.46 feet
to the north line of the South  | 
 75.00 feet of said Southwest Quarter; thence North 88
 | 
 degrees 29 minutes 57 seconds East, on said north line,  | 
 376.67 feet; thence South 84
degrees 46 minutes 29 seconds  | 
 East, 183.57 feet to a point 53.50 feet North of, as
 | 
 measured perpendicular to, the south line of said  | 
 Southwest Quarter; thence South 01
degree 30 minutes 03  | 
 seconds East, 2.85 feet to the north right of way line of  | 
 191st Street
as described in Document No. R94-114861;  | 
 thence South 88 degrees 24 minutes 33 seconds West, on  | 
 said north right of way line, 618.63 feet to an angle point  | 
 | 
 in said north
right of way line; thence North 46 degrees 35  | 
 minutes 28 seconds West, on said north right
of way line,  | 
 27.66 feet to an angle point in said north right of way  | 
 line; thence South 88
degrees 15 minutes 02 seconds West,  | 
 on said north right of way line, 10.40 feet to the
Point of  | 
 Beginning.
 | 
 Said parcel containing 0.951 acre, more or less. 
 | 
 Route: 80th Avenue (CH 83) | 
 Section: 06-00122-16-FP | 
 County: Will | 
 Job No.: R-55-001-97 | 
 Parcel No.: 0002TE-A
Station 77+49.00 To Station 81+30.94 | 
 Index No.: 19-09-01-300-024
 | 
 Parcel 0002TE-A
 | 
 That part of the Southwest Quarter of the Southwest  | 
 Quarter of Section 1, also 2/3rds of
an acre off the south  | 
 end of the Northwest Quarter of the Southwest Quarter of  | 
 Section 1,
Township 35 North, Range 12 East of the Third  | 
 Principal Meridian, in Will County, Illinois,
bearings and  | 
 distances based on the Illinois State Plane Coordinate  | 
 System, East Zone,
NAD 83 (2011 Adjustment) with a  | 
 combined scale factor of 0.9999641157 described as
 | 
 | 
 follows:
 | 
 Commencing at the southwest corner of said Section 1;  | 
 thence North 01 degrees 44
minutes 58 seconds West, on the  | 
 west line of said Southwest Quarter, 68.94 feet to the
 | 
 north right of way line of 191st Street as described in  | 
 Document No. R94-114861; thence
North 88 degrees 15  | 
 minutes 02 seconds East, on said north right of way line,  | 
 50.33 feet to
the east right of way line of 80th Avenue per  | 
 Document No. R66-13830; thence North 00
degrees 15 minutes  | 
 19 seconds East, on said east right of way line, 502.11  | 
 feet; thence
North 88 degrees 15 minutes 36 seconds East,  | 
 12.10 feet to the Point of Beginning; thence
continuing  | 
 North 88 degrees 15 minutes 36 seconds East, 11.00 feet to  | 
 the west line of the
East 91.00 feet of said Southwest  | 
 Quarter; thence South 01 degree 44 minutes 58
seconds  | 
 East, on said east line, 381.94 feet; thence South 88  | 
 degrees 15 minutes 08
seconds West, 6.00 feet to the east  | 
 line of the West 85.00 feet of said Southwest Quarter;
 | 
 thence North 01 degree 44 minutes 58 seconds West, on said  | 
 east line, 251.00 feet;
thence South 88 degrees 15 minutes  | 
 29 seconds West, 5.00 feet to the east line of the
West  | 
 80.00 feet of said Southwest Quarter; thence North 01  | 
 degree 44 minutes 58
seconds West, on said east line,  | 
 130.94 feet to the Point of Beginning.
 | 
 | 
 Said parcel containing 0.068 acre, more or less. 
 | 
 Route: 80th Avenue (CH 83) | 
 Section: 06-00122-16-FP | 
 County: Will | 
 Job No.: R-55-001-97 | 
 Parcel No.: 0002TE-B
Station 3023+00.64 To Station  | 
 3025+99.98 | 
 Index No.: 19-09-01-300-024
 | 
 Parcel 0002TE-B
 | 
 That part of the Southwest Quarter of the Southwest  | 
 Quarter of Section 1, also 2/3rds of
an acre off the south  | 
 end of the Northwest Quarter of the Southwest Quarter of  | 
 Section 1,
Township 35 North, Range 12 East of the Third  | 
 Principal Meridian, in Will County, Illinois,
bearings and  | 
 distances based on the Illinois State Plane Coordinate  | 
 System, East Zone,
NAD 83 (2011 Adjustment) with a  | 
 combined scale factor of 0.9999641157 described as
 | 
 follows:
 | 
 Commencing at the southwest corner of said Section 1;  | 
 thence North 88 degrees 29
minutes 57 seconds East, on the  | 
 south line of said Southwest Quarter, 698.65 feet; thence
 | 
 North 01 degree 30 minutes 03 seconds West, perpendicular  | 
 | 
 to said south line, 50.65 feet
to the north right of way  | 
 line of 191st Street as described in Document No.  | 
 R94-114861,
and to the Point of Beginning; thence  | 
 continuing North 01 degree 30 minutes 03 seconds
West,  | 
 2.85 feet; thence North 88 degrees 13 minutes 47 seconds  | 
 East, 299.34 feet;
thence South 01 degree 30 minutes 03  | 
 seconds East, 4.00 feet to the north right of way
line of  | 
 191st Street per Document No. R2003-260494; thence South  | 
 88 degrees 29 minutes
57 seconds West, on said north right  | 
 of way line, 133.46 feet to the west line of said
Document  | 
 No. R2003-260494; thence South 88 degrees 24 minutes 33  | 
 seconds West, on
the north right of way line of 191st  | 
 Street per Document No. R94-114861, a distance of
165.89  | 
 feet to the Point of Beginning.
 | 
 Said parcel containing 0.023 acre, more or less. 
 | 
 Route: 80th Avenue (CH 83) | 
 Section: 06-00122-16-FP | 
 County: Will | 
 Job No.: R-55-001-97 | 
 Parcel No.: 0003
Station 88+89.50 To Station 91+36.65 | 
 Index No.: 19-09-02-402-003
 | 
 Parcel 0003
 | 
 | 
 That part of Outlot A in 80th Avenue Industrial Center in  | 
 the east half of the Southeast
Quarter of Section 2,  | 
 Township 35 North, Range 12 East of the Third Principal  | 
 Meridian,
according to the plat thereof recorded May 27,  | 
 1976 as Document No. R1976-015768,
Township of Frankfort,  | 
 Will County, Illinois, bearings and distances based on the  | 
 Illinois
Sate Plane Coordinate System, East Zone, NAD 83  | 
 (2011 Adjustment) with a combined
scale factor of  | 
 0.9999641157 described as follows:
 | 
 Beginning at the southeast corner of said Outlot A; thence  | 
 South 88 degrees 26 minutes
40 seconds West, on the south  | 
 line of said Outlot A, 38.00 feet; thence North 22 degrees
 | 
 20 minutes 14 seconds East, 66.16 feet to the west line of  | 
 the East 11.00 feet of said
Outlot A; thence North 01  | 
 degree 44 minutes 58 seconds West, on said west line,  | 
 159.51
feet to a point 27.00 feet South of, as measured  | 
 perpendicular to, the south right of way
line of 189th  | 
 Street; thence South 88 degrees 26 minutes 40 seconds  | 
 West, parallel with
said south right of way line, 39.00  | 
 feet; thence North 01 degree 44 minutes 58 seconds
West,  | 
 parallel with the east line of said Outlot A, 27.00 feet to  | 
 the south right of way line of
189th Street; thence North  | 
 88 degrees 26 minutes 40 seconds East, on said south right  | 
 of
way line, 50.00 feet to the east line of said Outlot A;  | 
 thence South 01 degree 44 minutes 58
seconds East, on said  | 
 | 
 east line, 246.99 feet to the Point of Beginning.
 | 
 Said parcel containing 0.105 acre, more or less. 
 | 
 Route: 80th Avenue (CH 83) | 
 Section: 06-00122-16-FP | 
 County: Will | 
 Job No.: R-55-001-97 | 
 Parcel No.: 0003TE
Station 88+89.62 To Station 91+09.54 | 
 Index No.: 19-09-02-402-003
 | 
 Parcel 0003TE
 | 
 That part of Outlot A in 80th Avenue Industrial Center in  | 
 the east half of the Southeast
Quarter of Section 2,  | 
 Township 35 North, Range 12 East of the Third Principal  | 
 Meridian,
according to the plat thereof recorded May 27,  | 
 1976 as Document No. R1976-015768,
Township of Frankfort,  | 
 Will County, Illinois, bearings and distances based on the  | 
 Illinois
Sate Plane Coordinate System, East Zone, NAD 83  | 
 (2011 Adjustment) with a combined
scale factor of  | 
 0.9999641157 described as follows:
 | 
 Commencing at the southeast corner of said Outlot A;  | 
 thence South 88 degrees 26
minutes 40 seconds West, on the  | 
 south line of said Outlot A, 38.00 feet to the Point of
 | 
 | 
 Beginning; thence continuing South 88 degrees 26 minutes  | 
 40 seconds West, on said
south line, 5.00 feet; thence  | 
 North 01 degrees 44 minutes 58 seconds West, parallel with
 | 
 the east line of said Outlot A, a distance of 60.49 feet;  | 
 thence North 88 degrees 26minutes
40 seconds East, 27.00  | 
 feet to the west line of the East 16.00 feet of said Outlot  | 
 A; thence
North 01 degree 44 minutes 58 seconds West, on  | 
 said west line, 159.51 feet to a point
27.00 feet South of,  | 
 as measured perpendicular to, the south right of way line  | 
 of 189th
Street; thence North 88 degrees 26 minutes 40  | 
 seconds East, parallel to said south right of
way line,  | 
 5.00 feet to the west line of the East 11.00 feet of said  | 
 Outlot A; thence South 01
degree 44 minutes 58 seconds  | 
 East, on said west line, 159.51 feet; thence South 22
 | 
 degrees 20 minutes 14 seconds West, 66.16 feet to the  | 
 Point of Beginning. | 
 Said parcel containing 0.044 acre, more or less. 
 | 
 Route: 80th Avenue (CH 83) | 
 Section: 06-00122-16-FP | 
 County: Will | 
 Job No.: R-55-001-97 | 
 Parcel No.: 0004A
Station 89+10.59 To Station 91+36.89 | 
 Index No.: 19-09-01-301-001
 | 
 Parcel 0004A
 | 
 | 
 That part of Lot 1 in Panduit Corp Planned Unit  | 
 Development Subdivision, being a
subdivision in part of  | 
 the Southwest Quarter of Section 1, Township 35 North,  | 
 Range 12
East of the Third Principal Meridian, according  | 
 to the plat thereof recorded August 31, 2012
as Document  | 
 No. R2012-096238, in Will County, Illinois, bearings and  | 
 distances based on
the Illinois Sate Plane Coordinate  | 
 System, East Zone, NAD 83 (2011 Adjustment) with a
 | 
 combined scale factor of 0.9999641157 described as  | 
 follows:
 | 
 Beginning at the southwest corner of said lot; thence  | 
 North 01 degree 44 minutes 58
seconds West, on the west  | 
 line of said lot, 226.18 feet; thence North 88 degrees 15
 | 
 minutes 33 seconds East, 10.00 feet to the east line of the  | 
 West 10.00 feet of said lot;
thence South 01 degree 44  | 
 minutes 58 seconds East, on said east line, 186.95 feet;
 | 
 thence North 88 degrees 15 minutes 28 seconds East, 17.00  | 
 feet to the east line of the
West 27.00 feet of said lot;  | 
 thence South 01 degree 44 minutes 58 seconds East, on said
 | 
 east line, 39.35 feet to the south line of said lot; thence  | 
 South 88 degrees 30 minutes 01
second West, on said south  | 
 line, 27.00 feet to the Point of Beginning.
 | 
 Said parcel containing 0.067 acre, more or less. 
 | 
 | 
 Route: 80th Avenue (CH 83) | 
 Section: 06-00122-16-FP | 
 County: Will | 
 Job No.: R-55-001-97 | 
 Parcel No.: 0004B
Station 92+15.00 To Station 99+94.90 | 
 Index No.: 19-09-01-301-001
 | 
 Parcel 0004B
 | 
 That part of Lot 1 in Panduit Corp Planned Unit  | 
 Development Subdivision, being a
subdivision in part of  | 
 the Southwest Quarter of Section 1, Township 35 North,  | 
 Range 12
East of the Third Principal Meridian, according  | 
 to the plat thereof recorded August 31, 2012
as Document  | 
 No. R2012-096238, in Will County, Illinois, bearings and  | 
 distances based on
the Illinois Sate Plane Coordinate  | 
 System, East Zone, NAD 83 (2011 Adjustment) with a
 | 
 combined scale factor of 0.9999641157 described as  | 
 follows:
 | 
 Beginning at the northwest corner of said lot; thence  | 
 North 88 degrees 32 minutes 27
seconds East, on the north  | 
 line of said lot, 53.09 feet; thence South 02 degrees 19  | 
 minutes
11 seconds West, 586.19 feet to a point 20.00 feet  | 
 East of, as measured perpendicular to,
the west line of  | 
 | 
 said lot; thence South 88 degrees 15 minutes 02 seconds  | 
 West, 11.00 feet
to the east line of the West 9.00 feet of  | 
 said lot; thence South 01 degree 44 minutes 58
seconds  | 
 East, on said east line, 194.80 feet; thence South 88  | 
 degrees 15 minutes 02
seconds West, 9.00 feet to the west  | 
 line of said lot; thence North 01 degree 44 minutes 58
 | 
 seconds West, on said west line, 505.26 feet to an angle  | 
 point in said west line; thence
North 00 degrees 01 minute  | 
 33 seconds East, on said west line, 274.64 feet to the  | 
 Point of
Beginning.
 | 
 Said parcel containing 0.561 acre, more or less. 
 | 
 Route: 80th Avenue (CH 83) | 
 Section: 06-00122-16-FP | 
 County: Will | 
 Job No.: R-55-001-97 | 
 Parcel No.: 0004TE
Station 89+49.94 To Station 92+15.00 | 
 Index No.: 19-09-01-301-001
 | 
 Parcel 0004TE
 | 
 That part of Lot 1 in Panduit Corp Planned Unit  | 
 Development Subdivision, being a
subdivision in part of  | 
 the Southwest Quarter of Section 1, Township 35 North,  | 
 Range 12
East of the Third Principal Meridian, according  | 
 | 
 to the plat thereof recorded August 31, 2012
as Document  | 
 No. R2012-096238, in Will County, Illinois, bearings and  | 
 distances based on
the Illinois Sate Plane Coordinate  | 
 System, East Zone, NAD 83 (2011 Adjustment) with a
 | 
 combined scale factor of 0.9999641157 described as  | 
 follows:
 | 
 Commencing at the southwest corner of said lot; thence  | 
 North 01 degree 44 minutes 58
seconds West, on the west  | 
 line of said lot, 226.18 feet to the Point of Beginning;  | 
 thence
continuing North 01 degrees 44 minutes 58 seconds  | 
 West, on said west line, 78.11 feet;
thence North 88  | 
 degrees 15 minutes 02 seconds East, 9.00 feet; thence  | 
 South 50 degrees
58 minutes 14 seconds East, 27.73 feet;  | 
 thence North 88 degrees 15 minutes 33 seconds
East, 25.00  | 
 feet to the east line of the West 55.00 feet of said lot;  | 
 thence South 01 degree
44 minutes 58 seconds East, on said  | 
 east line, 60.00 feet; thence South 88 degrees 15
minutes  | 
 33 seconds West, 40.00 feet to the east line of the West  | 
 15.00 feet of said lot;
thence South 01 degree 44 minutes  | 
 58 seconds East, on said east line, 186.94 feet;
thence  | 
 South 88 degrees 15 minutes 28 second West, 5.00 feet to  | 
 the east line of the
West 10.00 feet of said lot; thence  | 
 North 01 degree 44 minutes 58 seconds West, on said
east  | 
 line, 186.95 feet; thence South 88 degrees 15 minutes 33  | 
 seconds West, 10.00 feet
to the Point of Beginning.
 | 
 | 
 Said parcel containing 0.105 acre, more or less. 
 | 
 Route: 80th Avenue (CH 83) | 
 Section: 06-00122-16-FP | 
 County: Will | 
 Job No.: R-55-001-97 | 
 Parcel No.: 0005
Station 92+02.49 To Station 99+94.90 | 
 Index No.: 19-09-02-402-003
 | 
 Parcel 0005
 | 
 That part of Outlot A in 80th Avenue Industrial Center in  | 
 the east half of the Southeast
Quarter of Section 2,  | 
 Township 35 North, Range 12 East of the Third Principal  | 
 Meridian,
according to the plat thereof recorded May 27,  | 
 1976 as Document No. R1976-015768,
Township of Frankfort,  | 
 Will County, Illinois, bearings and distances based on the  | 
 Illinois
Sate Plane Coordinate System, East Zone, NAD 83  | 
 (2011 Adjustment) with a combined
scale factor of  | 
 0.9999641157 described as follows:
 | 
 Beginning at the northeast corner of said Outlot A, said  | 
 northeast corner being the
intersection of the east line  | 
 of said Outlot A with the south right of way line of  | 
 Interstate 80;
thence South 05 degrees 42 minutes 13  | 
 | 
 seconds East, on the east line of said Outlot A,
526.56  | 
 feet to an angle point in said east line; thence South 01  | 
 degree 44 minutes 58
seconds East, on said east line,  | 
 266.93 feet to the north right of way line of 189th Street;
 | 
 thence South 88 degrees 26 minutes 40 seconds West, on  | 
 said north right of way line,
50.00 feet; thence North 01  | 
 degree 44 minutes 58 seconds West, parallel with said east
 | 
 line, 32.00 feet; thence North 88 degrees 26 minutes 40  | 
 seconds East, parallel with said
north right of way line,  | 
 37.00 feet to the west line of the East 13.00 feet of said  | 
 Outlot A;
thence North 01 degree 44 minutes 58 seconds  | 
 West, on said west line, 279.26 feet;
thence South 88  | 
 degrees 15 minutes 02 seconds West, 22.00 feet; thence  | 
 North 01
degree 43 minutes 58 seconds West, 238.59 feet;  | 
 thence North 04 degrees 43 minutes 36
seconds West, 197.47  | 
 feet; thence North 01 degree 54 minutes 17 seconds West,  | 
 45.18
feet to the north line of said Outlot A; thence North  | 
 88 degrees 31 minutes 27 seconds
East, on said north line,  | 
 9.00 feet to the Point of Beginning.
 | 
 Said parcel containing 0.321 acre, more or less. 
 | 
 Route: 80th Avenue (CH 83) | 
 Section: 06-00122-16-FP | 
 County: Will | 
 Job No.: R-55-001-97 | 
 | 
 Parcel No.: 0006
Station 102+41.97 To Station 115+07.14 | 
 Index No.: 19-09-01-100-013
 | 
 Parcel 0006
 | 
 The West 60 acres (Except the East 40 acres thereof) of the  | 
 south half of the Northwest
Quarter of Section 1, Township  | 
 35 North, Range 12 East of the Third Principal Meridian,  | 
 in
Will County, Illinois.
 | 
 Excepting therefrom that part described for street  | 
 purposes by Plat of Dedication and
ordinance approving the  | 
 same record as Document R2002-010141.
 | 
 Also excepting therefrom that part taken for Interstate 80  | 
 in Case 66 G 1592H the Lis
Pendes of which was recorded as  | 
 Document R66-13830.
 | 
 Said parcel containing 16.618 acres, more or less. 
 | 
 Route: 80th Avenue (CH 83) | 
 Section: 06-00122-16-FP | 
 County: Will | 
 Job No.: R-55-001-97 | 
 Parcel No.: 0007TE
Station 110+41.32 To Station 110+49.57 | 
 Index No.: 19-09-02-203-003
 | 
 | 
 Parcel 0007TE
 | 
 That part of Lot 9 in Mercury Business Center, being a  | 
 subdivision of part of the Southeast
Quarter of the  | 
 Northeast Quarter of Section 2, Township 35 North, Range  | 
 12 East of the
Third Principal Meridian, according to the  | 
 plat thereof recorded August 26, 1994 as
Document No.  | 
 R94-82441, in Will County, Illinois, bearings and  | 
 distances based on the
Illinois State Plane Coordinate  | 
 System, East Zone, NAD 83 (2011 Adjustment) with a
 | 
 combined scaled factor of 0.9999641157 described as  | 
 follows:
 | 
 Commencing at the southeast corner of said lot; thence  | 
 South 84 degrees 03 minutes 06
seconds West, on the south  | 
 line of said lot, 74.77 feet to the Point of Beginning;  | 
 thence
continuing South 84 degrees 03 minutes 06 seconds  | 
 West, on said south line, 44.50 feet;
thence North 05  | 
 degrees 56 minutes 54 seconds West, perpendicular to said  | 
 south line,
5.00 feet; thence North 84 degrees 03 minutes  | 
 06 seconds East, parallel with said south
line, 44.50  | 
 feet; thence South 05 degrees 56 minutes 54 seconds East,  | 
 perpendicular to
said south line, 5.00 feet to the Point  | 
 of Beginning.
 | 
 | 
 Said parcel containing 0.005 acre (223 square feet), more  | 
 or less. 
 | 
 Route: 80th Avenue (CH 83) | 
 Section: 06-00122-16-FP | 
 County: Will | 
 Job No.: R-55-001-97 | 
 Parcel No.: 0008TE-A
Station 118+98.39 To Station  | 
 120+86.46 | 
 Index No.: 19-09-02-205-034
 | 
 Parcel 0008TE-A
 | 
 That part of Lot 1 in Speedway Tinley Park Subdivision,  | 
 being a consolidation of Parcels 1,
2 and 3 in the north  | 
 half of Section 2, Township 35 North, Range 12 East of the  | 
 Third
Principal Meridian, according to the plat thereof  | 
 recorded March 1, 2016, as Document No.
R2016-015413, all  | 
 in Will County, Illinois bearings and distances based on  | 
 the Illinois State
Plane Coordinate System, East Zone, NAD  | 
 83 (2011 Adjustment) with a combined scale
factor of  | 
 0.9999641157 described as follows:
 | 
 Commencing at the northeast corner of said lot; thence  | 
 South 01 degree 45 minutes 01
seconds East, on the east  | 
 line of said lot, 235.96 feet to the Point of Beginning;  | 
 | 
 thence
continuing South 01 degree 45 minutes 01 second  | 
 East, on said east line, 106.00 feet to
an angle point in  | 
 said east line; thence South 88 degrees 30 minutes 13  | 
 seconds West, on
said east line, 9.00 feet to an angle  | 
 point in said east line; thence South 01 degree 45
minutes  | 
 01 second East, on said east line, 82.11 feet to an angle  | 
 point in said east line;
thence South 88 degrees 30  | 
 minutes 13 seconds West, on said east line, 5.00 feet;  | 
 thence
North 01 degree 45 minutes 01 second West, parallel  | 
 with said east line, 82.11 feet;
thence South 88 degrees  | 
 30 minutes 13 seconds West, 10.00 feet; thence North 01
 | 
 degree 45 minutes 01 second West, parallel with said east  | 
 line, 106.00 feet; thence North
88 degrees 14 minutes 59  | 
 seconds East, 24.00 feet to the Point of Beginning.
 | 
 Said parcel containing 0.068 acre, more or less. 
 | 
 Route: 80th Avenue (CH 83) | 
 Section: 06-00122-16-FP | 
 County: Will | 
 Job No.: R-55-001-97 | 
 Parcel No.: 0008TE-B
Station 115+88.46 To Station  | 
 116+03.46 | 
 Index No.: 19-09-02-205-034
 | 
 Parcel 0008TE-B
 | 
 | 
 That part of Lot 1 in Speedway Tinley Park Subdivision,  | 
 being a consolidation of Parcels 1,
2 and 3 in the north  | 
 half of Section 2, Township 35 North, Range 12 East of the  | 
 Third
Principal Meridian, according to the plat thereof  | 
 recorded March 1, 2016, as Document No.
R2016-015413, all  | 
 in Will County, Illinois bearings and distances based on  | 
 the Illinois State
Plane Coordinate System, East Zone, NAD  | 
 83 (2011 Adjustment) with a combined scale
factor of  | 
 0.9999641157 described as follows:
 | 
 Beginning at the southeast corner of said lot; thence  | 
 South 88 degrees 30 minutes 13
seconds West, on the south  | 
 line of said lot, 15.00 feet; thence North 43 degrees 22
 | 
 minutes 36 seconds East, 21.17 feet to the east line of  | 
 said lot; thence South 01 degree 45
minutes 01 second  | 
 East, on said east line, 15.00 feet to the Point of  | 
 Beginning.
 | 
 Said parcel containing 0.003 acre (112 square feet), more  | 
 or less. 
 | 
 Route: 80th Avenue (CH 83) | 
 Section: 06-00122-16-FP | 
 County: Will | 
 Job No.: R-55-001-97 | 
 | 
 Parcel No.: 0009
Station 115+92.91 To Station 122+04.37 | 
 Index No.: 19-09-01-101-009
 | 
 Parcel 0009
 | 
 That part of Lot 9 in Hickory Creek Corporate Center Unit  | 
 2, being a subdivision of that part
of the north half of  | 
 the Northwest Quarter of Section 1, Township 35 North,  | 
 Range 12 East
of the Third Principal Meridian, according  | 
 to the plat thereof recorded October 31, 2001 as
Document  | 
 No. R2001-148202 and amended by Certificate of Correction  | 
 Numbers R2001-
157981, R2001-161607 and R2001-161608, in  | 
 Will County, Illinois, bearings and distances
based on the  | 
 Illinois State Plane Coordinate System, East Zone, NAD 83  | 
 (2011
Adjustment) with a combined scale factor of  | 
 0.9999641157 described as follows:
 | 
 Beginning at the northwest corner of said lot; thence  | 
 North 88 degrees 36 minutes 17
seconds East, on the north  | 
 line of said lot, 15.70 feet; thence South 01 degree 45  | 
 minutes
01 second East, 575.55 feet to a point 5.00 feet  | 
 Northeasterly of, as measured
perpendicular to, the  | 
 southwesterly line of said lot; thence South 46 degrees 35  | 
 minutes 11
seconds East, parallel with said southwesterly  | 
 line, 40.81 feet; thence South 00 degrees 00
minutes 00  | 
 seconds East, 6.88 feet to said southwesterly line; thence  | 
 | 
 North 46 degrees 35
minutes 11 seconds West, on said  | 
 southwesterly line, 62.92 feet to the west line of said  | 
 lot;
thence North 01 degree 44 minutes 24 seconds West, on  | 
 said west line, 566.85 feet to the
Point of Beginning.
 | 
 Said parcel containing 0.212 acre, more or less. 
 | 
 Route: 80th Avenue (CH 83) | 
 Section: 06-00122-16-FP | 
 County: Will | 
 Job No.: R-55-001-97 | 
 Parcel No.: 0009TE-A
Station 115+86.83 To Station  | 
 115+98.12 | 
 Index No.: 19-09-01-101-009
 | 
 Parcel 0009TE-A
 | 
 That part of Lot 9 in Hickory Creek Corporate Center Unit  | 
 2, being a subdivision of that part
of the north half of  | 
 the Northwest Quarter of Section 1, Township 35 North,  | 
 Range 12 East
of the Third Principal Meridian, according  | 
 to the plat thereof recorded October 31, 2001 as
Document  | 
 No. R2001-148202 and amended by Certificate of Correction  | 
 Numbers R2001-
157981, R2001-161607 and R2001-161608, in  | 
 Will County, Illinois, bearings and distances
based on the  | 
 Illinois State Plane Coordinate System, East Zone, NAD 83  | 
 | 
 (2011
Adjustment) with a combined scale factor of  | 
 0.9999641157 described as follows:
 | 
 Commencing at the southeast corner of said lot; thence  | 
 South 88 degrees 35 minutes 00
seconds West, 264.49 feet  | 
 to the Point of Beginning; thence continuing South 88  | 
 degrees
35 minutes 00 seconds West, on said south line,  | 
 45.50 feet to the southwesterly line of
said lot; thence  | 
 North 46 degrees 35 minutes 11 seconds West, 8.21 feet;  | 
 thence North 00
degrees 00 minutes 00 seconds East, 5.21  | 
 feet to a point 11.00 feet North of, as measured
 | 
 perpendicular to, the south line of said lot; thence North  | 
 88 degrees 35 minutes 00
seconds East, parallel with said  | 
 south line, 48.31 feet; thence South 16 degrees 07
minutes  | 
 24 seconds East, 11.37 feet to the Point of Beginning.
 | 
 Said parcel containing 0.012 acre, more or less. 
 | 
 Route: 80th Avenue (CH 83) | 
 Section: 06-00122-16-FP | 
 County: Will | 
 Job No.: R-55-001-97 | 
 Parcel No.: 0009TE-B
Station 2013+44.28 To Station  | 
 2013+90.28 | 
 Index No.: 19-09-01-101-009
 | 
 | 
 Parcel 0009TE-B
 | 
 That part of Lot 9 in Hickory Creek Corporate Center Unit  | 
 2, being a subdivision of that part
of the north half of  | 
 the Northwest Quarter of Section 1, Township 35 North,  | 
 Range 12 East
of the Third Principal Meridian, according  | 
 to the plat thereof recorded October 31, 2001 as
Document  | 
 No. R2001-148202 and amended by Certificate of Correction  | 
 Numbers R2001-
157981, R2001-161607 and R2001-161608, in  | 
 Will County, Illinois, bearings and distances
based on the  | 
 Illinois State Plane Coordinate System, East Zone, NAD 83  | 
 (2011
Adjustment) with a combined scale factor of  | 
 0.9999641157 described as follows:
 | 
 Commencing at the southeast corner of said lot; thence  | 
 South 88 degrees 35 minutes 00
seconds West, on said south  | 
 line, 35.00 feet to the Point of Beginning; thence  | 
 continuing
South 88 degrees 35 minutes 00 seconds West, on  | 
 said south line, 46.00 feet; thence
North 01 degrees 25  | 
 minutes 00 seconds West, 5.00 feet to the north line of the  | 
 South
5.00 feet of said lot; thence North 88 degrees 35  | 
 minutes 00 seconds East, on said north
line, 46.00 feet;  | 
 thence South 01 degree 25 minutes 00 seconds East, 5.00  | 
 feet to the
Point of Beginning.
 | 
 Said parcel containing 0.005 acre (230 square feet), more  | 
 | 
 or less. 
 | 
 Route: 80th Avenue (CH 83) | 
 Section: 06-00122-16-FP | 
 County: Will | 
 Job No.: R-55-001-97 | 
 Parcel No.: 0010A
Station 122+04.27 To Station 122+34.00 | 
 Index No.: 19-09-01-101-007
 | 
 Parcel 0010A
 | 
 That part of Lot 10 in Hickory Creek Corporate Center Unit  | 
 2, being a subdivision of that
part of the north half of  | 
 the Northwest Quarter of Section 1, Township 35 North,  | 
 Range 12
East of the Third Principal Meridian, according  | 
 to the plat thereof recorded October 31,
2001 as Document  | 
 No. R2001-148202 and amended by Certificate of Correction  | 
 Numbers
R2001-157981, R2001-161607 and R2001-161608, in  | 
 Will County, Illinois, bearings and
distances based on the  | 
 Illinois State Plane Coordinate System, East Zone, NAD 83  | 
 (2011
Adjustment) with a combined scale factor of  | 
 0.9999641157 described as follows:
 | 
 Beginning at the southwest corner of said lot; thence  | 
 North 01 degree 48 minutes 13
seconds West, on the west  | 
 line of said lot, 29.63 feet; thence North 88 degrees 15  | 
 | 
 minutes
04 seconds East, 15.73 feet; thence South 01  | 
 degree 45 minutes 01 second East, 29.73
feet to the south  | 
 line of said lot; thence South 88 degrees 36 minutes 17  | 
 seconds West,
15.70 feet to the Point of Beginning.
 | 
 Said parcel containing 0.011 acre, more or less. 
 | 
 Route: 80th Avenue (CH 83) | 
 Section: 06-00122-16-FP | 
 County: Will | 
 Job No.: R-55-001-97 | 
 Parcel No.: 0010B
Station 122+93.00 To Station 128+25.81 | 
 Index No.: 19-09-01-101-007
 | 
 Parcel 0010B
 | 
 That part of Lot 10 in Hickory Creek Corporate Center Unit  | 
 2, being a subdivision of that
part of the north half of  | 
 the Northwest Quarter of Section 1, Township 35 North,  | 
 Range 12
East of the Third Principal Meridian, according  | 
 to the plat thereof recorded October 31,
2001 as Document  | 
 No. R2001-148202 and amended by Certificate of Correction  | 
 Numbers
R2001-157981, R2001-161607 and R2001-161608, in  | 
 Will County, Illinois, bearings and
distances based on the  | 
 Illinois State Plane Coordinate System, East Zone, NAD 83  | 
 (2011
Adjustment) with a combined scale factor of  | 
 | 
 0.9999641157 described as follows:
 | 
 Commencing at the southwest corner of said lot; thence  | 
 North 01 degree 48 minutes 13
seconds West, on the west  | 
 line of said lot, 88.63 feet to the Point of Beginning;  | 
 thence
continuing North 01 degree 48 minutes 13 seconds  | 
 West, on said west line, 127.27 feet to
an angle point in  | 
 said west line; thence North 01 degree 04 minutes 30  | 
 seconds East, on
said west line, 199.86 feet to an angle  | 
 point in said west line; thence North 01 degree 42
minutes  | 
 21 seconds West, on said west line, 156.34 feet to an angle  | 
 point in said west line;
thence North 43 degrees 31  | 
 minutes 05 seconds East, on a northwesterly line of said  | 
 lot,
70.43 feet to the north line of said lot; thence North  | 
 88 degrees 39 minutes 56 seconds
East, on said north line,  | 
 613.66 feet; thence South 01 degree 20 minutes 04 seconds  | 
 East,
perpendicular to said north line, 5.00 feet; thence  | 
 South 87 degrees 05 minutes 13
seconds West, 232.71 feet;  | 
 thence South 86 degrees 35 minutes 31 seconds West,
357.63  | 
 feet; thence South 50 degrees 50 minutes 19 seconds West,  | 
 56.86 feet; thence
South 07 degrees 02 minutes 04 seconds  | 
 West, 130.48 feet; thence South 00 degrees 00
minutes 30  | 
 seconds East, 344.94 feet; thence South 88 degrees 15  | 
 minutes 04 seconds
West, 7.78 feet to the Point of  | 
 Beginning.
 | 
 | 
 Said parcel containing 0.376 acre, more or less. 
 | 
 Route: 80th Avenue (CH 83) | 
 Section: 06-00122-16-FP | 
 County: Will | 
 Job No.: R-55-001-97 | 
 Parcel No.: 0010TE
Station 122+29.00 To Station 127+72.90 | 
 Index No.: 19-09-01-101-007
 | 
 Parcel 0010TE
 | 
 That part of Lot 10 in Hickory Creek Corporate Center Unit  | 
 2, being a subdivision of that
part of the north half of  | 
 the Northwest Quarter of Section 1, Township 35 North,  | 
 Range 12
East of the Third Principal Meridian, according  | 
 to the plat thereof recorded October 31,
2001 as Document  | 
 No. R2001-148202 and amended by Certificate of Correction  | 
 Numbers
R2001-157981, R2001-161607 and R2001-161608, in  | 
 Will County, Illinois, bearings and
distances based on the  | 
 Illinois State Plane Coordinate System, East Zone, NAD 83  | 
 (2011
Adjustment) with a combined scale factor of  | 
 0.9999641157 described as follows:
 | 
 Commencing at the southwest corner of said lot; thence  | 
 North 01 degree 48 minutes 13
seconds West, on the west  | 
 line of said lot, 29.63 feet to the Point of Beginning;  | 
 | 
 thence
continuing North 01 degree 48 minutes 13 seconds  | 
 West, on said west line, 59.00 feet;
thence North 88  | 
 degrees 15 minutes 04 seconds East, 7.78 feet; thence  | 
 North 00 degree
00 minutes 30 seconds West, 344.94; thence  | 
 North 07 degrees 02 minutes 04 seconds
East, 130.48 feet;  | 
 thence North 50 degrees 50 minutes 19 seconds East, 10.14  | 
 feet;
thence South 01 degree 44 minutes 33 seconds East,  | 
 72.90 feet; thence South 18 degrees
40 minutes 18 seconds  | 
 East, 68.68 feet; thence South 01 degree 44 minutes 34  | 
 seconds
East, 134.29 feet; thence South 13 degrees 46  | 
 minutes 54 seconds West, 186.82 feet;
thence South 01  | 
 degree 44 minutes 30 seconds East, 27.00 feet; thence  | 
 North 88 degrees
15 minutes 04 seconds East, 39.81 feet;  | 
 thence South 01 degree 48 minutes 13 seconds
East, 64.00  | 
 feet; thence South 88 degrees 15 minutes 04 seconds West,  | 
 40.28 feet;
thence North 01 degree 45 minutes 01 second  | 
 West, 5.00 feet; thence South 88 degrees
15 minutes 04  | 
 seconds West, 15.73 feet to the Point of Beginning.
 | 
 Said parcel containing 0.435 acre, more or less. 
 | 
 Route: 80th Avenue (CH 83) | 
 Section: 06-00122-16-FP | 
 County: Will | 
 Job No.: R-55-001-97 | 
 Parcel No.: 0011TE
Station 123+22.42 To Station 125+60.84 | 
 | 
 Index No.: 19-09-02-205-025
 | 
 Parcel 0011TE
 | 
 That part of Lot 31 in Tinley Crossings Corporate Center,  | 
 Phase 3, a resubdivision of part
of the north half of  | 
 Section 2, Township 35 North, Range 12 East of the Third  | 
 Principal
Meridian, according to the plat thereof recorded  | 
 February 27, 2001 as Document No.
R2001-021137, all in  | 
 Will County, Illinois, bearings and distances based on the  | 
 Illinois
State Plane Coordinate System, East Zone, NAD 83  | 
 (2011 Adjustment) with a combined
scale factor of  | 
 0.9999641157 described as follows:
 | 
 Beginning at the southeast corner of said lot, said  | 
 southeast corner being on the west right
of way line of  | 
 80th Avenue; thence South 88 degrees 15 minutes 09 seconds  | 
 West, on a
south line of said lot, 16.00 feet to the west  | 
 line of the East 16.00 feet of said lot; thence
North 01  | 
 degree 45 minutes 01 second West, on said west line, 47.30  | 
 feet; thence North
88 degrees 14 minutes 59 seconds East,  | 
 12.00 feet to the west line of the East 4.00 feet of
said  | 
 lot; thence North 01 degree 45 minutes 01 second West, on  | 
 said west line, 142.42
feet; thence South 88 degrees 14  | 
 minutes 59 seconds West, 5.00 feet to the west line of
the  | 
 East 9.00 feet of said lot; thence North 01 degree 45  | 
 | 
 minutes 01 second West, on said
west line, 48.70 feet;  | 
 thence North 88 degrees 14 minutes 59 seconds East, 9.00  | 
 feet to
the east line of said lot; thence South 01 degree  | 
 45 minutes 01 second East, on said east
line, 238.42 feet  | 
 to the Point of Beginning.
 | 
 Said parcel containing 0.041 acre, more or less. 
 | 
 Route: 80th Avenue (CH 83) | 
 Section: 06-00122-16-FP | 
 County: Will | 
 Job No.: R-55-001-97 | 
 Parcel No.: 0012
Station 126+69.25 To Station 128+28.53 | 
 Index No.: 19-09-02-205-010
 | 
 Parcel 0012
 | 
 That part of Lot 25 in Tinley Crossings Corporate Center  | 
 Unit 1, being a subdivision of part
of the North half of  | 
 Section 2, Township 35 North, Range 12 East of the Third  | 
 Principal
Meridian, according to the Plat of Subdivision  | 
 thereof recorded October 16, 1998 as
Document R98-122885,  | 
 in Will County, Illinois, bearings and distances based on  | 
 the Illinois
State Plane Coordinate System, East Zone, NAD  | 
 83 (2011 Adjustment) with a combined
scale factor of  | 
 0.9999641157 described as follows:
 | 
 | 
 Commencing at the southeast corner of said lot; thence  | 
 North 01 degree 45 minutes 01
second West, on the east line  | 
 of said lot, 98.41 feet to the Point of Beginning; thence
 | 
 South 88 degrees 15 minutes 50 seconds West, 6.00 feet;  | 
 thence North 01 degree 45
minutes 01 second West, parallel  | 
 with said east line, 31.47 feet to a point of curvature;
 | 
 thence Northwesterly, on a 110.00 foot radius curve,  | 
 concave Southwesterly, 172.12 feet,
the chord of said  | 
 curve bears North 46 degrees 34 minutes 30 seconds West,  | 
 155.09 feet
to the south line of the North 17.00 feet of  | 
 said lot, and to a point of tangency; thence
South 88  | 
 degrees 35 minutes 58 seconds West, on said south line,  | 
 119.66 feet; thence
South 01 degree 45 minutes 01 second  | 
 East, 7.00 feet; thence South 88 degrees 35
minutes 58  | 
 seconds West, parallel with said north line, 20.00 feet to  | 
 the west line of said
lot; thence North 01 degree 45  | 
 minutes 01 second West, on said west line, 24.00 feet to
 | 
 the northwest corner of said lot; thence North 88 degrees  | 
 35 minutes 58 seconds East, on
the north line of said lot,  | 
 204.99 feet to the northeasterly line of said lot; thence  | 
 South 46
degrees 34 minutes 31 seconds East, on said  | 
 northeasterly line, 70.93 feet to the east line
of said  | 
 lot; thence South 01 degree 45 minutes 01 second East, on  | 
 said east line, 107.77
feet to the Point of Beginning.
 | 
 | 
 Said parcel containing 0.152 acre, more or less. 
 | 
 Route: 80th Avenue (CH 83) | 
 Section: 06-00122-16-FP | 
 County: Will | 
 Job No.: R-55-001-97 | 
 Parcel No.: 0012TE
Station 126+69.25 To Station 128+11.41 | 
 Index No.: 19-09-02-205-010
 | 
 Parcel 0012TE
 | 
 That part of Lot 25 in Tinley Crossings Corporate Center  | 
 Unit 1, being a subdivision of part
of the North half of  | 
 Section 2, Township 35 North, Range 12 East of the Third  | 
 Principal
Meridian, according to the Plat of Subdivision  | 
 thereof recorded October 16, 1998 as
Document R98-122885,  | 
 in Will County, Illinois, bearings and distances based on  | 
 the Illinois
State Plane Coordinate System, East Zone, NAD  | 
 83 (2011 Adjustment) with a combined
scale factor of  | 
 0.9999641157 described as follows:
 | 
 Commencing at the southeast corner of said lot; thence  | 
 North 01 degree 45 minutes 01
second West, on the east line  | 
 of said lot, 98.41 feet; thence South 88 degrees 15  | 
 minutes
50 seconds West, 6.00 feet to the Point of  | 
 Beginning; thence continuing South 88 degrees
15 minutes  | 
 | 
 50 seconds West, 5.00 feet; thence North 01 degree 45  | 
 minutes 01 second
West, parallel with the east line of  | 
 said lot, 31.47 feet; thence North 28 degrees 47 minutes
 | 
 08 seconds West, 72.92 feet; thence North 57 degrees 01  | 
 minute 36 seconds West, 57.77
feet to the south line of the  | 
 North 29.00 feet of said lot; thence South 88 degrees 35
 | 
 minutes 58 seconds West, on said south line, 143.37 feet;  | 
 thence South 01 degree 45
minutes 01 second East, 10.00  | 
 feet; thence South 88 degrees 35 minutes 58 seconds
West,  | 
 parallel with the north line of said lot, 20.00 feet to the  | 
 west line of said lot; thence
North 01 degree 45 minutes 01  | 
 second West, on said west line, 15.00 feet; thence North
 | 
 88 degrees 35 minutes 58 seconds East, parallel with the  | 
 north line of said lot, 20.00 feet;
thence North 01 degree  | 
 45 minutes 01 second West, 7.00 feet to the south line of  | 
 the
North 17.00 feet of said lot; thence North 88 degrees  | 
 35 minutes 58 seconds East, on said
south line, 119.66  | 
 feet to a point of curvature; thence Southeasterly, on a  | 
 110.00 foot
radius curve, concave Southwesterly, 172.12  | 
 feet, the chord of said curve bears South 46
degrees 34  | 
 minutes 30 seconds East, 155.09 feet to the west line of  | 
 the East 6.00 feet of
said lot, and to a point of tangency;  | 
 thence South 01 degree 45 minutes 01 second East,
on said  | 
 west line, 31.47 feet to the Point of Beginning.
 | 
 Said parcel containing 0.093 acre, more or less. 
 | 
 | 
 Route: 80th Avenue (CH 83) | 
 Section: 06-00122-16-FP | 
 County: Will | 
 Job No.: R-55-001-97 | 
 Parcel No.: 0013
Station 95+54.70 To Station 98+85.07 | 
 Index No.: 19-09-02-205-028
 | 
 Parcel 0013
 | 
 All common areas in the 8021 Condominium, as delineated on  | 
 a survey of the following
described real estate: Lot 30 in  | 
 Tinley Crossings Corporate Center, Phase 3, a
 | 
 resubdivision of part of the North half of Section 2,  | 
 Township 35 North, Range 12 East of
the Third Principal  | 
 Meridian, according to the plat thereof recorded February  | 
 27, 2001 as
Document No. R2001-021137, which survey is  | 
 attached as Exhibit "B" to the Declaration of
Condominium  | 
 recorded as Document Number R2004-22962, and as amended,  | 
 all in Will
County, Illinois, bearings and distances based  | 
 on the Illinois State Plane Coordinate
System, East Zone,  | 
 NAD 83 (2011 Adjustment) with a combined scale factor of
 | 
 0.9999641157 described as follows:
 | 
 Beginning at the northeast corner of said Lot 30; thence  | 
 South 01 degree 45 minutes 01
second East, on the east line  | 
 | 
 of said lot, 24.00 feet to the south line of the North  | 
 24.00 feet
of said lot; thence South 88 degrees 35 minutes  | 
 58 seconds West, on said south line,
97.77 feet; thence  | 
 North 87 degrees 12 minutes 48 seconds West, 136.96 feet;  | 
 thence
South 89 degrees 41 minutes 13 seconds West, 52.69  | 
 feet to a point of curvature; thence
Westerly, on a 787.00  | 
 foot radius curve, concave Southerly, 39.84 feet, the  | 
 chord of said
curve bears South 87 degrees 08 minutes 58  | 
 seconds West, 39.83 feet to the west line of
said lot;  | 
 thence North 01 degree 45 minutes 03 seconds West, on said  | 
 west line, 13.01
feet to the northwest corner of said lot;  | 
 thence Easterly, on the north line of said lot, being
an  | 
 800.00 foot radius curve, concave Southerly, 39.91 feet,  | 
 the chord of said curve bears
North 87 degrees 10 minutes  | 
 13 seconds East, 39.91 feet to a point of tangency in said
 | 
 north line; thence North 88 degrees 35 minutes 58 seconds  | 
 East, on said north line, 286.90
feet to the Point of  | 
 Beginning.
 | 
 Said parcel containing 0.142 acre, more or less. 
 | 
 Route: 80th Avenue (CH 83) | 
 Section: 06-00122-16-FP | 
 County: Will | 
 Job No.: R-55-001-97 | 
 Parcel No.: 0013TE-A
Station 97+87.30 To Station 98+85.18 | 
 | 
 Index No.: 19-09-02-205-028
 | 
 Parcel 0013TE-A
 | 
 All common areas in the 8021 Condominium, as delineated on  | 
 a survey of the following
described real estate: Lot 30 in  | 
 Tinley Crossings Corporate Center, Phase 3, a
 | 
 resubdivision of part of the North half of Section 2,  | 
 Township 35 North, Range 12 East of
the Third Principal  | 
 Meridian, according to the plat thereof recorded February  | 
 27, 2001 as
Document No. R2001-021137, which survey is  | 
 attached as Exhibit "B" to the Declaration of
Condominium  | 
 recorded as Document Number R2004-22962, and as amended,  | 
 all in Will
County, Illinois, bearings and distances based  | 
 on the Illinois State Plane Coordinate
System, East Zone,  | 
 NAD 83 (2011 Adjustment) with a combined scale factor of
 | 
 0.9999641157 described as follows:
 | 
 Commencing at the northeast corner of said Lot 30; thence  | 
 South 01 degree 45 minutes 01
second East, on the east line  | 
 of said lot, 24.00 feet to the Point of Beginning; thence
 | 
 continuing South 01 degree 45 minutes 01 second East, on  | 
 said east line, 15.00 feet;
thence South 88 degrees 35  | 
 minutes 58 seconds West, parallel with the north line of  | 
 said
lot, 30.17 feet; thence North 01 degree 24 minutes 02  | 
 seconds West, 10.00 feet to the
south line of the North  | 
 | 
 29.00 feet of said lot; thence South 88 degrees 35 minutes  | 
 58
seconds West, on said south line, 67.70 feet; thence  | 
 North 01 degree 24 minutes 02
seconds West, 5.00 feet to  | 
 the south line of the North 24.00 feet of said lot; thence  | 
 North
88 degrees 35 minutes 58 seconds East, on said south  | 
 line, 97.77 feet to the Point of
Beginning.
 | 
 Said parcel containing 0.018 acre, more or less. 
 | 
 Route: 80th Avenue (CH 83) | 
 Section: 06-00122-16-FP | 
 County: Will | 
 Job No.: R-55-001-97 | 
 Parcel No.: 0013TE-B
Station 95+72.95 To Station 96+39.71 | 
 Index No.: 19-09-02-205-028
 | 
 Parcel 0013TE-B
 | 
 All common areas in the 8021 Condominium, as delineated on  | 
 a survey of the following
described real estate: Lot 30 in  | 
 Tinley Park Crossings Corporate Center, Phase 3, a
 | 
 resubdivision of part of the North half of Section 2,  | 
 Township 35 North, Range 12 East of
the Third Principal  | 
 Meridian, according to the plat thereof recorded February  | 
 27, 2001 as
Document No. R2001-021137, which survey is  | 
 attached as Exhibit "B" to the Declaration of
Condominium  | 
 | 
 recorded as Document Number R2004-22962, and as amended,  | 
 all in Will
County, Illinois, bearings and distances based  | 
 on the Illinois State Plane Coordinate
System, East Zone,  | 
 NAD 83 (2011 Adjustment) with a combined scale factor of
 | 
 0.9999641157 described as follows:
 | 
 Commencing at the northwest corner of said Lot 30; thence  | 
 South 01 degree 45 minutes
03 seconds East, on the west  | 
 line of said lot, 13.01 feet; thence Easterly, on a 787.00  | 
 foot
radius curve, concave Southerly, 16.92 feet, the  | 
 chord of said curve bears North 86
degrees 18 minutes 55  | 
 seconds East, 16.92 feet to the Point of Beginning; thence
 | 
 continuing Easterly, on said 787.00 foot radius curve,  | 
 22.92 feet, the chord of said curve
bears North 87 degrees  | 
 45 minutes 55 seconds East, 22.92 feet; thence North 89  | 
 degrees
41 minutes 13 seconds East, 41.67 feet; thence  | 
 South 01 degree 39 minutes 18 seconds
East, 6.00 feet;  | 
 thence South 89 degrees 41 minutes 10 seconds West, 41.70  | 
 feet to a
point of curvature; thence Westerly, on a 781.00  | 
 foot radius curve, concave Southerly,
22.74 feet, the  | 
 chord of said curve bears South 87 degrees 45 minutes 55  | 
 seconds West,
22.74 feet; thence North 03 degrees 04  | 
 minutes 08 seconds West, 6.00 feet to the Point of
 | 
 Beginning.
 | 
 Said parcel containing 0.009 acre (387 square feet), more  | 
 | 
 or less. 
 | 
 Route: 80th Avenue (CH 83) | 
 Section: 06-00122-16-FP | 
 County: Will | 
 Job No.: R-55-001-97 | 
 Parcel No.: 0014
Station 93+10.05 To Station 95+55.36 | 
 Index No.: 19-09-02-205-023
 | 
 Parcel 0014
 | 
 That part of Lot 29 in Tinley Crossings Corporate Center  | 
 Phase 3, being a subdivision of
part of the North half of  | 
 Section 2, Township 35 North, Range 12 East of the Third  | 
 Principal
Meridian, according to the plat thereof recorded  | 
 February 27, 2001 as Document No.
R2001-021137, all in  | 
 Will County, Illinois, bearings and distances based on the  | 
 Illinois
State Plane Coordinate System, East Zone, NAD 83  | 
 (2011 Adjustment) with a combined
scale factor of  | 
 0.9999641157 described as follows:
 | 
 Beginning at the northeast corner of said Lot 29; thence  | 
 South 01 degree 45 minutes 03
second East, 13.01 feet to  | 
 the southerly line of the Northerly 13.00 feet of said  | 
 lot; thence
Southwesterly, on said southerly line, being a  | 
 787.00 foot radius curve, concave Southerly,
226.63 feet,  | 
 | 
 the chord of said curve bears South 77 degrees 26 minutes  | 
 59 seconds West,
225.85 feet; thence North 20 degrees 48  | 
 minutes 00 seconds West, 13.00 feet to the
northerly line  | 
 of said lot; thence Northeasterly, on said northerly line,  | 
 being a 800.00 foot
radius curve, concave Southerly,  | 
 230.96 feet, the chord of said curve bears North 77
 | 
 degrees 28 minutes 14 seconds East, 230.15 feet to the  | 
 Point of Beginning.
 | 
 Said parcel containing 0.068 acre, more or less. 
 | 
 Route: 80th Avenue (CH 83) | 
 Section: 06-00122-16-FP | 
 County: Will | 
 Job No.: R-55-001-97 | 
 Parcel No.: 0014TE
Station 92+71.20 To Station 93+10.05 | 
 Index No.: 19-09-02-205-023
 | 
 Parcel 0014TE
 | 
 That part of Lot 29 in Tinley Crossings Corporate Center  | 
 Phase 3, being a subdivision of
part of the North half of  | 
 Section 2, Township 35 North, Range 12 East of the Third  | 
 Principal
Meridian, according to the plat thereof recorded  | 
 February 27, 2001 as Document No.
R2001-021137, all in  | 
 Will County, Illinois, bearings and distances based on the  | 
 | 
 Illinois
State Plane Coordinate System, East Zone, NAD 83  | 
 (2011 Adjustment) with a combined
scale factor of  | 
 0.9999641157 described as follows:
 | 
 Commencing at the northeast corner of said Lot 29; thence  | 
 Southwesterly, on the northerly
line of said lot, being a  | 
 800.00 foot radius curve, concave Southerly, 230.96 feet,  | 
 the chord
of said curve bears South 77 degrees 28 minutes  | 
 14 seconds West, 230.15 feet to the
Point of Beginning;  | 
 thence South 20 degrees 48 minutes 00 seconds East, 13.00  | 
 feet to
the southerly line of the Northerly 13.00 feet of  | 
 said lot; thence Southwesterly, on said
southerly line,  | 
 being a 787.00 foot radius curve, concave Southerly, 35.99  | 
 feet, the chord
of said curve bears South 67 degrees 53  | 
 minutes 24 seconds West, 35.98 feet; thence
North 23  | 
 degrees 25 minutes 11 seconds West, 13.00 feet to the  | 
 northerly line of said lot;
thence Northeasterly, on said  | 
 northerly line, being a 800.00 foot radius curve, concave
 | 
 Southerly, 36.58 feet, the chord of said curve bears North  | 
 67 degrees 53 minutes 24
seconds East, 36.58 feet to the  | 
 Point of Beginning.
 | 
 Said parcel containing 0.011 acre, more or less. 
 | 
 Route: 80th Avenue (CH 83) | 
 Section: 06-00122-16-FP | 
 | 
 County: Will | 
 Job No.: R-55-001-97 | 
 Parcel No.: 0015TE
Station 91+38.62 To Station 93+13.16 | 
 Index No.: 19-09-02-204-003
 | 
 Parcel 0015TE
 | 
 That part of Outlot A in Tinley Crossings Corporate Center  | 
 Unit 1, being a subdivision of
part of the North half of  | 
 Section 2, Township 35 North, Range 12 East of the Third  | 
 Principal
Meridian, according to the plat thereof recorded  | 
 October 16, 1998 as Document No. R98-
122885, all in Will  | 
 County, Illinois, bearings and distances based on the  | 
 Illinois State Plane
Coordinate System, East Zone, NAD 83  | 
 (2011 Adjustment) with a combined scale factor of
 | 
 0.9999641157 described as follows:
 | 
 Beginning at the northeast corner of said Outlot A; thence  | 
 Southwesterly, on the southerly
line of said Outlot A,  | 
 being a 900.00 foot radius curve, concave Southeasterly,  | 
 117.40 feet,
the chord of said curve bears South 65  | 
 degrees 40 minutes 28 seconds West, 117.32 feet
to a point  | 
 of tangency in said southerly line; thence South 61  | 
 degrees 56 minutes 15
seconds West, on said southerly  | 
 line, 63.70 feet; thence North 28 degrees 03 minutes 45
 | 
 seconds West, 9.00 feet to the northerly line of the  | 
 | 
 Southerly 9.00 feet of said Outlot A;
thence North 61  | 
 degrees 56 minutes 15 seconds East, on said northerly  | 
 line, 63.70 feet to
a point of curvature; thence  | 
 Northeasterly, on a 909.00 foot radius curve, concave
 | 
 Southeasterly, 93.69 feet, the chord of said curve bears  | 
 North 64 degrees 53 minutes 25
seconds East, 93.65 feet to  | 
 the north line of said Outlot A; thence North 88 degrees 35
 | 
 minutes 58 seconds East, on said north line, 26.35 feet to  | 
 the Point of Beginning.
 | 
 Said parcel containing 0.035 acre, more or less.  | 
 (b) This Section is repealed April 2, 2024 (3 years after  | 
the effective
date of Public Act 101-665) this amendatory Act  | 
of the 101st General Assembly. 
 | 
(Source: P.A. 101-665, eff. 4-2-21; revised 11-18-21.)
 | 
 (735 ILCS 30/25-5-85)
 | 
 (Section scheduled to be repealed on July 9, 2024) | 
 Sec. 25-5-85 25-5-80. Quick-take; City of Woodstock;  | 
Madison Street, South Street, and Lake Avenue. | 
 (a) Quick-take proceedings under Article 20 may be used  | 
for a period of no more than 2 years after July 9, 2021 (the  | 
effective date of Public Act 102-53) this amendatory Act of  | 
the 102nd General Assembly by the City of Woodstock for the  | 
acquisition of the following described property for the  | 
purpose of widening the right-of-way proximate to the  | 
 | 
intersection of Madison Street, South Street, and Lake Avenue  | 
to construct a traffic roundabout:
 | 
 That part of the north 47.5 feet of the south 87.5 feet of  | 
Lots 7 and 8 in Block 18 in the Original Town of Centerville,  | 
now City of Woodstock, a subdivision of part of the Southwest  | 
Quarter of Section 5, Township 44 North, Range 7 East of the  | 
Third Principal Meridian, according to the plat recorded June  | 
10, 1844, in Book D of Deeds, page 201, in the City of  | 
Woodstock, McHenry County, Illinois, described as follows  | 
using bearings as referenced to Illinois State Plane  | 
Coordinate System, East Zone North American Datum 1983 (2011  | 
Adjustment):
 | 
 Commencing at a 5/8-inch iron pipe found at the southwest  | 
corner of said Lot 7; thence North 0 degrees 22 minutes 24  | 
seconds West, 40.00 feet on the west line of said Lot 7 to the  | 
south line of said north 47.5 feet of the south 87.5 feet of  | 
Lots 7 and 8 for the Point of Beginning; thence North 89  | 
degrees 14 minutes 44 seconds East, 15.06 feet along said  | 
south line; thence northwesterly, 27.31 feet on a curve to the  | 
right having a radius of 69.42 feet, the chord of said curve  | 
bears North 34 degrees 05 minutes 52 seconds West, 27.13 feet  | 
to the aforesaid west line of Lot 7; thence South 0 degrees 22  | 
minutes 24 seconds East, 22.67 feet along said west line to the  | 
Point of Beginning.
 | 
 | 
 Said parcel containing 0.003 acre or 145 square feet, more  | 
or less.
 | 
 ***
 | 
 The north 47.5 feet of the south 87.5 feet of Lots 7 and 8  | 
in Block 18 in the Original Town of Centerville, now City of  | 
Woodstock, a subdivision of part of the Southwest Quarter of  | 
Section 5, Township 44 North, Range 7 East of the Third  | 
Principal Meridian, according to the plat recorded June 10,  | 
1844, in Book D of Deeds, page 201, situated in the County of  | 
McHenry, in the State of Illinois, described as follows, using  | 
bearings as referenced to Illinois State Plane Coordinate  | 
System, East Zone North American Datum 1983 (2011 Adjustment):
 | 
 Commencing at a 5/8-inch iron pipe found at the southwest  | 
corner of said Lot 7; thence North 0 degrees 22 minutes 24  | 
seconds West, 62.67 feet along the west line of said Lot 7 to  | 
the Point of Beginning; thence continuing North 0 degrees 22  | 
minutes 24 seconds West, 20.41 feet along said west line;  | 
thence North 89 degrees 42 minutes 37 seconds East, 12.36  | 
feet; thence South 0 degrees 17 minutes 23 seconds East, 29.21  | 
feet; thence South 89 degrees 57 minutes 09 seconds East,  | 
26.25 feet; thence South 0 degrees 10 minutes 38 seconds West,  | 
13.45 feet to the south line of said 47.5 feet of the south  | 
 | 
87.5 feet of Lots 7 and 8; thence South 89 degrees 14 minutes  | 
44 seconds West, 23.38 feet along said south line; thence  | 
northwesterly, 27.31 feet on a curve to the right, having a  | 
radius of 69.42 feet, the chord of said curve bears North 34  | 
degrees 05 minutes 52 seconds West, 27.13 feet to the Point of  | 
Beginning.
 | 
 Said temporary easement containing 0.017 acre, more or  | 
less.
 | 
 ***
 | 
 The south 40 feet of Lots 7 and 8 in Block 18 in the  | 
Original Plat of Town of Centerville, now City of Woodstock, a  | 
subdivision of part of the Southwest Quarter of Section 5,  | 
Township 44 North, Range 7 East of the Third Principal  | 
Meridian, according to the plat recorded June 10, 1844, in  | 
Book D of Deeds, page 201, in the City of Woodstock, McHenry  | 
County, Illinois.
 | 
 Said parcel containing 0.110 acre, more or less.
 | 
 ***
 | 
 That part of Lot 204 of the Assessor's Plat of Section 8,  | 
Township 44 North, Range 7 East of the Third Principal  | 
 | 
Meridian described as follows, using bearings as referenced to  | 
Illinois State Plane Coordinate System, East Zone North  | 
American Datum 1983 (2011 Adjustment):
 | 
 Beginning at the most westerly point of said Lot 204;  | 
thence South 89 degrees 50 minutes 58 seconds East, 72.00 feet  | 
along the north line of said Lot 204, said line also being the  | 
south right-of-way line of East South Street; thence South 22  | 
degrees 00 minutes 17 seconds West, 47.64 feet to the  | 
southwesterly line of said Lot 204, said line also being the  | 
northeasterly right-of-way line of Lake Avenue; thence North  | 
50 degrees 40 minutes 20 seconds West, 70.00 feet along said  | 
southwesterly line to the Point of Beginning.
 | 
 Said parcel containing 0.036 acre, more or less. 
 | 
 (b) This Section is repealed July 9, 2024 (3 years after  | 
the effective
date of Public Act 102-53) this amendatory Act  | 
of the 102nd General Assembly. 
 | 
(Source: P.A. 102-53, eff. 7-9-21; revised 11-18-21.)
 | 
 (735 ILCS 30/25-5-90)
 | 
 (Section scheduled to be repealed on August 20, 2024) | 
 Sec. 25-5-90 25-5-80. Quick-take; Moultrie County;  | 
Township Road 185A. | 
 (a) Quick-take proceedings under Article 20 may be used  | 
 | 
for a period of no more than 2 years after August 20, 2021 (the  | 
effective date of Public Act 102-564) this amendatory Act of  | 
the 102nd General Assembly by Moultrie County for the  | 
acquisition of the following described property for the  | 
purpose of replacing a structure and constructing an  | 
associated roadway on Township Road 185A: | 
  A part of the Northeast Quarter of Section 11,  | 
 Township 12 North, Range 6 East of the Third Principal  | 
 Meridian located in Moultrie County, Illinois, more  | 
 particularly described as follows:  | 
  Commencing at the Southeast corner of the said  | 
 Northeast Quarter; thence North 88°48'50" West along the  | 
 South line of said Northeast Quarter, 966.15 feet to the  | 
 point of beginning; thence North 00°09'24" West, 13.14  | 
 feet to the centerline of proposed improvement; thence  | 
 continuing North 00°09'24" West, 30.00 feet to a point  | 
 being 30 feet distant measured and perpendicular to the  | 
 North of said centerline; thence North 84°54'18" West,  | 
 109.25 feet to a point being 40 feet distant measured and  | 
 perpendicular to and North of said centerline; thence  | 
 parallel with said centerline 169.29 feet along a circular  | 
 curve to the right having a chord bearing of North  | 
 68°09'28" West with a chord length of 165.14 feet and a  | 
 radius of 220.12 feet; thence parallel with said  | 
 centerline North 46°09'33" West, 296.16 feet: thence  | 
 parallel with said centerline 73.65 feet along a circular  | 
 | 
 curve to the left having a chord bearing of North  | 
 53°10'55" West with a chord length of 73.47 feet and a  | 
 radius of 300.44 feet to the South line of the North 70  | 
 acres of the West Half of the said Northeast Quarter;  | 
 thence North 88°59'47" West along the South line of said  | 
 North 70 acres, 620.26 feet; thence South 01°25'31" East,  | 
 29.21 feet to the existing South right-of-way line of the  | 
 East-West public road; thence South 82°37'17" East, 75.89  | 
 feet to the point being 30 feet distant measured and  | 
 perpendicular to the South of the said centerline; thence  | 
 parallel with said centerline North 88°34'29" East, 100  | 
 feet; thence South 63°13'29" East, 42.32 feet to a point  | 
 being 50 feet distant measured and perpendicular to and  | 
 South of the said centerline; thence parallel with said  | 
 centerline 109.31 feet along a circular curve to the right  | 
 having a chord bearing of South 89°44'30" East, with a  | 
 chord length of 109.29 feet and a radius of 1859.51 feet;  | 
 thence North 89°05'34" East,100.58 feet to a point being  | 
 45 feet distant measured and perpendicular to and South of  | 
 said centerline; thence parallel with said centerline  | 
 South 88°03'29" East, 54.61 feet; thence parallel with  | 
 said centerline 157.54 feet along a circular curve to the  | 
 right having a chord bearing of South 67°06'30" East with  | 
 a chord length of 165.14 feet and a radius of 220.12 feet,;  | 
 thence parallel with said centerline South 46°09'33" East,  | 
 79.94 feet; thence North 43°50'27" East, 5.00 feet to a  | 
 | 
 point being 40 feet distant measured and perpendicular to  | 
 and South of said centerline; thence parallel with said  | 
 centerline South 46°09'33" East, 161.15 feet to the West  | 
 line of Southeast Quarter of said Northeast Quarter;  | 
 thence South 01°05'23" East along the West line of said  | 
 Southeast Quarter of the Northeast Quarter, 87.37 feet to  | 
 the Southwest corner of said Southeast Quarter of the  | 
 Northeast Quarter; thence Easterly along the South line  | 
 said Northeast Quarter, 355.8 feet to the point of  | 
 beginning.
 | 
  ALSO, | 
  A part of the Northeast Quarter of Section 11,  | 
 Township 12 North, Range 6 East of the Third Principal  | 
 Meridian located in Moultrie County, Illinois, more  | 
 particularly described as follows: | 
  Commencing at the Southeast corner of the said  | 
 Northeast Quarter; thence North 88°48'50" West along the  | 
 South line of said Northeast Quarter, 1319.84 feet; thence  | 
 North 01°11'10" East, 190.97 feet to a point being 40 feet  | 
 distant measured and perpendicular to and North of the  | 
 centerline of proposed improvement and the point of  | 
 beginning; thence North 43°50'27" East, 50.00 feet to a  | 
 point being 90 feet distant measured and perpendicular to  | 
 and North of said centerline: thence parallel with said  | 
 centerline North 46°09'33" West, 120.00 feet; thence South  | 
 | 
 43°50'27" West, 50.00 feet to the proposed right-of-way  | 
 line of proposed improvement, said point being 40 feet  | 
 distant measured and perpendicular to and North of said  | 
 centerline; thence South 46°09'33" East along said  | 
 proposed right-of-way line, 120.00 feet to the point of  | 
 beginning.
 | 
  ALSO, | 
  A part of the Northeast Quarter of Section 11,  | 
 Township 12 North, Range 6 East of the Third Principal  | 
 Meridian located in Moultrie County, Illinois, more  | 
 particularly described as follows: | 
  Commencing at the Southeast corner of the said  | 
 Northeast Quarter; thence North 88°48'50" West along the  | 
 South line of said Northeast Quarter, 1351.98 feet; thence  | 
 North 01°11'10" East, 111.80 feet to the proposed  | 
 right-of-way line of the proposed improvement, said point  | 
 being 40 feet distant measured and perpendicular to and  | 
 South of the centerline of proposed improvement and the  | 
 point of beginning; thence parallel with said centerline  | 
 North 46°09'33" West along said proposed right-of-way  | 
 line, 125.00 feet; thence South 43°50'27" West along said  | 
 proposed right-of-way line, 5.00 feet to a point being 45  | 
 feet distant measured and perpendicular to and South of  | 
 said centerline; thence parallel with said centerline  | 
 North 46°09'33" West along said proposed right-of-way,  | 
 | 
 25.00 feet; thence South 43°50'27" West. 35.00 feet to a  | 
 point being 80 feet distant measured and perpendicular to  | 
 and South of said centerline; thence parallel with said  | 
 centerline South 46°09'33" East, 150.00 feet; North  | 
 43°50'27" East, 40.00 feet to the point of beginning.
 | 
  ALSO, | 
  A part of the Northeast Quarter of Section 11,  | 
 Township 12 North, Range 6 East of the Third Principal  | 
 Meridian located in Moultrie County, Illinois, more  | 
 particularly described as follows: | 
  Commencing at the Southeast corner of the said  | 
 Northeast Quarter; thence North 88°48'50" West along the  | 
 South line of said Northeast Quarter, 1527.33 feet; thence  | 
 North 01°11'30" East, 264.11 feet to the proposed  | 
 right-of-way line of the proposed improvement, said point  | 
 being 45 feet distant measured and perpendicular to and  | 
 South of the centerline of proposed improvement and the  | 
 point of beginning; thence parallel with said centerline  | 
 73.33 feet along a circular curve to the left having a  | 
 chord bearing of North 63°12'22" West with a chord length  | 
 of 72.94 feet and a radius of 215.44 feet; thence South  | 
 17°06'20" West, 35.00 feet to a point being 80 feet  | 
 distant measured and perpendicular to and South of said  | 
 centerline; thence parallel with said centerline 61.41  | 
 feet along a circular curve to the right having a chord  | 
 | 
 bearing of South 63°08'38" East with a chord length of  | 
 61.12 feet and a radius of 180.44 feet; thence North  | 
 36°36'25" East, 35.00 feet to the point of beginning.  | 
 (b) This Section is repealed August 20, 2024 (3 years  | 
after the effective
date of Public Act 102-564) this  | 
amendatory Act of the 102nd General Assembly. 
 | 
(Source: P.A. 102-564, eff. 8-20-21; revised 11-18-21.)
 | 
 (735 ILCS 30/25-5-95)
 | 
 (Section scheduled to be repealed on August 27, 2023) | 
 Sec. 25-5-95 25-5-80. Quick-take; City of Decatur; Brush  | 
College Road. | 
 (a) Quick-take proceedings under Article 20 may be used  | 
for a period of one year after August 27, 2021 (the effective  | 
date of Public Act 102-624) this amendatory Act of the 102nd  | 
General Assembly by the City of Decatur and Macon County for  | 
the acquisition of the following described property for the  | 
purpose of obtaining the necessary right-of-way for the  | 
construction of a grade separation of Brush College Road over  | 
Faries Parkway and the Norfolk Southern Railroad in Decatur,  | 
Illinois.
 | 
 PARCEL 57b | 
 A part of the East 108.9 feet of Lot One (1) of Westlake  | 
 2nd Addition of Outlots to the City of Decatur, Illinois,  | 
 per Plat recorded in Book 335, Page 591 of the Records in  | 
 | 
 the Recorder's Office of Macon County, Illinois and  | 
 described as follows:
 | 
 Commencing at an Illinois Department of Transportation  | 
 Vault found at the northwest corner of Section 8, Township  | 
 16 North, Range 3 East of the Third Principal Meridian per  | 
 Monument Record recorded as Document 1894076 of the  | 
 records aforesaid; thence, along bearings reference to the  | 
 Illinois State Plane Coordinate System, NAD83 (2011  | 
 Adjustment), East Zone, North 89 degrees 06 minutes 39  | 
 seconds East 1204.57 feet, along the north line of the  | 
 Northwest Quarter of said Section 8; thence South 0  | 
 degrees 11 minutes 07 seconds East 7.33 feet to the  | 
 intersection of the west line of the East 108.9 feet of  | 
 said Lot One (1) with the north line of said Lot One (1)  | 
 and the Point of Beginning; thence North 87 degrees 53  | 
 minutes 06 seconds East 108.90 feet, along said north  | 
 line, also being the existing south right of way line of  | 
 East Faries Parkway per said Book 335, Page 591, to the  | 
 northeast corner of said Lot One (1); thence South 0  | 
 degrees 11 minutes 07 seconds East 389.96 feet, along the  | 
 east line of said Lot One (1), to the southeast corner of  | 
 said Lot One (1); thence South 87 degrees 53 minutes 21  | 
 seconds West 108.90 feet, along the south line of said Lot  | 
 One (1), also being the existing north right of way line of  | 
 East Logan Street per said Book 335, Page 591, to the  | 
 | 
 southwest corner of the East 108.9 feet of said Lot One  | 
 (1); thence North 0 degrees 11 minutes 07 seconds West  | 
 34.92 feet along the west line of the East 108.9 feet of  | 
 said Lot One (1); thence North 42 degrees 59 minutes 54  | 
 seconds East 85.21 feet; thence North 02 degrees 28  | 
 minutes 18 seconds East 182.00 feet; thence North 33  | 
 degrees 26 minutes 49 seconds West 88.33 feet; thence  | 
 South 83 degrees 08 minutes 31 seconds West 18.43 feet to  | 
 the west line of the East 108.9 feet of said Lot One (1);  | 
 thence North 0 degrees 11 minutes 07 seconds West 39.38  | 
 feet, along said west line, to the Point of Beginning.  | 
 Said parcel contains 0.600 acres, more or less.
 | 
 Temporary Construction Easement  | 
 A part of the East 108.9 feet of Lot One (1) of Westlake  | 
 2nd Addition of Outlots to the City of Decatur, Illinois,  | 
 per Plat recorded in Book 335, Page 591 of the Records in  | 
 the Recorder's Office of Macon County, Illinois and  | 
 described as follows:
 | 
 Commencing at an Illinois Department of Transportation  | 
 Vault found at the northwest corner of Section 8, Township  | 
 16 North, Range 3 East of the Third Principal Meridian per  | 
 Monument Record recorded as Document 1894076 of the  | 
 records aforesaid; thence, along bearings reference to the  | 
 Illinois State Plane Coordinate System, NAD83 (2011  | 
 | 
 Adjustment), East Zone, North 89 degrees 06 minutes 39  | 
 seconds East 1204.57 feet, along the north line of the  | 
 Northwest Quarter of said Section 8, to the intersection  | 
 of the northerly extension of the west line of the East  | 
 108.9 feet of said Lot One (1) with said north line; thence  | 
 South 0 degrees 11 minutes 07 seconds East 46.71 feet  | 
 along said northerly extension and said west line; thence  | 
 North 83 degrees 08 minutes 31 seconds East 18.43 feet;  | 
 thence South 33 degrees 26 minutes 49 seconds East 12.23  | 
 feet to the Point of Beginning; thence continue South 33  | 
 degrees 26 minutes 49 seconds East 41.57 feet; thence  | 
 North 89 degrees 34 minutes 37 seconds West 23.33 feet;  | 
 thence North 0 degrees 41 minutes 26 seconds East 34.52  | 
 feet to the Point of Beginning. Said parcel contains 0.009  | 
 acres (403 square feet), more or less.
 | 
 PARCEL 57a | 
 A part of the East one half of the West 446.77 feet of the  | 
 East 1003.67 feet of Lot One (1) and a part of the West 224  | 
 feet of the East 556.9 feet of Lot One (1) all of Westlake  | 
 2nd Addition of Outlots to the City of Decatur, Illinois,  | 
 per Plat recorded in Book 335, Page 591 of the Records in  | 
 the Recorder's Office of Macon County, Illinois and  | 
 described as follows:
 | 
 Commencing at an Illinois Department of Transportation  | 
 | 
 Vault found at the northwest corner of Section 8, Township  | 
 16 North, Range 3 East of the Third Principal Meridian per  | 
 Monument Record recorded as Document 1894076 of the  | 
 records aforesaid; thence, along bearings reference to the  | 
 Illinois State Plane Coordinate System, NAD83 (2011  | 
 Adjustment), East Zone, North 89 degrees 06 minutes 39  | 
 seconds East 533.51 feet, along the north line of the  | 
 Northwest Quarter of said Section 8; thence South 0  | 
 degrees 11 minutes 07 seconds East 36.17 feet to the  | 
 intersection of the west line of the East one half of the  | 
 West 446.77 feet of the East 1003.67 feet of said Lot One  | 
 (1) with the existing south right of way line of East  | 
 Faries Parkway per Book 2515, Page 103 of the records  | 
 aforesaid and the Point of Beginning; thence North 81  | 
 degrees 39 minutes 51 seconds East 16.50 feet along said  | 
 existing right of way line; thence North 84 degrees 23  | 
 minutes 14 seconds East 207.86 feet, along said existing  | 
 right of way line, to intersection of the north line of  | 
 said Lot One (1) with the west line of the East 556.9 feet  | 
 of said Lot One (1); thence North 87 degrees 53 minutes 06  | 
 seconds East 224.00 feet, along said north line, also  | 
 being the existing south right of way line of East Faries  | 
 Parkway per said Book 335, Page 591, to the east line of  | 
 the West 224 feet of the East 556.9 feet of said Lot One  | 
 (1); thence South 0 degrees 11 minutes 07 seconds East  | 
 58.03 feet along said east line; thence South 83 degrees  | 
 | 
 08 minutes 31 seconds West 145.41 feet; thence South 86  | 
 degrees 40 minutes 37 seconds West 208.00 feet; thence  | 
 South 58 degrees 45 minutes 06 seconds West 110.93 feet to  | 
 the west line of the East one half of the West 446.77 feet  | 
 of the East 1003.67 feet of said Lot One (1); thence North  | 
 0 degrees 11 minutes 07 seconds West 114.00 feet, along  | 
 said west line, to the Point of Beginning. Said parcel  | 
 contains 0.743 acres, more or less.
 | 
 Temporary Construction Easement  | 
 A part of the West 224 feet of the East 556.9 feet of Lot  | 
 One (1) of Westlake 2nd Addition of Outlots to the City of  | 
 Decatur, Illinois, per Plat recorded in Book 335, Page 591  | 
 of the Records in the Recorder's Office of Macon County,  | 
 Illinois and described as follows:
 | 
 Commencing at an Illinois Department of Transportation  | 
 Vault found at the northwest corner of Section 8, Township  | 
 16 North, Range 3 East of the Third Principal Meridian per  | 
 Monument Record recorded as Document 1894076 of the  | 
 records aforesaid; thence, along bearings reference to the  | 
 Illinois State Plane Coordinate System, NAD83 (2011  | 
 Adjustment), East Zone, North 89 degrees 06 minutes 39  | 
 seconds East 533.51 feet, along the north line of the  | 
 Northwest Quarter of said Section 8, to the intersection  | 
 of the northerly extension of the west line of the East one  | 
 | 
 half of the West 446.77 feet of the East 1003.67 feet of  | 
 said Lot One (1) with said north line; thence South 0  | 
 degrees 11 minutes 07 seconds East 150.17 feet along said  | 
 northerly extension and said west line; thence North 58  | 
 degrees 45 minutes 06 seconds East 110.93 feet; thence  | 
 North 86 degrees 40 minutes 37 seconds East 208.00 feet to  | 
 the Point of Beginning; thence North 83 degrees 08 minutes  | 
 31 seconds East 91.78 feet; thence South 2 degrees 02  | 
 minutes 57 seconds East 5.66 feet; thence South 86 degrees  | 
 40 minutes 37 seconds West 91.48 feet to the Point of  | 
 Beginning. Said parcel contains 0.006 acres (259 square  | 
 feet), more or less.
 | 
 PARCEL 39 | 
 Lot 8 of Westlake 2nd Addition of Outlots to the City of  | 
 Decatur, as per Plat recorded in Book 335, Page 591 of the  | 
 Records in the Recorder's Office of Macon County, Illinois  | 
 also known as 1880 North Brush College Road. 
 | 
 (b) This Section is repealed August 27, 2023 (2 years  | 
after the effective date of Public Act 102-624) this  | 
amendatory Act of the 102nd General Assembly.
 | 
(Source: P.A. 102-624, eff. 8-27-21; revised 11-18-21.)
 | 
 Section 685. The Illinois Marriage and Dissolution of  | 
Marriage Act is amended by setting forth and renumbering  | 
 | 
multiple versions of Section 221 as follows:
 | 
 (750 ILCS 5/221) | 
 Sec. 221. Name change on marriage certificate. For a  | 
person married in any county in this State, the county clerk  | 
shall issue a new marriage certificate when it receives legal  | 
documentation indicating that one of the parties listed on the  | 
certificate has legally changed names. An order for name  | 
change issued pursuant to Section 21-101 of the Code of Civil  | 
Procedure shall be the only legal documentation that a county  | 
clerk may require. The new marriage certificate shall reflect  | 
the legal name change and shall bear no additional markings.
 | 
(Source: P.A. 102-169, eff. 7-27-21.)
 | 
 (750 ILCS 5/222)
 | 
 Sec. 222 221. Request for changing or removing gender  | 
identifying language on a marriage certificate. | 
 (a) Upon completion of an affidavit provided by the county  | 
clerk and confirmation of identity, a person, still currently  | 
married, may request a certificate of the person's current  | 
marriage free of any gender identifying language. The person  | 
may request a change from terms such as "bride" and "groom" to  | 
a nongendered term such as "spouse" or a variant of "Spouse 1"  | 
or "Spouse A". Upon such request, both parties shall be listed  | 
with a nongendered identifier on a certificate. The request  | 
shall not permanently change the gender identifying language  | 
 | 
in the clerk's records, and the affidavit and issuance shall  | 
be kept in the permanent records of the clerk. | 
 The affidavit shall be created by the county clerk, may  | 
appear on a combined form with the form under subsection (b),  | 
and shall be substantially as follows: | 
REQUEST FOR NONGENDERED COPY OF A MARRIAGE CERTIFICATE  | 
  I, .........., state that I am a named spouse on a  | 
 marriage license held in this office, that I am still  | 
 married to the other named spouse on that marriage license  | 
 as of the date of this request, and hereby request the  | 
 holder of this record provide me, and only me, with a  | 
 marriage certificate with any gender-identifying language  | 
 removed or changed to "spouse". I affirm that this change  | 
 is for purposes of this certified copy, the change will  | 
 not be made to permanent records, and a record of this  | 
 request shall be held by the holder of this marriage  | 
 record. | 
 Date.......... | 
 Signature..........  | 
 (b) If 2 parties currently married request a marriage  | 
certificate with gender identifiers changed, such as "bride"  | 
to "groom" or "groom" to "bride", both parties shall appear  | 
before the clerk, indicate consent, and complete an affidavit.  | 
If the clerk is technologically able and the parties desire,  | 
the change in gender is permanent. | 
 The affidavit shall be created by the county clerk, may  | 
 | 
appear on a combined form with the form under subsection (a),  | 
and shall be substantially as follows: | 
REQUEST FOR NONGENDERED COPY OF A MARRIAGE CERTIFICATE  | 
  We, ..........[Spouse A] and ..........[Spouse B], the  | 
 still-married named persons on a marriage license held in  | 
 this office as of the date of this request, hereby request  | 
 the holder of this record to provide a marriage  | 
 certificate with gender-identifying terms such as "bride"  | 
 and "groom" changed as follows: | 
  ..........[Name of Spouse A] Bride, Groom, or Spouse  | 
 (select one). | 
  ..........[Name of Spouse B] Bride, Groom, or Spouse  | 
 (select one). | 
  We affirm that this change is for purposes of this  | 
 certified copy, and the change will not be made to  | 
 permanent records, unless indicated by selecting Yes or No  | 
 (select one) and a record of this request shall be held by  | 
 the holder of this marriage record. | 
 Date.......... | 
 Signature of Spouse A.......... | 
 Signature of Spouse B..........  | 
 (c) If a county provides a certified record, photocopy, or  | 
reproduction of an original record in lieu of a summary data  | 
sheet, the county clerk shall work with the Department of  | 
Public Health to develop a new certificate that can be issued  | 
in lieu of a reproduction of the prior record. Nothing in this  | 
 | 
subsection authorizes the county clerk to permanently mark or  | 
deface a prior record in lieu of a summary data sheet  | 
certificate. | 
 (d) When a clerk issues a nongendered marriage certificate  | 
under subsection (a), the certificate shall not include any  | 
language indicating it has been amended nor that it is not a  | 
true and accurate record of the facts stated therein.
 | 
(Source: P.A. 102-171, eff. 1-1-22; revised 11-18-21.)
 | 
 Section 690. The Illinois Domestic Violence Act of 1986 is  | 
amended by changing Section 301 as follows:
 | 
 (750 ILCS 60/301) (from Ch. 40, par. 2313-1)
 | 
 (Text of Section before amendment by P.A. 101-652) | 
 Sec. 301. Arrest without warrant. 
 | 
 (a) Any law enforcement officer may
make an arrest without
 | 
warrant if the officer has probable cause to believe that the  | 
person has
committed or is committing any crime, including but  | 
not limited to
violation of an order of protection, under  | 
Section 12-3.4 or 12-30 of the Criminal
Code of 1961 or the  | 
Criminal Code of 2012, even if the crime was not committed in  | 
the presence of the
officer.
 | 
 (b) The law enforcement officer may verify the existence  | 
of an order of
protection by telephone or radio communication  | 
with his or her law enforcement
agency or by referring to the  | 
copy of the order, or order of protection described on a Hope  | 
 | 
Card under Section 219.5, provided by the petitioner
or  | 
respondent.
 | 
 (c) Any law enforcement officer may make an arrest without  | 
warrant if the
officer has reasonable grounds to believe a  | 
defendant at liberty under
the provisions of subdivision  | 
(d)(1) or (d)(2) of Section 110-10 of the Code of
Criminal  | 
Procedure of 1963 has violated a condition of
his or her bail  | 
bond or recognizance.
 | 
(Source: P.A. 102-481, eff. 1-1-22.)
 | 
 (Text of Section after amendment by P.A. 101-652)
 | 
 Sec. 301. Arrest without warrant. 
 | 
 (a) Any law enforcement officer may
make an arrest without
 | 
warrant if the officer has probable cause to believe that the  | 
person has
committed or is committing any crime, including but  | 
not limited to
violation of an order of protection, under  | 
Section 12-3.4 or 12-30 of the Criminal
Code of 1961 or the  | 
Criminal Code of 2012, even if the crime was not committed in  | 
the presence of the
officer.
 | 
 (b) The law enforcement officer may verify the existence  | 
of an order of
protection by telephone or radio communication  | 
with his or her law enforcement
agency or by referring to the  | 
copy of the order, or order of protection described on a Hope  | 
Card under Section 219.5, provided by the petitioner
or  | 
respondent.
 | 
 (c) Any law enforcement officer may make an arrest without  | 
 | 
warrant if the
officer has reasonable grounds to believe a  | 
defendant at liberty under
the provisions of subdivision  | 
(d)(1) or (d)(2) of Section 110-10 of the Code of
Criminal  | 
Procedure of 1963 has violated a condition of
his or her  | 
pretrial release or recognizance.
 | 
(Source: P.A. 101-652, eff. 1-1-23; 102-481, eff. 1-1-22;  | 
revised 10-14-21.)
 | 
 Section 695. The Probate Act of 1975 is amended by  | 
changing Sections 11a-2, 11a-10, and 11a-17 as follows:
 | 
 (755 ILCS 5/11a-2) (from Ch. 110 1/2, par. 11a-2)
 | 
 Sec. 11a-2. "Person with a disability" defined.) "Person  | 
with a disability" means a person
18 years or older who (a)  | 
because of mental deterioration or physical
incapacity is not  | 
fully able to manage his person or estate, or (b) is a person
 | 
with mental illness or a person with a developmental  | 
disability and who because
of his mental illness or  | 
developmental disability is not fully able to manage
his  | 
person or estate, or (c) because of gambling, idleness,  | 
debauchery, or
excessive use of intoxicants or drugs, so  | 
spends or wastes his estate as to
expose himself or his family  | 
to want or suffering, or (d) is diagnosed with fetal alcohol  | 
syndrome or fetal alcohol effects.
 | 
(Source: P.A. 99-143, eff. 7-27-15; revised 11-24-21.)
 | 
 | 
 (755 ILCS 5/11a-10) (from Ch. 110 1/2, par. 11a-10)
 | 
 Sec. 11a-10. Procedures preliminary to hearing. 
 | 
 (a) Upon the filing of a petition pursuant to Section  | 
11a-8, the court shall
set a date and place for hearing to take  | 
place within 30 days. The court
shall appoint a guardian ad  | 
litem to report to the court concerning the
respondent's best  | 
interests consistent with the provisions of this Section,
 | 
except that
the appointment of a guardian ad litem shall not be  | 
required when
the court determines that such appointment is  | 
not necessary for the protection
of the respondent or a  | 
reasonably informed decision on the petition.
If the guardian  | 
ad litem is not a licensed attorney, he or she shall be
 | 
qualified,
by
training or experience, to work with or advocate  | 
for persons with developmental disabilities, the mentally ill,  | 
persons with physical disabilities, the elderly, or persons  | 
with a disability due to mental deterioration, depending on  | 
the type of disability that is
alleged in the petition.
The  | 
court may allow the guardian ad litem reasonable compensation.  | 
The
guardian ad litem may consult with a person who by training  | 
or experience is
qualified to work with persons with a  | 
developmental disability, persons with
mental illness, persons  | 
with physical disabilities, or persons with a disability due  | 
to
mental deterioration, depending on the type of disability  | 
that is alleged.
The guardian ad litem shall personally  | 
observe the respondent prior to the
hearing and shall inform
 | 
him orally and in writing of the contents of the petition and  | 
 | 
of his rights, including providing a copy of the notice of  | 
rights required under subsection (e).
The guardian ad litem  | 
shall also attempt to elicit the respondent's position
 | 
concerning the adjudication of disability, the proposed  | 
guardian, a proposed
change in residential placement, changes  | 
in care that might result from the
guardianship, and other  | 
areas of inquiry deemed appropriate by the court.
 | 
Notwithstanding any provision in the Mental Health and  | 
Developmental Disabilities Confidentiality Act or any other  | 
law, a guardian ad litem shall have the right to inspect and  | 
copy any medical or mental health record of the respondent  | 
which the guardian ad litem deems necessary, provided that the  | 
information so disclosed shall not be utilized for any other  | 
purpose nor be redisclosed except in connection with the  | 
proceedings. At or before the hearing, the guardian ad litem  | 
shall file a written report
detailing his or her observations  | 
of the respondent, the responses of the
respondent to any of  | 
the inquiries detailed in this Section, the opinion of the
 | 
guardian
ad litem or other professionals with whom the  | 
guardian ad litem consulted
concerning the appropriateness of  | 
guardianship, and any other material issue
discovered by the  | 
guardian ad litem. The guardian ad litem shall appear at the
 | 
hearing and testify as to any issues presented in his or her  | 
report.
 | 
 (b) The court (1) may appoint counsel for the respondent,  | 
if the court finds
that the interests of the respondent will be  | 
 | 
best served by the appointment,
and (2) shall appoint counsel  | 
upon the respondent's request or if the respondent
takes a  | 
position adverse to that of the guardian ad litem. The  | 
respondent
shall be permitted to obtain the appointment of  | 
counsel either at the hearing
or by any written or oral request  | 
communicated to the court prior to the
hearing. The summons  | 
shall inform the respondent of this right to obtain
appointed  | 
counsel. The court may allow counsel for the respondent  | 
reasonable
compensation.
 | 
 (c) The allocation of guardian ad litem fees and costs is  | 
within the discretion of the court. No legal fees, appointed  | 
counsel fees, guardian ad litem fees, or costs shall be  | 
assessed against the Office of the State Guardian, the public  | 
guardian, an adult protective services agency, the Department  | 
of Children and Family Services, or the agency designated by  | 
the Governor under Section 1 of the Protection and Advocacy  | 
for Persons with Developmental Disabilities Act.
 | 
 (d) The hearing may be held at such convenient place as the  | 
court directs,
including at a facility in which the respondent  | 
resides.
 | 
 (e) Unless he is the petitioner, the respondent shall be  | 
personally
served with a copy of the petition and a summons not  | 
less than 14 days
before the hearing.
The summons shall be  | 
printed in large, bold type and shall include the
following:
 | 
NOTICE OF RIGHTS OF RESPONDENT
 | 
 You have been named as a respondent in a guardianship  | 
 | 
petition asking that
you be declared a person with a  | 
disability. If the court grants the petition, a
guardian will  | 
be appointed for you. A copy of the guardianship petition is
 | 
attached for your convenience.
 | 
The date and time of the hearing are:
 | 
The place where the hearing will occur is:
 | 
The Judge's name and phone number is:
 | 
 If a guardian is appointed for you, the guardian may be  | 
given the right to
make all
important personal decisions for  | 
you, such as where you may live, what medical
treatment you may  | 
receive, what places you may visit, and who may visit you. A
 | 
guardian may also be given the right to control and manage your  | 
money and other
property, including your home, if you own one.  | 
You may lose the right to make
these decisions for yourself.
 | 
 You have the following legal rights:
 | 
  (1) You have the right to be present at the court  | 
 hearing.
 | 
  (2) You have the right to be represented by a lawyer,  | 
 either one that you
retain, or one appointed by the Judge.
 | 
  (3) You have the right to ask for a jury of six persons  | 
 to hear your case.
 | 
  (4) You have the right to present evidence to the  | 
 court and to confront
and
cross-examine witnesses.
 | 
  (5) You have the right to ask the Judge to appoint an  | 
 independent expert
to examine you and give an opinion  | 
 about your need for a guardian.
 | 
 | 
  (6) You have the right to ask that the court hearing be  | 
 closed to the
public.
 | 
  (7) You have the right to tell the court whom you  | 
 prefer to have for your
guardian.
 | 
  (8) You have the right to ask a judge to find that  | 
 although you lack some capacity to make your own  | 
 decisions, you can make other decisions, and therefore it  | 
 is best for the court to appoint only a limited guardian  | 
 for you.  | 
 You do not have to attend the court hearing if you do not  | 
want to be there.
If you do not attend, the Judge may appoint a  | 
guardian if the Judge finds that
a guardian would be of benefit  | 
to you. The hearing will not be postponed or
canceled if you do  | 
not attend. If you are unable to attend the hearing in person  | 
or you will suffer harm if you attend, the Judge can decide to  | 
hold the hearing at a place that is convenient. The Judge can  | 
also follow the rule of the Supreme Court of this State, or its  | 
local equivalent, and decide if a video conference is  | 
appropriate. 
 | 
 IT IS VERY IMPORTANT THAT YOU ATTEND THE HEARING IF YOU DO  | 
NOT WANT A
GUARDIAN OR IF YOU WANT SOMEONE OTHER THAN THE  | 
PERSON NAMED IN THE GUARDIANSHIP
PETITION TO BE YOUR GUARDIAN.  | 
IF YOU DO NOT WANT A GUARDIAN OR IF YOU HAVE ANY
OTHER  | 
PROBLEMS, YOU SHOULD CONTACT AN ATTORNEY OR COME TO COURT AND  | 
TELL THE
JUDGE.
 | 
 Service of summons and the petition may be made by a  | 
 | 
private person 18
years
of
age or over who is not a party to  | 
the action.
 | 
[END OF FORM] .   | 
 (f) Notice of the time and place of the hearing shall be  | 
given by the
petitioner by mail or in person to those persons,  | 
including the proposed
guardian, whose names and addresses
 | 
appear in the petition and who do not waive notice, not less  | 
than 14 days
before the hearing. 
 | 
(Source: P.A. 102-72, eff. 1-1-22; 102-191, eff. 1-1-22;  | 
revised 9-22-21.)
 | 
 (755 ILCS 5/11a-17) (from Ch. 110 1/2, par. 11a-17)
 | 
 Sec. 11a-17. Duties of personal guardian. 
 | 
 (a) To the extent ordered by the court and under the  | 
direction of the
court, the guardian of the person shall have  | 
custody of the ward and the
ward's minor and adult dependent  | 
children and shall procure for them and shall
make provision  | 
for their support, care, comfort, health, education and
 | 
maintenance, and professional services as are appropriate, but  | 
the ward's
spouse may not be deprived of the custody and  | 
education of the ward's minor
and adult dependent children,  | 
without the consent of the spouse, unless the
court finds that  | 
the spouse is not a fit and competent person to have that
 | 
custody and education. The guardian shall assist the ward in  | 
the
development of maximum self-reliance and independence. The  | 
guardian of the
person may petition the court for an order  | 
 | 
directing the guardian of the
estate to pay an amount  | 
periodically for the provision of the services
specified by  | 
the court order. If the ward's estate is insufficient to
 | 
provide for education and the guardian of the ward's person  | 
fails to
provide education, the court may award the custody of  | 
the ward to some
other person for the purpose of providing  | 
education. If a person makes a
settlement upon or provision  | 
for the support or education of a ward, the
court may make an  | 
order for the visitation of the ward by the person making
the  | 
settlement or provision as the court deems proper. A guardian  | 
of the person may not admit a ward to a mental health facility  | 
except at the ward's request as provided in Article IV of the  | 
Mental Health and Developmental Disabilities Code and unless  | 
the ward has the capacity to consent to such admission as  | 
provided in Article IV of the Mental Health and Developmental  | 
Disabilities Code. 
 | 
 (a-3) If a guardian of an estate has not been appointed,  | 
the guardian of the person may, without an order of court,  | 
open, maintain, and transfer funds to an ABLE account on  | 
behalf of the ward and the ward's minor and adult dependent  | 
children as specified under Section 16.6 of the State  | 
Treasurer Act.  | 
 (a-5) If the ward filed a petition for dissolution of  | 
marriage under the
Illinois
Marriage and Dissolution of  | 
Marriage Act before the ward was adjudicated a
person with a  | 
disability under this Article, the guardian of the ward's  | 
 | 
person and estate may
maintain that
action for
dissolution of  | 
marriage on behalf of the ward. Upon petition by the guardian  | 
of the ward's person or estate, the court may authorize and  | 
direct a guardian of the ward's person or estate to file a  | 
petition for dissolution of marriage or to file a petition for  | 
legal separation or declaration of invalidity of marriage  | 
under the Illinois Marriage and Dissolution of Marriage Act on  | 
behalf of the ward if the court finds by clear and convincing  | 
evidence that the relief sought is in the ward's best  | 
interests. In making its determination, the court shall  | 
consider the standards set forth in subsection (e) of this  | 
Section. | 
 (a-10) Upon petition by the guardian of the ward's person  | 
or estate, the court may authorize and direct a guardian of the  | 
ward's person or estate to consent, on behalf of the ward, to  | 
the ward's marriage pursuant to Part II of the Illinois  | 
Marriage and Dissolution of Marriage Act if the court finds by  | 
clear and convincing evidence that the marriage is in the  | 
ward's best interests. In making its determination, the court  | 
shall consider the standards set forth in subsection (e) of  | 
this Section. Upon presentation of a court order authorizing  | 
and directing a guardian of the ward's person and estate to  | 
consent to the ward's marriage, the county clerk shall accept  | 
the guardian's application, appearance, and signature on  | 
behalf of the ward for purposes of issuing a license to marry  | 
under Section 203 of the Illinois Marriage and Dissolution of  | 
 | 
Marriage Act. 
 | 
 (b) If the court directs, the guardian of the person shall  | 
file
with the court at intervals indicated by the court, a  | 
report that
shall state briefly: (1) the current mental,  | 
physical, and social
condition of the ward and the ward's  | 
minor and adult dependent children; (2)
their present living  | 
arrangement, and a description and the address of
every  | 
residence where they lived during the reporting period and the  | 
length
of stay at each place; (3) a summary of the medical,  | 
educational,
vocational, and other professional services given  | 
to them; (4) a resume of
the guardian's visits with and  | 
activities on behalf of the ward and the ward's
minor and adult  | 
dependent children; (5) a recommendation as to the need for
 | 
continued guardianship; (6) any other information requested by  | 
the court or
useful in the opinion of the guardian. The Office  | 
of the State Guardian
shall assist the guardian in filing the  | 
report when requested by the
guardian. The court may take such  | 
action as it deems appropriate pursuant
to the report.
 | 
 (c) Absent court order pursuant to the Illinois Power of  | 
Attorney Act
directing a guardian to exercise powers of the  | 
principal under an agency
that survives disability, the  | 
guardian has no power, duty, or liability
with respect to any  | 
personal or health care matters covered by the agency.
This  | 
subsection (c) applies to all agencies, whenever and wherever  | 
executed.
 | 
 (d) A guardian acting as a surrogate decision maker under  | 
 | 
the Health
Care Surrogate Act shall have all the rights of a  | 
surrogate under that Act
without court order including the  | 
right to make medical treatment decisions
such as decisions to  | 
forgo or withdraw life-sustaining treatment.
Any decisions by  | 
the guardian to forgo or withdraw life-sustaining treatment
 | 
that are not authorized under the Health Care Surrogate Act  | 
shall require a
court order. Nothing in this Section shall  | 
prevent an agent acting under a
power of attorney for health  | 
care from exercising his or her authority under
the Illinois  | 
Power of Attorney Act without further court order, unless a  | 
court
has acted under Section 2-10 of the Illinois Power of  | 
Attorney Act. If a
guardian is also a health care agent for the  | 
ward under a valid power of
attorney for health care, the  | 
guardian acting as agent may execute his or her
authority  | 
under that act without further court order.
 | 
 (e) Decisions made by a guardian on behalf of a ward shall  | 
be made in
accordance with the following
standards for  | 
decision making. The guardian shall consider the ward's  | 
current preferences to the extent the ward has the ability to  | 
participate in decision making when those preferences are  | 
known or reasonably ascertainable by the guardian. Decisions  | 
by the guardian shall conform to the ward's current  | 
preferences:
(1) unless the guardian reasonably believes that  | 
doing
so would result in substantial harm to the ward's  | 
welfare or personal or financial interests; and
(2) so long as  | 
such decisions give substantial weight to what the ward, if
 | 
 | 
competent, would have done or intended under the  | 
circumstances, taking into
account evidence that includes, but  | 
is not limited to, the ward's personal,
philosophical,  | 
religious and moral beliefs, and ethical values relative to  | 
the
decision to be made by the guardian. Where possible, the  | 
guardian shall
determine how the ward would have made a  | 
decision based on the ward's
previously expressed preferences,  | 
and make decisions in accordance with the
preferences of the  | 
ward. If the ward's wishes are unknown and remain unknown
 | 
after reasonable efforts to discern them, or if the guardian  | 
reasonably believes that a decision made in conformity with  | 
the ward's preferences would result in substantial harm to the  | 
ward's welfare or personal or financial interests, the  | 
decision shall be made on the
basis of the ward's best  | 
interests as determined by the guardian. In
determining the  | 
ward's best interests, the guardian shall weigh the reason for
 | 
and nature of the proposed action, the benefit or necessity of  | 
the action, the
possible risks and other consequences of the  | 
proposed action, and any available
alternatives and their  | 
risks, consequences and benefits, and shall take into
account  | 
any other information, including the views of family and  | 
friends, that
the guardian believes the ward would have  | 
considered if able to act for herself
or himself.
 | 
 (f) Upon petition by any interested person (including the  | 
standby or
short-term guardian), with such notice to  | 
interested persons as the court
directs and a finding by the  | 
 | 
court that it is in the best interests of the
person with a  | 
disability, the court may terminate or limit the authority of  | 
a standby or
short-term guardian or may enter such other  | 
orders as the court deems necessary
to provide for the best  | 
interests of the person with a disability. The petition
for  | 
termination or limitation of the authority of a standby or  | 
short-term
guardian may, but need not, be combined with a  | 
petition to have another
guardian appointed for the person  | 
with a disability. | 
 (g)(1) Unless there is a court order to the contrary, the  | 
guardian, consistent with the standards set forth in  | 
subsection (e) of this Section, shall use reasonable efforts  | 
to notify the ward's known adult children, who have requested  | 
notification and provided contact information, of the ward's  | 
admission to a hospital, hospice, or palliative care program,  | 
the ward's death, and the arrangements for the disposition of  | 
the ward's remains. | 
 (2) If a guardian unreasonably prevents an adult child,  | 
spouse, adult grandchild, parent, or adult sibling of the ward  | 
from visiting the ward, the court, upon a verified petition,  | 
may order the guardian to permit visitation between the ward  | 
and the adult child, spouse, adult grandchild, parent, or  | 
adult sibling. In making its determination, the court shall  | 
consider the standards set forth in subsection (e) of this  | 
Section. The court shall not allow visitation if the court  | 
finds that the ward has capacity to evaluate and communicate  | 
 | 
decisions regarding visitation and expresses a desire not to  | 
have visitation with the petitioner. This subsection (g) does  | 
not apply to duly appointed public guardians or the Office of  | 
State Guardian.
 | 
(Source: P.A. 101-329, eff. 8-9-19; 102-72, eff. 1-1-22;  | 
102-258, eff. 8-6-21; revised 9-22-21.)
 | 
 Section 700. The Real Property Transfer on Death  | 
Instrument Act is amended by changing Section 5 as follows:
 | 
 (755 ILCS 27/5) | 
 Sec. 5. Definitions. In this Act: | 
 "Beneficiary" means a person that receives real property  | 
under a transfer on death instrument. | 
 "Designated beneficiary" means a person designated to  | 
receive real property under a transfer on death instrument. | 
 "Joint owner" means an individual who owns real property  | 
concurrently with one or more other individuals with a right  | 
of survivorship. The term includes a joint tenant or a tenant  | 
by the entirety. The term does not include a tenant in common. | 
 "Owner" means an individual who owns an interest in real  | 
property. "Owner" does not include a trustee or an individual  | 
acting in a fiduciary, representative, or agency capacity who  | 
holds an interest in real property. | 
 "Person" means: an individual; a corporation; a business  | 
trust; a trustee of a land trust, a revocable or irrevocable  | 
 | 
trust, a trust created under a will or under a transfer on  | 
death instrument; a partnership; a limited liability company;  | 
an association; a joint venture; a public corporation; a  | 
government or governmental subdivision; an agency; an  | 
instrumentality; a guardian; a custodian designated or to be  | 
designated under any state's uniform transfers to minors act;  | 
or any other legal entity. inter vivos | 
 "Real property" means an interest in realty located in  | 
this State capable of being transferred on the death of the  | 
owner. | 
 "Residential real estate" means real property improved  | 
with not less than one nor more than 4 residential dwelling  | 
units; a residential condominium unit, including but not  | 
limited to the common elements allocated to the exclusive use  | 
thereof that form an integral part of the condominium unit and  | 
any parking unit or units specified by the declaration to be  | 
allocated to a specific residential condominium unit; or a  | 
single tract of agriculture real estate consisting of 40 acres  | 
or less which is improved with a single family residence. If a  | 
declaration of condominium ownership provides for individually  | 
owned and transferable parking units, "residential real  | 
estate" does not include the parking unit of a specific  | 
residential condominium unit unless the parking unit is  | 
included in the legal description of the property being  | 
transferred by a transfer on death instrument.  | 
 "Transfer on death instrument" means an instrument  | 
 | 
authorized under this Act.
 | 
(Source: P.A. 102-68, eff. 1-1-22; 102-558, eff. 8-20-21;  | 
revised 10-12-21.)
 | 
 Section 705. The Illinois Power of Attorney Act is amended  | 
by changing Sections 4-6 and 4-10 as follows:
 | 
 (755 ILCS 45/4-6) (from Ch. 110 1/2, par. 804-6)
 | 
 Sec. 4-6. Revocation and amendment of health care  | 
agencies. 
 | 
 (a) Unless the principal elects a delayed revocation  | 
period pursuant to subsection (a-5), every health care agency  | 
may be revoked by the principal at any
time, without regard to  | 
the principal's mental or physical condition, by
any of the  | 
following methods:
 | 
  1. By being obliterated, burnt, torn, or otherwise  | 
 destroyed or defaced
in a manner indicating intention to  | 
 revoke;
 | 
  2. By a written revocation of the agency signed and  | 
 dated by the
principal or person acting at the direction  | 
 of the principal, regardless of whether the written  | 
 revocation is in an electronic or hard copy format;
 | 
  3. By an oral or any other expression of the intent to  | 
 revoke the agency
in the presence of a witness 18 years of  | 
 age or older who signs and dates a
writing confirming that  | 
 such expression of intent was made; or
 | 
 | 
  4. For an electronic health care agency, by deleting  | 
 in a manner indicating the intention to revoke. An  | 
 electronic health care agency may be revoked  | 
 electronically using a generic, technology-neutral system  | 
 in which each user is assigned a unique identifier that is  | 
 securely maintained and in a manner that meets the  | 
 regulatory requirements for a digital or electronic  | 
 signature. Compliance with the standards defined in the  | 
 Uniform Electronic Transactions Act or the implementing  | 
 rules of the Hospital Licensing Act for medical record  | 
 entry authentication for author validation of the  | 
 documentation, content accuracy, and completeness meets  | 
 this standard. | 
 (a-5) A principal may elect a 30-day delay of the  | 
revocation of the principal's health care agency. If a  | 
principal makes this election, the principal's revocation  | 
shall be delayed for 30 days after the principal communicates  | 
his or her intent to revoke.  | 
 (b) Every health care agency may be amended at any time by  | 
a written
amendment signed and dated by the principal or  | 
person acting at the
direction of the principal.
 | 
 (c) Any person, other than the agent, to whom a revocation  | 
or amendment is
communicated or delivered shall make all  | 
reasonable efforts to inform the
agent of that fact as  | 
promptly as possible.
 | 
(Source: P.A. 101-163, eff. 1-1-20; 102-38, eff. 6-25-21;  | 
 | 
102-181, eff. 7-30-21; revised 9-22-21.)
 | 
 (755 ILCS 45/4-10) (from Ch. 110 1/2, par. 804-10)
 | 
 Sec. 4-10. Statutory short form power of attorney for  | 
health care. 
 | 
 (a) The form prescribed in this Section (sometimes also  | 
referred to in this Act as the
"statutory health care power")  | 
may be used to grant an agent powers with
respect to the  | 
principal's own health care; but the statutory health care
 | 
power is not intended to be exclusive nor to cover delegation  | 
of a parent's
power to control the health care of a minor  | 
child, and no provision of this
Article shall be construed to  | 
invalidate or bar use by the principal of any
other or
 | 
different form of power of attorney for health care.  | 
Nonstatutory health
care powers must be
executed by the  | 
principal, designate the agent and the agent's powers, and
 | 
comply with the limitations in Section 4-5 of this Article,  | 
but they need not be witnessed or
conform in any other respect  | 
to the statutory health care power. | 
 No specific format is required for the statutory health  | 
care power of attorney other than the notice must precede the  | 
form. The statutory health care power may be included in or
 | 
combined with any
other form of power of attorney governing  | 
property or other matters.
 | 
 The signature and execution requirements set forth in this  | 
Article are satisfied by: (i) written signatures or initials;  | 
 | 
or (ii) electronic signatures or computer-generated signature  | 
codes. Electronic documents under this Act may be created,  | 
signed, or revoked electronically using a generic,  | 
technology-neutral system in which each user is assigned a  | 
unique identifier that is securely maintained and in a manner  | 
that meets the regulatory requirements for a digital or  | 
electronic signature. Compliance with the standards defined in  | 
the Uniform Electronic Transactions Act or the implementing  | 
rules of the Hospital Licensing Act for medical record entry  | 
authentication for author validation of the documentation,  | 
content accuracy, and completeness meets this standard.  | 
 (b) The Illinois Statutory Short Form Power of Attorney  | 
for Health Care shall be substantially as follows: 
 | 
NOTICE TO THE INDIVIDUAL SIGNING    | 
THE POWER OF ATTORNEY FOR HEALTH CARE  | 
 No one can predict when a serious illness or accident  | 
might occur. When it does, you may need someone else to speak  | 
or make health care decisions for you. If you plan now, you can  | 
increase the chances that the medical treatment you get will  | 
be the treatment you want. | 
 In Illinois, you can choose someone to be your "health  | 
care agent". Your agent is the person you trust to make health  | 
care decisions for you if you are unable or do not want to make  | 
them yourself. These decisions should be based on your  | 
personal values and wishes. | 
 | 
 It is important to put your choice of agent in writing. The  | 
written form is often called an "advance directive". You may  | 
use this form or another form, as long as it meets the legal  | 
requirements of Illinois. There are many written and online  | 
on-line resources to guide you and your loved ones in having a  | 
conversation about these issues. You may find it helpful to  | 
look at these resources while thinking about and discussing  | 
your advance directive. 
 | 
WHAT ARE THE THINGS I WANT MY    | 
HEALTH CARE AGENT TO KNOW?  | 
 The selection of your agent should be considered  | 
carefully, as your agent will have the ultimate  | 
decision-making authority once this document goes into effect,  | 
in most instances after you are no longer able to make your own  | 
decisions. While the goal is for your agent to make decisions  | 
in keeping with your preferences and in the majority of  | 
circumstances that is what happens, please know that the law  | 
does allow your agent to make decisions to direct or refuse  | 
health care interventions or withdraw treatment. Your agent  | 
will need to think about conversations you have had, your  | 
personality, and how you handled important health care issues  | 
in the past. Therefore, it is important to talk with your agent  | 
and your family about such things as: | 
  (i) What is most important to you in your life? | 
  (ii) How important is it to you to avoid pain and  | 
 | 
 suffering? | 
  (iii) If you had to choose, is it more important to you  | 
 to live as long as possible, or to avoid prolonged  | 
 suffering or disability? | 
  (iv) Would you rather be at home or in a hospital for  | 
 the last days or weeks of your life? | 
  (v) Do you have religious, spiritual, or cultural  | 
 beliefs that you want your agent and others to consider? | 
  (vi) Do you wish to make a significant contribution to  | 
 medical science after your death through organ or whole  | 
 body donation? | 
  (vii) Do you have an existing advance directive, such  | 
 as a living will, that contains your specific wishes about  | 
 health care that is only delaying your death? If you have  | 
 another advance directive, make sure to discuss with your  | 
 agent the directive and the treatment decisions contained  | 
 within that outline your preferences. Make sure that your  | 
 agent agrees to honor the wishes expressed in your advance  | 
 directive. 
 | 
WHAT KIND OF DECISIONS CAN MY AGENT MAKE?  | 
 If there is ever a period of time when your physician  | 
determines that you cannot make your own health care  | 
decisions, or if you do not want to make your own decisions,  | 
some of the decisions your agent could make are to: | 
  (i) talk with physicians and other health care  | 
 | 
 providers about your condition. | 
  (ii) see medical records and approve who else can see  | 
 them. | 
  (iii) give permission for medical tests, medicines,  | 
 surgery, or other treatments. | 
  (iv) choose where you receive care and which  | 
 physicians and others provide it. | 
  (v) decide to accept, withdraw, or decline treatments  | 
 designed to keep you alive if you are near death or not  | 
 likely to recover. You may choose to include guidelines  | 
 and/or restrictions to your agent's authority. | 
  (vi) agree or decline to donate your organs or your  | 
 whole body if you have not already made this decision  | 
 yourself. This could include donation for transplant,  | 
 research, and/or education. You should let your agent know  | 
 whether you are registered as a donor in the First Person  | 
 Consent registry maintained by the Illinois Secretary of  | 
 State or whether you have agreed to donate your whole body  | 
 for medical research and/or education. | 
  (vii) decide what to do with your remains after you  | 
 have died, if you have not already made plans. | 
  (viii) talk with your other loved ones to help come to  | 
 a decision (but your designated agent will have the final  | 
 say over your other loved ones). | 
 Your agent is not automatically responsible for your  | 
health care expenses. 
 | 
 | 
WHOM SHOULD I CHOOSE TO BE MY HEALTH CARE AGENT?  | 
 You can pick a family member, but you do not have to. Your  | 
agent will have the responsibility to make medical treatment  | 
decisions, even if other people close to you might urge a  | 
different decision. The selection of your agent should be done  | 
carefully, as he or she will have ultimate decision-making  | 
authority for your treatment decisions once you are no longer  | 
able to voice your preferences. Choose a family member,  | 
friend, or other person who:  | 
  (i) is at least 18 years old; | 
  (ii) knows you well; | 
  (iii) you trust to do what is best for you and is  | 
 willing to carry out your wishes, even if he or she may not  | 
 agree with your wishes; | 
  (iv) would be comfortable talking with and questioning  | 
 your physicians and other health care providers; | 
  (v) would not be too upset to carry out your wishes if  | 
 you became very sick; and | 
  (vi) can be there for you when you need it and is  | 
 willing to accept this important role. 
 | 
WHAT IF MY AGENT IS NOT AVAILABLE OR IS    | 
UNWILLING TO MAKE DECISIONS FOR ME?  | 
 If the person who is your first choice is unable to carry  | 
out this role, then the second agent you chose will make the  | 
 | 
decisions; if your second agent is not available, then the  | 
third agent you chose will make the decisions. The second and  | 
third agents are called your successor agents and they  | 
function as back-up agents to your first choice agent and may  | 
act only one at a time and in the order you list them. 
 | 
WHAT WILL HAPPEN IF I DO NOT    | 
CHOOSE A HEALTH CARE AGENT?  | 
 If you become unable to make your own health care  | 
decisions and have not named an agent in writing, your  | 
physician and other health care providers will ask a family  | 
member, friend, or guardian to make decisions for you. In  | 
Illinois, a law directs which of these individuals will be  | 
consulted. In that law, each of these individuals is called a  | 
"surrogate".  | 
 There are reasons why you may want to name an agent rather  | 
than rely on a surrogate: | 
  (i) The person or people listed by this law may not be  | 
 who you would want to make decisions for you. | 
  (ii) Some family members or friends might not be able  | 
 or willing to make decisions as you would want them to. | 
  (iii) Family members and friends may disagree with one  | 
 another about the best decisions. | 
  (iv) Under some circumstances, a surrogate may not be  | 
 able to make the same kinds of decisions that an agent can  | 
 make.
 | 
 | 
WHAT IF THERE IS NO ONE AVAILABLE    | 
WHOM I TRUST TO BE MY AGENT?  | 
 In this situation, it is especially important to talk to  | 
your physician and other health care providers and create  | 
written guidance about what you want or do not want, in case  | 
you are ever critically ill and cannot express your own  | 
wishes. You can complete a living will. You can also write your  | 
wishes down and/or discuss them with your physician or other  | 
health care provider and ask him or her to write it down in  | 
your chart. You might also want to use written or online  | 
on-line resources to guide you through this process. 
 | 
WHAT DO I DO WITH THIS FORM ONCE I COMPLETE IT?  | 
 Follow these instructions after you have completed the  | 
form:  | 
  (i) Sign the form in front of a witness. See the form  | 
 for a list of who can and cannot witness it. | 
  (ii) Ask the witness to sign it, too. | 
  (iii) There is no need to have the form notarized. | 
  (iv) Give a copy to your agent and to each of your  | 
 successor agents. | 
  (v) Give another copy to your physician. | 
  (vi) Take a copy with you when you go to the hospital. | 
  (vii) Show it to your family and friends and others  | 
 who care for you. 
 | 
 | 
WHAT IF I CHANGE MY MIND?  | 
 You may change your mind at any time. If you do, tell  | 
someone who is at least 18 years old that you have changed your  | 
mind, and/or destroy your document and any copies. If you  | 
wish, fill out a new form and make sure everyone you gave the  | 
old form to has a copy of the new one, including, but not  | 
limited to, your agents and your physicians. If you are  | 
concerned you may revoke your power of attorney at a time when  | 
you may need it the most, you may initial the box at the end of  | 
the form to indicate that you would like a 30-day waiting  | 
period after you voice your intent to revoke your power of  | 
attorney. This means if your agent is making decisions for you  | 
during that time, your agent can continue to make decisions on  | 
your behalf. This election is purely optional, and you do not  | 
have to choose it. If you do not choose this option, you can  | 
change your mind and revoke the power of attorney at any time.
 | 
WHAT IF I DO NOT WANT TO USE THIS FORM?  | 
 In the event you do not want to use the Illinois statutory  | 
form provided here, any document you complete must be executed  | 
by you, designate an agent who is over 18 years of age and not  | 
prohibited from serving as your agent, and state the agent's  | 
powers, but it need not be witnessed or conform in any other  | 
respect to the statutory health care power.  | 
 If you have questions about the use of any form, you may  | 
 | 
want to consult your physician, other health care provider,  | 
and/or an attorney. 
 | 
MY POWER OF ATTORNEY FOR HEALTH CARE 
 | 
THIS POWER OF ATTORNEY REVOKES ALL PREVIOUS POWERS OF ATTORNEY  | 
FOR HEALTH CARE. (You must sign this form and a witness must  | 
also sign it before it is valid) 
 | 
My name (Print your full name):.......... | 
My address:..................................................
 | 
I WANT THE FOLLOWING PERSON TO BE MY HEALTH CARE AGENT  | 
(an agent is your personal representative under state and  | 
federal law):  | 
(Agent name)................. | 
(Agent address)............. | 
(Agent phone number).........................................
 | 
(Please check box if applicable) .... If a guardian of my  | 
person is to be appointed, I nominate the agent acting under  | 
this power of attorney as guardian. 
 | 
SUCCESSOR HEALTH CARE AGENT(S) (optional): | 
 If the agent I selected is unable or does not want to make  | 
health care decisions for me, then I request the person(s) I  | 
 | 
name below to be my successor health care agent(s). Only one  | 
person at a time can serve as my agent (add another page if you  | 
want to add more successor agent names): | 
.....................  | 
(Successor agent #1 name, address and phone number) | 
..........  | 
(Successor agent #2 name, address and phone number)
 | 
MY AGENT CAN MAKE HEALTH CARE DECISIONS FOR ME, INCLUDING: | 
  (i) Deciding to accept, withdraw, or decline treatment  | 
 for any physical or mental condition of mine, including  | 
 life-and-death decisions. | 
  (ii) Agreeing to admit me to or discharge me from any  | 
 hospital, home, or other institution, including a mental  | 
 health facility. | 
  (iii) Having complete access to my medical and mental  | 
 health records, and sharing them with others as needed,  | 
 including after I die. | 
  (iv) Carrying out the plans I have already made, or,  | 
 if I have not done so, making decisions about my body or  | 
 remains, including organ, tissue or whole body donation,  | 
 autopsy, cremation, and burial. | 
 The above grant of power is intended to be as broad as  | 
possible so that my agent will have the authority to make any  | 
decision I could make to obtain or terminate any type of health  | 
care, including withdrawal of nutrition and hydration and  | 
 | 
other life-sustaining measures. 
 | 
I AUTHORIZE MY AGENT TO (please check any one box):  | 
 .... Make decisions for me only when I cannot make them for  | 
 myself. The physician(s) taking care of me will determine  | 
 when I lack this ability. | 
  (If no box is checked, then the box above shall be  | 
 implemented.)
OR  | 
 .... Make decisions for me only when I cannot make them for  | 
 myself. The physician(s) taking care of me will determine  | 
 when I lack this ability. Starting now, for the purpose of  | 
 assisting me with my health care plans and decisions, my  | 
 agent shall have complete access to my medical and mental  | 
 health records, the authority to share them with others as  | 
 needed, and the complete ability to communicate with my  | 
 personal physician(s) and other health care providers,  | 
 including the ability to require an opinion of my  | 
 physician as to whether I lack the ability to make  | 
 decisions for myself. OR  | 
 .... Make decisions for me starting now and continuing  | 
 after I am no longer able to make them for myself. While I  | 
 am still able to make my own decisions, I can still do so  | 
 if I want to. 
 | 
 The subject of life-sustaining treatment is of particular  | 
importance. Life-sustaining treatments may include tube  | 
 | 
feedings or fluids through a tube, breathing machines, and  | 
CPR. In general, in making decisions concerning  | 
life-sustaining treatment, your agent is instructed to  | 
consider the relief of suffering, the quality as well as the  | 
possible extension of your life, and your previously expressed  | 
wishes. Your agent will weigh the burdens versus benefits of  | 
proposed treatments in making decisions on your behalf. | 
 Additional statements concerning the withholding or  | 
removal of life-sustaining treatment are described below.  | 
These can serve as a guide for your agent when making decisions  | 
for you. Ask your physician or health care provider if you have  | 
any questions about these statements. 
 | 
SELECT ONLY ONE STATEMENT BELOW THAT BEST EXPRESSES YOUR  | 
WISHES (optional):  | 
 .... The quality of my life is more important than the  | 
 length of my life. If I am unconscious and my attending  | 
 physician believes, in accordance with reasonable medical  | 
 standards, that I will not wake up or recover my ability to  | 
 think, communicate with my family and friends, and  | 
 experience my surroundings, I do not want treatments to  | 
 prolong my life or delay my death, but I do want treatment  | 
 or care to make me comfortable and to relieve me of pain.  | 
 .... Staying alive is more important to me, no matter how  | 
 sick I am, how much I am suffering, the cost of the  | 
 procedures, or how unlikely my chances for recovery are. I  | 
 | 
 want my life to be prolonged to the greatest extent  | 
 possible in accordance with reasonable medical standards. 
 | 
SPECIFIC LIMITATIONS TO MY AGENT'S DECISION-MAKING AUTHORITY:  | 
 The above grant of power is intended to be as broad as  | 
possible so that your agent will have the authority to make any  | 
decision you could make to obtain or terminate any type of  | 
health care. If you wish to limit the scope of your agent's  | 
powers or prescribe special rules or limit the power to  | 
authorize autopsy or dispose of remains, you may do so  | 
specifically in this form.  | 
| .................................. | 
| ..............................
 | 
My signature:.................. | 
Today's date:................................................
 | 
DELAYED REVOCATION  | 
 .... I elect to delay revocation of this power of attorney  | 
for 30 days after I communicate my intent to revoke it.  | 
 .... I elect for the revocation of this power of attorney  | 
to take effect immediately if I communicate my intent to  | 
revoke it. 
 | 
HAVE YOUR WITNESS AGREE TO WHAT IS WRITTEN BELOW, AND THEN  | 
COMPLETE THE SIGNATURE PORTION: | 
 | 
 I am at least 18 years old. (check one of the options  | 
below): | 
 .... I saw the principal sign this document, or  | 
 .... the principal told me that the signature or mark on  | 
 the principal signature line is his or hers.  | 
 I am not the agent or successor agent(s) named in this  | 
document. I am not related to the principal, the agent, or the  | 
successor agent(s) by blood, marriage, or adoption. I am not  | 
the principal's physician, advanced practice registered nurse,  | 
dentist, podiatric physician, optometrist, psychologist, or a  | 
relative of one of those individuals. I am not an owner or  | 
operator (or the relative of an owner or operator) of the  | 
health care facility where the principal is a patient or  | 
resident. | 
Witness printed name:............ | 
Witness address:.............. | 
Witness signature:............... | 
Today's date:................................................
 | 
 (c) The statutory short form power of attorney for health  | 
care (the
"statutory health care power") authorizes the agent  | 
to make any and all
health care decisions on behalf of the  | 
principal which the principal could
make if present and under  | 
no disability, subject to any limitations on the
granted  | 
powers that appear on the face of the form, to be exercised in  | 
such
manner as the agent deems consistent with the intent and  | 
 | 
desires of the
principal. The agent will be under no duty to  | 
exercise granted powers or
to assume control of or  | 
responsibility for the principal's health care;
but when  | 
granted powers are exercised, the agent will be required to  | 
use
due care to act for the benefit of the principal in  | 
accordance with the
terms of the statutory health care power  | 
and will be liable
for negligent exercise. The agent may act in  | 
person or through others
reasonably employed by the agent for  | 
that purpose
but may not delegate authority to make health  | 
care decisions. The agent
may sign and deliver all  | 
instruments, negotiate and enter into all
agreements, and do  | 
all other acts reasonably necessary to implement the
exercise  | 
of the powers granted to the agent. Without limiting the
 | 
generality of the foregoing, the statutory health care power  | 
shall include
the following powers, subject to any limitations  | 
appearing on the face of the form:
 | 
  (1) The agent is authorized to give consent to and  | 
 authorize or refuse,
or to withhold or withdraw consent  | 
 to, any and all types of medical care,
treatment, or  | 
 procedures relating to the physical or mental health of  | 
 the
principal, including any medication program, surgical  | 
 procedures,
life-sustaining treatment, or provision of  | 
 food and fluids for the principal.
 | 
  (2) The agent is authorized to admit the principal to  | 
 or discharge the
principal from any and all types of  | 
 hospitals, institutions, homes,
residential or nursing  | 
 | 
 facilities, treatment centers, and other health care
 | 
 institutions providing personal care or treatment for any  | 
 type of physical
or mental condition. The agent shall have  | 
 the same right to visit the
principal in the hospital or  | 
 other institution as is granted to a spouse or
adult child  | 
 of the principal, any rule of the institution to the  | 
 contrary
notwithstanding.
 | 
  (3) The agent is authorized to contract for any and  | 
 all types of health
care services and facilities in the  | 
 name of and on behalf of the principal
and to bind the  | 
 principal to pay for all such services and facilities,
and  | 
 to have and exercise those powers over the principal's  | 
 property as are
authorized under the statutory property  | 
 power, to the extent the agent
deems necessary to pay  | 
 health care costs; and
the agent shall not be personally  | 
 liable for any services or care contracted
for on behalf  | 
 of the principal.
 | 
  (4) At the principal's expense and subject to  | 
 reasonable rules of the
health care provider to prevent  | 
 disruption of the principal's health care,
the agent shall  | 
 have the same right the principal has to examine and copy
 | 
 and consent to disclosure of all the principal's medical  | 
 records that the agent deems
relevant to the exercise of  | 
 the agent's powers, whether the records
relate to mental  | 
 health or any other medical condition and whether they are  | 
 in
the possession of or maintained by any physician,  | 
 | 
 psychiatrist,
psychologist, therapist, hospital, nursing  | 
 home, or other health care
provider. The authority under  | 
 this paragraph (4) applies to any information governed by  | 
 the Health Insurance Portability and Accountability Act of  | 
 1996 ("HIPAA") and regulations thereunder. The agent  | 
 serves as the principal's personal representative, as that  | 
 term is defined under HIPAA and regulations thereunder.
 | 
  (5) The agent is authorized: to direct that an autopsy  | 
 be made pursuant
to Section 2 of the Autopsy Act;
to make a  | 
 disposition of any
part or all of the principal's body  | 
 pursuant to the Illinois Anatomical Gift
Act, as now or  | 
 hereafter amended; and to direct the disposition of the
 | 
 principal's remains. | 
  (6) At any time during which there is no executor or  | 
 administrator appointed for the principal's estate, the  | 
 agent is authorized to continue to pursue an application  | 
 or appeal for government benefits if those benefits were  | 
 applied for during the life of the principal. 
 | 
 (d) A physician may determine that the principal is unable  | 
to make health care decisions for himself or herself only if  | 
the principal lacks decisional capacity, as that term is  | 
defined in Section 10 of the Health Care Surrogate Act. | 
 (e) If the principal names the agent as a guardian on the  | 
statutory short form, and if a court decides that the  | 
appointment of a guardian will serve the principal's best  | 
interests and welfare, the court shall appoint the agent to  | 
 | 
serve without bond or security.  | 
(Source: P.A. 101-81, eff. 7-12-19; 101-163, eff. 1-1-20;  | 
102-38, eff. 6-25-21; 102-181, eff. 7-30-21; revised 9-22-21.)
 | 
 Section 710. The Illinois Human Rights Act is amended by  | 
changing Sections 1-103, 2-105, and 6-101 as follows:
 | 
 (775 ILCS 5/1-103) (from Ch. 68, par. 1-103) | 
 Sec. 1-103. General definitions.  When used in this Act,  | 
unless the
context requires otherwise, the term:
 | 
 (A) Age. "Age" means the chronological age of a person who  | 
is at least
40 years old, except with regard to any practice  | 
described in Section
2-102, insofar as that practice concerns  | 
training or apprenticeship
programs. In the case of training  | 
or apprenticeship programs, for the
purposes of Section 2-102,  | 
"age" means the chronological age of a person
who is 18 but not  | 
yet 40 years old.
 | 
 (B) Aggrieved party. "Aggrieved party" means a person who  | 
is alleged
or proved to have been injured by a civil rights  | 
violation or believes he
or she will be injured by a civil  | 
rights violation under Article 3 that is
about to occur.
 | 
 (B-5) Arrest record. "Arrest record" means: | 
  (1) an arrest not leading to a conviction; | 
  (2) a juvenile record; or | 
  (3) criminal history record information ordered  | 
 expunged, sealed, or impounded under Section 5.2 of the  | 
 | 
 Criminal Identification Act.  | 
 (C) Charge. "Charge" means an allegation filed with the  | 
Department
by an aggrieved party or initiated by the  | 
Department under its
authority.
 | 
 (D) Civil rights violation. "Civil rights violation"  | 
includes and
shall be limited to only those specific acts set  | 
forth in Sections
2-102, 2-103, 2-105, 3-102, 3-102.1, 3-103,  | 
3-102.10, 3-104.1, 3-105, 3-105.1, 4-102, 4-103,
5-102,  | 
5A-102, 6-101, 6-101.5, and 6-102 of this Act.
 | 
 (E) Commission. "Commission" means the Human Rights  | 
Commission
created by this Act.
 | 
 (F) Complaint. "Complaint" means the formal pleading filed  | 
by
the Department with the Commission following an  | 
investigation and
finding of substantial evidence of a civil  | 
rights violation.
 | 
 (G) Complainant. "Complainant" means a person including  | 
the
Department who files a charge of civil rights violation  | 
with the Department or
the Commission.
 | 
 (G-5) Conviction record. "Conviction record" means  | 
information indicating that a person has been convicted of a  | 
felony, misdemeanor or other criminal offense, placed on  | 
probation, fined, imprisoned, or paroled pursuant to any law  | 
enforcement or military authority. | 
 (H) Department. "Department" means the Department of Human  | 
Rights
created by this Act.
 | 
 (I) Disability.  | 
 | 
 (1) "Disability" means a determinable physical or mental
 | 
characteristic of a person, including, but not limited to, a  | 
determinable
physical characteristic which necessitates the  | 
person's use of a guide,
hearing or support dog, the history of  | 
such characteristic, or the
perception of such characteristic  | 
by the person complained against, which
may result from  | 
disease, injury, congenital condition of birth or
functional  | 
disorder and which characteristic:
 | 
  (a) For purposes of Article 2, is unrelated to the  | 
 person's ability
to perform the duties of a particular job  | 
 or position and, pursuant to
Section 2-104 of this Act, a  | 
 person's illegal use of drugs or alcohol is not a
 | 
 disability;
 | 
  (b) For purposes of Article 3, is unrelated to the  | 
 person's ability
to acquire, rent, or maintain a housing  | 
 accommodation;
 | 
  (c) For purposes of Article 4, is unrelated to a  | 
 person's ability to
repay;
 | 
  (d) For purposes of Article 5, is unrelated to a  | 
 person's ability to
utilize and benefit from a place of  | 
 public accommodation;
 | 
  (e) For purposes of Article 5, also includes any  | 
 mental, psychological, or developmental disability,  | 
 including autism spectrum disorders.  | 
 (2) Discrimination based on disability includes unlawful  | 
discrimination against an individual because of the  | 
 | 
individual's association with a person with a disability.  | 
 (J) Marital status. "Marital status" means the legal  | 
status of being
married, single, separated, divorced, or  | 
widowed.
 | 
 (J-1) Military status. "Military status" means a person's  | 
status on
active duty in or status as a veteran of the armed  | 
forces of the United States, status as a current member or  | 
veteran of any
reserve component of the armed forces of the  | 
United States, including the United
States Army Reserve,  | 
United States Marine Corps Reserve, United States Navy
 | 
Reserve, United States Air Force Reserve, and United States  | 
Coast Guard
Reserve, or status as a current member or veteran  | 
of the Illinois Army National Guard or Illinois Air National
 | 
Guard.
 | 
 (K) National origin. "National origin" means the place in  | 
which a
person or one of his or her ancestors was born.
 | 
 (K-5) "Order of protection status" means a person's status  | 
as being a person protected under an order of protection  | 
issued pursuant to the Illinois Domestic Violence Act of 1986,  | 
Article 112A of the Code of Criminal Procedure of 1963, the  | 
Stalking No Contact Order Act, or the Civil No Contact Order  | 
Act, or an order of protection issued by a court of another  | 
state.  | 
 (L) Person. "Person" includes one or more individuals,  | 
partnerships,
associations or organizations, labor  | 
organizations, labor unions, joint
apprenticeship committees,  | 
 | 
or union labor associations, corporations, the
State of  | 
Illinois and its instrumentalities, political subdivisions,  | 
units
of local government, legal representatives, trustees in  | 
bankruptcy
or receivers.
 | 
 (L-5) Pregnancy. "Pregnancy" means pregnancy, childbirth,  | 
or medical or common conditions related to pregnancy or  | 
childbirth.  | 
 (M) Public contract. "Public contract" includes every  | 
contract to which the
State, any of its political  | 
subdivisions, or any municipal corporation is a
party.
 | 
 (N) Religion. "Religion" includes all aspects of religious  | 
observance
and practice, as well as belief, except that with  | 
respect to employers, for
the purposes of Article 2,  | 
"religion" has the meaning ascribed to it in
paragraph (F) of  | 
Section 2-101.
 | 
 (O) Sex. "Sex" means the status of being male or female.
 | 
 (O-1) Sexual orientation. "Sexual orientation" means  | 
actual or
perceived heterosexuality, homosexuality,  | 
bisexuality, or gender-related identity,
whether or not  | 
traditionally associated with the person's designated sex at
 | 
birth. "Sexual orientation" does not include a physical or  | 
sexual attraction to a minor by an adult.
 | 
 (P) Unfavorable military discharge. "Unfavorable military  | 
discharge"
includes discharges from the Armed Forces of the  | 
United States, their
Reserve components, or any National Guard  | 
or Naval Militia which are
classified as RE-3 or the  | 
 | 
equivalent thereof, but does not include those
characterized  | 
as RE-4 or "Dishonorable".
 | 
 (Q) Unlawful discrimination. "Unlawful discrimination"  | 
means discrimination
against a person because of his or her  | 
actual or perceived: race, color, religion, national origin,
 | 
ancestry, age, sex, marital status, order of protection  | 
status, disability, military status, sexual
orientation,  | 
pregnancy,
or unfavorable
discharge from military service as  | 
those terms are defined in this Section.
 | 
(Source: P.A. 101-81, eff. 7-12-19; 101-221, eff. 1-1-20;  | 
101-565, eff. 1-1-20; 101-656, eff. 3-23-21; 102-362, eff.  | 
1-1-22; 102-419, eff. 1-1-22; 102-558, eff. 8-20-21; revised  | 
9-29-21.)
 | 
 (775 ILCS 5/2-105) (from Ch. 68, par. 2-105)
 | 
 Sec. 2-105. Equal Employment Opportunities; Affirmative  | 
Action. 
 | 
 (A) Public Contracts. Every party to a public contract and  | 
every
eligible bidder shall:
 | 
  (1) Refrain from unlawful discrimination and  | 
 discrimination based on
citizenship status in employment  | 
 and undertake affirmative action to assure
equality of  | 
 employment opportunity and eliminate the effects of past
 | 
 discrimination;
 | 
  (2) Comply with the procedures and requirements of the  | 
 Department's
regulations concerning equal employment  | 
 | 
 opportunities and affirmative action;
 | 
  (3) Provide such information, with respect to its  | 
 employees and
applicants for employment, and assistance as  | 
 the Department may
reasonably request;
 | 
  (4) Have written sexual harassment policies that shall  | 
 include, at a
minimum, the following information: (i) the  | 
 illegality of
sexual harassment; (ii) the definition of  | 
 sexual harassment under State
law; (iii) a description of  | 
 sexual harassment, utilizing examples; (iv) the
vendor's  | 
 internal complaint process including penalties; (v) the  | 
 legal
recourse, investigative, and complaint process  | 
 available through the
Department and the Commission; (vi)  | 
 directions on how to contact the
Department and  | 
 Commission; and (vii) protection against retaliation as
 | 
 provided by Sections 6-101 and 6-101.5 of this Act. A copy  | 
 of the policies shall
be provided to the Department upon  | 
 request. Additionally, each bidder who submits a bid or  | 
 offer for a State contract under the Illinois Procurement  | 
 Code shall have a written copy of the bidder's sexual  | 
 harassment policy as required under this paragraph (4). A  | 
 copy of the policy shall be provided to the State agency  | 
 entering into the contract upon request. 
 | 
 (B) State Agencies. Every State executive department,  | 
State agency,
board, commission, and instrumentality shall:
 | 
  (1) Comply with the procedures and requirements of the  | 
 Department's
regulations concerning equal employment  | 
 | 
 opportunities and affirmative action. ;
 | 
  (2) Provide such information and assistance as the  | 
 Department may request.
 | 
  (3) Establish, maintain, and carry out a continuing  | 
 affirmative action
plan consistent with this Act and the  | 
 regulations of the Department designed
to promote equal  | 
 opportunity for all State residents in every aspect of
 | 
 agency personnel policy and practice. For purposes of  | 
 these affirmative
action plans, the race and national  | 
 origin categories to be included in the
plans are:  | 
 American Indian or Alaska Native, Asian, Black or African  | 
 American, Hispanic or Latino, Native Hawaiian or Other  | 
 Pacific Islander. | 
  This plan shall
include a current detailed status  | 
 report:
 | 
   (a) indicating, by each position in State service,  | 
 the number,
percentage, and average salary of  | 
 individuals employed by race, national
origin, sex and  | 
 disability, and any other category that the Department  | 
 may
require by rule;
 | 
   (b) identifying all positions in which the  | 
 percentage of the people
employed by race, national  | 
 origin, sex and disability, and any other
category  | 
 that the Department may require by rule, is less than  | 
 four-fifths of
the percentage of each of those  | 
 components in the State work force;
 | 
 | 
   (c) specifying the goals and methods for  | 
 increasing the percentage
by race, national origin,  | 
 sex, and disability, and any other category
that the  | 
 Department may require by rule, in State positions;
 | 
   (d) indicating progress and problems toward  | 
 meeting equal employment
opportunity goals, including,  | 
 if applicable, but not limited to, Department
of  | 
 Central Management Services recruitment efforts,  | 
 publicity, promotions,
and use of options designating  | 
 positions by linguistic abilities;
 | 
   (e) establishing a numerical hiring goal for the  | 
 employment of
qualified persons with disabilities in  | 
 the agency as a whole, to be based
on the proportion of  | 
 people with work disabilities in the Illinois labor
 | 
 force as reflected in the most recent employment data  | 
 made available by the United States Census Bureau.
 | 
  (4) If the agency has 1000 or more employees, appoint  | 
 a full-time Equal
Employment Opportunity officer, subject  | 
 to the Department's approval, whose
duties shall include:
 | 
   (a) Advising the head of the particular State  | 
 agency with respect to the
preparation of equal  | 
 employment opportunity programs, procedures,  | 
 regulations,
reports, and the agency's affirmative  | 
 action plan.
 | 
   (b) Evaluating in writing each fiscal year the  | 
 sufficiency of the total
agency program for equal  | 
 | 
 employment opportunity and reporting thereon to
the  | 
 head of the agency with recommendations as to any  | 
 improvement or
correction in recruiting, hiring or  | 
 promotion needed, including remedial or
disciplinary  | 
 action with respect to managerial or supervisory  | 
 employees who
have failed to cooperate fully or who  | 
 are in violation of the program.
 | 
   (c) Making changes in recruitment, training and  | 
 promotion programs
and in hiring and promotion  | 
 procedures designed to eliminate
discriminatory  | 
 practices when authorized.
 | 
   (d) Evaluating tests, employment policies,
 | 
 practices, and qualifications
and reporting to the  | 
 head of the agency and to the Department any policies,
 | 
 practices and qualifications that have unequal impact  | 
 by race, national origin
as required by Department  | 
 rule, sex, or disability or any other category that
 | 
 the Department may require by rule, and to assist in  | 
 the recruitment of people
in underrepresented  | 
 classifications. This function shall be performed in
 | 
 cooperation with the State Department of Central  | 
 Management Services.
 | 
   (e) Making any aggrieved employee or applicant for  | 
 employment aware of
his or her remedies under this  | 
 Act.
 | 
   In any meeting, investigation, negotiation,  | 
 | 
 conference, or other
proceeding between a State  | 
 employee and an Equal Employment Opportunity
officer,  | 
 a State employee (1) who is not covered by a collective  | 
 bargaining
agreement and (2) who is the complaining  | 
 party or the subject of such
proceeding may be  | 
 accompanied, advised and represented by (1) an  | 
 attorney
licensed to practice law in the State of  | 
 Illinois or (2) a representative of an
employee  | 
 organization whose membership is composed of employees  | 
 of the State
and of which the employee is a member. A  | 
 representative of an employee, other
than an attorney,  | 
 may observe but may not actively participate, or  | 
 advise the
State employee during the course of such  | 
 meeting, investigation, negotiation,
conference, or  | 
 other proceeding. Nothing in this Section shall be
 | 
 construed to permit any person who is not licensed to  | 
 practice law in Illinois
to deliver any legal services  | 
 or otherwise engage in any activities that would
 | 
 constitute the unauthorized practice of law. Any  | 
 representative of an employee
who is present with the  | 
 consent of the employee, shall not, during or after
 | 
 termination of the relationship permitted by this  | 
 Section with the State
employee, use or reveal any  | 
 information obtained during the course of the
meeting,  | 
 investigation, negotiation, conference, or other  | 
 proceeding without the
consent of the complaining  | 
 | 
 party and any State employee who is the subject of
the  | 
 proceeding and pursuant to rules and regulations  | 
 governing confidentiality
of such information as  | 
 promulgated by the appropriate State agency.
 | 
 Intentional or reckless disclosure of information in  | 
 violation of these
confidentiality requirements shall  | 
 constitute a Class B misdemeanor.
 | 
  (5) Establish, maintain, and carry out a continuing  | 
 sexual harassment
program that shall include the  | 
 following:
 | 
   (a) Develop a written sexual harassment policy  | 
 that includes at a
minimum the following information:  | 
 (i) the illegality of sexual harassment;
(ii) the  | 
 definition of sexual harassment under State law; (iii)  | 
 a
description of sexual harassment, utilizing  | 
 examples; (iv) the agency's
internal complaint process  | 
 including penalties; (v) the legal recourse,
 | 
 investigative, and complaint process available through  | 
 the Department and
the Commission; (vi) directions on  | 
 how to contact the Department and
Commission; and  | 
 (vii) protection against retaliation as provided by  | 
 Section
6-101 of this Act. The policy shall be  | 
 reviewed annually.
 | 
   (b) Post in a prominent and accessible location  | 
 and distribute in a
manner to assure notice to all  | 
 agency employees without exception the
agency's sexual  | 
 | 
 harassment policy. Such documents may meet, but shall  | 
 not
exceed, the 6th grade literacy level. Distribution  | 
 shall be effectuated within
90 days of the effective  | 
 date of this amendatory Act of 1992 and shall occur
 | 
 annually thereafter.
 | 
   (c) Provide training on sexual harassment  | 
 prevention and the
agency's sexual harassment policy  | 
 as a component of all ongoing or new
employee training  | 
 programs.
 | 
  (6) Notify the Department 30 days before effecting any  | 
 layoff. Once
notice is given, the following shall occur:
 | 
   (a) No layoff may be effective
earlier than 10  | 
 working days after
notice to the Department, unless an
 | 
 emergency layoff situation exists.
 | 
   (b) The State executive department, State agency,  | 
 board, commission,
or instrumentality in which the  | 
 layoffs are to occur must
notify each employee  | 
 targeted for layoff, the employee's union
 | 
 representative (if applicable), and the State  | 
 Dislocated Worker Unit at the
Department of Commerce  | 
 and Economic Opportunity.
 | 
   (c) The State executive department, State agency,  | 
 board, commission,
or instrumentality in
which the  | 
 layoffs are to occur must conform to applicable  | 
 collective
bargaining agreements.
 | 
   (d) The State executive department, State agency,  | 
 | 
 board, commission, or
instrumentality in which the  | 
 layoffs are to occur should notify each employee
 | 
 targeted for layoff that transitional assistance may  | 
 be available to him or her
under the Economic  | 
 Dislocation and Worker Adjustment Assistance Act
 | 
 administered by the Department of Commerce and  | 
 Economic Opportunity. Failure to
give such notice  | 
 shall not invalidate the layoff or postpone its  | 
 effective
date.
 | 
  As used in this subsection (B), "disability" shall be  | 
defined in
rules promulgated under the Illinois Administrative
 | 
Procedure Act.
 | 
 (C) Civil Rights Violations. It is a civil rights  | 
violation for any
public contractor or eligible bidder to:
 | 
  (1) fail to comply with the public contractor's or  | 
 eligible bidder's
duty to refrain from unlawful  | 
 discrimination and discrimination based on
citizenship  | 
 status in employment under subsection (A)(1) of this  | 
 Section; or
 | 
  (2) fail to comply with the public contractor's or  | 
 eligible bidder's
duties of affirmative action under  | 
 subsection (A) of this Section, provided
however, that the
 | 
 Department has notified the public contractor or eligible  | 
 bidder in writing
by certified mail that the public  | 
 contractor or eligible bidder may not be
in compliance  | 
 with affirmative action requirements of subsection (A). A
 | 
 | 
 minimum
of 60 days to comply with the requirements shall  | 
 be afforded to the public
contractor or eligible bidder  | 
 before the Department may issue formal notice of
 | 
 non-compliance.
 | 
 (D) As used in this Section:  | 
  (1) "American Indian or Alaska Native" means a person  | 
 having origins in any of the original peoples of North and  | 
 South America, including Central America, and who  | 
 maintains tribal affiliation or community attachment. | 
  (2) "Asian" means a person having origins in any of  | 
 the original peoples of the Far East, Southeast Asia, or  | 
 the Indian subcontinent, including, but not limited to,  | 
 Cambodia, China, India, Japan, Korea, Malaysia, Pakistan,  | 
 the Philippine Islands, Thailand, and Vietnam. | 
  (3) "Black or African American" means a person having  | 
 origins in any of the black racial groups of Africa. | 
  (4) "Hispanic or Latino" means a person of Cuban,  | 
 Mexican, Puerto Rican, South or Central American, or other  | 
 Spanish culture or origin, regardless of race. | 
  (5) "Native Hawaiian or Other Pacific Islander" means  | 
 a person having origins in any of the original peoples of  | 
 Hawaii, Guam, Samoa, or other Pacific Islands. | 
(Source: P.A. 102-362, eff. 1-1-22; 102-465, eff. 1-1-22;  | 
revised 9-22-21.)
 | 
 (775 ILCS 5/6-101) (from Ch. 68, par. 6-101)
 | 
 | 
 Sec. 6-101. Additional civil rights violations under  | 
Articles 2, 4, 5, and 5A. It is a civil rights
violation for a  | 
person, or for 2 or more persons, to conspire, to:
 | 
  (A) Retaliation. Retaliate against a person because he  | 
 or she has
opposed that which he or she reasonably and in  | 
 good faith believes to be
unlawful discrimination, sexual  | 
 harassment in employment, sexual
harassment in elementary,  | 
 secondary, and higher
education, or discrimination based  | 
 on arrest record, or citizenship status, or work  | 
 authorization status
in employment under Articles 2, 4, 5,  | 
 and 5A, because he or she has made a charge, filed a  | 
 complaint,
testified, assisted, or participated in an  | 
 investigation, proceeding, or
hearing under this Act, or  | 
 because he or she has requested, attempted to request,  | 
 used, or attempted to use a reasonable accommodation as  | 
 allowed by this Act;
 | 
  (B) Aiding and Abetting; Coercion. Aid, abet, compel,  | 
 or coerce a
person to commit any violation of this Act;
 | 
  (C) Interference. Wilfully interfere with the  | 
 performance of a duty
or the exercise of a power by the  | 
 Commission or one of its members or
representatives or the  | 
 Department or one of its officers or employees.
 | 
 Definitions. For the purposes of this Section, "sexual
 | 
harassment", "citizenship status", and "work authorization  | 
status" shall have the same meaning as defined in
Section  | 
2-101 of this Act.
 | 
 | 
(Source: P.A. 102-233, eff. 8-2-21; 102-362, eff. 1-1-22;  | 
revised 10-12-21.)
 | 
 Section 715. The Human Trafficking Resource Center Notice  | 
Act is amended by changing Section 5 as follows:
 | 
 (775 ILCS 50/5)
 | 
 Sec. 5. Posted notice required.  | 
 (a) Each of the following businesses and other  | 
establishments shall, upon the availability of the model  | 
notice described in Section 15 of this Act, post a notice that  | 
complies with the requirements of this Act in a conspicuous  | 
place near the public entrance of the establishment, in all
 | 
restrooms open to the public, or in another conspicuous  | 
location in clear view of the public and employees where  | 
similar notices are customarily posted: | 
  (1) On premise consumption retailer licensees under  | 
 the Liquor Control Act of 1934 where the sale of alcoholic  | 
 liquor is the principal
business carried on by the  | 
 licensee at the premises and primary to the
sale of food. | 
  (2) Adult entertainment facilities, as defined in  | 
 Section 5-1097.5 of the Counties Code. | 
  (3) Primary airports, as defined in Section 47102(16)  | 
 of Title 49 of the United States Code. | 
  (4) Intercity passenger rail or light rail stations. | 
  (5) Bus stations. | 
 | 
  (6) Truck stops. For purposes of this Act, "truck  | 
 stop" means a privately-owned and operated facility that  | 
 provides food, fuel, shower or other sanitary facilities,  | 
 and lawful overnight truck parking. | 
  (7) Emergency rooms within general acute care  | 
 hospitals, in which case the notice may be posted by  | 
 electronic means. | 
  (8) Urgent care centers, in which case the notice may  | 
 be posted by electronic means. | 
  (9) Farm labor contractors. For purposes of this Act,  | 
 "farm labor contractor" means: (i) any person who for a  | 
 fee or other valuable consideration recruits, supplies, or  | 
 hires, or transports in connection therewith, into or  | 
 within the State, any farmworker not of the contractor's  | 
 immediate family to work for, or under the direction,  | 
 supervision, or control of, a third person; or (ii) any  | 
 person who for a fee or other valuable consideration  | 
 recruits, supplies, or hires, or transports in connection  | 
 therewith, into or within the State, any farmworker not of  | 
 the contractor's immediate family, and who for a fee or  | 
 other valuable consideration directs, supervises, or  | 
 controls all or any part of the work of the farmworker or  | 
 who disburses wages to the farmworker. However, "farm  | 
 labor contractor" does not include full-time regular  | 
 employees of food processing companies when the employees  | 
 are engaged in recruiting for the companies if those  | 
 | 
 employees are not compensated according to the number of  | 
 farmworkers they recruit. | 
  (10) Privately-operated job recruitment centers. | 
  (11) Massage establishments. As used in this Act,  | 
 "massage establishment" means a place of business in which  | 
 any method of massage therapy is administered or practiced  | 
 for compensation. "Massage establishment" does not  | 
 include: an establishment at which persons licensed under  | 
 the Medical Practice Act of 1987, the Illinois Physical  | 
 Therapy Act, or the Naprapathic Practice Act engage in  | 
 practice under one of those Acts; a business owned by a  | 
 sole licensed massage therapist; or a cosmetology or  | 
 esthetics salon registered under the Barber, Cosmetology,  | 
 Esthetics, Hair Braiding, and Nail Technology Act of 1985. | 
 (b) The Department of Transportation shall, upon the  | 
availability of the model notice described in Section 15 of  | 
this Act, post a notice that complies with the requirements of  | 
this Act in a conspicuous place near the public entrance of  | 
each roadside rest area or in another conspicuous location in  | 
clear view of the public and employees where similar notices  | 
are customarily posted.
 | 
 (c) The owner of a hotel or motel shall, upon the  | 
availability of the model notice described in Section 15 of  | 
this Act, post a notice that complies with the requirements of  | 
this Act in a conspicuous and accessible place in or about the  | 
premises in clear view of the employees where similar notices  | 
 | 
are customarily posted.  | 
 (d) The organizer of a public gathering or special event  | 
that is conducted on property open to the public and requires  | 
the issuance of a permit from the unit of local government  | 
shall post a notice that complies with the requirements of  | 
this Act in a conspicuous and accessible place in or about the  | 
premises in clear view of the public and employees where  | 
similar notices are customarily posted. | 
 (e) The administrator of a public or private elementary  | 
school or public or private secondary school shall post a  | 
printout of the downloadable notice provided by the Department  | 
of Human Services under Section 15 that complies with the  | 
requirements of this Act in a conspicuous and accessible place  | 
chosen by the administrator in the administrative office or  | 
another location in view of school employees. School districts  | 
and personnel are not subject to the penalties provided under  | 
subsection (a) of Section 20. | 
 (f) The owner of an establishment registered under the  | 
Tattoo and Body Piercing Establishment Registration Act shall  | 
post a notice that complies with the requirements of this Act  | 
in a conspicuous and accessible place in clear view of  | 
establishment employees. | 
(Source: P.A. 102-4, eff. 4-27-21; 102-131, eff. 1-1-22;  | 
revised 8-3-21.)
 | 
 Section 720. The Business Corporation Act of 1983 is  | 
 | 
amended by changing Sections 8.12 and 15.65 as follows:
 | 
 (805 ILCS 5/8.12) | 
 Sec. 8.12. Female, minority, and LGBTQ directors. | 
 (a) Findings and purpose. The General Assembly finds that  | 
women, minorities, and LGBTQ people are still largely  | 
underrepresented nationally in positions of corporate  | 
authority, such as serving as a director on a corporation's  | 
board of directors. This low representation could be  | 
contributing to the disparity seen in wages made by females  | 
and minorities versus their white male counterparts. Increased  | 
representation of these individuals as directors on boards of  | 
directors for corporations may boost the Illinois economy,  | 
improve opportunities for women, minorities, and LGBTQ people  | 
in the workplace, and foster an environment in Illinois where  | 
the business community is representative of our residents.  | 
Therefore, it is the intent of the General Assembly to gather  | 
more data and study this issue within the State so that  | 
effective policy changes may be implemented to eliminate this  | 
disparity. | 
 (b) As used in this Section: | 
 "Annual report" means the report submitted annually to the  | 
Secretary of State pursuant to this Act.  | 
 "Female" means a person who is a citizen or
lawful  | 
permanent resident of the United States and who  | 
self-identifies as a woman, without regard to the individual's  | 
 | 
designated sex at birth. | 
 "Minority person" means a person who is a
citizen or  | 
lawful permanent resident of the United States and who is any  | 
of the following races or ethnicities: | 
  (1) American Indian or Alaska Native (a person
having  | 
 origins in any of the original peoples of North and South  | 
 America, including Central America, and who maintains  | 
 tribal affiliation or community attachment). | 
  (2) Asian (a person having origins in any of the
 | 
 original peoples of the Far East, Southeast Asia, or the  | 
 Indian subcontinent, including, but not limited to,  | 
 Cambodia, China, India, Japan, Korea, Malaysia, Pakistan,  | 
 the Philippine Islands, Thailand, and Vietnam).  | 
  (3) Black or African American (a person having
origins  | 
 in any of the black racial groups of Africa). Terms such as  | 
 "Haitian" or "Negro" can be used in addition to "Black" or  | 
 "African American". | 
  (4) Hispanic or Latino (a person of Cuban,
Mexican,  | 
 Puerto Rican, South or Central American, or other Spanish  | 
 culture or origin, regardless of race). | 
  (5) Native Hawaiian or Other Pacific Islander (a
 | 
 person having origins in any of the original peoples of  | 
 Hawaii, Guam, Samoa, or other Pacific Islands).  | 
  (6) "Publicly held domestic or foreign corporation"  | 
 means a corporation with outstanding shares listed on a  | 
 major United States stock exchange.  | 
 | 
 (c) Reporting to the Secretary of State. As soon as  | 
practical after August 27, 2019 (the effective date of Public  | 
Act 101-589) this amendatory Act of the 101st General  | 
Assembly, but no later than January 1, 2021, the following  | 
information shall be provided in a corporation's annual report  | 
submitted to the Secretary of State under this Act and made  | 
available by the Secretary of State to the public online as it  | 
is received:  | 
  (1) Whether the corporation is a publicly held  | 
 domestic or foreign corporation with its principal  | 
 executive office located in Illinois. | 
  (2) Where the corporation is a publicly held domestic  | 
 or foreign corporation with its principal executive office  | 
 located in Illinois, data on specific qualifications,  | 
 skills, and experience that the corporation considers for  | 
 its board of directors, nominees for the board of  | 
 directors, and executive officers.  | 
  (3) Where the corporation is a publicly held domestic  | 
 or foreign corporation with its principal executive office  | 
 located in Illinois, the self-identified gender of each  | 
 member of its board of directors. | 
  (4) Where the corporation is a publicly held domestic  | 
 or foreign corporation with its principal executive office  | 
 located in Illinois, whether each member of its board of  | 
 directors self-identifies as a minority person and, if so,  | 
 which race or ethnicity to which the member belongs. | 
 | 
  (5) Where the corporation is a publicly held domestic  | 
 or foreign corporation with its principal executive office  | 
 located in Illinois, the self-identified sexual  | 
 orientation of each member of its board of directors. | 
  (6) Where the corporation is a publicly held domestic  | 
 or foreign corporation with its principal executive office  | 
 located in Illinois, the self-identified gender identity  | 
 of each member of its board of directors.  | 
  (7) 7 Where the corporation is a publicly held  | 
 domestic or foreign corporation with its principal  | 
 executive office located in Illinois, a description of the  | 
 corporation's process for identifying and evaluating  | 
 nominees for the board of directors, including whether  | 
 and, if so, how demographic diversity is considered.  | 
  (8) 8 Where the corporation is a publicly held  | 
 domestic or foreign corporation with its principal  | 
 executive office located in Illinois, a description of the  | 
 corporation's process for identifying and appointing  | 
 executive officers, including whether and, if so, how  | 
 demographic diversity is considered. | 
  (9) 9 Where the corporation is a publicly held  | 
 domestic or foreign corporation with its principal  | 
 executive office located in Illinois, a description of the  | 
 corporation's policies and practices for promoting  | 
 diversity, equity, and inclusion among its board of  | 
 directors and executive officers. | 
 | 
 Information reported under this subsection shall be  | 
updated in each annual report filed with the Secretary of  | 
State thereafter.  | 
 (d) Beginning no later than March 1, 2021, and every March  | 
1 thereafter, the University of Illinois Systems shall review  | 
the information reported and published under subsection (c)  | 
and shall publish on its website a report that provides  | 
aggregate data on the demographic characteristics of the  | 
boards of directors and executive officers of corporations  | 
filing an annual report for the preceding year along with an  | 
individualized rating for each corporation. The report shall  | 
also identify strategies for promoting diversity and inclusion  | 
among boards of directors and corporate executive officers. | 
 (e) The University of Illinois System shall establish a  | 
rating system assessing the representation of women,  | 
minorities, and LGBTQ people on corporate boards of directors  | 
of those corporations that are publicly held domestic or  | 
foreign corporations with their principal executive office  | 
located in Illinois based on the information gathered under  | 
this Section. The rating system shall consider, among other  | 
things: compliance with the demographic reporting obligations  | 
in subsection (c); the corporation's policies and practices  | 
for encouraging diversity in recruitment, board membership,  | 
and executive appointments; and the demographic diversity of  | 
board seats and executive positions. 
 | 
(Source: P.A. 101-589, eff. 8-27-19; 102-223, eff. 1-1-22;  | 
 | 
revised 11-24-21.)
 | 
 (805 ILCS 5/15.65) (from Ch. 32, par. 15.65)
 | 
 (Section scheduled to be repealed on December 31, 2024)
 | 
 Sec. 15.65. Franchise taxes payable by foreign  | 
corporations. For the privilege of exercising its authority to  | 
transact such business
in this State as set out in its  | 
application therefor or any amendment
thereto, each foreign  | 
corporation shall pay to the Secretary of State the
following  | 
franchise taxes, computed on the basis, at the rates and for  | 
the
periods prescribed in this Act:
 | 
  (a) An initial franchise tax at the time of filing its  | 
 application for
authority to transact business in this  | 
 State.
 | 
  (b) An additional franchise tax at the time of filing  | 
 (1) a report of
the issuance of additional shares, or (2) a  | 
 report of an increase in paid-in
capital without the  | 
 issuance of shares, or (3) a report of cumulative
changes  | 
 in paid-in capital or a report of an exchange or  | 
 reclassification
of shares, whenever any such report  | 
 discloses an increase in its paid-in
capital over the  | 
 amount thereof last reported in any document, other than
 | 
 an annual report, interim annual report or final  | 
 transition annual report,
required by this Act to be filed  | 
 in the office of the Secretary of State.
 | 
  (c) Whenever the corporation shall be a party to a  | 
 | 
 statutory merger and
shall be the surviving corporation,  | 
 an additional franchise tax at the time
of filing its  | 
 report following merger, if such report discloses that the
 | 
 amount represented in this State of its paid-in capital  | 
 immediately after
the merger is greater than the aggregate  | 
 of the amounts represented in this
State of the paid-in  | 
 capital of such of the merged corporations as were
 | 
 authorized to transact business in this State at the time  | 
 of the merger, as
last reported by them in any documents,  | 
 other than annual reports, required
by this Act to be  | 
 filed in the office of the Secretary of State; and in
 | 
 addition, the surviving corporation shall be liable for a  | 
 further
additional franchise tax on the paid-in capital of  | 
 each of the merged
corporations as last reported by them  | 
 in any document, other than an annual
report, required by  | 
 this Act to be filed with the Secretary
of State, from  | 
 their taxable year end to the next succeeding anniversary
 | 
 month or, in the case of a corporation which has  | 
 established an extended
filing month, the extended filing  | 
 month of the surviving corporation;
however if the taxable  | 
 year ends within the 2-month period immediately
preceding  | 
 the anniversary month or the extended filing month of the
 | 
 surviving corporation, the tax will be computed to the  | 
 anniversary or,
extended filing month of the surviving  | 
 corporation in the next succeeding
calendar year.
 | 
  (d) An annual franchise tax payable each year with any
 | 
 | 
 annual report which the corporation is required by this  | 
 Act to file.
 | 
 On or after January 1, 2020 and prior to January 1, 2021,  | 
the first $30 in liability is exempt from the tax imposed under  | 
this Section. On or after January 1, 2021, the first $1,000 in  | 
liability is exempt from the tax imposed under this Section.  | 
Public Act 101-9 | 
(Source: P.A. 101-9, eff. 6-5-19; 102-16, eff. 6-17-21;  | 
102-558, eff. 8-20-21; revised 10-21-21.)
 | 
 Section 725. The Consumer Fraud and Deceptive Business  | 
Practices Act is amended by setting forth and renumbering  | 
multiple versions of Section 2WWW as follows:
 | 
 (815 ILCS 505/2WWW) | 
 Sec. 2WWW. Termination or early cancellation fees for  | 
deceased persons. | 
 (a) Subject to federal law and regulation, no provider of  | 
telephone, cellular telephone, television, Internet, energy,  | 
medical alert system, or water services shall impose a fee for  | 
termination or early cancellation of a service contract in the  | 
event the customer has deceased before the end of the  | 
contract. | 
 (b) Every violation of this Section is an unlawful  | 
practice within the meaning of this Act.
 | 
(Source: P.A. 102-112, eff. 1-1-22.)
 | 
 | 
 (815 ILCS 505/2XXX)
 | 
 Sec. 2XXX 2WWW. Disclosure requirements for manufactured  | 
homes.  | 
 (a) A lender, or agent of a lending company, when offering  | 
terms for a mortgage note for the purchase of a manufactured  | 
home, as defined in the Mobile Home Park Act, that has not been  | 
caused to be deemed to be real property by satisfying the  | 
requirements of the Conveyance and Encumbrance of Manufactured  | 
Homes as Real Property and Severance Act, shall disclose: | 
  (1) any affiliation between the landlord and the  | 
 lending company; | 
  (2) that the loan is a chattel loan; | 
  (3) that the terms of a chattel loan prohibit  | 
 refinancing; | 
  (4) that, depending on where the consumer affixes the  | 
 manufactured home (be it property owned by the consumer or  | 
 on certain types of leased land), the manufactured home  | 
 may qualify as real property under the Conveyance and  | 
 Encumbrance of Manufactured Homes as Real Property and  | 
 Severance Act; and | 
  (5) any other reason that prohibits refinancing.  | 
 (b) A violation of this Section constitutes an unlawful  | 
practice within the meaning of this Act.
 | 
(Source: P.A. 102-365, eff. 1-1-22; revised 11-12-21.)
 | 
 | 
 (815 ILCS 505/2YYY)
 | 
 Sec. 2YYY 2WWW. Deceptive practices targeting veterans and  | 
military members. | 
 (a) As used in this Section: | 
 "Veteran or military benefits services" means any services  | 
offered or provided to a veteran, military member, or family  | 
member who is entitled to receive benefits under federal,  | 
State, or local law, policy, or practice as a result of, at  | 
least in part, qualifying military service. Such services  | 
include assistance in obtaining benefits, increasing benefits,  | 
or appealing a decision related to obtaining or increasing  | 
benefits. | 
 "Veteran's services disclosure" means providing, in upper  | 
case type in size at least as large as the type size of the  | 
written communication or by voice-over, the following  | 
statement: "VETERAN AND MILITARY BENEFITS SERVICES ARE  | 
AVAILABLE FREE OF CHARGE FROM COUNTY VETERAN SERVICE OFFICERS,  | 
THE ILLINOIS DEPARTMENT OF VETERANS AFFAIRS, AND FEDERALLY  | 
CHARTERED VETERAN SERVICE ORGANIZATIONS. TO LEARN MORE,  | 
CONTACT THESE ORGANIZATIONS OR THE ILLINOIS ATTORNEY GENERAL'S  | 
OFFICE AT 1-800-382-3000.". | 
 (b) It is an unlawful practice within the meaning of this  | 
Act for any person providing veteran or military benefits  | 
services to: | 
  (1) Fail in any advertising to conspicuously disclose  | 
 a veteran's services disclosure when veteran or military  | 
 | 
 benefits services are provided in exchange for a benefit  | 
 or thing of value. | 
  (2) Fail to obtain, or to obtain a pending application  | 
 for, all veteran or military benefits services  | 
 qualifications, certifications, and accreditations  | 
 required under State or federal law. | 
  (3) Fail, when acting as a fiduciary for a veteran  | 
 receiving benefits, to meet the responsibilities of  | 
 fiduciaries under 38 CFR 13.140. | 
  (4) Fail, when providing representation before the  | 
 United States Department of Veterans Affairs, to meet the  | 
 standards of conduct under 38 CFR 14.632. | 
  (5) Charge fees or expenses in violation of 38 CFR  | 
 14.636 or 14.637.
 | 
(Source: P.A. 102-386, eff. 1-1-22; revised 11-12-21.)
 | 
 (815 ILCS 505/2ZZZ)
 | 
 Sec. 2ZZZ 2WWW. Violations of the Educational Planning  | 
Services Consumer Protection Act.  Any person who violates the  | 
Educational Planning Services Consumer Protection Act commits  | 
an unlawful practice within the meaning of this Act.
 | 
(Source: P.A. 102-571, eff. 1-1-22; revised 11-12-21.)
 | 
 Section 730. The Prevailing Wage Act is amended by  | 
changing Section 2 as follows:
 | 
 | 
 (820 ILCS 130/2) (from Ch. 48, par. 39s-2)
 | 
 Sec. 2. This Act applies to the wages of laborers,  | 
mechanics and
other workers employed in any public works, as  | 
hereinafter defined, by
any public body and to anyone under  | 
contracts for public works. This includes any maintenance,  | 
repair, assembly, or disassembly work performed on equipment  | 
whether owned, leased, or rented.
 | 
 As used in this Act, unless the context indicates  | 
otherwise:
 | 
 "Public works" means all fixed works constructed or  | 
demolished by
any public body,
or paid for wholly or in part  | 
out of public funds. "Public works" as
defined herein includes  | 
all projects financed in whole
or in part with bonds, grants,  | 
loans, or other funds made available by or through the State or  | 
any of its political subdivisions, including but not limited  | 
to: bonds issued under the Industrial Project Revenue Bond
Act  | 
(Article 11, Division 74 of the Illinois Municipal Code), the  | 
Industrial
Building Revenue Bond Act, the Illinois Finance  | 
Authority Act,
the Illinois Sports Facilities Authority Act,  | 
or the Build Illinois Bond Act; loans or other funds made
 | 
available pursuant to the Build Illinois Act; loans or other  | 
funds made available pursuant to the Riverfront Development  | 
Fund under Section 10-15 of the River Edge Redevelopment Zone  | 
Act; or funds from the Fund for
Illinois' Future under Section  | 
6z-47 of the State Finance Act, funds for school
construction  | 
under Section 5 of the General Obligation Bond Act, funds
 | 
 | 
authorized under Section 3 of the School Construction Bond  | 
Act, funds for
school infrastructure under Section 6z-45 of  | 
the State Finance Act, and funds
for transportation purposes  | 
under Section 4 of the General Obligation Bond
Act. "Public  | 
works" also includes (i) all projects financed in whole or in  | 
part
with funds from the Environmental Protection Agency under  | 
the Illinois Renewable Fuels Development Program
Act for which  | 
there is no project labor agreement; (ii) all work performed  | 
pursuant to a public private agreement under the Public  | 
Private Agreements for the Illiana Expressway Act or the  | 
Public-Private Agreements for the South Suburban Airport Act;  | 
and (iii) all projects undertaken under a public-private  | 
agreement under the Public-Private Partnerships for  | 
Transportation Act. "Public works" also includes all projects  | 
at leased facility property used for airport purposes under  | 
Section 35 of the Local Government Facility Lease Act. "Public  | 
works" also includes the construction of a new wind power  | 
facility by a business designated as a High Impact Business  | 
under Section 5.5(a)(3)(E) and the construction of a new  | 
utility-scale solar power facility by a business designated as  | 
a High Impact Business under Section 5.5(a)(3)(E-5) of the  | 
Illinois Enterprise Zone Act.
"Public works" also includes  | 
electric vehicle charging station projects financed pursuant  | 
to the Electric Vehicle Act and renewable energy projects  | 
required to pay the prevailing wage pursuant to the Illinois  | 
Power Agency Act. "Public works" does not include work done  | 
 | 
directly by any public utility company, whether or not done  | 
under public supervision or direction, or paid for wholly or  | 
in part out of public funds. "Public works" also includes  | 
construction projects performed by a third party contracted by  | 
any public utility, as described in subsection (a) of Section  | 
2.1, in public rights-of-way, as defined in Section 21-201 of  | 
the Public Utilities Act, whether or not done under public  | 
supervision or direction, or paid for wholly or in part out of  | 
public funds. "Public works" also includes construction  | 
projects that exceed 15 aggregate miles of new fiber optic  | 
cable, performed by a third party contracted by any public  | 
utility, as described in subsection (b) of Section 2.1, in  | 
public rights-of-way, as defined in Section 21-201 of the  | 
Public Utilities Act, whether or not done under public  | 
supervision or direction, or paid for wholly or in part out of  | 
public funds. "Public works" also includes any corrective  | 
action performed pursuant to Title XVI of the Environmental  | 
Protection Act for which payment from the Underground Storage  | 
Tank Fund is requested. "Public works" does not include  | 
projects undertaken by the owner at an owner-occupied  | 
single-family residence or at an owner-occupied unit of a  | 
multi-family residence. "Public works" does not include work  | 
performed for soil and water conservation purposes on  | 
agricultural lands, whether or not done under public  | 
supervision or paid for wholly or in part out of public funds,  | 
done directly by an owner or person who has legal control of  | 
 | 
those lands. 
 | 
 "Construction" means all work on public works involving  | 
laborers,
workers or mechanics. This includes any maintenance,  | 
repair, assembly, or disassembly work performed on equipment  | 
whether owned, leased, or rented.
 | 
 "Locality" means the county where the physical work upon  | 
public works
is performed, except (1) that if there is not  | 
available in the county a
sufficient number of competent  | 
skilled laborers, workers and mechanics
to construct the  | 
public works efficiently and properly, "locality"
includes any  | 
other county nearest the one in which the work or
construction  | 
is to be performed and from which such persons may be
obtained  | 
in sufficient numbers to perform the work and (2) that, with
 | 
respect to contracts for highway work with the Department of
 | 
Transportation of this State, "locality" may at the discretion  | 
of the
Secretary of the Department of Transportation be  | 
construed to include
two or more adjacent counties from which  | 
workers may be accessible for
work on such construction.
 | 
 "Public body" means the State or any officer, board or  | 
commission of
the State or any political subdivision or  | 
department thereof, or any
institution supported in whole or  | 
in part by public funds,
and includes every county, city,  | 
town,
village, township, school district, irrigation, utility,  | 
reclamation
improvement or other district and every other  | 
political subdivision,
district or municipality of the state  | 
whether such political
subdivision, municipality or district  | 
 | 
operates under a special charter
or not.
 | 
 "Labor organization" means an organization that is the  | 
exclusive representative of an
employer's employees recognized  | 
or certified pursuant to the National Labor Relations Act.  | 
 The terms "general prevailing rate of hourly wages",  | 
"general
prevailing rate of wages" or "prevailing rate of  | 
wages" when used in
this Act mean the hourly cash wages plus  | 
annualized fringe benefits for training and
apprenticeship  | 
programs approved by the U.S. Department of Labor, Bureau of
 | 
Apprenticeship and Training, health and welfare, insurance,  | 
vacations and
pensions paid generally, in the
locality in  | 
which the work is being performed, to employees engaged in
 | 
work of a similar character on public works.
 | 
(Source: P.A. 102-9, eff. 1-1-22; 102-444, eff. 8-20-21;  | 
102-673, eff. 11-30-21; revised 12-9-21.)
 | 
 Section 735. The Unemployment Insurance Act is amended by  | 
changing Section 1900 as follows:
 | 
 (820 ILCS 405/1900) (from Ch. 48, par. 640)
 | 
 Sec. 1900. Disclosure of information.
 | 
 A. Except as provided in this Section, information  | 
obtained from any
individual or employing unit during the  | 
administration of this Act shall:
 | 
  1. be confidential,
 | 
  2. not be published or open to public inspection,
 | 
 | 
  3. not be used in any court in any pending action or  | 
 proceeding,
 | 
  4. not be admissible in evidence in any action or  | 
 proceeding other than
one arising out of this Act.
 | 
 B. No finding, determination, decision, ruling, or order  | 
(including
any finding of fact, statement or conclusion made  | 
therein) issued pursuant
to this Act shall be admissible or  | 
used in evidence in any action other than
one arising out of  | 
this Act, nor shall it be binding or conclusive except
as  | 
provided in this Act, nor shall it constitute res judicata,  | 
regardless
of whether the actions were between the same or  | 
related parties or involved
the same facts.
 | 
 C. Any officer or employee of this State, any officer or  | 
employee of any
entity authorized to obtain information  | 
pursuant to this Section, and any
agent of this State or of  | 
such entity
who, except with authority of
the Director under  | 
this Section or as authorized pursuant to subsection P-1,  | 
shall disclose information shall be guilty
of a Class B  | 
misdemeanor and shall be disqualified from holding any
 | 
appointment or employment by the State.
 | 
 D. An individual or his duly authorized agent may be  | 
supplied with
information from records only to the extent  | 
necessary for the proper
presentation of his claim for  | 
benefits or with his existing or prospective
rights to  | 
benefits. Discretion to disclose this information belongs
 | 
solely to the Director and is not subject to a release or  | 
 | 
waiver by the
individual.
Notwithstanding any other provision  | 
to the contrary, an individual or his or
her duly authorized  | 
agent may be supplied with a statement of the amount of
 | 
benefits paid to the individual during the 18 months preceding  | 
the date of his
or her request.
 | 
 E. An employing unit may be furnished with information,  | 
only if deemed by
the Director as necessary to enable it to  | 
fully discharge its obligations or
safeguard its rights under  | 
the Act. Discretion to disclose this information
belongs  | 
solely to the Director and is not subject to a release or  | 
waiver by the
employing unit.
 | 
 F. The Director may furnish any information that he may  | 
deem proper to
any public officer or public agency of this or  | 
any other State or of the
federal government dealing with:
 | 
  1. the administration of relief,
 | 
  2. public assistance,
 | 
  3. unemployment compensation,
 | 
  4. a system of public employment offices,
 | 
  5. wages and hours of employment, or
 | 
  6. a public works program.
 | 
 The Director may make available to the Illinois Workers'  | 
Compensation Commission
information regarding employers for  | 
the purpose of verifying the insurance
coverage required under  | 
the Workers' Compensation Act and Workers'
Occupational  | 
Diseases Act.
 | 
 G. The Director may disclose information submitted by the  | 
 | 
State or any
of its political subdivisions, municipal  | 
corporations, instrumentalities,
or school or community  | 
college districts, except for information which
specifically  | 
identifies an individual claimant.
 | 
 H. The Director shall disclose only that information  | 
required to be
disclosed under Section 303 of the Social  | 
Security Act, as amended, including:
 | 
  1. any information required to be given the United  | 
 States Department of
Labor under Section 303(a)(6); and
 | 
  2. the making available upon request to any agency of  | 
 the United States
charged with the administration of  | 
 public works or assistance through
public employment, the  | 
 name, address, ordinary occupation, and employment
status  | 
 of each recipient of unemployment compensation, and a  | 
 statement of
such recipient's right to further  | 
 compensation under such law as required
by Section  | 
 303(a)(7); and
 | 
  3. records to make available to the Railroad  | 
 Retirement Board as
required by Section 303(c)(1); and
 | 
  4. information that will assure reasonable cooperation  | 
 with every agency
of the United States charged with the  | 
 administration of any unemployment
compensation law as  | 
 required by Section 303(c)(2); and
 | 
  5. information upon request and on a reimbursable  | 
 basis to the United
States Department of Agriculture and  | 
 to any State food stamp agency
concerning any information  | 
 | 
 required to be furnished by Section 303(d); and
 | 
  6. any wage information upon request and on a  | 
 reimbursable basis
to any State or local child support  | 
 enforcement agency required by
Section 303(e); and
 | 
  7. any information required under the income  | 
 eligibility and
verification system as required by Section  | 
 303(f); and
 | 
  8. information that might be useful in locating an  | 
 absent parent or that
parent's employer, establishing  | 
 paternity or establishing, modifying, or
enforcing child  | 
 support orders
for the purpose of a child support  | 
 enforcement program
under Title IV of the Social Security  | 
 Act upon the request of
and on a reimbursable basis to
the  | 
 public
agency administering the Federal Parent Locator  | 
 Service as required by
Section 303(h); and
 | 
  9. information, upon request, to representatives of  | 
 any federal, State,
or local governmental public housing  | 
 agency with respect to individuals who
have signed the  | 
 appropriate consent form approved by the Secretary of  | 
 Housing
and Urban Development and who are applying for or  | 
 participating in any housing
assistance program  | 
 administered by the United States Department of Housing  | 
 and
Urban Development as required by Section 303(i).
 | 
 I. The Director, upon the request of a public agency of  | 
Illinois, of the
federal government, or of any other state  | 
charged with the investigation or
enforcement of Section 10-5  | 
 | 
of the Criminal Code of 2012 (or a similar
federal law or  | 
similar law of another State), may furnish the public agency
 | 
information regarding the individual specified in the request  | 
as to:
 | 
  1. the current or most recent home address of the  | 
 individual, and
 | 
  2. the names and addresses of the individual's  | 
 employers.
 | 
 J. Nothing in this Section shall be deemed to interfere  | 
with the
disclosure of certain records as provided for in  | 
Section 1706 or with the
right to make available to the  | 
Internal Revenue Service of the United
States Department of  | 
the Treasury, or the Department of Revenue of the
State of  | 
Illinois, information obtained under this Act. With respect to  | 
each benefit claim that appears to have been filed other than  | 
by the individual in whose name the claim was filed or by the  | 
individual's authorized agent and with respect to which  | 
benefits were paid during the prior calendar year, the  | 
Director shall annually report to the Department of Revenue  | 
information that is in the Director's possession and may  | 
assist in avoiding negative income tax consequences for the  | 
individual in whose name the claim was filed. 
 | 
 K. The Department shall make available to the Illinois  | 
Student Assistance
Commission, upon request, information in  | 
the possession of the Department that
may be necessary or  | 
useful to the
Commission in the collection of defaulted or  | 
 | 
delinquent student loans which
the Commission administers.
 | 
 L. The Department shall make available to the State  | 
Employees'
Retirement System, the State Universities  | 
Retirement System, the
Teachers' Retirement System of the  | 
State of Illinois, and the Department of Central Management  | 
Services, Risk Management Division, upon request,
information  | 
in the possession of the Department that may be necessary or  | 
useful
to the System or the Risk Management Division for the  | 
purpose of determining whether any recipient of a
disability  | 
benefit from the System or a workers' compensation benefit  | 
from the Risk Management Division is gainfully employed.
 | 
 M. This Section shall be applicable to the information  | 
obtained in the
administration of the State employment  | 
service, except that the Director
may publish or release  | 
general labor market information and may furnish
information  | 
that he may deem proper to an individual, public officer, or
 | 
public agency of this or any other State or the federal  | 
government (in
addition to those public officers or public  | 
agencies specified in this
Section) as he prescribes by Rule.
 | 
 N. The Director may require such safeguards as he deems  | 
proper to insure
that information disclosed pursuant to this  | 
Section is used only for the
purposes set forth in this  | 
Section.
 | 
 O. Nothing in this Section prohibits communication with an  | 
individual or entity through unencrypted e-mail or other  | 
unencrypted electronic means as long as the communication does  | 
 | 
not contain the individual's or entity's name in combination  | 
with any one or more of the individual's or entity's entire or  | 
partial social security number; driver's license or State  | 
identification number; credit or debit card number; or any  | 
required security code, access code, or password that would  | 
permit access to further information pertaining to the  | 
individual or entity.
 | 
 P. (Blank). | 
 P-1. With the express written consent of a claimant or
 | 
employing unit and an agreement not to publicly disclose, the  | 
Director shall provide requested information related to a  | 
claim
to an elected official performing constituent services  | 
or his or her agent. 
 | 
 Q. The Director shall make available to an elected federal
 | 
official the name and address of an individual or entity that  | 
is located within
the jurisdiction from which the official was  | 
elected and that, for the most
recently completed calendar  | 
year, has reported to the Department as paying
wages to  | 
workers, where the information will be used in connection with  | 
the
official duties of the official and the official requests  | 
the information in
writing, specifying the purposes for which  | 
it will be used.
For purposes of this subsection, the use of  | 
information in connection with the
official duties of an  | 
official does not include use of the information in
connection  | 
with the solicitation of contributions or expenditures, in  | 
money or
in kind, to or on behalf of a candidate for public or  | 
 | 
political office or a
political party or with respect to a  | 
public question, as defined in Section 1-3
of the Election  | 
Code, or in connection with any commercial solicitation. Any
 | 
elected federal official who, in submitting a request for  | 
information
covered by this subsection, knowingly makes a  | 
false statement or fails to
disclose a material fact, with the  | 
intent to obtain the information for a
purpose not authorized  | 
by this subsection, shall be guilty of a Class B
misdemeanor.
 | 
 R. The Director may provide to any State or local child  | 
support
agency, upon request and on a reimbursable basis,  | 
information that might be
useful in locating an absent parent  | 
or that parent's employer, establishing
paternity, or  | 
establishing, modifying, or enforcing child support orders.
 | 
 S. The Department shall make available to a State's  | 
Attorney of this
State or a State's Attorney's investigator,
 | 
upon request, the current address or, if the current address  | 
is
unavailable, current employer information, if available, of  | 
a victim of
a felony or a
witness to a felony or a person  | 
against whom an arrest warrant is
outstanding.
 | 
 T. The Director shall make available to the Illinois State  | 
Police, a county sheriff's office, or a municipal police  | 
department, upon request, any information concerning the  | 
current address and place of employment or former places of  | 
employment of a person who is required to register as a sex  | 
offender under the Sex Offender Registration Act that may be  | 
useful in enforcing the registration provisions of that Act. | 
 | 
 U. The Director shall make information available to the  | 
Department of Healthcare and Family Services and the  | 
Department of Human Services for the purpose of determining  | 
eligibility for public benefit programs authorized under the  | 
Illinois Public Aid Code and related statutes administered by  | 
those departments, for verifying sources and amounts of  | 
income, and for other purposes directly connected with the  | 
administration of those programs. | 
 V. The Director shall make information available to the  | 
State Board of Elections as may be required by an agreement the  | 
State Board of Elections has entered into with a multi-state  | 
voter registration list maintenance system. | 
 W. The Director shall make information available to the  | 
State Treasurer's office and the Department of Revenue for the  | 
purpose of facilitating compliance with the Illinois Secure  | 
Choice Savings Program Act, including employer contact  | 
information for employers with 25 or more employees and any  | 
other information the Director deems appropriate that is  | 
directly related to the administration of this program. | 
 X. The Director shall make information available, upon  | 
request, to the Illinois Student Assistance Commission for the  | 
purpose of determining eligibility for the adult vocational  | 
community college scholarship program under Section 65.105 of  | 
the Higher Education Student Assistance Act.  | 
 Y. Except as required under State or federal law, or  | 
unless otherwise provided for in this Section, the Department  | 
 | 
shall not disclose an individual's entire social security  | 
number in any correspondence physically mailed to an  | 
individual or entity.  | 
(Source: P.A. 101-315, eff. 1-1-20; 102-26, eff. 6-25-21;  | 
102-538, eff. 8-20-21; revised 11-8-21.)
 | 
 Section 995. No acceleration or delay. Where this Act  | 
makes changes in a statute that is represented in this Act by  | 
text that is not yet or no longer in effect (for example, a  | 
Section represented by multiple versions), the use of that  | 
text does not accelerate or delay the taking effect of (i) the  | 
changes made by this Act or (ii) provisions derived from any  | 
other Public Act.
 | 
 Section 996. No revival or extension. This Act does not  | 
revive or extend any Section or Act otherwise repealed.
 | 
 Section 999. Effective date. This Act takes effect upon  | 
becoming law. 
 | 
 |  | 
INDEX
 |  | 
Statutes amended in order of appearance
 |  
  |