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| Public Act 102-0970
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| HB5167 Enrolled | LRB102 25439 SPS 34725 b |  
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 AN ACT concerning regulation.
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 Be it enacted by the People of the State of Illinois,
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represented in the General Assembly:
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 Section 5. The State Finance Act is amended by adding  | 
Section 5.970 as follows:
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 (30 ILCS 105/5.970 new) | 
 Sec. 5.970. The Division of Real Estate General Fund.
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 (30 ILCS 105/5.557 rep.)
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 (30 ILCS 105/5.558 rep.)
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 (30 ILCS 105/5.742 rep.) | 
 Section 10. The State Finance Act is amended by repealing  | 
Sections 5.557, 5.558, and 5.742.
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 Section 15. The Auction License Act is amended by changing  | 
Sections 10-5, 10-30, 10-50, 20-15, 20-95, 30-13, and 30-30  | 
and by adding Sections 20-11, 20-15.1, 20-16, and 20-105 as  | 
follows:
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 (225 ILCS 407/10-5)
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 (Section scheduled to be repealed on January 1, 2030)
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 Sec. 10-5. Requirements for auctioneer license;  | 
application.  | 
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 (a) Every
person
who desires
to obtain an auctioneer  | 
license under this Act shall:
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  (1) apply to the Department on forms provided by the  | 
 Department accompanied by the required
fee;
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  (2) be at least 18 years of age;
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  (3) have attained a high school diploma or  | 
 successfully completed an
equivalent
course of study  | 
 determined by an examination conducted by the Illinois  | 
 State
Board of Education; and 
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  (4) pass a written examination authorized by the  | 
 Department to
prove
competence, including but not limited  | 
 to general knowledge of Illinois and
federal laws  | 
 pertaining
to personal property contracts, auctions, real  | 
 property, ethics, and other topics relating to the auction
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 business.
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 (b) The Department shall not require applicants to report  | 
the following information and shall not consider the following  | 
criminal history records in connection with an application for  | 
licensure or registration: | 
  (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,  | 
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 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 where 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 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. | 
 (c) An applicant or licensee shall report to the  | 
Department, in a manner prescribed by the Department, 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; or (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. | 
(Source: P.A. 101-345, eff. 8-9-19.)
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 (225 ILCS 407/10-30)
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 (Section scheduled to be repealed on January 1, 2030)
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 Sec. 10-30. Expiration, renewal, and continuing education. 
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 (a) License expiration dates, renewal periods, renewal  | 
fees, and procedures for renewal of licenses issued under this  | 
Act shall be set by rule of the Department. An entity may renew  | 
its license by paying the required fee and by meeting the  | 
renewal requirements adopted by the Department under this  | 
Section.
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 (b) All renewal applicants must provide proof as  | 
determined by the Department of having met the continuing  | 
education requirements by the deadline set forth by the  | 
Department by rule. At a minimum, the rules shall require an  | 
applicant for renewal licensure as an auctioneer to provide  | 
proof of the completion of at least 12 hours of continuing  | 
education during the pre-renewal period established by the  | 
Department for completion of continuing education from schools  | 
approved by the Department, as established by rule.
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 (c) The Department, in its discretion, may waive  | 
enforcement of the continuing education requirements of this  | 
Section and shall adopt rules defining the standards and  | 
criteria for such waiver.
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 (d) (Blank).
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 (e) The Department shall not renew a license if the  | 
licensee has an unpaid fine or fee from a disciplinary matter  | 
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or from a non-disciplinary action imposed by the Department  | 
until the fine or fee is paid to the Department or the licensee  | 
has entered into a payment plan and is current on the required  | 
payments. | 
 (f) The Department shall not issue a license if the  | 
applicant has an unpaid fine imposed by the Department for  | 
unlicensed practice until the fine is paid to the Department  | 
or the applicant has entered into a payment plan and is current  | 
on the required payments. | 
(Source: P.A. 100-831, eff. 1-1-19.)
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 (225 ILCS 407/10-50)
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 (Section scheduled to be repealed on January 1, 2030)
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 Sec. 10-50. Fees; disposition of funds.
 
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 (a) The Department shall establish by rule a schedule of  | 
fees for the administration and maintenance of this Act. Such  | 
fees shall be nonrefundable. | 
 (b) Prior to July 1, 2023, all All fees collected under  | 
this Act shall be deposited into the General Professions  | 
Dedicated Fund and appropriated to the Department for the  | 
ordinary and contingent expenses of the Department in the  | 
administration of this Act. Beginning on July 1, 2023, all  | 
fees, fines, penalties, or other monies received or collected  | 
pursuant to this Act shall be deposited in the Division of Real  | 
Estate General Fund. 
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(Source: P.A. 95-572, eff. 6-1-08; 96-730, eff. 8-25-09.)
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 (225 ILCS 407/20-11 new) | 
 Sec. 20-11. Confidentiality. All information collected by  | 
the Department in the course of an examination or  | 
investigation of a licensee or applicant, including, but not  | 
limited to, any complaint against a licensee filed with the  | 
Department and information collected to investigate any such  | 
complaint, shall be maintained for the confidential use of the  | 
Department and shall not be disclosed. The Department may not  | 
disclose the information to anyone other than law enforcement  | 
officials, other regulatory agencies that have an appropriate  | 
regulatory interest as determined by the Secretary, or to a  | 
party presenting a lawful subpoena to the Department.  | 
Information and documents disclosed to a federal, State,  | 
county, or local law enforcement agency shall not be disclosed  | 
by the agency for any purpose to any other agency or person. A  | 
formal complaint filed against a licensee by the Department or  | 
any order issued by the Department against a licensee or  | 
applicant shall be a public record, except as otherwise  | 
prohibited by law.
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 (225 ILCS 407/20-15)
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 (Section scheduled to be repealed on January 1, 2030)
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 Sec. 20-15. Disciplinary actions; grounds. The Department  | 
may refuse to issue
or renew a
license, may place on probation  | 
or administrative supervision, suspend, or
revoke any license  | 
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or may
reprimand or take other disciplinary or  | 
non-disciplinary action as the Department may deem proper,  | 
including the imposition of fines not to exceed $10,000 for  | 
each violation upon anyone licensed under this Act for any of  | 
the following reasons:
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  (1) False or fraudulent representation or material  | 
 misstatement in
furnishing
information to the Department  | 
 in obtaining or seeking to obtain a license.
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  (2) Violation of any provision of this Act or the  | 
 rules adopted under this
Act.
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  (3) Conviction of or entry of a plea of guilty or nolo  | 
 contendere, as set forth in subsection (c) of Section  | 
 10-5, to any crime that is a felony or misdemeanor under  | 
 the laws of the United States or any state or territory  | 
 thereof, or entry of an administrative sanction by a  | 
 government agency in this State or any other jurisdiction  | 
 that is a misdemeanor, an essential element of which is  | 
 dishonesty,
or
any crime that is directly related to the  | 
 practice of the profession.
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  (3.5) Failing to notify the Department, of any  | 
 criminal conviction that occurs during the licensee's term  | 
 of licensure within 30 days after the occurrence, of the  | 
 information required in subsection (c) of Section 10-5  | 
 conviction.  | 
  (4) Being adjudged to be a person under legal  | 
 disability or subject to
involuntary
admission or to meet  | 
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 the standard for judicial admission as provided in the
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 Mental Health and
Developmental Disabilities Code.
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  (5) Discipline of a licensee by another state, the  | 
 District of Columbia, a
territory of
the United States, a  | 
 foreign nation, a governmental agency, or any other entity
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 authorized to impose
discipline if at least one of the  | 
 grounds for that discipline is the same as or
the  | 
 equivalent to one of
the grounds for discipline set forth  | 
 in this Act or for failing to report to
the Department,  | 
 within 30 days,
any adverse final action taken against the  | 
 licensee by any other licensing
jurisdiction,
government  | 
 agency, law enforcement agency, or court, or liability for  | 
 conduct
that would constitute
grounds for action as set  | 
 forth in this Act.
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  (6) Engaging in the practice of auctioneering,  | 
 conducting an auction, or
providing an
auction service  | 
 without a license or after the license was expired,  | 
 revoked,
suspended, or terminated
or while the license was  | 
 inoperative.
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  (7) Attempting to subvert or cheat on the auctioneer  | 
 exam or any
continuing
education exam, or aiding or  | 
 abetting another to do the same.
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  (8) Directly or indirectly giving to or receiving from  | 
 a person, firm,
corporation,
partnership, or association a  | 
 fee, commission, rebate, or other form of
compensation for  | 
 professional
service not actually or personally rendered,  | 
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 except that an auctioneer licensed under this Act may  | 
 receive a fee from another licensed auctioneer from this  | 
 State or jurisdiction for the referring of a client or  | 
 prospect for auction services to the licensed auctioneer. 
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  (9) Making any substantial misrepresentation or  | 
 untruthful advertising.
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  (10) Making any false promises of a character likely  | 
 to influence,
persuade,
or
induce.
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  (11) Pursuing a continued and flagrant course of  | 
 misrepresentation or the
making of
false promises through  | 
 a licensee, agent, employee, advertising, or otherwise.
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  (12) Any misleading or untruthful advertising, or  | 
 using any trade name or
insignia
of membership in any  | 
 auctioneer association or organization of which the
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 licensee is not a member.
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  (13) Commingling funds of others with the licensee's  | 
 his or her own funds or failing to
keep
the
funds of others  | 
 in an escrow or trustee account.
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  (14) Failure to account for, remit, or return any  | 
 moneys, property, or
documents
coming into the licensee's  | 
 his or her possession that belong to others, acquired  | 
 through the
practice of
auctioneering, conducting an  | 
 auction, or providing an auction service within 30
days of  | 
 the written
request from the owner of said moneys,  | 
 property, or documents.
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  (15) Failure to maintain and deposit into a special  | 
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 account, separate and
apart from
any personal or other  | 
 business accounts, all moneys belonging to others
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 entrusted to a licensee while
acting as an auctioneer,  | 
 auction firm, or as a temporary
custodian of the funds
of  | 
 others.
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  (16) Failure to make available to Department
personnel  | 
 during normal business
hours
all
escrow and trustee  | 
 records and related documents maintained in connection  | 
 with
the practice of
auctioneering, conducting an auction,  | 
 or providing an auction service within 24
hours after a  | 
 request
from Department personnel.
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  (17) Making or filing false records or reports in the  | 
 licensee's his or her practice,
including but not
limited  | 
 to false records or reports filed with State agencies.
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  (18) Failing to voluntarily furnish copies of all  | 
 written instruments
prepared by the
auctioneer and signed  | 
 by all parties to all parties at the time of execution.
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  (19) Failing to provide information within 30 days in  | 
 response to a
written
request
made by the Department.
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  (20) Engaging in any act that constitutes a violation  | 
 of Section 2-102,
3-103, or
3-105 of the Illinois Human  | 
 Rights Act.
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  (21) (Blank).
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  (22) Engaging in dishonorable, unethical, or  | 
 unprofessional conduct of a
character
likely to deceive,  | 
 defraud, or harm the public.
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  (23) Offering or advertising real estate for sale or  | 
 lease at auction
without
a valid
broker or managing  | 
 broker's license under the Real Estate License Act of  | 
 1983, or
any successor Act,
unless exempt from licensure  | 
 under the terms of the Real Estate License Act of 2000, or  | 
 any
successor Act, except as provided in Section 5-32 of  | 
 the Real Estate License Act of 2000.
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  (24) Inability to practice the profession with  | 
 reasonable judgment, skill, or safety as a result of a  | 
 physical illness, including, but not limited to,  | 
 deterioration through the aging process or loss of motor  | 
 skill, or a mental illness, or disability. | 
  (25) A pattern of practice or other behavior that
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 demonstrates incapacity or incompetence to practice under  | 
 this Act. | 
  (26) Being named as a perpetrator in an indicated
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 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 a  | 
 neglected child as defined in the Abused and Neglected  | 
 Child Reporting Act. | 
  (27) Inability to practice with reasonable judgment,  | 
 skill, or safety as a result of habitual or excessive use  | 
 or addiction to alcohol, narcotics, stimulants, or any  | 
 other chemical agent or drug. | 
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  (28) Willfully failing to report an instance of
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 suspected child abuse or neglect as required by the Abused  | 
 and Neglected Child Reporting Act. | 
 The entry of an order by a circuit court establishing that  | 
any person holding a license under this Act is subject to  | 
involuntary admission or judicial admission, as provided in  | 
the Mental Health and Developmental Disabilities Code,  | 
operates as an automatic suspension of that license. That  | 
person may have his or her license restored only upon the  | 
determination by a circuit court that the patient is no longer  | 
subject to involuntary admission or judicial admission and the  | 
issuance of an order so finding and discharging the patient  | 
and upon the Board's recommendation to the Department that the  | 
license be restored. Where circumstances so indicate, the  | 
Board may recommend to the Department that it require an  | 
examination prior to restoring a suspended license. | 
 If the Department or Board finds an individual unable to  | 
practice because of the reasons set forth in this Section, the  | 
Department or Board may require that individual to submit to  | 
care, counseling, or treatment by physicians approved or  | 
designated by the Department or Board, as a condition, term,  | 
or restriction for continued, reinstated, or renewed licensure  | 
to practice; or, in lieu of care, counseling, or treatment,  | 
the Department may file, or the Board may recommend to the  | 
Department to file, a complaint to immediately suspend,  | 
revoke, or otherwise discipline the license of the individual.  | 
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An individual whose license was granted, continued,  | 
reinstated, renewed, disciplined or supervised subject to such  | 
terms, conditions, or restrictions, and who fails to comply  | 
with such terms, conditions, or restrictions, shall be  | 
referred to the Secretary for a determination as to whether  | 
the individual shall have his or her license suspended  | 
immediately, pending a hearing by the Department. If the  | 
Secretary immediately suspends a person's license under this  | 
Section, a hearing on that person's license must be convened  | 
by the Department within 21 days after the suspension and  | 
completed without appreciable delay. The Department and Board  | 
shall have the authority to review the subject individual's  | 
record of treatment and counseling regarding the impairment to  | 
the extent permitted by applicable federal statutes and  | 
regulations safeguarding the confidentiality of medical  | 
records. | 
 An individual licensed under this Act and affected under  | 
this Section shall be afforded an opportunity to demonstrate  | 
to the Department or Board that he or she can resume practice  | 
in compliance with acceptable and prevailing standards under  | 
his or her license. | 
 In enforcing this Section, the Department or Board, upon a  | 
showing of a possible violation, may compel an individual  | 
licensed to practice under this Act, or who has applied for  | 
licensure under this Act, to submit to a mental or physical  | 
examination, or both, as required by and at the expense of the  | 
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Department. The Department or Board may order the examining  | 
physician to present testimony concerning the mental or  | 
physical examination of the licensee or applicant. No  | 
information shall be excluded by reason of any common law or  | 
statutory privilege relating to communications between the  | 
licensee or applicant and the examining physician. The  | 
examining physicians shall be specifically designated by the  | 
Board or Department. The individual to be examined may have,  | 
at his or her own expense, another physician of his or her  | 
choice present during all aspects of this examination. Failure  | 
of an individual to submit to a mental or physical examination  | 
when directed shall be grounds for suspension of his or her  | 
license until the individual submits to the examination, if  | 
the Department finds that, after notice and hearing, the  | 
refusal to submit to the examination was without reasonable  | 
cause.
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(Source: P.A. 101-345, eff. 8-9-19.)
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 (225 ILCS 407/20-15.1 new) | 
 Sec. 20-15.1. Citations. | 
 (a) The Department may adopt rules to permit the issuance  | 
of citations to any licensee for failure to comply with the  | 
continuing education requirements set forth in this Act or as  | 
established by rule. The citation shall be issued to the  | 
licensee and shall contain the licensee's name and address,  | 
the licensee's license number, the number of required hours of  | 
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continuing education that have not been successfully completed  | 
by the licensee within the renewal period, and the penalty  | 
imposed, which shall not exceed $2,000. The issuance of any  | 
such citation shall not excuse the licensee from completing  | 
all continuing education required for that renewal period. | 
 (b) Service of a citation shall be made in person,  | 
electronically, or by mail to the licensee at the licensee's  | 
address of record or email address of record, and must clearly  | 
state that if the cited licensee wishes to dispute the  | 
citation, they may make a written request, within 30 days  | 
after the citation is served, for a hearing before the  | 
Department. If the cited licensee does not request a hearing  | 
within 30 days after the citation is served, then the citation  | 
shall become a final, non-disciplinary order, and any fine  | 
imposed is due and payable within 60 days after that final  | 
order. If the cited licensee requests a hearing within 30 days  | 
after the citation is served, the Department shall afford the  | 
cited licensee a hearing conducted in the same manner as a  | 
hearing provided for in this Act for any violation of this Act  | 
and shall determine whether the cited licensee committed the  | 
violation as charged and whether the fine as levied is  | 
warranted. If the violation is found, any fine shall  | 
constitute non-public discipline and be due and payable within  | 
30 days after the order of the Secretary, which shall  | 
constitute a final order of the Department. No change in  | 
license status may be made by the Department until a final  | 
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order of the Department has been issued. | 
 (c) Payment of a fine that has been assessed pursuant to  | 
this Section shall not constitute disciplinary action  | 
reportable on the Department's website or elsewhere unless a  | 
licensee has previously received 2 or more citations and been  | 
assessed 2 or more fines. | 
 (d) Nothing in this Section shall prohibit or limit the  | 
Department from taking further action pursuant to this Act and  | 
rules for additional, repeated, or continuing violations.
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 (225 ILCS 407/20-16 new) | 
 Sec. 20-16. Illegal discrimination. When there has been an  | 
adjudication in a civil or criminal proceeding that a licensee  | 
has illegally discriminated while engaged in any activity for  | 
which a license is required under this Act, the Department,  | 
upon the recommendation of the Board as to the extent of the  | 
suspension or revocation, shall suspend or revoke the license  | 
of that licensee in a timely manner, unless the adjudication  | 
is in the appeal process. When there has been an order in an  | 
administrative proceeding finding that a licensee has  | 
illegally discriminated while engaged in any activity for  | 
which a license is required under this Act, the Department,  | 
upon recommendation of the Board as to the nature and extent of  | 
the discipline, shall take one or more of the disciplinary  | 
actions provided for in Section 20-15 in a timely manner,  | 
unless the administrative order is in the appeal process.
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 | 
 (225 ILCS 407/20-95)
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 (Section scheduled to be repealed on January 1, 2030)
 | 
 Sec. 20-95. Returned checks and dishonored credit card  | 
charges; fine. A person who: (i) delivers a check or
other
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payment to the Department that is returned to the Department  | 
unpaid by the financial institution upon which it
is drawn; or  | 
(ii) presents a credit or debit card for payment that is  | 
invalid or expired or against which charges by the Department  | 
are declined or dishonored, shall pay
to the Department, in  | 
addition to the amount already owed to the Department, a fee of  | 
$50. The Department shall
notify the person that the his or her  | 
check has been returned and that the person
shall pay to the  | 
Department by
certified check or money order the amount of the  | 
returned check plus the $50
fee within 30 calendar
days after  | 
the date of the notification. If, after the expiration of 30
 | 
calendar days of the notification,
the person has failed to  | 
submit the necessary remittance, the Department shall
 | 
automatically terminate the
license or deny the application  | 
without a hearing. If, after termination or
denial, the person  | 
seeks
a license, the applicant or licensee he or she shall  | 
petition the Department for restoration or issuance of the  | 
license and he or she may be
subject to additional
discipline  | 
or fines. The Secretary may waive the fines due under this
 | 
Section in individual
cases where the Secretary finds that the  | 
fines would be unreasonable or
unnecessarily
burdensome.
 | 
 | 
(Source: P.A. 95-572, eff. 6-1-08.)
 | 
 (225 ILCS 407/20-105 new) | 
 Sec. 20-105. No private right of action. Except as  | 
otherwise expressly provided for in this Act, nothing in this  | 
Act shall be construed to grant to any person a private right  | 
of action to enforce the provisions of this Act or the rules  | 
adopted under this Act.
 | 
 (225 ILCS 407/30-13) | 
 (Section scheduled to be repealed on January 1, 2030)
 | 
 Sec. 30-13. The Division of Real Estate General  | 
Professions Dedicated Fund. Prior to July 1, 2023, all All of  | 
the fees, fines, and penalties collected under this Act shall  | 
be deposited into the General Professions Dedicated Fund.  | 
Prior to July 1, 2023, the The monies deposited into the  | 
General Professions Dedicated Fund shall be used by the  | 
Department, as appropriated, for the ordinary and contingent  | 
expenses of the Department. Monies in the General Professions  | 
Dedicated Fund may be invested and reinvested, with all  | 
earnings received from investments to be deposited into that  | 
Fund and used for the same purposes as fees deposited in that  | 
Fund.
 | 
 Beginning on July 1, 2023, all of the fees, fines, and  | 
penalties collected under this Act shall be deposited into the  | 
Division of Real Estate General Fund. The monies deposited  | 
 | 
into the Division of Real Estate General Fund shall be used by  | 
the Department, as appropriated, for the ordinary and  | 
contingent expenses of the Department. Monies in the Division  | 
of Real Estate General Fund may be invested and reinvested,  | 
with all earnings received from investments to be deposited  | 
into that Fund and used for the same purposes as fees deposited  | 
in that Fund. | 
(Source: P.A. 96-730, eff. 8-25-09.)
 | 
 (225 ILCS 407/30-30)
 | 
 (Section scheduled to be repealed on January 1, 2030)
 | 
 Sec. 30-30. Auction Advisory Board. 
 | 
 (a) There is hereby created the Auction Advisory Board.  | 
The Advisory Board
shall consist
of 7 members and shall be  | 
appointed by the Secretary. In making the
appointments, the  | 
Secretary shall give due consideration to the recommendations  | 
by members and
organizations
of the industry, including but  | 
not limited to the Illinois State Auctioneers
Association.  | 
Five
members of the Advisory Board shall be licensed  | 
auctioneers, except that for
the initial
appointments, these  | 
members may be persons without a license, but who have been
 | 
auctioneers for
at least 5 years preceding their appointment  | 
to the Advisory Board. One member
shall be a public
member who  | 
represents the interests of consumers and who is not licensed  | 
under
this Act or the
spouse of a person licensed under this  | 
Act or who has any responsibility for
management or
formation  | 
 | 
of policy of or any financial interest in the auctioneering
 | 
profession or any other
connection with the profession. One  | 
member shall be actively engaged in the
real estate industry
 | 
and licensed as a broker or managing broker salesperson. The  | 
Advisory Board shall annually elect, at its first meeting of  | 
the fiscal year, one of its members to serve as Chairperson.
 | 
 (b) The members' terms shall be for 4 years and until a  | 
successor is appointed expire upon completion of the term. No  | 
member shall be reappointed to the Board for a term that would  | 
cause the member's his or her cumulative service to the Board  | 
to exceed 10 years. Appointments to fill vacancies shall be  | 
made by the Secretary for the unexpired portion of the term. To  | 
the extent practicable, the Secretary
shall
appoint members to  | 
ensure that the various geographic regions of the State are
 | 
properly represented
on the Advisory Board.
 | 
 (c) Four Board members shall
constitute a
quorum. A quorum  | 
is required for all Board decisions. A vacancy in the  | 
membership of the Board shall not impair the right of a quorum  | 
to exercise all of the rights and perform all of the duties of  | 
the Board. 
 | 
 (d) Each member of the Advisory Board may shall receive a  | 
per diem stipend in an
amount to be
determined by the  | 
Secretary. While engaged in the performance of duties, each  | 
Each member shall be reimbursed for paid his or her necessary
 | 
expenses while
engaged in the performance of his or her  | 
duties.
 | 
 | 
 (e) Members of the Advisory Board shall be immune from  | 
suit in an action
based
upon any
disciplinary proceedings or  | 
other acts performed in good faith as members of
the Advisory  | 
Board.
 | 
 (f) The Advisory Board shall meet as convened by the  | 
Department.
 | 
 (g) The Advisory Board shall advise the Department on  | 
matters of licensing and
education and
make recommendations to  | 
the Department on those matters and shall hear and make
 | 
recommendations
to the Secretary on disciplinary matters that  | 
require a formal evidentiary
hearing.
 | 
 (h) The Secretary shall give due consideration to all  | 
recommendations of
the
Advisory
Board.
 | 
(Source: P.A. 100-886, eff. 8-14-18.)
 | 
 Section 20. The Community Association Manager Licensing  | 
and Disciplinary Act is amended by changing Sections 10, 25,  | 
55, 60, and 65 as follows:
 | 
 (225 ILCS 427/10) | 
 (Section scheduled to be repealed on January 1, 2027) | 
 Sec. 10. Definitions. As used in this Act:  | 
 "Address of record" means the designated street address,  | 
which may not be a post office box, recorded by the Department  | 
in the applicant's or licensee's application file or license  | 
file maintained by the Department.  | 
 | 
 "Advertise" means, but is not limited to, issuing or  | 
causing to be distributed any card, sign or device to any  | 
person; or causing, permitting or allowing any sign or marking  | 
on or in any building, structure, newspaper, magazine or  | 
directory, or on radio or television; or advertising by any  | 
other means designed to secure public attention, including,  | 
but not limited to, print, electronic, social media, and  | 
digital forums.  | 
 "Board" means the Community Association Manager Licensing  | 
and Disciplinary Board.  | 
 "Community association" means an association in which  | 
membership is a condition of ownership or shareholder interest  | 
of a unit in a condominium, cooperative, townhouse, villa, or  | 
other residential unit which is part of a residential  | 
development plan and that is authorized to impose an  | 
assessment, rents, or other costs that may become a lien on the  | 
unit or lot.  | 
 "Community association funds" means any assessments, fees,  | 
fines, or other funds collected by the community association  | 
manager from the community association, or its members, other  | 
than the compensation paid to the community association  | 
manager for performance of community association management  | 
services. | 
 "Community association management firm" means a company,  | 
corporation, limited liability company, partnership, or other  | 
entity that engages in community association management  | 
 | 
services.  | 
 "Community association management services" means those  | 
services listed in the definition of community association  | 
manager in this Section.  | 
 "Community association manager" means an individual who: | 
  (1) has an ownership interest in or is employed by a  | 
 community association management firm, or is directly  | 
 employed by or provides services as an independent  | 
 contractor to a community association; and | 
  (2) administers for remuneration the financial,  | 
 administrative, maintenance, or other duties for the  | 
 community association, including the following services: | 
   (A) collecting, controlling or disbursing funds of  | 
 the community association or having the authority to  | 
 do so; | 
   (B) preparing budgets or other financial documents  | 
 for the community association;  | 
   (C) assisting in the conduct of community  | 
 association meetings;  | 
   (D) maintaining association records;  | 
   (E) administering association contracts or  | 
 procuring goods and services in accordance with the  | 
 declaration, bylaws, proprietary lease, declaration of  | 
 covenants, or other governing document of the  | 
 community association or at the direction of the board  | 
 of managers; and | 
 | 
   (F) coordinating financial, administrative,  | 
 maintenance, or other duties called for in the  | 
 management contract, including individuals who are  | 
 direct employees of the community association.  | 
 "Community association manager" does not mean support  | 
staff, including, but not limited to bookkeepers,  | 
administrative assistants, secretaries, property inspectors,  | 
or customer service representatives. | 
 "Department" means the Department of Financial and  | 
Professional Regulation.  | 
 "Designated community association manager" means a  | 
licensed community association
manager who: (1) has an  | 
ownership interest in or is employed by a community  | 
association
management firm to act as a controlling person;  | 
and (2) is the authorized signatory or has delegated
signing  | 
authority for the firm on community association accounts; and  | 
(3) supervises, manages,
and is responsible for the firm's  | 
community association manager activities pursuant to Section
 | 
50 of this Act. | 
 "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.  | 
 "License" means the privilege conferred by the Department
 | 
to a person that has fulfilled all requirements prerequisite  | 
to any type of licensure under this Act.  | 
 | 
 "Licensee" means any person licensed under this Act a  | 
community association manager or a community association  | 
management firm.  | 
 "Person" means any individual, corporation, partnership,  | 
limited liability company, or other legal entity.  | 
 "Secretary" means the Secretary of Financial and  | 
Professional Regulation or the Secretary's designee.
 | 
(Source: P.A. 102-20, eff. 1-1-22.)
 | 
 (225 ILCS 427/25) | 
 (Section scheduled to be repealed on January 1, 2027) | 
 Sec. 25. Community Association Manager Licensing and  | 
Disciplinary Board.  | 
 (a) There is hereby created the Community Association  | 
Manager Licensing and Disciplinary Board, which shall consist  | 
of 7 members appointed by the Secretary. All members must be  | 
residents of the State and must have resided in the State for  | 
at least 5 years immediately preceding the date of  | 
appointment. Five members of the Board must be licensees under  | 
this Act. Two members of the Board shall be owners of, or hold  | 
a shareholder's interest in, a unit in a community association  | 
at the time of appointment who are not licensees under this Act  | 
and have no direct affiliation with the community  | 
association's community association manager. This Board shall  | 
act in an advisory capacity to the Department. | 
 (b) The term of each member shall be for 4 years and or  | 
 | 
until that member's successor is appointed. No member shall be  | 
reappointed to the Board for a term that would cause the  | 
member's cumulative service to the Board to exceed 10 years.  | 
Appointments to fill vacancies shall be made by the Secretary  | 
for the unexpired portion of the term. The Secretary shall  | 
remove from the Board any member whose license has become void  | 
or has been revoked or suspended and may remove any member of  | 
the Board for neglect of duty, misconduct, or incompetence. A  | 
member who is subject to formal disciplinary proceedings shall  | 
be disqualified from all Board business until the charge is  | 
resolved. A member also shall be disqualified from any matter  | 
on which the member cannot act objectively. | 
 (c) Four Board members shall constitute a quorum. A quorum  | 
is required for all Board decisions. A vacancy in the  | 
membership of the Board shall not impair the right of a quorum  | 
to exercise all of the rights and perform all of the duties of  | 
the Board. | 
 (d) The Board shall elect annually, at its first meeting  | 
of the fiscal year, a chairperson and vice chairperson. | 
 (e) Each member shall be reimbursed receive reimbursement  | 
as set by the Governor's Travel Control Board for necessary  | 
expenses incurred in carrying out the duties as a Board  | 
member. The Board may receive a per diem stipend in an amount  | 
to shall be compensated as determined by the Secretary. | 
 (f) The Board may recommend policies, procedures, and  | 
rules relevant to the administration and enforcement of this  | 
 | 
Act.
 | 
 (g) Members of the Board shall be immune from suit in an  | 
action based upon any disciplinary proceedings or other acts  | 
performed in good faith as members of the Board. | 
(Source: P.A. 102-20, eff. 1-1-22.)
 | 
 (225 ILCS 427/55) | 
 (Section scheduled to be repealed on January 1, 2027) | 
 Sec. 55. Fidelity insurance; segregation of accounts.  | 
 (a) The designated community association manager or the  | 
community association management firm that employs the  | 
designated community association manager shall not have access  | 
to and disburse community association funds unless each of the  | 
following conditions occur: | 
  (1) There is fidelity insurance in place to insure  | 
 against loss or theft of community association funds. | 
  (2) The fidelity insurance is in the maximum amount of  | 
 coverage available to protect funds in the custody or  | 
 control of the designated community association manager or  | 
 community association management firm providing service to  | 
 the association. | 
  (3) During the term and coverage period of the  | 
 insurance, the fidelity insurance shall cover: | 
   (A) the designated community association manager; | 
   (B) the community association management firm; | 
   (C) all community association managers; | 
 | 
   (D) all partners, officers, and employees of the  | 
 community association management firm; and  | 
   (E) the community association officers, directors,  | 
 and employees. | 
  (4) The insurance company issuing the fidelity  | 
 insurance may not cancel or refuse to renew the bond  | 
 without giving at least 10 days' prior written notice. | 
  (5) Unless an agreement between the community  | 
 association and the designated community association  | 
 manager or the community association management firm  | 
 provides to the contrary, a community association may  | 
 secure and pay for the fidelity insurance required by this  | 
 Section. The designated community association manager, all  | 
 other licensees, and the community association management  | 
 firm must be named as additional insured parties on the  | 
 community association policy. If the fidelity insurance is  | 
 not secured and paid for by the association, the community  | 
 association manager or the community association  | 
 management firm that secures and pays for the insurance  | 
 shall provide a current certificate of fidelity insurance  | 
 to the community association for which it provides  | 
 community association management services within 10 days  | 
 of a request for such certificate by the community  | 
 association for its records. | 
 (b) A community association management firm that provides  | 
community association management services for more than one  | 
 | 
community association shall maintain separate, segregated  | 
accounts for each community association. The funds shall not,  | 
in any event, be commingled with the supervising community  | 
association manager's or community association management  | 
firm's funds. The funds shall not, in any event, be commingled  | 
with the funds of the community association manager, the  | 
community association management firm, or any other community  | 
association. The maintenance of such accounts shall be  | 
custodial, and such accounts shall be in the name of the  | 
respective community association. | 
 (c) The designated community association manager or  | 
community association management firm shall obtain the  | 
appropriate general liability and errors and omissions  | 
insurance, as determined by the Department, to cover any  | 
losses or claims against a community association manager, the  | 
designated community association manager, or the community  | 
association management firm. The community association manager  | 
or the community association management firm shall provide a  | 
current certificate of general liability and errors and  | 
omissions insurance to the community association for which it  | 
provides community association management services within 10  | 
days of a request for such certificate by the community  | 
association for its records. | 
 (d) The Department shall have authority to promulgate  | 
additional rules regarding insurance, fidelity insurance and  | 
all accounts maintained and to be maintained by a community  | 
 | 
association manager, designated community association manager,  | 
or community association management firm.
 | 
(Source: P.A. 102-20, eff. 1-1-22.)
 | 
 (225 ILCS 427/60) | 
 (Section scheduled to be repealed on January 1, 2027) | 
 Sec. 60. Licenses; renewals; restoration; person in  | 
military service.  | 
 (a) The expiration date, fees, and renewal period for each  | 
license issued under this Act shall be set by rule. The  | 
Department may promulgate rules requiring continuing education  | 
and set all necessary requirements for such, including but not  | 
limited to fees, approved coursework, number of hours, and  | 
waivers of continuing education. | 
 (b) Any licensee who has an expired license may have the  | 
license restored by applying to the Department and filing  | 
proof acceptable to the Department of fitness to have the  | 
expired license restored, by which may include sworn evidence  | 
certifying to active practice in another jurisdiction  | 
satisfactory to the Department, complying with any continuing  | 
education requirements, and paying the required restoration  | 
fee. | 
 (c) Any person whose license expired while (i) in federal  | 
service on active duty with the Armed Forces of the United  | 
States or called into service or training with the State  | 
Militia or (ii) in training or education under the supervision  | 
 | 
of the United States preliminary to induction into the  | 
military service may have the license renewed or restored  | 
without paying any lapsed renewal fees if, within 2 years  | 
after honorable termination of the service, training or  | 
education, except under condition other than honorable, the  | 
licensee furnishes the Department with satisfactory evidence  | 
of engagement and that the service, training, or education has  | 
been so honorably terminated. | 
 (d) A community association manager or community  | 
association management firm that notifies the Department, in a  | 
manner prescribed by the Department, may place the license on  | 
inactive status for a period not to exceed 2 years and shall be  | 
excused from the payment of renewal fees until the person  | 
notifies the Department in writing of the intention to resume  | 
active practice. | 
 (e) A community association manager or , community  | 
association management firm requesting that the license be  | 
changed from inactive to active status shall be required to  | 
pay the current renewal fee and shall also demonstrate  | 
compliance with the continuing education requirements. | 
 (f) No licensee with a nonrenewed or inactive license  | 
status or community association management firm operating  | 
operation without a designated community association manager  | 
shall provide community association management services as set  | 
forth in this Act. | 
 (g) Any person violating subsection (f) of this Section  | 
 | 
shall be considered to be practicing without a license and  | 
will be subject to the disciplinary provisions of this Act. | 
 (h) The Department shall not renew a license if the  | 
licensee has an unpaid fine or fee from a disciplinary matter  | 
or an unpaid fee from a non-disciplinary action imposed by the  | 
Department until the fine or fee is paid to the Department or  | 
the licensee has entered into a payment plan and is current on  | 
the required payments. | 
 (i) The Department shall not issue a license if the  | 
applicant has an unpaid fine imposed by the Department for  | 
unlicensed practice until the fine is paid to the Department  | 
or the applicant has entered into a payment plan and is current  | 
on the required payments. 
 | 
(Source: P.A. 102-20, eff. 1-1-22.)
 | 
 (225 ILCS 427/65) | 
 (Section scheduled to be repealed on January 1, 2027) | 
 Sec. 65. Fees; Division of Real Estate General Community  | 
Association Manager Licensing and Disciplinary Fund.  | 
 (a) The fees for the administration and enforcement of  | 
this Act, including, but not limited to, initial licensure,  | 
renewal, and restoration, shall be set by rule of the  | 
Department. The fees shall be nonrefundable. | 
 (b) In addition to the application fee, applicants for the  | 
examination are required to pay, either to the Department or  | 
the designated testing service, a fee covering the cost of  | 
 | 
determining an applicant's eligibility and providing the  | 
examination. Failure to appear for the examination on the  | 
scheduled date, at the time and place specified, after the  | 
applicant's application and fee for examination have been  | 
received and acknowledged by the Department or the designated  | 
testing service, shall result in the forfeiture of the fee. | 
 (c) Prior to July 1, 2023, all All fees, fines, penalties,  | 
or other monies received or collected pursuant to this Act  | 
shall be deposited in the Community Association Manager  | 
Licensing and Disciplinary Fund. Beginning on July 1, 2023,  | 
all fees, fines, penalties, or other monies received or  | 
collected pursuant to this Act shall be deposited in the  | 
Division of Real Estate General Fund.
 | 
 (d) Moneys in the Community Association Manager Licensing  | 
and Disciplinary Fund and the Division of Real Estate General  | 
Fund may be transferred to the Professions Indirect Cost Fund,  | 
as authorized under Section 2105-300 of the Department of  | 
Professional Regulation Law of the Civil Administrative Code  | 
of Illinois.  | 
 (e) Notwithstanding any other provision of law, in  | 
addition to any other transfers that may be provided by law, on  | 
July 1, 2023, or as soon thereafter as practical, the State  | 
Comptroller shall direct and the State Treasurer shall  | 
transfer the remaining balance from the Community Association  | 
Manager Licensing and Disciplinary Fund into the Division of  | 
Real Estate General Fund. Upon completion of the transfer, the  | 
 | 
Community Association Manager Licensing and Disciplinary Fund  | 
is dissolved, and any future deposits due to that Fund and any  | 
outstanding obligations or liabilities of that Fund pass to  | 
the Division of Real Estate General Fund. | 
(Source: P.A. 102-20, eff. 1-1-22.)
 | 
 Section 25. The Home Inspector License Act is amended by  | 
changing Sections 1-10, 5-16, 5-17, 15-5, and 25-5 and by  | 
adding Section 15-11 as follows:
 | 
 (225 ILCS 441/1-10)
 | 
 (Section scheduled to be repealed on January 1, 2027)
 | 
 Sec. 1-10. Definitions. As used in this Act, unless the  | 
context
otherwise requires:
 | 
 "Address of record" means the designated street address,  | 
which may not be a post office box, recorded by the Department  | 
in the applicant's or licensee's application file or license  | 
file as maintained by the Department.  | 
 "Applicant" means a person who applies to the Department  | 
for a license under this
Act.
 | 
 "Client" means a person who engages or seeks to engage the  | 
services of a
home inspector for an inspection assignment.
 | 
 "Department" means the Department of Financial and  | 
Professional Regulation. 
 | 
 "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.  | 
 "Home inspection" means the examination and evaluation of  | 
the exterior and
interior components of residential real  | 
property, which includes the inspection
of any 2 or more of the  | 
following components of residential real property in
 | 
connection with or to facilitate the sale, lease, or other  | 
conveyance of, or
the proposed sale, lease or other conveyance  | 
of, residential real property:
 | 
  (1) heating, ventilation, and air conditioning system;
 | 
  (2) plumbing system;
 | 
  (3) electrical system;
 | 
  (4) structural composition;
 | 
  (5) foundation;
 | 
  (6) roof;
 | 
  (7) masonry structure; or
 | 
  (8) any other residential real property component as  | 
 established by rule.
 | 
 "Home inspector" means a person or entity who, for another  | 
and for compensation either
direct or indirect, performs home  | 
inspections.
 | 
 "Home inspection report" or "inspection report" means a  | 
written evaluation
prepared and issued by a home inspector  | 
upon completion of a home inspection,
which meets the  | 
standards of practice as established by the Department.
 | 
 "Inspection assignment" means an engagement for which a  | 
 | 
home inspector is
employed or retained to conduct a home  | 
inspection and prepare a home inspection
report.
 | 
 "License" means the privilege conferred by the Department  | 
to a person who has fulfilled all requirements prerequisite to  | 
any type of licensure under this Act. | 
 "Licensee" means any person licensed under this Act a home  | 
inspector, home inspector entity, or home inspector education  | 
provider.  | 
 "Person" means individuals, entities, corporations,  | 
limited liability
companies, registered limited liability  | 
partnerships, and partnerships, foreign
or domestic, except  | 
that when the context otherwise requires, the term may
refer  | 
to a single individual or other described entity.
 | 
 "Residential real property" means real property that is  | 
used or intended to
be used as a residence by one or more  | 
individuals.
 | 
 "Secretary" means the Secretary of Financial and  | 
Professional Regulation or the Secretary's designee.  | 
 "Standards of practice" means recognized standards to be  | 
used in a
home
inspection, as determined by the Department and  | 
established by rule.
 | 
(Source: P.A. 102-20, eff. 1-1-22.)
 | 
 (225 ILCS 441/5-16)
 | 
 (Section scheduled to be repealed on January 1, 2027)
 | 
 Sec. 5-16. Renewal of license. 
 | 
 | 
 (a) The expiration date and renewal period for a home  | 
inspector license
issued under this Act shall be set by rule.  | 
Except as otherwise provided in
subsections (b) and (c) of  | 
this Section, the holder of a license may renew the
license  | 
within 90 days preceding the expiration date by:
 | 
  (1) completing and submitting to the Department a  | 
 renewal application in a manner prescribed by the  | 
 Department;
 | 
  (2) paying the required fees; and
 | 
  (3) providing evidence of successful completion of the  | 
 continuing
education requirements through courses approved  | 
 by the Department given by
education providers licensed by  | 
 the Department, as established by rule.
 | 
 (b) A home inspector whose license under this Act has  | 
expired may
renew the license for a period of 2 years following  | 
the expiration
date by complying with the requirements of  | 
subparagraphs (1), (2), and (3) of
subsection (a) of
this
 | 
Section and paying any late penalties established by rule.
 | 
 (c) Notwithstanding subsection (b), a
home inspector whose  | 
license under this Act has expired may renew
the license  | 
without paying any lapsed
renewal fees or late penalties if  | 
(i) the license expired while the home
inspector was on
active  | 
duty with the United States Armed Services, (ii) application  | 
for renewal
is made within
2 years following the termination  | 
of the military service or related education,
training, or
 | 
employment, and (iii) the applicant furnishes to the  | 
 | 
Department an affidavit that the applicant was so engaged.
 | 
 (d) The Department shall provide reasonable care and due  | 
diligence to ensure that each
licensee under this Act is  | 
provided a renewal application at least 90 days
prior to the
 | 
expiration date, but it is the responsibility of each licensee  | 
to renew the
license prior to its expiration date.
 | 
 (e) The Department shall not renew a license if the  | 
licensee has an unpaid fine or fee from a disciplinary matter  | 
or from a non-disciplinary action imposed by the Department  | 
until the fine or fee is paid to the Department or the licensee  | 
has entered into a payment plan and is current on the required  | 
payments. | 
 (f) The Department shall not issue a license if the  | 
applicant has an unpaid fine imposed by the Department for  | 
unlicensed practice until the fine is paid to the Department  | 
or the applicant has entered into a payment plan and is current  | 
on the required payments. | 
(Source: P.A. 102-20, eff. 1-1-22.)
 | 
 (225 ILCS 441/5-17)
 | 
 (Section scheduled to be repealed on January 1, 2027)
 | 
 Sec. 5-17. Renewal of home inspector license; entity. 
 | 
 (a) The expiration date and renewal period for a home  | 
inspector
license for an entity that is not a natural person  | 
shall be set by rule. The
holder of
a license may renew the  | 
license within 90 days preceding the
expiration date by  | 
 | 
completing and submitting to the Department a renewal
 | 
application in a manner prescribed by the Department and  | 
paying the required fees.
 | 
 (b) An entity that is not a natural person whose license  | 
under this Act has
expired may renew the license for a period  | 
of 2 years following
the expiration date by complying with the  | 
requirements of subsection
(a) of this Section and paying any  | 
late penalties established
by rule.
 | 
 (c) The Department shall not renew a license if the  | 
licensee has an unpaid fine or fee from a disciplinary matter  | 
or from a non-disciplinary action imposed by the Department  | 
until the fine or fee is paid to the Department or the licensee  | 
has entered into a payment plan and is current on the required  | 
payments. | 
 (d) The Department shall not issue a license if the  | 
applicant has an unpaid fine imposed by the Department for  | 
unlicensed practice until the fine is paid to the Department  | 
or the applicant has entered into a payment plan and is current  | 
on the required payments. | 
(Source: P.A. 102-20, eff. 1-1-22.)
 | 
 (225 ILCS 441/15-5)
 | 
 (Section scheduled to be repealed on January 1, 2027)
 | 
 Sec. 15-5. Unlicensed practice; civil penalty. 
 | 
 (a) Any person who practices, offers to practice, attempts  | 
to practice, or holds oneself himself or herself out to  | 
 | 
practice home inspection or as a home inspector without being  | 
licensed under this Act shall, in addition to
any other  | 
penalty provided by law, pay a
civil penalty to the Department  | 
in an amount not to exceed $25,000 for each violation of this  | 
Act as
determined by the Department. The civil penalty shall  | 
be assessed by the
Department after a
hearing is held in  | 
accordance with the provisions of this Act.
 | 
 (b) The Department has the authority and power to  | 
investigate any
unlicensed activity.
 | 
 (c) A civil penalty shall be paid within 60 days after the  | 
effective date
of the order imposing the civil penalty. The  | 
Department may petition the circuit
court for a
judgment to  | 
enforce the collection of the penalty. Prior to July 1, 2023,  | 
any Any civil penalties
collected under this Act shall be made  | 
payable to the Department and deposited into the Home  | 
Inspector Administration Fund. Beginning on July 1, 2023, any  | 
civil penalties collected under this Act shall be made payable  | 
to the Department and deposited into the Division of Real  | 
Estate General Fund.
 | 
(Source: P.A. 97-226, eff. 7-28-11.)
 | 
 (225 ILCS 441/15-11 new) | 
 Sec. 15-11. Illegal discrimination. When there has been an  | 
adjudication in a civil or criminal proceeding that a licensee  | 
has illegally discriminated while engaged in any activity for  | 
which a license is required under this Act, the Department,  | 
 | 
upon the recommendation of the Board as to the extent of the  | 
suspension or revocation, shall suspend or revoke the license  | 
of that licensee in a timely manner, unless the adjudication  | 
is in the appeal process. When there has been an order in an  | 
administrative proceeding finding that a licensee has  | 
illegally discriminated while engaged in any activity for  | 
which a license is required under this Act, the Department,  | 
upon recommendation of the Board as to the nature and extent of  | 
the discipline, shall take one or more of the disciplinary  | 
actions provided for in Section 15-10 of this Act in a timely  | 
manner, unless the administrative order is in the appeal  | 
process.
 | 
 (225 ILCS 441/25-5)
 | 
 (Section scheduled to be repealed on January 1, 2027)
 | 
 Sec. 25-5. Division of Real Estate General Home Inspector  | 
Administration Fund; surcharge. 
 | 
 (a) The Home Inspector Administration Fund is
created as a  | 
special fund in the State Treasury. Prior to July 1, 2023, all  | 
All fees, fines, and
penalties received
by the Department  | 
under this Act shall be deposited into the Home Inspector
 | 
Administration Fund.
All earnings attributable to investment  | 
of funds in the Home Inspector
Administration Fund shall be  | 
credited to the Home Inspector Administration
Fund.
Subject to  | 
appropriation, the moneys in the Home Inspector
Administration  | 
Fund shall be appropriated to the Department for the expenses  | 
 | 
incurred by
the Department in the administration of this Act.
 | 
 (a-5) The Division of Real Estate General Fund is created  | 
as a special fund in the State Treasury. Beginning on July 1,  | 
2023, all fees, fines, and penalties received by the  | 
Department under this Act shall be deposited into the Division  | 
of Real Estate General Fund. All earnings attributable to  | 
investment of funds in the Division of Real Estate General  | 
Fund shall be credited to the Division of Real Estate General  | 
Fund. Subject to appropriation, the moneys in the Division of  | 
Real Estate General Fund shall be appropriated to the  | 
Department for the expenses incurred by the Department in the  | 
administration of this Act. | 
 (b) (Blank).
 | 
 (c) (Blank).
 | 
 (c-5) Moneys in the Home Inspection Administration Fund  | 
and the Division of Real Estate General Fund may be  | 
transferred to the Professions Indirect Cost Fund, as  | 
authorized under Section 2105-300 of the Department of  | 
Professional Regulation Law of the Civil Administrative Code  | 
of Illinois.
 | 
 (d) Upon the completion of
any audit of the Department, as  | 
prescribed by the Illinois State Auditing Act, that
includes  | 
an audit of the Home Inspector Administration Fund or the  | 
Division of Real Estate General Fund, the Department shall  | 
make
the audit report open to inspection by any interested  | 
person.
 | 
 | 
 (e) Notwithstanding any other provision of law, in  | 
addition to any other transfers that may be provided by law, on  | 
July 1, 2023, or as soon thereafter as practical, the State  | 
Comptroller shall direct and the State Treasurer shall  | 
transfer the remaining balance from the Home Inspector  | 
Administration Fund into the Division of Real Estate General  | 
Fund. Upon completion of the transfer, the Home Inspector  | 
Administration Fund is dissolved, and any future deposits due  | 
to that Fund and any outstanding obligations or liabilities of  | 
that Fund pass to the Division of Real Estate General Fund. | 
(Source: P.A. 97-226, eff. 7-28-11.)
 | 
 Section 30. The Real Estate License Act of 2000 is amended  | 
by changing Sections 1-10, 5-10, 5-25, 5-45, 5-50, 5-70,  | 
15-35, 15-45, 20-20, 20-20.1, 20-69, 20-75, 20-110, 25-10,  | 
30-15, and 30-25 and by adding Section 25-38 as follows:
 | 
 (225 ILCS 454/1-10)
 | 
 (Section scheduled to be repealed on January 1, 2030)
 | 
 Sec. 1-10. Definitions. In this Act, unless the context  | 
otherwise requires:
 | 
 "Act" means the Real Estate License Act of 2000.
 | 
 "Address of record" means the designated address recorded  | 
by the Department in the applicant's or licensee's application  | 
file or license file as maintained by the Department. 
 | 
 "Agency" means a relationship in which a broker or  | 
 | 
licensee,
whether directly or through an affiliated licensee,  | 
represents a consumer by
the consumer's consent, whether  | 
express or implied, in a real property
transaction.
 | 
 "Applicant" means any person, as defined in this Section,  | 
who applies to
the Department for a valid license as a managing  | 
broker, broker, or
residential leasing agent.
 | 
 "Blind advertisement" means any real estate advertisement  | 
that is used by a licensee regarding the sale or lease of real  | 
estate, licensed activities, or the hiring of any licensee  | 
under this Act that does not
include the sponsoring broker's  | 
complete business name or, in the case of electronic  | 
advertisements, does not provide a direct link to a display  | 
with all the required disclosures. The broker's
business name  | 
in the case of a franchise shall include the franchise
 | 
affiliation as well as the name of the individual firm.
 | 
 "Board" means the Real Estate Administration and  | 
Disciplinary Board of the Department as created by Section  | 
25-10 of this Act.
 | 
 "Broker" means an individual, entity, corporation, foreign  | 
or domestic partnership, limited liability company,
registered  | 
limited liability partnership, or other business entity other  | 
than a residential leasing agent who, whether in person or  | 
through any media or technology, for another and for  | 
compensation, or
with the intention or expectation of  | 
receiving compensation, either
directly or indirectly:
 | 
  (1) Sells, exchanges, purchases, rents, or leases real  | 
 | 
 estate.
 | 
  (2) Offers to sell, exchange, purchase, rent, or lease  | 
 real estate.
 | 
  (3) Negotiates, offers, attempts, or agrees to  | 
 negotiate the sale,
exchange, purchase, rental, or leasing  | 
 of real estate.
 | 
  (4) Lists, offers, attempts, or agrees to list real  | 
 estate for sale,
rent, lease, or exchange.
 | 
  (5) Whether for another or themselves, engages in a  | 
 pattern of business of buying, selling, offering to buy or  | 
 sell, marketing for sale, exchanging, or otherwise dealing  | 
 in contracts, including assignable contracts for the  | 
 purchase or sale of, or options on
real estate or  | 
 improvements thereon. For purposes of this definition, an  | 
 individual or entity will be found to have engaged in a  | 
 pattern of business if the individual or entity by itself  | 
 or with any combination of other individuals or entities,  | 
 whether as partners or common owners in another entity,  | 
 has engaged in one or more of these practices on 2 or more  | 
 occasions in any 12-month period. 
 | 
  (6) Supervises the collection, offer, attempt, or  | 
 agreement
to collect rent for the use of real estate.
 | 
  (7) Advertises or represents oneself himself or  | 
 herself as being engaged in the
business of buying,  | 
 selling, exchanging, renting, or leasing real estate.
 | 
  (8) Assists or directs in procuring or referring of  | 
 | 
 leads or prospects, intended to
result in the sale,  | 
 exchange, lease, or rental of real estate.
 | 
  (9) Assists or directs in the negotiation of any  | 
 transaction intended to
result in the sale, exchange,  | 
 lease, or rental of real estate.
 | 
  (10) Opens real estate to the public for marketing  | 
 purposes.
 | 
  (11) Sells, rents, leases, or offers for sale or lease  | 
 real estate at
auction.
 | 
  (12) Prepares or provides a broker price opinion or  | 
 comparative market analysis as those terms are defined in  | 
 this Act, pursuant to the provisions of Section 10-45 of  | 
 this Act.  | 
 "Brokerage agreement" means a written or oral agreement  | 
between a sponsoring
broker and a consumer for licensed  | 
activities to be provided to a consumer in
return for  | 
compensation or the right to receive compensation from  | 
another.
Brokerage agreements may constitute either a  | 
bilateral or a unilateral
agreement between the broker and the  | 
broker's client depending upon the content
of the brokerage  | 
agreement. All exclusive brokerage agreements shall be in
 | 
writing.
 | 
 "Broker price opinion" means an estimate or analysis of  | 
the probable selling price of a particular interest in real  | 
estate, which may provide a varying level of detail about the  | 
property's condition, market, and neighborhood and information  | 
 | 
on comparable sales. The activities of a real estate broker or  | 
managing broker engaging in the ordinary course of business as  | 
a broker, as defined in this Section, shall not be considered a  | 
broker price opinion if no compensation is paid to the broker  | 
or managing broker, other than compensation based upon the  | 
sale or rental of real estate. A broker price opinion shall not  | 
be considered an appraisal within the meaning of the Real  | 
Estate Appraiser Licensing Act of 2002, any amendment to that  | 
Act, or any successor Act.  | 
 "Client" means a person who is being represented by a  | 
licensee.
 | 
 "Comparative market analysis" means an analysis or opinion  | 
regarding pricing, marketing, or financial aspects relating to  | 
a specified interest or interests in real estate that may be  | 
based upon an analysis of comparative market data, the  | 
expertise of the real estate broker or managing broker, and  | 
such other factors as the broker or managing broker may deem  | 
appropriate in developing or preparing such analysis or  | 
opinion. The activities of a real estate broker or managing  | 
broker engaging in the ordinary course of business as a  | 
broker, as defined in this Section, shall not be considered a  | 
comparative market analysis if no compensation is paid to the  | 
broker or managing broker, other than compensation based upon  | 
the sale or rental of real estate. A comparative market  | 
analysis shall not be considered an appraisal within the  | 
meaning of the Real Estate Appraiser Licensing Act of 2002,  | 
 | 
any amendment to that Act, or any successor Act.  | 
 "Compensation" means the valuable consideration given by  | 
one person or entity
to another person or entity in exchange  | 
for the performance of some activity or
service. Compensation  | 
shall include the transfer of valuable consideration,
 | 
including without limitation the following:
 | 
  (1) commissions;
 | 
  (2) referral fees;
 | 
  (3) bonuses;
 | 
  (4) prizes;
 | 
  (5) merchandise;
 | 
  (6) finder fees;
 | 
  (7) performance of services;
 | 
  (8) coupons or gift certificates;
 | 
  (9) discounts;
 | 
  (10) rebates;
 | 
  (11) a chance to win a raffle, drawing, lottery, or  | 
 similar game of chance
not prohibited by any other law or  | 
 statute;
 | 
  (12) retainer fee; or
 | 
  (13) salary.
 | 
 "Confidential information" means information obtained by a  | 
licensee from a
client during the term of a brokerage  | 
agreement that (i) was made confidential
by the written  | 
request or written instruction of the client, (ii) deals with
 | 
the negotiating position of the client, or (iii) is  | 
 | 
information the disclosure
of which could materially harm the  | 
negotiating position of the client, unless
at any time:
 | 
  (1) the client permits the disclosure of information  | 
 given by that client
by word or conduct;
 | 
  (2) the disclosure is required by law; or
 | 
  (3) the information becomes public from a source other  | 
 than the licensee.
 | 
 "Confidential information" shall not be considered to  | 
include material
information about the physical condition of  | 
the property.
 | 
 "Consumer" means a person or entity seeking or receiving  | 
licensed
activities.
 | 
 "Coordinator" means the Coordinator of Real Estate created  | 
in Section 25-15 of this Act.
 | 
 "Credit hour" means 50 minutes of instruction in course  | 
work that
meets the requirements set forth in rules adopted by  | 
the Department.
 | 
 "Customer" means a consumer who is not being represented  | 
by the licensee.
 | 
 "Department" means the Department of Financial and  | 
Professional Regulation.  | 
 "Designated agency" means a contractual relationship  | 
between a sponsoring
broker and a client under Section 15-50  | 
of this Act in which one or more
licensees associated with or  | 
employed by the broker are designated as agent of
the client.
 | 
 "Designated agent" means a sponsored licensee named by a  | 
 | 
sponsoring broker as
the legal agent of a client, as provided  | 
for in Section 15-50 of this Act.
 | 
 "Designated managing broker" means a managing broker who  | 
has supervisory responsibilities for licensees in one or, in  | 
the case of a multi-office company, more than one office and  | 
who has been appointed as such by the sponsoring broker  | 
registered with the Department. | 
 "Director" means the Director of Real Estate within the  | 
Department of Financial and Professional Regulation.  | 
 "Dual agency" means an agency relationship in which a  | 
licensee is
representing both buyer and seller or both  | 
landlord and tenant in the same
transaction. When the agency  | 
relationship is a designated agency, the
question of whether  | 
there is a dual agency shall be determined by the agency
 | 
relationships of the designated agent of the parties and not  | 
of the sponsoring
broker.
 | 
 "Education provider" means a school licensed by the  | 
Department offering courses in pre-license, post-license, or  | 
continuing education required by this Act.  | 
 "Employee" or other derivative of the word "employee",  | 
when used to refer to,
describe, or delineate the relationship  | 
between a sponsoring broker and a managing broker, broker, or  | 
a residential leasing agent, shall be
construed to include an  | 
independent contractor relationship, provided that a
written  | 
agreement exists that clearly establishes and states the  | 
relationship.
 | 
 | 
 "Escrow moneys" means all moneys, promissory notes or any  | 
other type or
manner of legal tender or financial  | 
consideration deposited with any person for
the benefit of the  | 
parties to the transaction. A transaction exists once an
 | 
agreement has been reached and an accepted real estate  | 
contract signed or lease
agreed to by the parties. Escrow  | 
moneys includes without limitation earnest
moneys and security  | 
deposits, except those security deposits in which the
person  | 
holding the security deposit is also the sole owner of the  | 
property
being leased and for which the security deposit is  | 
being held.
 | 
 "Electronic means of proctoring" means a methodology  | 
providing assurance that the person taking a test and  | 
completing the answers to questions is the person seeking  | 
licensure or credit for continuing education and is doing so  | 
without the aid of a third party or other device.  | 
 "Exclusive brokerage agreement" means a written brokerage  | 
agreement that provides that the sponsoring broker has the  | 
sole right, through one or more sponsored licensees, to act as  | 
the exclusive agent or representative of the client and that  | 
meets the requirements of Section 15-75 of this Act.
 | 
 "Inactive" means a status of licensure where the licensee  | 
holds a current
license under this Act, but the licensee is  | 
prohibited from engaging in
licensed activities because the  | 
licensee is unsponsored or the license of the
sponsoring  | 
broker with whom the licensee is associated or by whom the  | 
 | 
licensee he or she is
employed is currently expired, revoked,  | 
suspended, or otherwise rendered
invalid under this Act. The  | 
license of any business entity that is not in good standing  | 
with the Illinois Secretary of State, or is not authorized to  | 
conduct business in Illinois, shall immediately become  | 
inactive and that entity shall be prohibited from engaging in  | 
any licensed activities. 
 | 
 "Leads" means the name or names of a potential buyer,  | 
seller, lessor, lessee, or client of a licensee. 
 | 
 "License" means the privilege conferred by the Department  | 
to a person that has fulfilled all requirements prerequisite  | 
to any type of licensure under this
Act.
 | 
 "Licensed activities" means those activities listed in the  | 
definition of
"broker" under this Section.
 | 
 "Licensee" means any person licensed under this Act , as  | 
defined in this Section, who holds a
valid unexpired license  | 
as a managing broker, broker, or
residential leasing agent.
 | 
 "Listing presentation" means any communication, written or  | 
oral and by any means or media, between a managing broker or
 | 
broker and a consumer in which the licensee is attempting to  | 
secure a
brokerage agreement with the consumer to market the  | 
consumer's real estate for
sale or lease.
 | 
 "Managing broker" means a licensee who may be authorized  | 
to assume responsibilities as a designated managing broker for
 | 
licensees in one or, in the case of a multi-office company,  | 
more than one
office, upon appointment by the sponsoring  | 
 | 
broker and registration with the Department. A managing broker  | 
may act as one's his or her own sponsor. 
 | 
 "Medium of advertising" means any method of communication  | 
intended to
influence the general public to use or purchase a  | 
particular good or service or
real estate, including, but not  | 
limited to, print, electronic, social media, and digital  | 
forums.
 | 
 "Office" means a broker's place of business where the  | 
general
public is invited to transact business and where  | 
records may be maintained and
licenses readily available  | 
displayed, whether or not it is the broker's principal place  | 
of
business.
 | 
 "Person" means and includes individuals, entities,  | 
corporations, limited
liability companies, registered limited  | 
liability partnerships, foreign and domestic
partnerships, and  | 
other business entities, except that when the context  | 
otherwise
requires, the term may refer to a single individual  | 
or other described entity.
 | 
 "Proctor" means any person, including, but not limited to,  | 
an instructor, who has a written agreement to administer  | 
examinations fairly and impartially with a licensed education  | 
provider.  | 
 "Real estate" means and includes leaseholds as well as any  | 
other interest or
estate in land, whether corporeal,  | 
incorporeal, freehold, or non-freehold and whether the real  | 
estate is situated in this
State or elsewhere. "Real estate"  | 
 | 
does not include property sold, exchanged, or leased as a  | 
timeshare or similar vacation item or interest, vacation club  | 
membership, or other activity formerly regulated under the  | 
Real Estate Timeshare Act of 1999 (repealed).
 | 
 "Regular employee" means a person working an average of 20  | 
hours per week for a person or entity who would be considered  | 
as an employee under the Internal Revenue Service rules for  | 
classifying workers. 
 | 
 "Renewal period" means the period beginning 90 days prior  | 
to the expiration date of a license.  | 
 "Residential leasing agent" means a person who is employed  | 
by a broker to
engage in licensed activities limited to  | 
leasing residential real estate who
has obtained a license as  | 
provided for in Section 5-5 of this Act.  | 
 "Secretary" means the Secretary of the Department of  | 
Financial and Professional Regulation, or a person authorized  | 
by the Secretary to act in the Secretary's stead.  | 
 "Sponsoring broker" means the broker who certifies to the  | 
Department his, her, or its sponsorship of a
licensed managing  | 
broker, broker, or a residential leasing agent.
 | 
 "Sponsorship" means that a sponsoring broker has certified  | 
to the Department that a managing broker, broker,
or  | 
residential leasing agent named thereon is employed by or  | 
associated by written
agreement with the sponsoring broker and  | 
the Department has registered the sponsorship, as provided for  | 
in Section
5-40 of this Act.
 | 
 | 
 "Team" means any 2 or more licensees who work together to  | 
provide real estate brokerage services, represent themselves  | 
to the public as being part of a team or group, are identified  | 
by a team name that is different than their sponsoring  | 
broker's name, and together are supervised by the same  | 
managing broker and sponsored by the same sponsoring broker.  | 
"Team" does not mean a separately organized, incorporated, or  | 
legal entity.  | 
(Source: P.A. 100-188, eff. 1-1-18; 100-534, eff. 9-22-17;  | 
100-831, eff. 1-1-19; 100-863, eff. 8-14-18; 101-357, eff.  | 
8-9-19.)
 | 
 (225 ILCS 454/5-10)
 | 
 (Section scheduled to be repealed on January 1, 2030)
 | 
 Sec. 5-10. Requirements for license as a residential  | 
leasing agent; continuing education.  | 
 (a) Every applicant for licensure as a residential leasing  | 
agent must meet the following qualifications: | 
  (1) be at least 18 years of age; | 
  (2) be of good moral
character; | 
  (3) successfully complete
a 4-year course of study in  | 
 a high school or secondary school or an
equivalent course  | 
 of
study approved by the state in which the school is  | 
 located, or possess a high school equivalency certificate,  | 
 which shall be verified under oath by the applicant; | 
  (4) personally take and pass a written
examination  | 
 | 
 authorized by the Department sufficient to demonstrate the  | 
 applicant's
knowledge of the
provisions of this Act  | 
 relating to residential leasing agents and the applicant's
 | 
 competence to engage in the
activities of a licensed  | 
 residential leasing agent; | 
  (5) provide satisfactory evidence of having completed  | 
 15 hours of
instruction in an approved course of study  | 
 relating to the leasing of residential real property. The  | 
 Board may recommend to the Department the number of hours  | 
 each topic of study shall require. The
course of study  | 
 shall, among other topics, cover
the provisions of this  | 
 Act
applicable to residential leasing agents; fair housing  | 
 and human rights issues relating to residential
leasing;  | 
 advertising and marketing issues;
leases, applications,  | 
 and credit and criminal background reports; owner-tenant  | 
 relationships and
owner-tenant laws; the handling of  | 
 funds; and
environmental issues relating
to residential  | 
 real
property; | 
  (6) complete any other requirements as set forth by  | 
 rule; and
 | 
  (7) present a valid application for issuance of an  | 
 initial license accompanied by fees specified by rule. | 
 (b) No applicant shall engage in any of the activities  | 
covered by this Act without a valid license and until a valid  | 
sponsorship has been registered with the Department. | 
 (c) Successfully completed course work, completed pursuant  | 
 | 
to the
requirements of this
Section, may be applied to the  | 
course work requirements to obtain a managing
broker's or
 | 
broker's license as provided by rule. The Board may
recommend  | 
to the Department and the Department may adopt requirements  | 
for approved courses, course
content, and the
approval of  | 
courses, instructors, and education providers, as well as  | 
education provider and instructor
fees. The Department may
 | 
establish continuing education requirements for residential  | 
licensed leasing agents, by
rule, consistent with the language  | 
and intent of this Act, with the advice of
the Board.
 | 
 (d) The continuing education requirement for residential  | 
leasing agents shall consist of a single core curriculum to be  | 
prescribed by the Department as recommended by the Board.  | 
Leasing agents shall be required to complete no less than 8  | 
hours of continuing education in the core curriculum during  | 
the current term of the license for each 2-year renewal  | 
period. The curriculum shall, at a minimum, consist of a  | 
single course or courses on the subjects of fair housing and  | 
human rights issues related to residential leasing,  | 
advertising and marketing issues, leases, applications, credit  | 
reports, and criminal history, the handling of funds,  | 
owner-tenant relationships and owner-tenant laws, and  | 
environmental issues relating to residential real estate.  | 
(Source: P.A. 100-188, eff. 1-1-18; 101-357, eff. 8-9-19.)
 | 
 (225 ILCS 454/5-25)
 | 
 | 
 (Section scheduled to be repealed on January 1, 2030)
 | 
 Sec. 5-25. Good moral character. 
 | 
 (a) When an applicant has had a his or her license revoked  | 
on a prior occasion
or when an
applicant is found to have  | 
committed any of the practices enumerated in Section
20-20 of  | 
this Act or when an
applicant has been convicted of or enters a  | 
plea of guilty or nolo contendere to forgery, embezzlement,  | 
obtaining money under
false pretenses,
larceny, extortion,  | 
conspiracy to defraud, or any other similar offense or
 | 
offenses or has been
convicted of a felony involving moral  | 
turpitude in any court of competent
jurisdiction in this or  | 
any
other state, district, or territory of the United States  | 
or of a foreign
country, the Board may consider
the prior  | 
revocation, conduct, or conviction in its determination of the
 | 
applicant's moral character
and whether to grant the applicant  | 
a license.
 | 
 (b) In its consideration of the prior revocation, conduct,  | 
or conviction, the Board shall take into account the nature of  | 
the conduct, any aggravating or extenuating circumstances, the  | 
time elapsed since the revocation, conduct, or conviction, the  | 
rehabilitation or restitution performed by the applicant,  | 
mitigating factors, and any other factors that the Board deems  | 
relevant, including, but not limited to: | 
  (1) the lack of direct relation of the offense for  | 
 which the applicant was previously convicted to the  | 
 duties, functions, and responsibilities of the position  | 
 | 
 for which a license is sought; | 
  (2) unless otherwise specified, whether 5 years since  | 
 a felony conviction or 3 years since release from  | 
 confinement for the conviction, whichever is later, have  | 
 passed without a subsequent conviction; | 
  (3) if the applicant was previously licensed or  | 
 employed in this State or other states or jurisdictions,  | 
 the lack of prior misconduct arising from or related to  | 
 the licensed position or position of employment; | 
  (4) the age of the person at the time of the criminal  | 
 offense; | 
  (5) if, due to the applicant's criminal conviction  | 
 history, the applicant would be explicitly prohibited by  | 
 federal rules or regulations from working in the position  | 
 for which a license is sought; | 
  (6) successful completion of sentence and, for  | 
 applicants serving a term of parole or probation, a  | 
 progress report provided by the applicant's probation or  | 
 parole officer that documents the applicant's compliance  | 
 with conditions of supervision; | 
  (7) evidence of the applicant's present fitness and  | 
 professional character; | 
  (8) evidence of rehabilitation or rehabilitative  | 
 effort during or after incarceration, or during or after a  | 
 term of supervision, including, but not limited to, a  | 
 certificate of good conduct under Section 5-5.5-25 of the  | 
 | 
 Unified Code of Corrections or a certificate of relief  | 
 from disabilities under Section 5-5.5-10 of the Unified  | 
 Code of Corrections; and | 
  (9) any other mitigating factors that contribute to  | 
 the person's potential and current ability to perform the  | 
 job duties. | 
 (c) The Department shall not require applicants to report  | 
the following information and shall not consider the following  | 
criminal history records in connection with an application for  | 
licensure or registration: | 
  (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 arrests not followed by a charge or  | 
 conviction; | 
  (4) records of arrests where 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 his or her application, the false statement may in  | 
itself be sufficient grounds to revoke or refuse to issue a  | 
license. | 
 (e) A licensee shall report to the Department, in a manner  | 
prescribed by the Department and within 30 days after the  | 
occurrence of: (1) any conviction of or adopted by rule, any  | 
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; (2) 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  | 
(3) any crime that subjects the licensee to compliance with  | 
the requirements of the Sex Offender Registration Act that  | 
occurs during the licensee's term of licensure.  | 
(Source: P.A. 101-357, eff. 8-9-19.)
 | 
 (225 ILCS 454/5-45)
 | 
 (Section scheduled to be repealed on January 1, 2030)
 | 
 | 
 Sec. 5-45. Offices. 
 | 
 (a) If a sponsoring broker maintains more than one office  | 
within the State,
the sponsoring
broker shall notify the  | 
Department in a manner prescribed by the Department for each  | 
office other than the
sponsoring broker's
principal place of  | 
business. The brokerage license shall be displayed
 | 
conspicuously in each
office. The name of each branch office  | 
shall be the same as that of the
sponsoring broker's
principal  | 
office or shall clearly delineate the office's relationship
 | 
with the principal office. 
 | 
 (b) The sponsoring broker shall name a designated managing  | 
broker for each
office and the
sponsoring broker shall be  | 
responsible for supervising all designated managing brokers.
 | 
The sponsoring
broker shall notify the Department in a manner  | 
prescribed by the Department of the name of all designated  | 
managing brokers of the
sponsoring broker and the office or  | 
offices they manage.
Any changes in designated managing  | 
brokers shall be reported to the Department in a manner  | 
prescribed by the Department within 15
days of the
change.  | 
Failure to do so shall subject the sponsoring broker to  | 
discipline
under
Section 20-20 of this Act.
 | 
 (c) The sponsoring broker shall, within 24 hours, notify  | 
the Department in a manner prescribed by the Department of any
 | 
opening, closing, or
change in location of any office.
 | 
 (d) Except as provided in this Section, each sponsoring  | 
broker shall
maintain an office,
or place of business within  | 
 | 
this State for the transaction of real estate
business, shall  | 
conspicuously
display an identification sign on the outside of  | 
the his or her physical office of adequate
size and  | 
visibility. Any record required by this Act to be created or  | 
maintained shall be, in the case of a physical record,  | 
securely stored and accessible for inspection by the  | 
Department at the sponsoring broker's principal office and, in  | 
the case of an electronic record, securely stored in the  | 
format in which it was originally generated, sent, or received  | 
and accessible for inspection by the Department by secure  | 
electronic access to the record. Any record relating to a  | 
transaction of a special account shall be maintained for a  | 
minimum of 5 years, and any electronic record shall be backed  | 
up at least monthly. The office or place of business shall not  | 
be located in any
retail or financial business
establishment  | 
unless it is clearly separated from the other business and is  | 
situated within a
distinct area within
the establishment.  | 
 (e) A broker who is licensed in this State by examination  | 
or
pursuant to the
provisions of Section 5-60 of this Act shall  | 
not be required to maintain a
definite office or place of
 | 
business in this State provided all of the following  | 
conditions are met:
 | 
  (1) the broker maintains an
active broker's license in  | 
 the broker's state of domicile;
 | 
  (2) the broker
maintains an office in the
broker's  | 
 state of domicile; and
 | 
 | 
  (3) the broker has filed with the Department written
 | 
 statements appointing the
Secretary to act as the broker's  | 
 agent upon whom all judicial and other
process or legal  | 
 notices
directed to the licensee may be served and  | 
 agreeing to abide by all of the
provisions of this Act
with  | 
 respect to the broker's his or her real estate activities  | 
 within the State of Illinois
and
submitting to the  | 
 jurisdiction
of the Department.
 | 
 The statements under subdivision (3) of this Section shall  | 
be in form and
substance the same as those
statements required
 | 
under Section 5-60 of this Act and shall operate to the same  | 
extent.
 | 
 (f) The Department may adopt rules to permit and regulate  | 
the operation of virtual offices that do not have a fixed  | 
location.  | 
(Source: P.A. 100-831, eff. 1-1-19; 101-357, eff. 8-9-19.)
 | 
 (225 ILCS 454/5-50)
 | 
 (Section scheduled to be repealed on January 1, 2030)
 | 
 Sec. 5-50. Expiration and renewal of managing broker,  | 
broker, or residential
leasing agent license; sponsoring  | 
broker;
register of licensees. | 
 (a) The expiration date and renewal period for each  | 
license issued under
this Act shall be set by
rule. Except as  | 
otherwise provided in this Section, the holder of
a
license  | 
may renew
the license within 90 days preceding the expiration  | 
 | 
date thereof by completing the continuing education required  | 
by this Act and paying the
fees specified by
rule.
 | 
 (b) An individual whose first license is that of a broker  | 
received on or after the effective date of this amendatory Act  | 
of the 101st General Assembly, must provide evidence of having  | 
completed 45 hours of post-license education presented in a  | 
classroom or a live, interactive webinar, or online distance  | 
education course, and which shall require passage of a final  | 
examination.
 | 
 The Board may recommend, and the Department shall approve,  | 
45 hours of post-license education, consisting of three  | 
15-hour post-license courses, one each that covers applied  | 
brokerage principles, risk management/discipline, and  | 
transactional issues. Each of the courses shall require its  | 
own 50-question final examination, which shall be administered  | 
by the education provider that delivers the course. | 
 Individuals whose first license is that of a broker  | 
received on or after the effective date of this amendatory Act  | 
of the 101st General Assembly, must complete all three 15-hour  | 
courses and successfully pass a course final examination for  | 
each course prior to the date of the next broker renewal  | 
deadline, except for those individuals who receive their first  | 
license within the 180 days preceding the next broker renewal  | 
deadline, who must complete all three 15-hour courses and  | 
successfully pass a course final examination for each course  | 
prior to the second broker renewal deadline that follows the  | 
 | 
receipt of their license.  | 
 (c) Any managing broker, broker, or residential leasing  | 
agent whose license under this Act has expired shall be  | 
eligible to renew the license during the 2-year period  | 
following the expiration date, provided the managing broker,  | 
broker, or residential leasing agent pays the fees as  | 
prescribed by rule and completes continuing education and  | 
other requirements provided for by the Act or by rule. A  | 
managing broker, broker, or residential leasing agent whose  | 
license has been expired for more than 2 years but less than 5  | 
years may have it restored by (i) applying to the Department,  | 
(ii) paying the required fee, (iii) completing the continuing  | 
education requirements for the most recent term of licensure  | 
pre-renewal period that ended prior to the date of the  | 
application for reinstatement, and (iv) filing acceptable  | 
proof of fitness to have the his or her license restored, as  | 
set by rule. A managing broker, broker, or residential leasing  | 
agent whose license has been expired for more than 5 years  | 
shall be required to meet the requirements for a new license.
 | 
 (d) Notwithstanding any other provisions of this Act to  | 
the contrary, any managing broker, broker, or residential  | 
leasing agent whose license expired while the licensee he or  | 
she was (i) on active duty with the Armed Forces of the United  | 
States or called into service or training by the state  | 
militia, (ii) engaged in training or education under the  | 
supervision of the United States preliminary to induction into  | 
 | 
military service, or (iii) serving as the Coordinator of Real  | 
Estate in the State of Illinois or as an employee of the  | 
Department may have the his or her license renewed, reinstated  | 
or restored without paying any lapsed renewal fees if within 2  | 
years after the termination of the service, training or  | 
education by furnishing the Department with satisfactory  | 
evidence of service, training, or education and it has been  | 
terminated under honorable conditions. | 
 (e) Each licensee shall carry on one's his or her person  | 
the his or
her license or an electronic version thereof. | 
 (f) The Department shall provide to the sponsoring broker  | 
a notice of renewal for all sponsored licensees by mailing the  | 
notice to the sponsoring broker's address of record, or, at  | 
the Department's discretion, emailing the notice to the  | 
sponsoring broker's email address of record. | 
 (g) Upon request from the sponsoring broker, the  | 
Department shall make available to the sponsoring broker, by  | 
electronic means at the discretion of the Department, a  | 
listing of licensees under this Act who, according to the  | 
records of the Department, are sponsored by that broker. Every  | 
licensee associated with or employed by a broker whose license  | 
is revoked, suspended, or expired shall be considered inactive  | 
until such time as the sponsoring broker's license is  | 
reinstated or renewed, or a new valid sponsorship is  | 
registered with the Department the licensee changes employment  | 
as set forth in subsection (b) (c) of Section 5-40 of this Act.  | 
 | 
 (h) The Department shall not renew a license if the  | 
licensee has an unpaid fine or fee from a disciplinary matter  | 
from a non-disciplinary action imposed by the Department until  | 
the fine or fee is paid to the Department or the licensee has  | 
entered into a payment plan and is current on the required  | 
payments. | 
 (i) The Department shall not issue a license if the  | 
applicant has an unpaid fine imposed by the Department for  | 
unlicensed practice until the fine is paid to the Department  | 
or the applicant has entered into a payment plan and is current  | 
on the required payments. | 
(Source: P.A. 100-188, eff. 1-1-18; 101-357, eff. 8-9-19.)
 | 
 (225 ILCS 454/5-70)
 | 
 (Section scheduled to be repealed on January 1, 2030)
 | 
 Sec. 5-70. Continuing education requirement; managing  | 
broker or broker.
 | 
 (a) The requirements of this Section apply to all managing  | 
brokers and brokers.
 | 
 (b) Except as otherwise
provided in this Section, each
 | 
person who applies for renewal of a his or her license as a  | 
managing broker or broker must successfully complete 12 hours  | 
of real estate continuing education
courses recommended by the  | 
Board and approved by
the Department during the current term  | 
of the license. In addition, those licensees renewing or  | 
obtaining a managing broker's license must successfully  | 
 | 
complete a 12-hour broker management continuing education  | 
course approved by the Department during the current term of  | 
the license. The broker management continuing education course  | 
must be completed in the classroom or through a live,  | 
interactive webinar or online distance education format. No
 | 
license may be renewed
except upon the successful completion  | 
of the required courses or their
equivalent or upon a waiver
of  | 
those requirements for good cause shown as determined by the  | 
Secretary upon
the
recommendation of the Board.
The  | 
requirements of this Article are applicable to all managing  | 
brokers and brokers
except those managing brokers
and brokers  | 
who, during the current term of licensure renewal period:
 | 
  (1) serve in the armed services of the United States;
 | 
  (2) serve as an elected State or federal official;
 | 
  (3) serve as a full-time employee of the Department;  | 
 or
 | 
  (4) are admitted to practice law pursuant to Illinois  | 
 Supreme Court rule.
 | 
 (c) (Blank). | 
 (d) A
person receiving an initial license
during the 90  | 
days before the renewal date shall not be
required to complete  | 
the continuing
education courses provided for in subsection  | 
(b) of this
Section as a condition of initial license renewal.
 | 
 (e) The continuing education requirement for brokers and  | 
managing brokers shall
consist of a single core
curriculum and  | 
an elective curriculum, to be recommended by the Board and  | 
 | 
approved by the Department in accordance with this subsection.  | 
The core curriculum shall not be further divided into  | 
subcategories or divisions of instruction. The core curriculum  | 
shall consist of 4 hours during the current term of the license  | 
on subjects that may include, but are not limited to,  | 
advertising, agency, disclosures, escrow, fair housing,  | 
residential leasing agent management, and license law. The  | 
amount of time allotted to each of these subjects shall be  | 
recommended by the Board and determined by the Department. The  | 
Department, upon the recommendation of the Board, shall review  | 
the core curriculum every 4 years, at a minimum, and shall  | 
revise the curriculum if necessary. However, the core  | 
curriculum's total hourly requirement shall only be subject to  | 
change by amendment of this subsection, and any change to the  | 
core curriculum shall not be effective for a period of 6 months  | 
after such change is made by the Department. The Department  | 
shall provide notice to all approved education providers of  | 
any changes to the core curriculum. When determining whether  | 
revisions of the core curriculum's subjects or specific time  | 
requirements are necessary, the Board shall consider
recent  | 
changes in applicable laws, new laws, and areas
of the license  | 
law and the Department policy that the Board deems  | 
appropriate,
and any other subject
areas the Board deems  | 
timely and applicable in order to prevent
violations of this  | 
Act
and to protect the public.
In establishing a  | 
recommendation to the Department regarding the elective  | 
 | 
curriculum, the Board shall consider
subjects that cover
the  | 
various aspects of the practice of real estate that are  | 
covered under the
scope of this Act.
 | 
 (f) The subject areas of continuing education courses  | 
recommended by the Board and approved by the Department shall  | 
be meant to protect the professionalism of the industry, the  | 
consumer, and the public and prevent violations of this Act  | 
and
may
include without limitation the following:
 | 
  (1) license law and escrow;
 | 
  (2) antitrust;
 | 
  (3) fair housing;
 | 
  (4) agency;
 | 
  (5) appraisal;
 | 
  (6) property management;
 | 
  (7) residential brokerage;
 | 
  (8) farm property management;
 | 
  (9) transaction management rights and duties of  | 
 parties in a transaction;
 | 
  (10) commercial brokerage and leasing;
 | 
  (11) real estate financing;
 | 
  (12) disclosures; | 
  (13) residential leasing agent management; | 
  (14) advertising;  | 
  (15) broker supervision and designated managing broker  | 
 responsibility; | 
  (16) professional conduct; and | 
 | 
  (17) use of technology.  | 
 (g) In lieu of credit for those courses listed in  | 
subsection (f) of this
Section, credit may be
earned for  | 
serving as a licensed instructor in an approved course of  | 
continuing
education. The
amount of credit earned for teaching  | 
a course shall be the amount of continuing
education credit  | 
for
which the course is approved for licensees taking the  | 
course.
 | 
 (h) Credit hours may be earned for self-study programs  | 
approved by the Department.
 | 
 (i) A managing broker or broker may earn credit for a  | 
specific continuing
education course only
once during the  | 
current term of the license.
 | 
 (j) No more than 12 hours of continuing education credit  | 
may be taken in one
calendar day.
 | 
 (k) To promote the offering of a uniform and consistent  | 
course content, the Department may provide for the development  | 
of a single broker management course to be offered by all  | 
education providers who choose to offer the broker management  | 
continuing education course. The Department may contract for  | 
the development of the 12-hour broker management continuing  | 
education course with an outside vendor or consultant and, if  | 
the course is developed in this manner, the Department or the  | 
outside consultant shall license the use of that course to all  | 
approved education providers who wish to provide the course.
 | 
 (l) Except as specifically provided in this Act,  | 
 | 
continuing education credit hours may not be earned for  | 
completion of pre-license or post-license courses. The courses  | 
comprising the approved 45-hour post-license curriculum for  | 
broker licensees shall satisfy the continuing education  | 
requirement for the initial broker license term period in  | 
which the courses are taken. The approved 45-hour managing  | 
broker pre-license brokerage administration and management  | 
course shall satisfy the 12-hour broker management continuing  | 
education requirement for the initial managing broker license  | 
term in which the course is taken.  | 
(Source: P.A. 100-188, eff. 1-1-18; 101-357, eff. 8-9-19.)
 | 
 (225 ILCS 454/15-35)
 | 
 (Section scheduled to be repealed on January 1, 2030)
 | 
 Sec. 15-35. Agency relationship disclosure. 
 | 
 (a) A licensee acting as a designated agent shall advise a  | 
consumer in writing, no later than beginning to work as a  | 
designated agent on behalf of the consumer, of the following:
 | 
  (1) That a designated agency relationship exists,  | 
 unless there is written
agreement
between the sponsoring  | 
 broker and the consumer providing for a different agency
 | 
 relationship; and
 | 
  (2) The name or names of the his or her designated  | 
 agent or agents on the written disclosure, which can be  | 
 included in a brokerage agreement or be a separate  | 
 document, a copy of which is retained by the sponsoring  | 
 | 
 broker real estate brokerage firm for the licensee.
 | 
 (b) The licensee representing the consumer shall discuss  | 
with the consumer the sponsoring broker's compensation and  | 
policy with regard to
cooperating with
brokers who represent  | 
other parties in a transaction.
 | 
 (c) A licensee shall disclose in writing to a customer  | 
that the licensee is
not acting as the agent
of the customer at  | 
a time intended to prevent disclosure of confidential
 | 
information from a
customer to a licensee, but in no event  | 
later than the preparation of an offer
to purchase or lease  | 
real
property.
 | 
(Source: P.A. 101-357, eff. 8-9-19.)
 | 
 (225 ILCS 454/15-45)
 | 
 (Section scheduled to be repealed on January 1, 2030)
 | 
 Sec. 15-45. Dual agency. 
 | 
 (a) An individual licensee may act as a dual agent or a  | 
sponsoring broker may permit one or more of its sponsored  | 
licensees to act as dual agents in the same transaction only  | 
with the informed written
consent of all clients.
Informed  | 
written consent shall be presumed to have been given by any  | 
client who
signs a document
that includes the following:
 | 
  "The undersigned (insert name(s)), ("Licensee"), may  | 
 undertake a dual
representation (represent
both the seller  | 
 or landlord and the buyer or tenant) for the sale or lease  | 
 of
property. The
undersigned acknowledge they were  | 
 | 
 informed of the possibility of this type of
 | 
 representation.
Before signing this document please read  | 
 the following:
Representing more than one party to a  | 
 transaction presents a conflict of
interest since both  | 
 clients
may rely upon Licensee's advice and the client's  | 
 respective interests may be
adverse to each other.
 | 
 Licensee will undertake this representation only with the  | 
 written consent of
ALL clients in the
transaction.
Any  | 
 agreement between the clients as to a final contract price  | 
 and other terms
is a result of
negotiations between the  | 
 clients acting in their own best interests and on
their  | 
 own behalf. You
acknowledge that Licensee has explained  | 
 the implications of dual
representation, including the
 | 
 risks involved, and understand that you have been advised  | 
 to seek independent
advice from your
advisors or attorneys  | 
 before signing any documents in this transaction.
 | 
WHAT A LICENSEE CAN DO FOR CLIENTS
 | 
WHEN ACTING AS A DUAL AGENT
 | 
 1. Treat all clients honestly.
 | 
 2. Provide information about the property to the buyer or  | 
 tenant.
 | 
 3. Disclose all latent material defects in the property  | 
 that are known to
the
Licensee.
 | 
 4. Disclose financial qualification of the buyer or tenant  | 
 to the seller or
landlord.
 | 
 5. Explain real estate terms.
 | 
 | 
 6. Help the buyer or tenant to arrange for property  | 
 inspections.
 | 
 7. Explain closing costs and procedures.
 | 
 8. Help the buyer compare financing alternatives.
 | 
 9. Provide information about comparable properties that  | 
 have sold so both
clients may
make educated decisions on  | 
 what price to accept or offer.
 | 
WHAT LICENSEE CANNOT DISCLOSE TO CLIENTS WHEN
 | 
ACTING AS A DUAL AGENT
 | 
 1. Confidential information that Licensee may know about a  | 
 client,
without that
client's permission.
 | 
 2. The price or terms the seller or landlord will take  | 
 other than the listing price
without
permission of the  | 
 seller or landlord.
 | 
 3. The price or terms the buyer or tenant is willing to pay  | 
 without permission of the
buyer or tenant.
 | 
 4. A recommended or suggested price or terms the buyer or  | 
 tenant should offer.
 | 
 5. A recommended or suggested price or terms the seller or  | 
 landlord should counter
with or
accept.
 | 
  If either client is uncomfortable with this disclosure  | 
 and dual
representation, please
let Licensee know.
You are  | 
 not required to sign this document unless you want to  | 
 allow Licensee to
proceed as a Dual Agent in this  | 
 transaction.
By signing below, you acknowledge that you  | 
 have read and understand this form
and voluntarily consent  | 
 | 
 to Licensee acting as a Dual Agent (that is, to
represent
 | 
 BOTH the seller or landlord and the buyer or tenant)  | 
 should that become
necessary."
 | 
 (b) The dual agency disclosure form provided for in  | 
subsection (a) of this
Section must be
presented by a  | 
licensee, who offers dual representation, to the client at the
 | 
time the brokerage
agreement is entered into and may be signed  | 
by the client at that time or at
any time before the
licensee  | 
acts as a dual agent as to the client.
 | 
 (c) A licensee acting in a dual agency capacity in a  | 
transaction must obtain
a written
confirmation from the  | 
licensee's clients of their prior consent for the
licensee to
 | 
act as a dual agent in the
transaction.
This confirmation  | 
should be obtained at the time the clients are executing any
 | 
offer or contract to
purchase or lease in a transaction in  | 
which the licensee is acting as a dual
agent. This  | 
confirmation
may be included in another document, such as a  | 
contract to purchase, in which
case the client must
not only  | 
sign the document but also initial the confirmation of dual  | 
agency
provision. That
confirmation must state, at a minimum,  | 
the following:
 | 
  "The undersigned confirm that they have previously  | 
 consented to (insert
name(s)),
("Licensee"), acting as a  | 
 Dual Agent in providing brokerage services on their
behalf
 | 
 and specifically consent to Licensee acting as a Dual  | 
 Agent in regard to the
transaction referred to in this  | 
 | 
 document."
 | 
 (d) No cause of action shall arise on behalf of any person  | 
against a dual
agent for making
disclosures allowed or  | 
required by this Article, and the dual agent does not
 | 
terminate any agency
relationship by making the allowed or  | 
required disclosures.
 | 
 (e) In the case of dual agency, each client and the  | 
licensee possess only
actual knowledge and
information. There  | 
shall be no imputation of knowledge or information among or
 | 
between clients,
brokers, or their affiliated licensees.
 | 
 (f) In any transaction, a licensee may without liability  | 
withdraw from
representing a client who
has not consented to a  | 
disclosed dual agency. The withdrawal shall not
prejudice the  | 
ability of the
licensee to continue to represent the other  | 
client in the transaction or limit
the licensee from
 | 
representing the client in other transactions. When a  | 
withdrawal as
contemplated in this subsection
(f) occurs, the  | 
licensee shall not receive a referral fee for referring a
 | 
client to another licensee unless
written disclosure is made  | 
to both the withdrawing client and the client that
continues  | 
to be
represented by the licensee.
 | 
 (g) A licensee shall not serve as a dual agent in any  | 
transaction when the licensee, or an entity in which the  | 
licensee has or will have any ownership interest, is a party to  | 
the transaction. | 
(Source: P.A. 101-357, eff. 8-9-19.)
 | 
 | 
 (225 ILCS 454/20-20)
 | 
 (Section scheduled to be repealed on January 1, 2030)
 | 
 Sec. 20-20. Nature of and grounds for discipline. | 
 (a) The Department may refuse to issue or renew a license,  | 
may place on probation, suspend,
or
revoke any
license,  | 
reprimand, or take any other disciplinary or non-disciplinary  | 
action as the Department may deem proper and impose a
fine not  | 
to exceed
$25,000 upon any licensee or applicant under this  | 
Act or any person who holds oneself himself or herself out as  | 
an applicant or licensee or against a licensee in handling  | 
one's his or her own property, whether held by deed, option, or  | 
otherwise, for any one or any combination of the
following  | 
causes:
 | 
  (1) Fraud or misrepresentation in applying for, or  | 
 procuring, a license under this Act or in connection with  | 
 applying for renewal of a license under this Act.
 | 
  (2) The licensee's conviction of or plea of guilty or  | 
 plea of nolo contendere, as set forth in subsection (e) of  | 
 Section 5-25, to: (A) a felony or misdemeanor in this  | 
 State or any other jurisdiction; or (B) the entry of an  | 
 administrative sanction by a government agency in this  | 
 State or any other jurisdiction; or (C) any crime that  | 
 subjects the licensee to compliance with the requirements  | 
 of the Sex Offender Registration Act. Action taken under  | 
 this paragraph (2) for a misdemeanor or an administrative  | 
 | 
 sanction is limited to a misdemeanor or administrative  | 
 sanction that has as an
essential element dishonesty or  | 
 fraud or involves larceny, embezzlement,
or obtaining  | 
 money, property, or credit by false pretenses or by means  | 
 of a
confidence
game.
 | 
  (3) Inability to practice the profession with  | 
 reasonable judgment, skill, or safety as a result of a  | 
 physical illness, including, but not limited to,  | 
 deterioration through the aging process or loss of motor  | 
 skill, or a mental illness, or disability.
 | 
  (4) Practice under this Act as a licensee in a retail  | 
 sales establishment from an office, desk, or space that
is  | 
 not
separated from the main retail business and located  | 
 within a separate and distinct area within
the
 | 
 establishment.
 | 
  (5) Having been disciplined by another state, the  | 
 District of Columbia, a territory, a foreign nation, or a  | 
 governmental agency authorized to impose discipline if at  | 
 least one of the grounds for that discipline is the same as  | 
 or
the
equivalent of one of the grounds for which a  | 
 licensee may be disciplined under this Act. A certified  | 
 copy of the record of the action by the other state or  | 
 jurisdiction shall be prima facie evidence thereof.
 | 
  (6) Engaging in the practice of real estate brokerage
 | 
 without a
license or after the licensee's license or  | 
 temporary permit was expired or while the license was  | 
 | 
 inactive, revoked, or suspended.
 | 
  (7) Cheating on or attempting to subvert the Real
 | 
 Estate License Exam or a continuing education course or  | 
 examination. | 
  (8) Aiding or abetting an applicant
to
subvert or  | 
 cheat on the Real Estate License Exam or continuing  | 
 education exam
administered pursuant to this Act.
 | 
  (9) Advertising that is inaccurate, misleading, or  | 
 contrary to the provisions of the Act.
 | 
  (10) Making any substantial misrepresentation or  | 
 untruthful advertising.
 | 
  (11) Making any false promises of a character likely  | 
 to influence,
persuade,
or induce.
 | 
  (12) Pursuing a continued and flagrant course of  | 
 misrepresentation or the
making
of false promises through  | 
 licensees, employees, agents, advertising, or
otherwise.
 | 
  (13) Any misleading or untruthful advertising, or  | 
 using any trade name or
insignia of membership in any real  | 
 estate organization of which the licensee is
not a member.
 | 
  (14) Acting for more than one party in a transaction  | 
 without providing
written
notice to all parties for whom  | 
 the licensee acts.
 | 
  (15) Representing or attempting to represent, or  | 
 performing licensed activities for, a broker other than  | 
 the
sponsoring broker.
 | 
  (16) Failure to account for or to remit any moneys or  | 
 | 
 documents coming into the licensee's
his or her possession  | 
 that belong to others.
 | 
  (17) Failure to maintain and deposit in a special  | 
 account, separate and
apart from
personal and other  | 
 business accounts, all escrow moneys belonging to others
 | 
 entrusted to a licensee
while acting as a broker, escrow  | 
 agent, or temporary custodian of
the funds of others or
 | 
 failure to maintain all escrow moneys on deposit in the  | 
 account until the
transactions are
consummated or  | 
 terminated, except to the extent that the moneys, or any  | 
 part
thereof, shall be: | 
   (A)
disbursed prior to the consummation or  | 
 termination (i) in accordance with
the
written  | 
 direction of
the principals to the transaction or  | 
 their duly authorized agents, (ii) in accordance with
 | 
 directions providing for the
release, payment, or  | 
 distribution of escrow moneys contained in any written
 | 
 contract signed by the
principals to the transaction  | 
 or their duly authorized agents,
or (iii)
pursuant to  | 
 an order of a court of competent
jurisdiction; or | 
   (B) deemed abandoned and transferred to the Office  | 
 of the State Treasurer to be handled as unclaimed  | 
 property pursuant to the Revised Uniform Unclaimed  | 
 Property Act. Escrow moneys may be deemed abandoned  | 
 under this subparagraph (B) only: (i) in the absence  | 
 of disbursement under subparagraph (A); (ii) in the  | 
 | 
 absence of notice of the filing of any claim in a court  | 
 of competent jurisdiction; and (iii) if 6 months have  | 
 elapsed after the receipt of a written demand for the  | 
 escrow moneys from one of the principals to the  | 
 transaction or the principal's duly authorized agent.
 | 
 The account
shall be noninterest
bearing, unless the  | 
 character of the deposit is such that payment of interest
 | 
 thereon is otherwise
required by law or unless the  | 
 principals to the transaction specifically
require, in  | 
 writing, that the
deposit be placed in an interest-bearing  | 
 account.
 | 
  (18) Failure to make available to the Department all  | 
 escrow records and related documents
maintained in  | 
 connection
with the practice of real estate within 24  | 
 hours of a request for those
documents by Department  | 
 personnel.
 | 
  (19) Failing to furnish copies upon request of  | 
 documents relating to a
real
estate transaction to a party  | 
 who has executed that document.
 | 
  (20) Failure of a sponsoring broker or licensee to  | 
 timely provide sponsorship or termination of sponsorship  | 
 information to the Department.
 | 
  (21) Engaging in dishonorable, unethical, or  | 
 unprofessional conduct of a
character
likely to deceive,  | 
 defraud, or harm the public, including, but not limited  | 
 to, conduct set forth in rules adopted by the Department.
 | 
 | 
  (22) Commingling the money or property of others with  | 
 the licensee's his or her own money or property.
 | 
  (23) Employing any person on a purely temporary or  | 
 single deal basis as a
means
of evading the law regarding  | 
 payment of commission to nonlicensees on some
contemplated
 | 
 transactions.
 | 
  (24) Permitting the use of one's his or her license as  | 
 a broker to enable a residential
leasing agent or
 | 
 unlicensed person to operate a real estate business  | 
 without actual
participation therein and control
thereof  | 
 by the broker.
 | 
  (25) Any other conduct, whether of the same or a  | 
 different character from
that
specified in this Section,  | 
 that constitutes dishonest dealing.
 | 
  (26) Displaying a "for rent" or "for sale" sign on any  | 
 property without
the written
consent of an owner or the  | 
 owner's his or her duly authorized agent or advertising by  | 
 any
means that any property is
for sale or for rent without  | 
 the written consent of the owner or the owner's his or her
 | 
 authorized agent.
 | 
  (27) Failing to provide information requested by the  | 
 Department, or otherwise respond to that request, within  | 
 30 days of
the
request.
 | 
  (28) Advertising by means of a blind advertisement,  | 
 except as otherwise
permitted in Section 10-30 of this  | 
 Act.
 | 
 | 
  (29) A licensee under this Act or an unlicensed  | 
 individual offering guaranteed sales plans, as defined in  | 
 Section 10-50, except to
the extent set forth in Section  | 
 10-50.
 | 
  (30) Influencing or attempting to influence, by any  | 
 words or acts, a
prospective
seller, purchaser, occupant,  | 
 landlord, or tenant of real estate, in connection
with  | 
 viewing, buying, or
leasing real estate, so as to promote  | 
 or tend to promote the continuance
or maintenance of
 | 
 racially and religiously segregated housing or so as to  | 
 retard, obstruct, or
discourage racially
integrated  | 
 housing on or in any street, block, neighborhood, or  | 
 community.
 | 
  (31) Engaging in any act that constitutes a violation  | 
 of any provision of
Article 3 of the Illinois Human Rights  | 
 Act, whether or not a complaint has
been filed with or
 | 
 adjudicated by the Human Rights Commission.
 | 
  (32) Inducing any party to a contract of sale or lease  | 
 or brokerage
agreement to
break the contract of sale or  | 
 lease or brokerage agreement for the purpose of
 | 
 substituting, in lieu
thereof, a new contract for sale or  | 
 lease or brokerage agreement with a third
party.
 | 
  (33) Negotiating a sale, exchange, or lease of real  | 
 estate directly with
any person
if the licensee knows that  | 
 the person has an exclusive brokerage
agreement with  | 
 another
broker, unless specifically authorized by that  | 
 | 
 broker.
 | 
  (34) When a licensee is also an attorney, acting as  | 
 the attorney for
either the
buyer or the seller in the same  | 
 transaction in which the licensee is acting or
has acted  | 
 as a managing broker
or broker.
 | 
  (35) Advertising or offering merchandise or services  | 
 as free if any
conditions or
obligations necessary for  | 
 receiving the merchandise or services are not
disclosed in  | 
 the same
advertisement or offer. These conditions or  | 
 obligations include without
limitation the
requirement  | 
 that the recipient attend a promotional activity or visit  | 
 a real
estate site. As used in this
subdivision (35),  | 
 "free" includes terms such as "award", "prize", "no  | 
 charge",
"free of charge",
"without charge", and similar  | 
 words or phrases that reasonably lead a person to
believe  | 
 that one he or she
may receive or has been selected to  | 
 receive something of value, without any
conditions or
 | 
 obligations on the part of the recipient.
 | 
  (36) (Blank).
 | 
  (37) Violating the terms of a disciplinary order
 | 
 issued by the Department.
 | 
  (38) Paying or failing to disclose compensation in  | 
 violation of Article 10 of this Act.
 | 
  (39) Requiring a party to a transaction who is not a  | 
 client of the
licensee
to allow the licensee to retain a  | 
 portion of the escrow moneys for payment of
the licensee's  | 
 | 
 commission or expenses as a condition for release of the  | 
 escrow
moneys to that party.
 | 
  (40) Disregarding or violating any provision of this  | 
 Act or the published
rules adopted
by the Department to  | 
 enforce this Act or aiding or abetting any individual,  | 
 foreign or domestic
partnership, registered limited  | 
 liability partnership, limited liability
company,  | 
 corporation, or other business entity in
disregarding any  | 
 provision of this Act or the published rules adopted by  | 
 the Department
to enforce this Act.
 | 
  (41) Failing to provide the minimum services required  | 
 by Section 15-75 of this Act when acting under an  | 
 exclusive brokerage agreement.
 | 
  (42) Habitual or excessive use of or addiction to  | 
 alcohol, narcotics, stimulants, or any other chemical  | 
 agent or drug that results in a managing broker, broker,  | 
 or residential leasing agent's inability to practice with  | 
 reasonable skill or safety. | 
  (43) Enabling, aiding, or abetting an auctioneer, as  | 
 defined in the Auction License Act, to conduct a real  | 
 estate auction in a manner that is in violation of this  | 
 Act.  | 
  (44) Permitting any residential leasing agent or  | 
 temporary residential leasing agent permit holder to  | 
 engage in activities that require a broker's or managing  | 
 broker's license. | 
 | 
  (45) Failing to notify the Department, of any criminal  | 
 conviction that occurs during the licensee's term of  | 
 licensure within 30 days after the occurrence, of the  | 
 information required in subsection (e) of Section 5-25  | 
 conviction. | 
  (46) A designated managing broker's failure to provide  | 
 an appropriate written company policy or failure to  | 
 perform any of the duties set forth in Section 10-55.  | 
 (b) The Department may refuse to issue or renew or may  | 
suspend the license of any person who fails to file a return,  | 
pay the tax, penalty or interest shown in a filed return, or  | 
pay any final assessment of tax, penalty, or interest, as  | 
required by any tax Act administered by the Department of  | 
Revenue, until such time as the requirements of that tax Act  | 
are satisfied in accordance with subsection (g) of Section  | 
2105-15 of the Department of Professional Regulation Law of  | 
the Civil Administrative Code of Illinois.  | 
 (c) (Blank). | 
 (d) In cases where the Department of Healthcare and Family  | 
Services (formerly Department of Public Aid) has previously  | 
determined that a licensee or a potential licensee is more  | 
than 30 days delinquent in the payment of child support and has  | 
subsequently certified the delinquency to the Department may  | 
refuse to issue or renew or may revoke or suspend that person's  | 
license or may take other disciplinary action against that  | 
person based solely upon the certification of delinquency made  | 
 | 
by the Department of Healthcare and Family Services in  | 
accordance with item (5) of subsection (a) of Section 2105-15  | 
of the Department of Professional Regulation Law of the Civil  | 
Administrative Code of Illinois. | 
 (e) (Blank). In enforcing this Section, the Department or  | 
Board upon a showing of a possible violation may compel an  | 
individual licensed to practice under this Act, or who has  | 
applied for licensure under this Act, to submit to a mental or  | 
physical examination, or both, as required by and at the  | 
expense of the Department. The Department or Board may order  | 
the examining physician to present testimony concerning the  | 
mental or physical examination of the licensee or applicant.  | 
No information shall be excluded by reason of any common law or  | 
statutory privilege relating to communications between the  | 
licensee or applicant and the examining physician. The  | 
examining physicians shall be specifically designated by the  | 
Board or Department. The individual to be examined may have,  | 
at his or her own expense, another physician of his or her  | 
choice present during all aspects of this examination. Failure  | 
of an individual to submit to a mental or physical  | 
examination, when directed, shall be grounds for suspension of  | 
his or her license until the individual submits to the  | 
examination if the Department finds, after notice and hearing,  | 
that the refusal to submit to the examination was without  | 
reasonable cause.  | 
 If the Department or Board finds an individual unable to  | 
 | 
practice because of the reasons set forth in this Section, the  | 
Department or Board may require that individual to submit to  | 
care, counseling, or treatment by physicians approved or  | 
designated by the Department or Board, as a condition, term,  | 
or restriction for continued, reinstated, or renewed licensure  | 
to practice; or, in lieu of care, counseling, or treatment,  | 
the Department may file, or the Board may recommend to the  | 
Department to file, a complaint to immediately suspend,  | 
revoke, or otherwise discipline the license of the individual.  | 
An individual whose license was granted, continued,  | 
reinstated, renewed, disciplined or supervised subject to such  | 
terms, conditions, or restrictions, and who fails to comply  | 
with such terms, conditions, or restrictions, shall be  | 
referred to the Secretary for a determination as to whether  | 
the individual shall have his or her license suspended  | 
immediately, pending a hearing by the Department.  | 
 In instances in which the Secretary immediately suspends a  | 
person's license under this Section, a hearing on that  | 
person's license must be convened by the Department within 30  | 
days after the suspension and completed without appreciable  | 
delay. The Department and Board shall have the authority to  | 
review the subject individual's record of treatment and  | 
counseling regarding the impairment to the extent permitted by  | 
applicable federal statutes and regulations safeguarding the  | 
confidentiality of medical records. | 
 An individual licensed under this Act and affected under  | 
 | 
this Section shall be afforded an opportunity to demonstrate  | 
to the Department or Board that he or she can resume practice  | 
in compliance with acceptable and prevailing standards under  | 
the provisions of his or her license.  | 
(Source: P.A. 100-22, eff. 1-1-18; 100-188, eff. 1-1-18;  | 
100-534, eff. 9-22-17; 100-831, eff. 1-1-19; 100-863, eff.  | 
8-14-18; 100-872, eff. 8-14-18; 101-81, eff. 7-12-19; 101-357,  | 
eff. 8-9-19.)
 | 
 (225 ILCS 454/20-20.1) | 
 (Section scheduled to be repealed on January 1, 2030) | 
 Sec. 20-20.1. Citations. | 
 (a) The Department may adopt rules to permit the issuance  | 
of citations to any licensee for failure to comply with the  | 
continuing education requirements set forth in this Act or as  | 
adopted by rule. The citation shall be issued to the licensee,  | 
and a copy shall be sent to the licensee's his or her  | 
designated managing broker and sponsoring broker. The citation  | 
shall contain the licensee's name and address, the licensee's  | 
license number, the number of required hours of continuing  | 
education that have not been successfully completed by the  | 
licensee's licensee within the renewal deadline period, and  | 
the penalty imposed, which shall not exceed $2,000. The  | 
issuance of any such citation shall not excuse the licensee  | 
from completing all continuing education required for that  | 
term of licensure renewal period. | 
 | 
 (b) Service of a citation shall be made by in person,  | 
electronically, or by mail to the licensee at the licensee's  | 
address of record or email address of record, and must clearly  | 
state that if the cited licensee wishes to dispute the  | 
citation, the cited licensee he or she may make a written  | 
request, within 30 days after the citation is served, for a  | 
hearing before the Department. If the cited licensee does not  | 
request a hearing within 30 days after the citation is served,  | 
then the citation shall become a final, non-disciplinary  | 
order, and any fine imposed is due and payable within 60 days  | 
after that final order. If the cited licensee requests a  | 
hearing within 30 days after the citation is served, the  | 
Department shall afford the cited licensee a hearing conducted  | 
in the same manner as a hearing provided for in this Act for  | 
any violation of this Act and shall determine whether the  | 
cited licensee committed the violation as charged and whether  | 
the fine as levied is warranted. If the violation is found, any  | 
fine shall constitute non-public discipline and be due and  | 
payable within 30 days after the order of the Secretary, which  | 
shall constitute a final order of the Department. No change in  | 
license status may be made by the Department until such time as  | 
a final order of the Department has been issued.  | 
 (c) Payment of a fine that has been assessed pursuant to  | 
this Section shall not constitute disciplinary action  | 
reportable on the Department's website or elsewhere unless a  | 
licensee has previously received 2 or more citations and has  | 
 | 
been assessed paid 2 or more fines. | 
 (d) Nothing in this Section shall prohibit or limit the  | 
Department from taking further action pursuant to this Act and  | 
rules for additional, repeated, or continuing violations. 
 | 
(Source: P.A. 101-357, eff. 8-9-19.)
 | 
 (225 ILCS 454/20-69) | 
 (Section scheduled to be repealed on January 1, 2030) | 
 Sec. 20-69. Restoration of a suspended or revoked license.  | 
At any time after the successful completion of a term of  | 
suspension or revocation of an individual's a license, the  | 
Department may restore it to the licensee, upon the written  | 
recommendation of the Board, unless after an investigation and  | 
a hearing the Board determines that restoration is not in the  | 
public interest.
 | 
(Source: P.A. 96-856, eff. 12-31-09.)
 | 
 (225 ILCS 454/20-75)
 | 
 (Section scheduled to be repealed on January 1, 2030)
 | 
 Sec. 20-75. Administrative Review venue. 
 | 
 (a) All final administrative decisions of the Department  | 
are subject to judicial review under
the Administrative Review  | 
Law and its
rules. The term "administrative decision" is
 | 
defined in Section 3-101
of the Code of Civil Procedure. | 
 (b) Proceedings for judicial review shall be commenced in  | 
the circuit court of the court in which the party applying for  | 
 | 
review resides, but if the party is not a resident of Illinois,  | 
the venue shall be in Sangamon County or Cook County.
 | 
(Source: P.A. 101-357, eff. 8-9-19.)
 | 
 (225 ILCS 454/20-110)
 | 
 (Section scheduled to be repealed on January 1, 2030)
 | 
 Sec. 20-110. Disciplinary actions of the Department not  | 
limited. Nothing contained in Sections 20-82 20-80 through  | 
20-100 of this Act limits the
authority of the Department
to  | 
take
disciplinary action against any licensee for a violation  | 
of this Act or the
rules of the Department, nor shall the  | 
repayment in full of all obligations to the Real Estate
 | 
Recovery Fund by any
licensee nullify or modify the effect of  | 
any other disciplinary proceeding
brought pursuant to this
 | 
Act.
 | 
(Source: P.A. 96-856, eff. 12-31-09.)
 | 
 (225 ILCS 454/25-10)
 | 
 (Section scheduled to be repealed on January 1, 2030)
 | 
 Sec. 25-10. Real Estate Administration and Disciplinary
 | 
Board;
duties.
There is created the Real Estate Administration  | 
and Disciplinary Board.
The Board shall be composed of 15  | 
persons appointed by the Governor. Members
shall be
appointed  | 
to the Board subject to the following conditions:
 | 
  (1) All members shall have been residents and citizens  | 
 of this State for
at least 6 years
prior to the date of  | 
 | 
 appointment.
 | 
  (2) Twelve members shall have been actively engaged as  | 
 managing brokers or
brokers or both for
at least the 10  | 
 years prior to the appointment, 2 of whom must possess an  | 
 active pre-license instructor license. 
 | 
  (3) Three members of the Board shall be public members  | 
 who represent
consumer
interests.
 | 
 None of these members shall be (i) a person who is licensed  | 
under this
Act or a similar Act of another jurisdiction, (ii)  | 
the spouse or immediate family member of a licensee, or (iii) a  | 
person who has an ownership interest in a
real estate  | 
brokerage
business, or (iv) a person the Department determines  | 
to have any other connection with a real estate brokerage  | 
business or a licensee.
 | 
 The members' terms shall be for 4 years and until a  | 
successor is appointed expire upon completion of the term. No  | 
member shall be reappointed to the Board for a term that would  | 
cause the member's his or her cumulative service to the Board  | 
to exceed 10 years.
Appointments to fill vacancies shall be  | 
for the unexpired portion of the term. Those members of the  | 
Board that satisfy the requirements of paragraph (2) shall be  | 
chosen in a manner such that no area of the State shall be  | 
unreasonably represented.
In making the appointments, the  | 
Governor shall give
due consideration
to the recommendations  | 
by members and organizations of the profession.
The Governor  | 
may terminate the appointment of any member for cause that in  | 
 | 
the
opinion of the
Governor reasonably justifies the  | 
termination. Cause for termination shall
include without  | 
limitation
misconduct, incapacity, neglect of duty, or missing  | 
4 board meetings during any
one fiscal
calendar year.
Each  | 
member of the Board may receive a per diem stipend in an amount  | 
to be
determined by the Secretary. While engaged in the  | 
performance of duties, each Each member shall be reimbursed  | 
for paid his or her necessary expenses while
engaged in the
 | 
performance of his or her duties. Such compensation and  | 
expenses shall be paid
out of the Real Estate
License  | 
Administration Fund.
The Secretary shall consider the  | 
recommendations of the Board on questions
involving
standards  | 
of professional conduct, discipline, education, and policies  | 
and procedures
under this Act. With regard to this subject  | 
matter, the Secretary may establish temporary or permanent  | 
committees of the Board and may consider the recommendations  | 
of the Board on matters that include, but are not limited to,  | 
criteria for the licensing and renewal of education providers,  | 
pre-license and continuing education instructors, pre-license  | 
and continuing education curricula, standards of educational  | 
criteria, and qualifications for licensure and renewal of  | 
professions, courses, and instructors. The Department, after  | 
notifying and considering the recommendations of the Board, if  | 
any,
may issue rules,
consistent with the provisions of this  | 
Act, for the administration and
enforcement thereof and may
 | 
prescribe forms that shall be used in connection therewith.  | 
 | 
Eight Board members shall constitute a quorum. A quorum is  | 
required for all Board decisions. A vacancy in the membership  | 
of the Board shall not impair the right of a quorum to exercise  | 
all of the rights and perform all of the duties of the Board. | 
 The Board shall elect annually, at its first meeting of  | 
the fiscal year, a vice chairperson who shall preside, with  | 
voting privileges, at meetings when the chairperson is not  | 
present. Members of the Board shall be immune from suit in an  | 
action based upon any disciplinary proceedings or other acts  | 
performed in good faith as members of the Board.
 | 
(Source: P.A. 99-227, eff. 8-3-15; 100-188, eff. 1-1-18;  | 
100-886, eff. 8-14-18.)
 | 
 (225 ILCS 454/25-38 new) | 
 Sec. 25-38. Real Estate Audit Fund. Notwithstanding any  | 
other provision of law, in addition to any other transfers  | 
that may be provided by law, on July 1, 2023, or as soon  | 
thereafter as practical, the State Comptroller shall direct  | 
and the State Treasurer shall transfer the remaining balance  | 
from the Real Estate Audit Fund into the Real Estate License  | 
Administration Fund. Upon completion of the transfer, the Real  | 
Estate Audit Fund is dissolved, and any future deposits due to  | 
that Fund and any outstanding obligations or liabilities of  | 
that Fund pass to the Real Estate License Administration Fund.  | 
This Section is repealed on October 1, 2023.
 | 
 | 
 (225 ILCS 454/30-15)
 | 
 (Section scheduled to be repealed on January 1, 2030)
 | 
 Sec. 30-15. Licensing of education providers; approval of
 | 
courses. | 
 (a) (Blank).
 | 
 (b) (Blank).
 | 
 (c) (Blank).
 | 
 (d) (Blank).
 | 
 (e) (Blank).
 | 
 (f) All education providers shall submit, at the time of  | 
initial
application and
with each license renewal, a list of  | 
courses with course materials that comply with the course  | 
requirements in this Act to be
offered by the education  | 
provider. The Department may establish an online mechanism by  | 
which education providers may submit for approval by the  | 
Department upon the recommendation of the Board or its  | 
designee pre-license, post-license, or continuing education  | 
courses that
are submitted
after the time of the education  | 
provider's initial license application or renewal. The  | 
Department shall provide to each education provider
a  | 
certificate for each approved pre-license, post-license, or  | 
continuing education course. All pre-license, post-license, or
 | 
continuing education
courses shall be valid for the period  | 
coinciding with the term of license of
the education provider.  | 
However, in no case shall a course continue to be valid if it  | 
does not, at all times, meet all of the requirements of the  | 
 | 
core curriculum established by this Act and the Board, as  | 
modified from time to time in accordance with this Act. All  | 
education providers shall provide a copy of the
certificate of  | 
the pre-license, post-license, or continuing
education course  | 
within the course materials given to each student or shall
 | 
display a copy of the
certificate of the pre-license,  | 
post-license, or continuing education course in a conspicuous  | 
place at the
location of the class.
 | 
 (g) Each education provider shall provide to the  | 
Department a report
in a
frequency and format determined by  | 
the Department, with information concerning students who
 | 
successfully completed all
approved pre-license, post-license,  | 
or continuing education courses offered by the education  | 
provider. 
 | 
 (h) The Department, upon the recommendation of the Board,  | 
may temporarily
suspend a licensed education provider's  | 
approved courses without
hearing and refuse to
accept  | 
successful completion of or participation in any of these  | 
pre-license, post-license, or continuing
education courses for
 | 
education credit from that education provider upon the failure  | 
of that
education provider
to comply with the provisions of  | 
this Act or the rules for the administration
of this Act, until  | 
such
time as the Department receives satisfactory assurance of  | 
compliance. The Department shall notify
the
education provider  | 
of the noncompliance and may initiate disciplinary
proceedings  | 
pursuant to
this Act. The Department
may refuse to issue,  | 
 | 
suspend, revoke, or otherwise discipline the license
of an
 | 
education provider or may withdraw approval of a pre-license,  | 
post-license, or continuing education course for
good cause.
 | 
Failure to comply with the requirements of this Section or any  | 
other
requirements
established by rule shall
be deemed to be  | 
good cause. Disciplinary proceedings shall be conducted by the
 | 
Board in the same
manner as other disciplinary proceedings  | 
under this Act.
 | 
 (i) Pre-license, post-license, and continuing education  | 
courses, whether submitted for approval at the time of an  | 
education provider's initial application for licensure or  | 
otherwise, must meet the following minimum course  | 
requirements:  | 
  (1) Continuing education courses No continuing  | 
 education course shall be required to be at least one hour  | 
 taught in increments longer than 2 hours in duration. For  | 
 ; however, for each one hour of course time in each course,  | 
 there shall be a minimum of 50 minutes of instruction. | 
  (2) All core curriculum courses shall be provided only  | 
 in the classroom or through a live, interactive webinar or  | 
 online distance education format. | 
  (3) Courses provided through a live, interactive  | 
 webinar shall require all participants to demonstrate  | 
 their attendance in and attention to the course by  | 
 answering or responding to at least one polling question  | 
 per 50 minutes of course instruction. | 
 | 
  (4) All participants in courses provided in an online  | 
 distance education format shall demonstrate proficiency  | 
 with the subject matter of the course through verifiable  | 
 responses to questions included in the course content. | 
  (5) Credit for courses completed in a classroom or  | 
 through a live, interactive webinar or online distance  | 
 education format shall not require an examination. | 
  (6) Credit for courses provided through  | 
 correspondence, or by home study, shall require the  | 
 passage of an in-person, proctored examination.  | 
 (j) The Department is authorized to engage a third party  | 
as the Board's designee to perform the functions specifically  | 
provided for in subsection (f) of this Section, namely that of  | 
administering the online system for receipt, review, and  | 
approval or denial of new courses.  | 
 (k) The Department may adopt any administrative rule  | 
consistent with the language and intent of this Act that may be  | 
necessary for the implementation and enforcement of this  | 
Section.  | 
(Source: P.A. 100-188, eff. 1-1-18; 101-357, eff. 8-9-19.)
 | 
 (225 ILCS 454/30-25)
 | 
 (Section scheduled to be repealed on January 1, 2030)
 | 
 Sec. 30-25. Licensing of education provider instructors. 
 | 
 (a) No person shall act as either a pre-license or  | 
continuing education instructor without possessing a
valid  | 
 | 
pre-license or continuing
education instructor license and  | 
satisfying any other qualification criteria adopted by the  | 
Department by rule. 
 | 
 (a-5) Each person with a valid pre-license instructor  | 
license may teach pre-license, post-license, continuing  | 
education core curriculum, continuing education elective  | 
curriculum, or broker management education courses if they  | 
meet specific criteria adopted by the Department by rule.  | 
Those persons who have not met the criteria or who only possess  | 
a valid continuing education instructor license shall only  | 
teach continuing education elective curriculum courses. Any  | 
person with a valid continuing education instructor license  | 
who wishes to teach continuing education core curriculum or  | 
broker management continuing education courses must obtain a  | 
valid pre-license instructor license.  | 
 (b) Every person who desires to obtain an education  | 
provider instructor's license shall attend and successfully  | 
complete a one-day instructor development workshop, as  | 
approved by the Department. However, pre-license instructors  | 
who have complied with subsection (b) of this Section 30-25  | 
shall not be required to complete the instructor workshop in  | 
order to teach continuing education elective curriculum  | 
courses. | 
 (b-5) The term of licensure for a pre-license or  | 
continuing education instructor shall be 2 years, with renewal  | 
dates adopted by rule. Every person who desires to obtain a  | 
 | 
pre-license or continuing education instructor
license shall  | 
make
application to the Department in a manner prescribed by  | 
the Department, accompanied
by the fee adopted
by rule. In  | 
addition to any other information required to be
contained in  | 
the application,
every application for an original license  | 
shall include the
applicant's Social Security
number, which  | 
shall be retained in the agency's records pertaining to the  | 
license. As soon as practical, the Department shall assign a  | 
customer's identification number to each applicant for a  | 
license.  | 
 Every application for a renewal or restored license shall  | 
require the applicant's customer identification number.  | 
 The Department shall issue a pre-license or continuing  | 
education instructor license to
applicants who meet
 | 
qualification criteria established by this Act or rule. 
 | 
 (c) The Department may refuse to issue, suspend, revoke,  | 
or otherwise discipline a
pre-license or continuing education
 | 
instructor for good cause. Disciplinary proceedings shall be  | 
conducted by the
Board in the same
manner as other  | 
disciplinary proceedings under this Act. All pre-license  | 
instructors must teach at least one pre-license or continuing  | 
education core curriculum course within the period of  | 
licensure as a requirement for renewal of the instructor's  | 
license. All continuing
education instructors
must teach at  | 
least one course within the period of licensure or take an
 | 
instructor training program
approved by the Department in lieu  | 
 | 
thereof as a requirement for renewal of the instructor's  | 
license.
 | 
 (d) Each course transcript submitted by an education  | 
provider to the Department shall include the name and license  | 
number of the pre-license or continuing education instructor  | 
for the course.  | 
 (e) Licensed education provider instructors may teach for  | 
more than one licensed education provider.  | 
 (f) The Department may adopt any administrative rule  | 
consistent with the language and intent of this Act that may be  | 
necessary for the implementation and enforcement of this  | 
Section.  | 
(Source: P.A. 100-188, eff. 1-1-18; 101-357, eff. 8-9-19.)
 | 
 (225 ILCS 454/20-21 rep.) | 
 Section 35. The Real Estate License Act of 2000 is amended  | 
by repealing Section 20-21.
 | 
 (225 ILCS 456/Act rep.)
 | 
 Section 40. The Real Estate Regulation Transfer Act is  | 
repealed.
 | 
 Section 45. The Real Estate Appraiser Licensing Act of  | 
2002 is amended by changing Sections 1-10, 5-25, 15-15, and  | 
25-10 as follows:
 | 
 | 
 (225 ILCS 458/1-10)
 | 
 (Section scheduled to be repealed on January 1, 2027)
 | 
 Sec. 1-10. Definitions. As used in this Act, unless the  | 
context
otherwise requires:
 | 
 "Accredited college or university, junior college, or  | 
community college" means a college or university, junior  | 
college, or community college that is approved or accredited  | 
by the Board of Higher Education, a regional or national  | 
accreditation association, or by an accrediting agency that is  | 
recognized by the U.S. Secretary of Education.
 | 
 "Address of record" means the designated street address,  | 
which may not be a post office box, recorded by the Department  | 
in the applicant's or licensee's application file or license  | 
file as maintained by the Department. | 
 "Applicant" means a person who applies to the Department
 | 
for a license under this Act.
 | 
 "Appraisal" means
(noun) the act or process of developing  | 
an opinion
of value; an
opinion of value (adjective) of or  | 
pertaining to appraising
and related functions, such as  | 
appraisal practice or appraisal services. | 
 "Appraisal assignment" means a valuation service provided  | 
pursuant to an agreement between an appraiser and a client. | 
 "Appraisal firm" means an appraisal entity that is 100%  | 
owned and controlled by a person or persons licensed in  | 
Illinois as a certified general real estate appraiser or a  | 
certified residential real estate appraiser. "Appraisal firm"  | 
 | 
does not include an appraisal management company.  | 
 "Appraisal management company" means any corporation,  | 
limited liability company, partnership, sole proprietorship,  | 
subsidiary, unit, or other business entity that directly or  | 
indirectly: (1) provides appraisal management services to  | 
creditors or secondary mortgage market participants, including  | 
affiliates; (2) provides appraisal management services in  | 
connection with valuing the consumer's principal dwelling as  | 
security for a consumer credit transaction (including consumer  | 
credit transactions incorporated into securitizations); and  | 
(3) any appraisal management company that, within a given  | 
12-month period, oversees an appraiser panel of 16 or more  | 
State-certified appraisers in Illinois or 25 or more  | 
State-certified or State-licensed appraisers in 2 or more  | 
jurisdictions. "Appraisal management company" includes a  | 
hybrid entity.  | 
 "Appraisal practice" means valuation services performed by  | 
an individual acting as an appraiser, including, but not  | 
limited to, appraisal or appraisal review.
 | 
 "Appraisal report" means any communication, written or  | 
oral, of an appraisal or appraisal review that is transmitted  | 
to a client upon completion of an assignment.
 | 
 "Appraisal review" means the act or process of developing  | 
and communicating an opinion about the quality of another  | 
appraiser's work that was performed as part of an appraisal,  | 
appraisal review, or appraisal assignment.
 | 
 | 
 "Appraisal Subcommittee" means the Appraisal Subcommittee  | 
of the Federal
Financial Institutions
Examination Council as  | 
established by Title XI.
 | 
 "Appraiser" means a person who performs
real estate or  | 
real property
appraisals competently and in a manner that is  | 
independent, impartial, and objective. | 
 "Appraiser panel" means a network, list, or roster of  | 
licensed or certified appraisers approved by the appraisal  | 
management company or by the end-user client to perform  | 
appraisals as independent contractors for the appraisal  | 
management company. "Appraiser panel" includes both appraisers  | 
accepted by an appraisal management company for consideration  | 
for future appraisal assignments and appraisers engaged by an  | 
appraisal management company to perform one or more  | 
appraisals. For
the purposes of determining the size of an  | 
appraiser panel,
only independent contractors of hybrid  | 
entities shall be
counted towards the appraiser panel. 
 | 
 "AQB" means the Appraisal Qualifications Board of the  | 
Appraisal Foundation.
 | 
 "Associate real estate trainee appraiser" means an  | 
entry-level appraiser who holds
a license of this  | 
classification under this Act with restrictions as to the  | 
scope of practice
in
accordance with this Act.
 | 
 "Automated valuation model" means an automated system that  | 
is used to derive a property value through the use of available  | 
property records and various analytic methodologies such as  | 
 | 
comparable sales prices, home characteristics, and price  | 
changes.  | 
 "Board" means the Real Estate Appraisal Administration and  | 
Disciplinary Board.
 | 
 "Broker price opinion" means an estimate or analysis of  | 
the probable selling price of a particular interest in real  | 
estate, which may provide a varying level of detail about the  | 
property's condition, market, and neighborhood and information  | 
on comparable sales. The activities of a real estate broker or  | 
managing broker engaging in the ordinary course of business as  | 
a broker, as defined in this Section, shall not be considered a  | 
broker price opinion if no compensation is paid to the broker  | 
or managing broker, other than compensation based upon the  | 
sale or rental of real estate.  | 
 "Classroom hour" means 50 minutes of instruction out of  | 
each 60-minute
segment of coursework.
 | 
 "Client" means the party or parties who engage an  | 
appraiser by employment or contract in a specific appraisal  | 
assignment.
 | 
 "Comparative market analysis" is an analysis or opinion  | 
regarding pricing, marketing, or financial aspects relating to  | 
a specified interest or interests in real estate that may be  | 
based upon an analysis of comparative market data, the  | 
expertise of the real estate broker or managing broker, and  | 
such other factors as the broker or managing broker may deem  | 
appropriate in developing or preparing such analysis or  | 
 | 
opinion. The activities of a real estate broker or managing  | 
broker engaging in the ordinary course of business as a  | 
broker, as defined in this Section, shall not be considered a  | 
comparative market analysis if no compensation is paid to the  | 
broker or managing broker, other than compensation based upon  | 
the sale or rental of real estate.  | 
 "Coordinator" means the Real Estate Appraisal Coordinator  | 
created in Section 25-15.
 | 
 "Department" means the Department of Financial and  | 
Professional Regulation.
 | 
 "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 maintained by  | 
the Department.  | 
 "Evaluation" means a valuation permitted by the appraisal  | 
regulations of the Federal Financial Institutions Examination  | 
Council and its federal agencies for transactions that qualify  | 
for the appraisal threshold exemption, business loan  | 
exemption, or subsequent transaction exemption. | 
 "Federal financial institutions regulatory agencies" means  | 
the Board of
Governors of the Federal Reserve
System, the  | 
Federal Deposit Insurance Corporation, the Office of the
 | 
Comptroller of the Currency, the
Consumer Financial Protection  | 
Bureau, and the National Credit Union Administration.
 | 
 "Federally related transaction" means any real  | 
estate-related financial
transaction in which a federal
 | 
 | 
financial institutions regulatory agency
engages in, contracts  | 
for, or
regulates and requires the services
of an appraiser.
 | 
 "Financial institution" means any bank, savings bank,  | 
savings and loan
association, credit union,
mortgage broker,  | 
mortgage banker, licensee under the Consumer Installment Loan
 | 
Act or the Sales
Finance Agency Act, or a corporate fiduciary,  | 
subsidiary, affiliate, parent
company, or holding company
of  | 
any such licensee, or any institution involved in real estate  | 
financing that
is regulated by state or
federal law.
 | 
 "Hybrid entity" means an appraisal management company that  | 
hires an appraiser as an employee to perform an appraisal and  | 
engages an independent contractor to perform an appraisal. | 
 "License" means the privilege conferred by the Department  | 
to a person that has fulfilled all requirements prerequisite  | 
to any type of licensure under this Act. | 
 "Licensee" means any person licensed under this Act , as  | 
defined in this Section, who holds a valid unexpired license.  | 
 "Multi-state licensing system" means a web-based platform  | 
that allows an applicant to submit the application or license  | 
renewal application to the Department online.  | 
 "Person" means an individual, entity, sole proprietorship,  | 
corporation, limited liability company, partnership, and joint  | 
venture, foreign or domestic, except that when the context  | 
otherwise requires, the term may refer to more than one  | 
individual or other described entity.  | 
 "Real estate" means an identified parcel or tract of land,  | 
 | 
including any
improvements.
 | 
 "Real estate related financial transaction" means any  | 
transaction involving:
 | 
  (1) the sale, lease, purchase, investment in, or  | 
 exchange of real
property,
including interests
in property  | 
 or the financing thereof;
 | 
  (2) the refinancing of real property or interests in  | 
 real property; and
 | 
  (3) the use of real property or interest in property  | 
 as security for a
loan or
investment,
including mortgage  | 
 backed securities.
 | 
 "Real property" means the interests, benefits, and rights  | 
inherent in the
ownership of real estate.
 | 
 "Secretary" means the Secretary of Financial and  | 
Professional Regulation or the Secretary's designee.
 | 
 "State certified general real estate
appraiser" means an  | 
appraiser who holds a
license of this classification under  | 
this Act
and such classification applies to
the appraisal of  | 
all types of real property without restrictions as to
the  | 
scope of practice.
 | 
 "State certified residential real estate
appraiser" means  | 
an appraiser who
holds a
license of this classification
under  | 
this Act
and such classification applies to
the appraisal of
 | 
one to 4 units of
residential real property without regard to  | 
transaction value or complexity,
but with restrictions as to  | 
the
scope of practice
in a federally related transaction in  | 
 | 
accordance with Title
XI, the provisions of USPAP,
criteria  | 
established by the AQB, and further defined by rule.
 | 
 "Supervising appraiser" means either (i) an appraiser who  | 
holds a valid license under this Act as either a State  | 
certified general real estate appraiser or a State certified  | 
residential real estate appraiser, who co-signs an appraisal  | 
report for an associate real estate trainee appraiser or (ii)  | 
a State certified general real estate appraiser who holds a  | 
valid license under this Act who co-signs an appraisal report  | 
for a State certified residential real estate appraiser on  | 
properties other than one to 4 units of residential real  | 
property without regard to transaction value or complexity.
 | 
 "Title XI" means Title XI of the federal Financial  | 
Institutions Reform,
Recovery, and
Enforcement Act of 1989.
 | 
 "USPAP" means the Uniform Standards of Professional  | 
Appraisal Practice as
promulgated by the
Appraisal Standards  | 
Board pursuant to Title XI and by rule.
 | 
 "Valuation services" means services pertaining to aspects  | 
of property value.  | 
(Source: P.A. 102-20, eff. 1-1-22; 102-687, eff. 12-17-21.)
 | 
 (225 ILCS 458/5-25)
 | 
 (Section scheduled to be repealed on January 1, 2027)
 | 
 Sec. 5-25. Renewal of license. 
 | 
 (a) The expiration date and renewal period
for a State  | 
certified general
real estate appraiser license
or a State  | 
 | 
certified residential
real estate appraiser license issued  | 
under
this Act shall be set by rule.
Except as otherwise  | 
provided in subsections (b) and (f) of this Section, the
 | 
holder of a license may renew
the license within 90 days  | 
preceding the expiration date by:
 | 
  (1) completing and submitting to the Department, or  | 
 through a multi-state licensing system as designated by  | 
 the Secretary,
a renewal application form as
provided by
 | 
 the Department;
 | 
  (2) paying the required fees; and
 | 
  (3) providing evidence to the Department, or through a  | 
 multi-state licensing system as designated by the  | 
 Secretary, of successful completion of the continuing
 | 
 education requirements through courses approved by the  | 
 Department
from
education providers licensed by the  | 
 Department, as established by the AQB
and by rule.
 | 
 (b) A State certified general real estate appraiser
or  | 
State certified
residential real estate
appraiser whose  | 
license under this Act has expired may renew
the license for a  | 
period of
2 years following the expiration date by complying  | 
with the requirements of
paragraphs (1), (2),
and (3) of  | 
subsection (a)
of this Section and paying any late penalties  | 
established by rule.
 | 
 (c) (Blank).
 | 
 (d) The expiration date and renewal period for an  | 
associate real estate
trainee appraiser license issued under  | 
 | 
this
Act shall be set by rule. Except as otherwise provided in  | 
subsections (e) and
(f) of this Section, the holder
of an  | 
associate real estate trainee appraiser license may renew the  | 
license within 90
days preceding the expiration date by:
 | 
  (1) completing and submitting to the Department, or  | 
 through a multi-state licensing system as designated by  | 
 the Secretary,
a renewal application form as
provided by  | 
 the Department;
 | 
  (2) paying the required fees; and
 | 
  (3) providing evidence to the Department, or through a  | 
 multi-state licensing system as designated by the  | 
 Secretary, of successful completion of the continuing
 | 
 education requirements through
courses approved by the  | 
 Department
from education providers approved
by the  | 
 Department, as established by rule.
 | 
 (e) Any associate real estate trainee appraiser whose  | 
license under this Act has
expired may
renew the license for a  | 
period of 2 years following the expiration date
by complying  | 
with the requirements of paragraphs
(1), (2), and (3) of  | 
subsection (d) of this Section and paying any late
penalties
 | 
as established by rule.
 | 
 (f) Notwithstanding subsections (c) and (e), an
appraiser  | 
whose license
under this Act has expired may renew or convert  | 
the license without
paying any lapsed renewal
fees or late  | 
penalties if the license expired while the appraiser was:
 | 
  (1) on active duty with the United States Armed  | 
 | 
 Services;
 | 
  (2) serving as the Coordinator or an employee of
the  | 
 Department
who was required to surrender the license  | 
 during the term of
employment.
 | 
 Application for renewal must be made within 2 years  | 
following
the termination of the military service or related  | 
education, training, or
employment and shall include an  | 
affidavit from the licensee of engagement.
 | 
 (g) The Department
shall provide reasonable care and due  | 
diligence to ensure that each
licensee under this Act
is  | 
provided with a renewal application at least 90 days prior to  | 
the expiration
date, but
timely renewal or conversion of the  | 
license prior to its expiration date is the responsibility of  | 
the licensee. | 
 (h) The Department shall not renew a license if the  | 
licensee has an unpaid fine or fee from a disciplinary matter  | 
or an unpaid fee from a non-disciplinary action imposed by the  | 
Department until the fine or fee is paid to the Department or  | 
the licensee has entered into a payment plan and is current on  | 
the required payments. | 
 (i) The Department shall not issue a license if the  | 
applicant has an unpaid fine imposed by the Department for  | 
unlicensed practice until the fine is paid to the Department  | 
or the applicant has entered into a payment plan and is current  | 
on the required payments. 
 | 
(Source: P.A. 101-81, eff. 7-12-19; 102-20, eff. 1-1-22.)
 | 
 | 
 (225 ILCS 458/15-15)
 | 
 (Section scheduled to be repealed on January 1, 2027)
 | 
 Sec. 15-15. Investigation; notice; hearing. 
 | 
 (a) Upon the motion of the Department
or the Board or
upon  | 
a complaint in
writing of a person setting forth facts that, if  | 
proven, would constitute
grounds for suspension, revocation,
 | 
or other disciplinary action against a licensee or applicant  | 
for licensure, the Department
shall investigate the actions of  | 
the licensee or applicant. If, upon investigation, the  | 
Department believes that there may be cause for suspension,  | 
revocation, or other disciplinary action, the Department shall  | 
use the services of a State certified general real estate  | 
appraiser, a State certified residential real estate  | 
appraiser, or the Real Estate Coordinator to assist in  | 
determining whether grounds for disciplinary action exist  | 
prior to commencing formal disciplinary proceedings. 
 | 
 (b) Formal disciplinary proceedings shall commence upon  | 
the issuance of a
written complaint
describing the charges  | 
that are the basis of the disciplinary action and
delivery of  | 
the detailed complaint to the address of
record of the  | 
licensee or applicant. For an associate real estate trainee  | 
appraiser, a copy shall also be sent to the licensee's  | 
supervising appraiser of record. The Department
shall notify  | 
the licensee or
applicant
to file a verified written
answer  | 
within 20 days after the service of the notice and complaint.
 | 
 | 
The
notification shall inform the licensee or applicant of the
 | 
right to be heard in person or by
legal counsel; that the  | 
hearing will be afforded not sooner than 20 days after
service
 | 
of the complaint; that failure to file an answer will result in  | 
a default being
entered against the licensee or applicant;
 | 
that the license may be suspended, revoked, or placed on
 | 
probationary status; and that other
disciplinary action may be  | 
taken pursuant to this Act, including limiting the
scope,  | 
nature, or extent of the licensee's
practice. If the licensee  | 
or applicant fails to file an answer after service of
notice,  | 
the respective license may,
at the discretion of the  | 
Department, be suspended,
revoked, or placed on probationary
 | 
status and the Department
may take whatever disciplinary
 | 
action it deems proper,
including limiting the scope, nature,  | 
or extent of the person's practice,
without a hearing.
 | 
 (c) At the time and place fixed in the notice, the Board  | 
shall conduct
hearing of the charges, providing
both the  | 
accused person and the complainant ample opportunity to  | 
present in
person
or by counsel such statements, testimony,  | 
evidence, and argument as may be
pertinent to the charges or
to  | 
a defense thereto.
 | 
 (d) The Board shall present to the Secretary
a written  | 
report of its
findings of fact and
recommendations. A copy of  | 
the report shall be served upon the licensee or
applicant,
 | 
either personally, by
mail, or, at the discretion of the  | 
Department, by electronic means. For associate real estate  | 
 | 
trainee appraisers, a copy shall also be sent to the  | 
licensee's supervising appraiser of record. Within 20 days  | 
after the service, the licensee or applicant may present
the  | 
Secretary
with a motion in writing
for a rehearing and shall
 | 
specify the particular grounds for the request. If the accused  | 
orders a
transcript of the record
as provided in this Act, the  | 
time elapsing thereafter and before the transcript
is ready  | 
for delivery to the
accused shall not be counted as part of the  | 
20 days. If the Secretary
is
not satisfied that
substantial  | 
justice has been done, the Secretary
may order a rehearing by
 | 
the Board or other
special committee appointed by the  | 
Secretary, may remand the matter to the
Board for its
 | 
reconsideration of the matter based on the pleadings and  | 
evidence presented to
the Board, or may enter
a final order in  | 
contravention of the Board's recommendation. Notwithstanding a  | 
licensee's or applicant's failure to file a motion for  | 
rehearing, the Secretary
shall have the right to take any of
 | 
the actions specified in this
subsection (d). Upon the  | 
suspension or revocation of a license, the licensee
shall
be  | 
required to surrender the respective license to the  | 
Department, and upon failure or refusal to do so, the  | 
Department
shall have
the right to seize the
license.
 | 
 (e) The Department
has the power to issue subpoenas and
 | 
subpoenas duces tecum
to bring before it any person in this  | 
State, to take testimony, or to require
production of any  | 
records
relevant to an inquiry or hearing by the Board in the  | 
 | 
same manner as prescribed
by law in judicial
proceedings in  | 
the courts of this State. In a case of refusal of a witness to
 | 
attend, testify, or to produce
books or papers concerning a  | 
matter upon which the witness might be lawfully
examined, the  | 
circuit court
of the county where the hearing is held, upon  | 
application of the Department
or any
party to the proceeding,  | 
may compel obedience by proceedings as for contempt.
 | 
 (f) Any license that is revoked may not be
restored for a  | 
minimum period
of 3 years.
 | 
 (g) In addition to the provisions of this Section  | 
concerning the conduct of
hearings and the
recommendations for  | 
discipline, the Department
has the authority to negotiate
 | 
disciplinary and non-disciplinary
settlement agreements  | 
concerning any license issued under this Act. All such
 | 
agreements shall be
recorded as Consent Orders or Consent to  | 
Administrative Supervision Orders.
 | 
 (h) The Secretary
shall have the authority to appoint an  | 
attorney duly
licensed to practice law in the
State of  | 
Illinois to serve as the hearing officer in any action to  | 
suspend,
revoke, or otherwise discipline
any license issued by  | 
the Department. The Hearing Officer
shall have full authority
 | 
to conduct the hearing.
 | 
 (i) The Department, at its expense, shall preserve a  | 
record of all formal hearings of
any contested case involving
 | 
the discipline of a license. At all hearings or pre-hearing  | 
conferences, the Department
and the licensee shall be
entitled  | 
 | 
to have the proceedings transcribed by a certified shorthand  | 
reporter.
A copy of the transcribed
proceedings shall be made  | 
available to the licensee by the certified shorthand
reporter  | 
upon payment of
the prevailing contract copy rate.
 | 
(Source: P.A. 102-20, eff. 1-1-22.)
 | 
 (225 ILCS 458/25-10)
 | 
 (Section scheduled to be repealed on January 1, 2027)
 | 
 Sec. 25-10. Real Estate Appraisal Administration and  | 
Disciplinary Board; appointment. 
 | 
 (a) There is hereby created the Real Estate Appraisal  | 
Administration and Disciplinary Board. The Board
shall be  | 
composed of the Coordinator and 10 persons appointed by the  | 
Governor. Members shall be appointed to the Board
subject to  | 
the following conditions:
 | 
  (1) All appointed members shall have been residents  | 
 and citizens of this
State for
at least 5 years prior
to  | 
 the date of appointment.
 | 
  (2) The appointed membership of the Board should  | 
 reasonably reflect the
geographic
distribution of the
 | 
 population of the State.
 | 
  (3) Four appointed members shall have been actively  | 
 engaged and currently
licensed as
State
certified general  | 
 real estate appraisers for a period of not less than 5
 | 
 years. 
 | 
  (4) Three
appointed members shall have been actively  | 
 | 
 engaged and currently
licensed as
State
certified  | 
 residential real estate appraisers for a period of
not  | 
 less than 5 years.
 | 
  (5) One
appointed member shall hold a valid license as  | 
 a
real estate
broker for at least 3 years prior to the date  | 
 of the appointment and
shall hold either a valid
State  | 
 certified general real estate appraiser license or a valid  | 
 State certified residential appraiser license issued under  | 
 this Act or a predecessor Act for a period of at
least 5  | 
 years prior to the appointment.
 | 
  (6) One appointed member shall be a representative of  | 
 a financial
institution, as evidenced by proof of  | 
 employment with a financial
institution.
 | 
  (7) One appointed member shall represent the interests  | 
 of the general
public. This member or the member's spouse  | 
 shall not be licensed under this Act
nor be employed by or  | 
 have any financial interest in an appraisal business,  | 
 appraisal management company, real estate
brokerage  | 
 business, or a financial institution.
 | 
 In making appointments as
provided in paragraphs (3) and  | 
(4) of this subsection, the Governor shall
give due  | 
consideration to recommendations by members and organizations
 | 
representing the profession.
 | 
 In making the appointments as
provided in paragraph (5) of  | 
this subsection, the Governor shall give
due consideration to  | 
the recommendations by members and organizations
representing  | 
 | 
the real estate industry.
 | 
 In making the appointment as provided
in paragraph (6) of  | 
this subsection, the Governor
shall give due consideration to  | 
the recommendations by members and
organizations representing  | 
financial institutions.
 | 
 (b) The members' terms shall be for 4 years or until a  | 
successor is appointed. No member shall be reappointed to the  | 
Board for a term that would cause the member's cumulative  | 
service to the Board to exceed 10 years. Appointments to fill  | 
vacancies shall be for the unexpired portion of the term.
 | 
 (c) The Governor may terminate the appointment of a member  | 
for cause that,
in
the opinion of the Governor, reasonably  | 
justifies the termination. Cause for
termination may include,  | 
without limitation, misconduct, incapacity, neglect of
duty,  | 
or missing 4 Board meetings during any one fiscal year.
 | 
 (d) A majority of the Board members shall constitute a
 | 
quorum. A vacancy in the membership of the Board shall not  | 
impair the right of
a quorum to exercise all of the rights and  | 
perform all of the duties of the
Board.
 | 
 (e) The Board shall meet at least monthly and may be  | 
convened
by the Chairperson, Vice-Chairperson, or 3 members of  | 
the Board upon 10 days
written notice.
 | 
 (f) The Board shall, annually at the first meeting of the  | 
fiscal year,
elect a Chairperson and Vice-Chairperson from its
 | 
members. The Chairperson shall preside over the meetings and  | 
shall coordinate
with the Coordinator
in developing and  | 
 | 
distributing an agenda for each meeting. In the absence of
the  | 
Chairperson, the Vice-Chairperson shall preside over the  | 
meeting.
 | 
 (g) The Coordinator shall serve as
a member of the Board  | 
without vote.
 | 
 (h) The Board shall advise and make recommendations to
the  | 
Department
on the education and experience qualifications of  | 
any applicant for initial licensure as a State certified  | 
general real estate appraiser or a State certified residential  | 
real estate appraiser. The Department shall not make any  | 
decisions concerning education or experience qualifications of  | 
an applicant for initial licensure as a State certified  | 
general real estate appraiser or a State certified residential  | 
real estate appraiser without having first received the advice  | 
and recommendation of the Board and
shall give due  | 
consideration to all
such advice and recommendations; however,  | 
if the Board does not render advice or make a recommendation  | 
within a reasonable amount of time, then the Department may  | 
render a decision. 
 | 
 (i) Except as provided in Section 15-17 of this Act, the
 | 
Board shall hear and make recommendations to the
Secretary
on
 | 
disciplinary matters
that require a formal evidentiary  | 
hearing. The Secretary
shall give due
consideration to the
 | 
recommendations of the Board involving discipline and  | 
questions involving
standards of professional
conduct of  | 
licensees.
 | 
 | 
 (j) The Department shall seek and the Board shall provide
 | 
recommendations to the Department
consistent with the
 | 
provisions
of this Act and for the administration and  | 
enforcement of all
rules adopted
pursuant to this Act. The  | 
Department
shall give due consideration to
such
 | 
recommendations
prior to adopting rules.
 | 
 (k) The Department shall seek and the Board shall provide
 | 
recommendations to the Department
on the approval of all  | 
courses
submitted to the Department
pursuant to this Act and  | 
the rules adopted pursuant to this Act. The Department shall  | 
not approve any courses without having first received the  | 
recommendation of the Board and
shall
give due consideration  | 
to such
recommendations
prior to approving and licensing  | 
courses; however, if the Board does not make a recommendation  | 
within a reasonable amount of time, then the Department may  | 
approve courses.
 | 
 (l) Each voting member of the Board may shall receive a per  | 
diem stipend in an
amount
to be determined by the Secretary.  | 
While engaged in the performance of duties, each member shall  | 
be reimbursed for paid the necessary expenses.
 | 
 (m) Members of the Board shall be immune from suit in an  | 
action based upon
any disciplinary
proceedings or other acts  | 
performed in good faith as members of the Board.
 | 
 (n) If the Department disagrees with any advice or  | 
recommendation provided by the Board under this Section to the  | 
Secretary or the Department, then notice of such disagreement  | 
 | 
must be provided to the Board by the Department.
 | 
 (o) (Blank).
 | 
(Source: P.A. 102-20, eff. 1-1-22.)
 | 
 Section 50. The Appraisal Management Company Registration  | 
Act is amended by changing Sections 40, 47, and 67 as follows:
 | 
 (225 ILCS 459/40)
 | 
 Sec. 40. Qualifications for registration.  | 
 (a) The Department may issue a certification of  | 
registration to practice under this Act to any applicant who  | 
is qualified to do business in this State and applies to the  | 
Department on forms provided by the Department, or through a  | 
multi-state licensing system as designated by the Secretary,  | 
pays the required non-refundable fees, is qualified to  | 
transact business in this State, and provides the following: | 
  (1) the business name of the applicant seeking  | 
 registration; | 
  (2) the business address or addresses and contact  | 
 information of the applicant seeking registration; | 
  (3) if the business applicant is not a corporation  | 
 that is domiciled in this State, then the name and contact  | 
 information for the company's agent for service of process  | 
 in this State; | 
  (4) the name, address, and contact information for any  | 
 individual or any corporation, partnership, limited  | 
 | 
 liability company, association, or other business  | 
 applicant that owns 10% or more of the appraisal  | 
 management company along with a completed criminal history  | 
 records background check as required in Section 68; | 
  (5) the name, address, and contact information for a  | 
 designated controlling person; | 
  (6) a certification that the applicant will utilize  | 
 Illinois licensed appraisers to provide appraisal services  | 
 within the State of Illinois; | 
  (7) a certification that the applicant has a system in  | 
 place utilizing a licensed Illinois appraiser to review  | 
 the work of all employed and independent appraisers that  | 
 are performing real estate appraisal services in Illinois  | 
 for the appraisal management company on a periodic basis,  | 
 except for a quality control review, to verify that the  | 
 real estate appraisal assignments are being conducted in  | 
 accordance with USPAP; | 
  (8) a certification that the applicant maintains a  | 
 detailed record of each service request that it receives  | 
 and the independent appraiser that performs the real  | 
 estate appraisal services for the appraisal management  | 
 company; | 
  (9) a certification that the employees of the  | 
 appraisal management company working on behalf of the  | 
 appraisal management company directly involved in  | 
 providing appraisal management services, will be  | 
 | 
 appropriately trained and familiar with the appraisal  | 
 process to completely provide appraisal management  | 
 services;
 | 
  (10) an irrevocable Uniform Consent to Service of  | 
 Process, under rule; and | 
  (11) a certification that the applicant shall comply  | 
 with all other requirements of this Act and rules  | 
 established for the implementation of this Act. | 
 (b) Applicants have 3 years from the date of application  | 
to complete the application process. If the process has not  | 
been completed in 3 years, the application shall be denied,  | 
the fee shall be forfeited, and the applicant must reapply and  | 
meet the requirements in effect at the time of reapplication. 
 | 
(Source: P.A. 100-604, eff. 7-13-18.)
 | 
 (225 ILCS 459/47) | 
 Sec. 47. Report Annual report; investigation; costs. Each  | 
registrant shall provide annually file a report with the  | 
Secretary for the calendar year period from January 1 through  | 
December 31, giving relevant information as the Secretary may  | 
reasonably require concerning, and for the purpose of  | 
examination for compliance with federal and State regulations,  | 
the business and operations during the preceding fiscal year  | 
period of each registered appraisal management company  | 
conducted by the registrant within the State. The Secretary  | 
may, at any time, examine the books and records of an appraisal  | 
 | 
management company operating in the State and require the  | 
appraisal management company to submit reports, information  | 
and documents. The report shall be made under oath and shall be  | 
in the form prescribed by rule. The Secretary may, at any time,  | 
investigate a registrant and every person, partnership,  | 
association, limited liability company, corporation, or other  | 
business entity who or which is engaged in the business of  | 
operating an appraisal management company. For that purpose,  | 
the Secretary shall have free access to the offices and places  | 
of business and to records of all persons, firms,  | 
partnerships, associations, limited liability companies and  | 
members thereof, and corporations and to the officers and  | 
directors thereof that relate to the appraisal management  | 
company. The investigation may be conducted in conjunction  | 
with representatives of other State agencies or agencies of  | 
another state or of the United States as determined by the  | 
Secretary. The Secretary may require by subpoena the  | 
attendance of and examine under oath all persons whose  | 
testimony the Secretary he or she may require relative to the  | 
appraisal management company, and, in those cases, the  | 
Secretary, or a designee of the Secretary representative whom  | 
he or she may designate, may administer oaths to all persons  | 
called as witnesses, and the Secretary, or a representative of  | 
the Secretary, may conduct an audit, and there shall be paid to  | 
the Secretary for each audit a fee, to be established by rule,  | 
for each day or part thereof for each representative  | 
 | 
designated and required to conduct the audit.
 | 
(Source: P.A. 100-604, eff. 7-13-18.)
 | 
 (225 ILCS 459/67) | 
 Sec. 67. Good moral character. If an applicant,  | 
registrant, controlling person, or any person with an  | 
ownership interest in of the applicant or registrant, has had  | 
a license or registration revoked on a prior occasion, has  | 
been found to have committed any of the practices enumerated  | 
in Section 65, has been convicted of or entered a plea of  | 
guilty or nolo contendere to forgery, embezzlement, obtaining  | 
money under false pretenses, larceny, extortion, conspiracy to  | 
defraud, or a similar offense or offenses, or has been  | 
convicted of a felony involving moral turpitude in a court of  | 
competent jurisdiction in this State or any other state,  | 
district, or territory of the United States or of a foreign  | 
country, the Department may consider the prior revocation,  | 
conduct, or conviction in its determination of the applicant's  | 
moral character of the applicant, registrant, controlling  | 
person, or person with ownership interest and whether to grant  | 
the applicant's registration or renewal. In its consideration  | 
of the prior revocation, conduct, or conviction, the  | 
Department shall take into account the nature of the conduct,  | 
any aggravating or extenuating circumstances, the time elapsed  | 
since the revocation, conduct, or conviction, the  | 
rehabilitation or restitution performed by the applicant, and  | 
 | 
any other factors that the Department deems relevant. When an  | 
applicant, registrant, controlling person, or person with  | 
ownership interest has made a false statement of material fact  | 
on any his or her application, the false statement may in  | 
itself be sufficient grounds to revoke or refuse to issue or  | 
renew a registration. 
 | 
(Source: P.A. 100-604, eff. 7-13-18.)
 | 
 (225 ILCS 459/68 rep.) | 
 Section 55. The Appraisal Management Company Registration  | 
Act is amended by repealing Section 68.
 | 
 Section 60. The Professional Limited Liability Company Act  | 
is amended by changing Section 13 as follows:
 | 
 (805 ILCS 185/13) | 
 Sec. 13. Nature of business. | 
 (a) A professional limited liability company may be formed  | 
to provide a professional service or services licensed by the  | 
Department except:  | 
  (1) the practice of dentistry unless all the members  | 
 and managers are licensed as dentists under the Illinois  | 
 Dental Practice Act;  | 
  (2) the practice of medicine unless all the managers,  | 
 if any, are licensed to practice medicine under the  | 
 Medical Practice Act of 1987 and each member is either:  | 
 | 
   (A) licensed to practice medicine under the  | 
 Medical Practice Act of 1987; | 
   (B) a registered medical corporation or  | 
 corporations organized pursuant to the Medical  | 
 Corporation Act; | 
   (C) a professional corporation organized pursuant  | 
 to the Professional Service Corporation Act of  | 
 physicians licensed to practice under the Medical  | 
 Practice Act of 1987; | 
   (D) a hospital or hospital affiliate as defined in  | 
 Section 10.8 of the Hospital Licensing Act; or | 
   (E) a professional limited liability company that  | 
 satisfies the requirements of subparagraph (A), (B),  | 
 (C), or (D);  | 
  (3) the practice of real estate unless all the members  | 
 and managers, if any, that actively participate in the  | 
 real estate activities of the professional limited  | 
 liability company or every member in a member-managed  | 
 company are licensed to practice as a managing broker or  | 
 broker pursuant to the Real Estate License Act of 2000.  | 
 All nonparticipating members or managers shall submit  | 
 affidavits of nonparticipation as required by the  | 
 Department and the Real Estate License Act of 2000; | 
  (4) the practice of clinical psychology unless all the  | 
 managers and members are licensed to practice as a  | 
 clinical psychologist under the Clinical Psychologist  | 
 | 
 Licensing Act; | 
  (5) the practice of social work unless all the  | 
 managers and members are licensed to practice as a  | 
 clinical social worker or social worker under the Clinical  | 
 Social Work and Social Work Practice Act; | 
  (6) the practice of marriage and family therapy unless  | 
 all the managers and members are licensed to practice as a  | 
 marriage and family therapist under the Marriage and  | 
 Family Therapy Licensing Act; | 
  (7) the practice of professional counseling unless all  | 
 the managers and members are licensed to practice as a  | 
 clinical professional counselor or a professional  | 
 counselor under the Professional Counselor and Clinical  | 
 Professional Counselor Licensing and Practice Act; | 
  (8) the practice of sex offender evaluation and  | 
 treatment unless all the managers and members are licensed  | 
 to practice as a sex offender evaluator or sex offender  | 
 treatment provider under the Sex Offender Evaluation and  | 
 Treatment Provider Act; or | 
  (9) the practice of veterinary medicine unless all the  | 
 managers and members are licensed to practice as a  | 
 veterinarian under the Veterinary Medicine and Surgery  | 
 Practice Act of 2004.  | 
 (b) Notwithstanding any provision of this Section, any of  | 
the following professional services may be combined and  | 
offered within a single professional limited liability company  | 
 | 
provided that each professional service is offered only by  | 
persons licensed to provide that professional service and all  | 
managers and members are licensed in at least one of the  | 
professional services offered by the professional limited  | 
liability company:  | 
  (1) the practice of medicine by physicians licensed  | 
 under the Medical Practice Act of 1987, the practice of  | 
 podiatry by podiatric physicians licensed under the  | 
 Podiatric Medical Practice Act of 1987, the practice of  | 
 dentistry by dentists licensed under the Illinois Dental  | 
 Practice Act, and the practice of optometry by  | 
 optometrists licensed under the Illinois Optometric  | 
 Practice Act of 1987; or  | 
  (2) the practice of clinical psychology by clinical  | 
 psychologists licensed under the Clinical Psychologist  | 
 Licensing Act, the practice of social work by clinical  | 
 social workers or social workers licensed under the  | 
 Clinical Social Work and Social Work Practice Act, the  | 
 practice of marriage and family counseling by marriage and  | 
 family therapists licensed under the Marriage and Family  | 
 Therapy Licensing Act, the practice of professional  | 
 counseling by professional counselors and clinical  | 
 professional counselors licensed under the Professional  | 
 Counselor and Clinical Professional Counselor Licensing  | 
 and Practice Act, and the practice of sex offender  | 
 evaluation and treatment by sex offender evaluators and  | 
 | 
 sex offender treatment providers licensed under the Sex  | 
 Offender Evaluation and Treatment Provider Act; .
 | 
  (3) the practice of architecture by persons licensed  | 
 under the Illinois Architecture Practice Act of 1989, the  | 
 practice of professional engineering by persons licensed  | 
 under the Professional Engineering Practice Act of 1989,  | 
 the practice of structural engineering by persons licensed  | 
 under the Structural Engineering Practice Act of 1989, and  | 
 the practice of land surveying by persons licensed under  | 
 the Illinois Professional Land Surveyor Act of 1989; or | 
  (4) the practice of acupuncture by persons licensed  | 
 under the Acupuncture Practice Act, the practice of  | 
 massage by persons licensed under the Massage Licensing  | 
 Act, the practice of naprapathy by persons licensed under  | 
 the Naprapathic Practice Act, the practice of occupational  | 
 therapy by persons licensed under the Illinois  | 
 Occupational Therapy Practice Act, the practice of  | 
 physical therapy by persons licensed under the Illinois  | 
 Physical Therapy Act, and the practice of speech-language  | 
 pathology by persons licensed under the Illinois  | 
 Speech-Language Pathology and Audiology Practice Act. | 
(Source: P.A. 100-894, eff. 8-14-18.)
 | 
 Section 99. Effective date. This Act takes effect upon  | 
becoming law, except that Section 10 takes effect on October  | 
1, 2023. 
 | 
 |  | 
INDEX
 |  | 
Statutes amended in order of appearance
 |  
  |